Rank the following alternatives in order from the highest future value to the lowest future value. Alternative A $1,900 deposited for 6 years at 9% Alternative 8 $1,600 deposited for 7 years at 10% Alternative C $450 deposited each year during 6 years at 8% Alternative D $490 deposited each years during 6 years at 6% Seleccione una: O A,B,C,D O A, B.D.C O DACE O ACD, B O D.C.AB O CAB, D O C.B.D.A OBCAD

Answers

Answer 1

The alternatives from highest future value to lowest future value are: Option ACD, B, in order of decreasing future value. The following are the future value of each alternative:

A. $1,900 deposited for 6 years at 9%.

FV = $1,900 (1+0.09)6= $3,377.85B.

$1,600 deposited for 7 years at 10%

FV = $1,600 (1+0.10)7= $3,366.10

C. $450 deposited each year during 6 years at 8%

FV = $450 [(1+0.08)6 -1/0.08] x 1.08= $3,310.81

D. $490 deposited each year during 6 years at 6%

FV = $490 [(1+0.06)6 -1/0.06] x 1.06= $3,144.99

Therefore, the alternatives from highest future value to lowest future value are: Option ACD, B, in order of decreasing future value.

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Related Questions

A Canadian freight forwarder is planning to charter a ship covering shipment of 1500,000 MT of Limestone over a one-year period with equal monthly shipment from Australia to Majishan Port-China. Please briefly answer the following questions:
1) What type of charter he is looking for? (2 Mark)
2) Which costs should be paid by the charterer for the chosen type of charter. (2 Marks)
3) From which type of freight market, the charterer can find the vessel required? (1 Marks)
4) What type of cargo ship is required for this amount of the shipment? (1 Marks)
5) What type of terminal is required for the discharging of the shipment in Majishan Port-China? (1 Marks) 6)
List and explain main required equipment to discharge the cargo in Majishan Port-China. (2 Marks) 7)
Please, list at least four factors to be considered regarding the terminal warehouse and storage area, explain your reasons.

Answers

1. The Canadian freight forwarder is planning to charter a ship for a year with equal monthly shipments of limestone from Australia to Majishan Port-China.

He is most likely looking for a time charter.

2. The charterer is responsible for the majority of expenses, including the ship's crew, fuel, port fees, and insurance.

The charterer may find the vessel they need in the time charter market.

4. A Panamax bulk carrier is necessary for this shipment's transport.

5. A bulk terminal is needed to unload the shipment.6. Provide a list of and explain the primary equipment needed to unload the shipment in Majishan Port-China.

The primary equipment required to unload the shipment are as follows: Quayside Cranes: For loading and unloading of the ship's cargo, cranes are installed on the pier.

Grab crane: With the use of a grab crane, bulk cargo such as limestone, iron ore, and grains are loaded and unloaded from the ship.

In addition, grab cranes are extremely efficient and may unload up to 1,500 tons of cargo per hour.

Ship Loaders and Unloaders:

Equipment used to load and unload cargo from ships. Loaders are useful for loading ships while unloaders are useful for unloading them.

Storage Facility: A storage facility is used for storing cargo before shipping, after shipment, or in transit.

7. Please list at least four considerations when it comes to the terminal warehouse and storage area, and explain your reasons.

Adequate Capacity: The terminal warehouse and storage area must be able to accommodate the incoming cargo to prevent the cargo from being stored in an overcrowded space, resulting in damage or spoilage.

The Location: The warehouse and storage area must be in an ideal spot for the delivery trucks to access and load the cargo.

Efficient Layout: The warehouse should be planned to maximize the usage of space and facilitate loading and unloading activities.

Health and safety regulations: It is necessary to comply with health and safety regulations to prevent loss of life and property in warehouses and storage areas.

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use an
example to explain the reason of the Law of One Price. (hint:
describe
how
arbitrage works)

Answers

The Law of One Price is driven by market efficiency and the actions of rational market participants seeking to capitalize on price discrepancies. It emphasizes the importance of competition and free movement of goods and capital in driving prices towards equilibrium across different markets.

The Law of One Price states that identical goods should have the same price in different markets when certain conditions are met. This principle is essential in efficient markets and serves as the foundation for arbitrage opportunities.

To illustrate the Law of One Price and how arbitrage works, let's consider an example involving a commodity, say gold. Suppose that in one market, Market A, an ounce of gold is priced at $1,500, while in another market, Market B, the price is $1,550 for the same amount of gold.

Arbitrageurs would identify this price discrepancy and take advantage of it. They would buy gold in Market A for $1,500 per ounce and simultaneously sell it in Market B for $1,550 per ounce. By doing so, they earn a risk-free profit of $50 per ounce.

As more arbitrageurs engage in this activity, the increased demand for gold in Market A would push the price up. Conversely, the increased supply in Market B would put downward pressure on the price. These actions continue until the prices equalize and reach a point where arbitrage opportunities no longer exist.

The underlying mechanism at work is the flow of capital and goods across markets in response to price differentials. In our example, as arbitrageurs exploit the price difference, their actions cause prices to adjust until they converge to a single price across both markets. This convergence ensures that no risk-free profits can be made through arbitrage, aligning with the Law of One Price.

The Law of One Price is driven by market efficiency and the actions of rational market participants seeking to capitalize on price discrepancies. It emphasizes the importance of competition and free movement of goods and capital in driving prices towards equilibrium across different markets.

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Which factors influence the bargaining outcome in the Rubinstein for- mulation of the bargaining problem? b) What is the connection between the Rubinstein bargaining solution and the Nash bargaining solution? Explain your answer by drawing a sketch of the bargaining set and the different solutions. 2 b) Abigail (A) and Balan (B) want to share a pizza of size 1. Suppose both agents have the same utility function u(x) = Vr for pizza, Abigail discounts with A = 1/2 and Balan discounts with 88 = 1/2. Abi- gail moves first. Calculate the Rubinstein solution of the bargaining problem. c) Why does Abigail get a larger share of the pizza?

Answers

The Rubinstein solution to this problem is ¾ of the pizza for Abigail and ¼ of the pizza for Balan.

Factors that influence bargaining outcome include disagreement payoff, time preferences, and outside options of the parties involved. In addition, power is an important determinant of bargaining outcomes in the Rubinstein formulation of the bargaining problem. When one of the parties has more power, the bargaining solution is likely to favor that party. The Rubinstein bargaining solution is similar to the Nash bargaining solution because they both involve the creation of a bargaining set, which is a set of feasible outcomes that satisfy the parties' minimum requirements. The bargaining set is the intersection of each party's acceptable set.

The Nash bargaining solution is a point within the bargaining set where each party receives their most preferred outcome. The Rubinstein solution is a sequence of points in which one party moves closer to their ideal outcome while the other party moves closer to their ideal outcome until they agree on a point in the bargaining set. As a result, the Rubinstein solution includes a compromise element that is not present in the Nash bargaining solution. Abigail will receive a larger share of the pizza because she moves first and can propose a division that is more favorable to her. Balan cannot propose a division that is more favorable to him since he cannot make an offer until Abigail has made an offer. The Rubinstein solution to this problem is ¾ of the pizza for Abigail and ¼ of the pizza for Balan.

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The IRR decision rule can be reversed because: Multiple Choice - the NPV rule is not the same as the IRR - the IRR is based on a mutually exclusive investment. - instead of an investment project it is a financing project. - the IRR is greater than 100%

Answers

The IRR decision rule can be reversed because of the following reasons:NPV vs IRR decision rule: The NPV decision rule and the IRR decision rule may not always give the same answer. The NPV rule states that if the NPV of an investment is positive, then accept the investment, and if it is negative, then reject it.

On the other hand, the IRR rule states that if the IRR is greater than the required rate of return, then accept the investment, and if it is less than the required rate of return, then reject that investment.

The two rules could lead to different answers because the IRR rule considers only the rate of return, while the NPV rule considers both the rate of return and the amount invested.

Therefore, the NPV rule should be used for decision-making, as it is more precise.

Mutually exclusive investment: 

The IRR rule can be reversed if the investment projects are mutually exclusive.

Mutually exclusive investment projects are those that cannot be accepted together, as they are similar and compete for the same resources.

In this case, the IRR rule may lead to the wrong decision.

In such scenarios, it is advisable to apply the NPV rule instead.

Financing project: 

The IRR rule can also be reversed if the project is a financing project. In a financing project, the IRR represents the cost of financing rather than the return on investment.

Therefore, the IRR rule may lead to the wrong decision, and the NPV rule should be used instead.

IRR is greater than 100%: 

If the IRR is greater than 100%, it implies that the project is not realistic, as it means that the project is earning more than it costs.

In this case, the IRR rule should not be used, and the NPV rule should be used instead.

Therefore, the IRR rule can be reversed in certain circumstances, such as when the NPV rule and IRR rule give different answers, when the investment projects are mutually exclusive, when the project is a financing project, and when the IRR is greater than 100%.

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Calculate the future value of a 5-year ordinary annuity with
annual payments of RM200, evaluated at a 15 percent interest
rate?

Answers

To calculate the future value of a 5-year ordinary annuity with annual payments of RM200 at a 15 percent interest rate, we can use the future value of an ordinary annuity formula.

The future value of an ordinary annuity formula is given by: FV = P * [(1 + r)^n - 1] / r, where FV is the future value, P is the annual payment, r is the interest rate per period, and n is the number of periods.

In this case, the annual payment is RM200, the interest rate is 15 percent (or 0.15), and the number of periods is 5 years. Plugging these values into the formula, we get: FV = 200 * [(1 + 0.15)^5 - 1] / 0.15 ≈ RM1,365.98.

Therefore, the future value of the 5-year ordinary annuity with annual payments of RM200, evaluated at a 15 percent interest rate, is approximately RM1,365.98.

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Supplier Corp. entered into a government contract last year to
provide computer equipment for $1,800,000. The contract consists of
a single performance obligation to provide specified equipment over
t

Answers

Based on the provided information, the recognized revenue is $600,000, the gross profit is -$412,500, and the adjusted contract margin to be recorded in the current year = 0.78%.

Calculation of Recognized Revenue:

Recognized Revenue = Total Contract Price/ Number of Years for Service = 1800000/3= $600,000

Calculation of Gross Profit:

Gross Profit = Recognized Revenue - Costs Incurred = $600,000 - $1,012,500 = -$412,500

(Note: Gross profit is negative, as the actual cost incurred is more than the revenue recognized)

Calculation of Adjusted Contract Margin:

Adjusted Contract Margin = Total Contract Profit/ Total Contract Price= (Total Contract Price - Total Contract Cost) / Total Contract Price= ($1,800,000 - $1,260,000) / $1,800,000= 0.30 (30%)

Now, the current year's contract margin is adjusted based on the current year's actual cost and the estimated total cost. Therefore,

Calculation of Contract Costs for the Current Year:

Contract Costs for the Current Year = Actual Cost of the Current Year + Estimated Cost for the Rest of the Contract - Cost Incurred in the 1st Year= $1,012,500 + $1,350,000 - $576,000= $1,786,500

Adjusted Contract Margin for the Current Year:

Adjusted Contract Margin for the Current Year= (Total Contract Price - Contract Costs for the Current Year)/ Total Contract Price= ($1,800,000 - $1,786,500) / $1,800,000= 0.00777778 or 0.78%

Note: The question is incomplete. The complete question probably is: Supplier Corp. enters into a government contract in 2020 to provide computer equipment for $2 million. The contract consists of a single performance obligation to provide specified equipment in three years. Total costs estimated by Supplier Corp. for the contract are $1.4 million. The equipment is highly specialized and has no alternative uses. As negotiated in the contract, any costs incurred by Supplier Corp. plus a specified profit margin will be paid to Supplier Corp. in the event of a contract cancellation. Actual costs incurred in 2020 were $650,000 including unexpected cost overruns of $80,000 due to labor inefficiencies. At the end of 2021, the estimate of total costs has increased to $1.50 million due to an increase in cost of materials. Actual costs incurred to date are $1,150,000, excluding year one inefficiencies.  Calculate (1) recognized revenue, (2) the gross profit, and (3) adjusted contract margin to be recorded in 2021.

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How can leaders develop or maintain high-quality exchange relationships with their employees in a virtual team setting? What would happen to the team or company culture if leaders cannot develop and maintain high-quality exchange relationships with their employees?
Be specific and incorporate a few concepts discussed throughout this course (e.g., performance, citizenship behaviors, counterproductive behavior, commitment, trust, justice, ethics, motivation, satisfaction, stress, etc

Answers

In a virtual team setting, leaders can develop and maintain high-quality exchange relationships with their employees by implementing the following strategies:

Communication and Collaboration: Encourage open and frequent communication to ensure that team members feel connected and supported. Use technology platforms for virtual meetings, video conferences, and instant messaging to facilitate collaboration. Actively listen to team members' concerns, provide feedback, and promote a culture of transparency.

Clear Expectations and Roles: Clearly define roles, responsibilities, and performance expectations for each team member. Establish clear guidelines and protocols for communication, task assignments, and deadlines. This clarity helps employees understand their contributions to the team and fosters a sense of accountability.

Recognition and Rewards: Acknowledge and appreciate employees' efforts and achievements. Recognize their contributions publicly or privately to boost motivation and satisfaction. Implement reward systems that recognize exceptional performance and encourage positive behaviors that align with the team's goals and values.

Trust and Empowerment: Build trust by demonstrating integrity, reliability, and competence. Trust is essential for virtual teams as it promotes collaboration and reduces uncertainty. Empower employees by giving them autonomy in decision-making and providing opportunities for growth and development.

Support and Well-being: Show genuine concern for employees' well-being and provide support when needed. Encourage work-life balance and address any challenges or stressors they may face. Promote a positive work environment that values employee well-being and fosters a sense of belonging.

If leaders fail to develop and maintain high-quality exchange relationships with their employees in a virtual team setting, several negative consequences can arise:

Decreased Performance: Without effective relationships, team members may lack motivation, engagement, and commitment to their work. This can result in lower productivity and subpar performance, leading to missed deadlines and reduced quality of work.

Decline in Citizenship Behaviors: High-quality exchange relationships often promote positive behaviors beyond job requirements, such as helping colleagues, sharing knowledge, and supporting team goals. If these relationships are lacking, employees may become less willing to engage in such discretionary behaviors, impacting the overall effectiveness and cohesion of the team.

Increase in Counterproductive Behavior: In the absence of positive relationships, employees may exhibit counterproductive behaviors such as withholding effort, engaging in workplace conflicts, or even engaging in sabotage. These behaviors can disrupt team dynamics, hinder collaboration, and damage team morale.

Reduced Commitment and Trust: Without high-quality exchange relationships, employees may feel disconnected, undervalued, and untrusted. This can lead to decreased commitment to the team's goals and values, as well as reduced trust in leaders and colleagues.

Negative Team or Company Culture: The lack of high-quality exchange relationships can contribute to a negative team or company culture characterized by low morale, high turnover rates, and reduced employee satisfaction. This can create a toxic work environment that hinders collaboration, innovation, and overall organizational success.

Therefore, it is crucial for leaders to prioritize the development and maintenance of high-quality exchange relationships in a virtual team setting. By fostering trust, promoting open communication, recognizing and supporting employees, and providing clear expectations, leaders can enhance team performance, cultivate a positive work culture, and achieve long-term success.

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Is it ethical to design a consumption environment in a way that significantly alters consumer
emotions? Is it possible to design an environment that does not alter emotions? In what ways might
designing a consumption environment to alter consumer emotions be unethical? What factors did you

Answers

Designing a consumption environment to significantly alter consumer emotions can be ethically questionable and manipulative.

Designing a consumption environment to deliberately alter consumer emotions raises ethical concerns because it involves manipulating individuals' feelings and psychological states for commercial purposes. This manipulation can potentially exploit vulnerable individuals or create an environment of coercion, where consumers feel compelled to make purchases they may not truly want or need.

It also undermines consumers' autonomy and freedom of choice by bypassing their rational decision-making processes. Such practices may lead to unintended consequences, including negative emotional experiences, buyer's remorse, and long-term dissatisfaction. Ethical considerations call for respecting consumers' emotional well-being, promoting transparency, and ensuring that emotional manipulation is avoided in favor of fostering genuine connections and providing meaningful experiences in the consumption environment.

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what is Protective collar strategy and which one is the most useful for arbitrager, hedger, and speculator? (15marks )

Answers

The protective collar strategy is an options trading strategy that combines the purchase of a put option and the sale of a call option on an underlying asset. It is designed to provide downside protection to an investor's position while also capping potential upside gains.

Protective Collar Strategy:

The protective collar strategy involves holding a long position in the underlying asset and buying a put option as insurance against potential price declines.The put option gives the investor the right to sell the underlying asset at a predetermined price (strike price) within a specified time frame, protecting against losses if the asset's value decreases.To finance the cost of buying the put option, the investor simultaneously sells a call option on the same underlying asset.The call option creates an obligation for the investor to sell the underlying asset at a higher price (strike price) if the price rises above that level within the specified time frame.By selling the call option, the investor generates income (the premium received) that helps offset the cost of buying the put option.

Usefulness for Different Market Participants:

a. Arbitrager:

Arbitragers seek to profit from temporary price discrepancies between related assets.

The protective collar strategy may not be as useful for arbitragers since it involves holding a long position in the underlying asset, contradicting their goal of exploiting short-term price discrepancies.

Arbitragers typically aim for quick trades without exposure to long-term market movements.

b. Hedger:

Hedgers use strategies to mitigate risk associated with price fluctuations in an underlying asset.

The protective collar strategy is particularly useful for hedgers who want to protect their existing long positions against potential downside risks.

By purchasing the put option, they have a safeguard against adverse price movements, while selling the call option helps reduce the cost of the protective put.

c. Speculator:

Speculators aim to profit from price movements in an underlying asset without necessarily having an existing position to protect.

For speculators, the protective collar strategy may not be the most useful since it involves holding a long position in the underlying asset.

Speculators often prefer strategies that provide greater exposure to potential price gains, such as buying call options or engaging in more aggressive trading approaches.

In conclusion, the protective collar strategy is most beneficial for hedgers who want to protect existing long positions against potential downside risks. It provides insurance through the put option while generating income through the sale of the call option. Arbitragers may find other strategies more suitable for their short-term trading objectives, while speculators typically seek strategies with greater profit potential and may not find the protective collar strategy as useful.

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2. Reflecting on yourself: a. What is your strongest entrepreneurial characteristic, describe in detail (i.e. 100 200 words) how this has a positive affect on you as a student in this course. b. What is your weakest entrepreneurial characteristic and describe in detail (i.e. 100-200 words) how this has both a negative and positive affect on you as a student in this course. c. Do you think you have an entrepreneurial mindset? Please explain in detail (i.e. 100-150 words) why or why not. d. What aspect(s) of an entrepreneurial mindset do you most need to develop and why do you think you need to develop this aspect? e. Please comment further (minimum of two) on any other reflections you might have on the effect of aspects of your entrepreneurial attributes/behaviours/skills or characteristics or mindset on your life.

Answers

This question asks for self-reflection on entrepreneurial characteristics, focusing on the strongest and weakest traits, the presence of an entrepreneurial mindset, areas for development within this mindset, and reflections on the impact of entrepreneurial attributes on one's life.

a) My strongest entrepreneurial characteristic is resilience. This trait positively affects me as a student in this course by enabling me to bounce back from failures, learn from them, and persevere. I approach obstacles with determination, seek alternative solutions, and maintain a positive attitude, which helps me adapt to challenges and remain motivated.

b) My weakest entrepreneurial characteristic is risk aversion. While it can hinder me from taking bold actions, it also brings benefits. Being cautious and thorough in decision-making helps me analyze options, weigh potential outcomes, and mitigate risks. This mindset fosters thoughtful and calculated approaches to assignments and projects.

c) Yes, I believe I possess an entrepreneurial mindset. It encompasses creativity, problem-solving, adaptability, and a growth-oriented attitude. I exhibit these qualities by seeking opportunities, thinking outside the box, embracing change, valuing feedback, and taking initiative.

d) One aspect of an entrepreneurial mindset I need to develop is embracing ambiguity and uncertainty. Becoming comfortable in uncertain situations will enhance my ability to think creatively and seize opportunities outside my comfort zone.

e) Perseverance and a growth-oriented mindset have impacted my life. Perseverance has instilled resilience and determination, contributing to personal growth and accomplishment. A growth mindset has enabled continuous improvement, adaptation, and a mindset of lifelong learning.

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As a newly elected u.s. president, franklin d. roosevelt's first order of business was to:

Answers

As a newly elected U.S. president, Franklin D. Roosevelt's first order of business was to address the Great Depression and pass a series of reforms collectively known as the New Deal.What was the New Deal?The New Deal was a series of social and economic reforms implemented by President Franklin D. Roosevelt during the Great Depression.

The program aimed to address the various problems that the country was facing at the time, including high unemployment rates, widespread poverty, and weak economic growth.The New Deal was made up of several different initiatives and programs that were designed to stimulate the economy and provide relief to people affected by the Depression.

Some of the most notable programs included the Civilian Conservation Corps, which employed thousands of young men to work on public works projects; the Agricultural Adjustment Act, which aimed to help farmers by paying them to reduce crop production; and the National Recovery Administration, which was designed to promote economic recovery by regulating prices and wages.Franklin D. Roosevelt was inaugurated as President of the United States on March 4, 1933, and immediately began working to address the economic crisis facing the country. Within his first 100 days in office, Roosevelt had implemented a wide range of policies and programs aimed at tackling the Depression head-on. These policies formed the backbone of the New Deal, which remained in effect until the end of the Great Depression in the late 1930s.

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what is the difference between a general lien and a specific lien?

Answers

A lien is a legal claim against assets that an individual or entity borrows or owes. There are two main types of liens: general liens and specific liens.

Here's how they differ:

General Lien; General lien is a legal claim to take possession of a debtor's property to secure payment of a debt that is not limited to a particular property or debt but extends to all of the debtor's property until the debt is paid. A general lien is not limited to one specific asset. Rather, it allows the creditor to claim all of the debtor's assets in order to satisfy the debt, regardless of the type of asset or its value. A few examples of general liens are Judgement liens, Execution liens, and Tax liens.

Specific Lien; Specific lien is a legal claim to take possession of a particular asset in order to secure payment of a particular debt. Specific liens are attached to a particular asset and are usually created by a specific contract or statute. In the event that the debt is not paid, the creditor has the right to seize the specific property that is the subject of the lien. A few examples of specific liens are Mortgage liens, Mechanic’s liens, and Material man’s liens.

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Using daily return series for the stock of XYZ, the parameter estimates for a GARCH(1,1) model for the conditional variance are = 0.0002, α= 0.06 and = 0.88. Suppose that the S&P500 at the close of trading yesterday was 5,230 and the daily volatility of the index was estimated as 1.50% per day at that time. Assuming that the level of the index at the close of trading equals 5,140.
What is the new volatility estimate?
What is the long-run (average unconditional) volatility of the GARCH (1,1) model above? Briefly explain its meaning.

Answers

The new volatility estimate is 2.67%. The long-run (average unconditional) volatility of the GARCH (1,1) model is 1.25%.

The GARCH (1,1) model is used to measure the long-term volatility of a stock. The long-run volatility estimate is the average of the past volatility estimates. This estimate is used to determine the amount of risk that a stock carries over the long-term. The new volatility estimate is based on the current level of the stock, the past volatility of the stock, and the current level of the S&P 500. This estimate is used to determine the amount of risk that a stock carries over the short-term. The long-run volatility estimate is used to determine the amount of risk that a stock carries over the long-term.

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Reach Chapter 10
Answer the Mindtap Concept Case Video for Chapter 10
Work through the Chapter 10 Use It questions in MindTap
Answer the following questions. Write as if you are explaining the concepts to a friend:
Explain what supply chain management (SCM) is.
Identify and briefly describe at least four key business capabilities provided by the use of a CRM system.
Many organizations are moving to a collaborative process with their major suppliers to get their input on designing and planning future product modification or new products. Explain how a PLM system might enhance such a process. What issues and concerns might a manufacturer have in terms of sharing product data with suppliers

Answers

The supply chain management (SCM) is an essential part of an organization's business strategy, which manages the flow of goods and services from suppliers to the end-users.

Identify and briefly describe at least four key business capabilities provided by the use of a CRM system. The four business capabilities provided by the use of a CRM system are:

1. Sales force automation: helps the sales team with customer data management and contact information.

2. Customer Service: assists with customer queries and complaints by providing information about the customer's previous interactions.

3. Marketing Automation: streamlines marketing campaigns by managing customer information.

4. Analytics: offers insightful data for decision making. Many organizations are moving to a collaborative process with their major suppliers to get their input on designing and planning future product modification or new products. Explain how a PLM system might enhance such a process.

What issues and concerns might a manufacturer have in terms of sharing product data with suppliers?

The PLM (Product Lifecycle Management) system can enhance the collaborative process with major suppliers by sharing product data with suppliers in real-time. It helps to optimize the manufacturing process, allowing the manufacturer to get the supplier's input on the design, thereby enhancing the product. Manufacturers' issues and concerns in terms of sharing product data with suppliers include a lack of trust, sharing too much data, losing control over the data, and the risk of data breaches.

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When purchasing a new vehicle and selling an old one,
if using the gross cash flow method, we would need to:

Answers

When using the gross cash flow method, the main step is to calculate the net cash flow by subtracting the cash outflow from the cash inflow.

When using the gross cash flow method for purchasing a new vehicle and selling an old one, you would need to calculate the difference between the cash inflows and cash outflows associated with the transaction. In this case, the steps involved would be:

Determine the cash inflow from selling the old vehicle. This would be the amount you expect to receive from the sale.

Determine the cash outflow for purchasing the new vehicle. This would be the total cost of acquiring the new vehicle, including any additional expenses such as taxes, registration fees, or warranties.

Calculate the difference between the cash inflow and the cash outflow. This represents the net cash flow from the transaction.

If the net cash flow is positive, it indicates that the proceeds from selling the old vehicle are greater than the cost of purchasing the new vehicle. This suggests that the transaction is financially favorable.=

If the net cash flow is negative, it means that the cost of purchasing the new vehicle exceeds the proceeds from selling the old vehicle. This indicates a potential financial loss.

Using the gross cash flow method helps evaluate the financial impact of buying a new vehicle and selling an old one by considering the overall cash flow associated with the transaction.

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CDB stock is currently priced at $52 67. The company will pay a dividend of $3.67 next year and investors require a return of 10:28 percent on similar stocks What is the divident?

Answers

The dividend is $3.67. The dividend is part of a company’s profits that is paid to the people who own shares in it (shareholders). Explanation & Calculation:

To calculate the dividend, we need to use the dividend discount model (DDM) formula. The DDM formula states that the value of a stock is equal to the present value of its future dividends.

Given information:

Current stock price = $52.67

Required return = 10.28%

Dividend = ?

Using the DDM formula:

Stock price = Dividend / (Required return - Dividend growth rate)

We can rearrange the formula to solve for the dividend:

Dividend = Stock price * (Required return - Dividend growth rate)

In this case, we don't have information about the dividend growth rate, so we assume it to be zero (no growth in dividends).

Dividend = $52.67 * (10.28% - 0)

Dividend = $52.67 * 10.28% = $5.41

Therefore, the dividend is $3.67.

The dividend for CDB stock is $3.67.

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Metro Semiconductor is considering a replacement capital expenditure (selling an old asset and replacing it with a new asset). The old asset will be sold for $12,000, and has a remaining net book value of $4,500. The company faces a marginal 28% tax rate. What is the after tax cash flow associated with this asset disposal (ATAD)?
[If needed, round your answer to two decimal places.]

Answers

If The old asset will be sold for $12,000, and has a remaining net book value of $4,500 then the after-tax cash flow for asset disposal is $9,900.

The after-tax cash flow associated with the asset disposal is calculated by considering the tax implications of selling the old asset. With a net book value of $4,500 and a selling price of $12,000, we need to determine the tax on the gain.

Multiplying the gain ($7,500) by the tax rate of 28% gives us a tax of $2,100. Subtracting the tax on the gain from the selling price yields the after-tax cash flow.

Therefore, the after-tax cash flow for asset disposal is $9,900. This represents the net cash flow that the company will receive after accounting for the tax obligation resulting from the sale of the old asset. It is important to consider such after-tax cash flows in evaluating the financial impact of asset replacements or disposals.

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business research
If you were to do a research on the topic of determining the satisfaction of university students on May Festival activities,
a- how would you define target population?
b- would you take a census or a sample for your research?

Answers

a) The target population for determining the satisfaction of university students with May Festival activities would be the entire population of university students who participated in the May Festival activities. This includes all students who attended the festival, engaged in the activities, and had the opportunity to experience and form opinions about them.

b) For the research, it would be more practical and feasible to take a sample rather than conduct a census. Taking a census would involve surveying every single university student who participated in the May Festival activities, which could be time-consuming, resource-intensive, and potentially difficult to achieve due to various constraints such as time limitations and accessibility to all students. By selecting a representative sample from the target population, researchers can gather insights and draw conclusions about the satisfaction of university students more efficiently and effectively. Sampling allows for a smaller, manageable group of participants to be surveyed, while still providing valuable data that can be generalized to the larger population.

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Which of the following statements is the most correct? Select one: Cal Market risk can be eliminated by forming a large portfolio Oh A portfolio that consists of all stocks traded in the market will tree because of diversification benefit O Even if the correlation between the returns on two HGCURUS Olong as the securities are combined in the correct proportions, the resulting 2-asset portfolio will wink than either security held alone, Od None of the above statements is true. Oe Statement a, band e are all correct.

Answers

Out of the following statements, the correct statement is "Even if the correlation between the returns on two securities is positive, as long as the securities are combined in the correct proportions, the resulting 2-asset portfolio will perform better than either security held alone."

This statement is also known as the principle of diversification. Principle of Diversification A portfolio is a combination of two or more assets or securities. The principle of diversification refers to the fact that as the number of assets in a portfolio increases, the risk of the portfolio decreases. It's impossible to eliminate market risk entirely. Diversification, on the other hand, can help to reduce market risk. The principle of diversification, also known as the 'don't put all your eggs in one basket' principle, suggests that investors should avoid concentrating all of their investments in one security or asset. Instead, they should diversify their portfolio by investing in several securities in order to reduce overall risk. Therefore, option C is the correct answer.

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A $25 investment produces $27.50 at the end of the year with no risk. Which of the following is not true? Multiple Choice NPV is positive if the interest rate is less than 10%. NPV is negative if the interest rate is less than 10%. NPV is zero if the interest rate is equal to 10%.

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NPV is negative if the interest rate is less than 10% is the statement that is not true. NPV stands for Net Present Value, which is the difference between the present value of cash inflows and the present value of cash outflows over a set period of time.

This is important for assessing the feasibility of a project or investment, and it is commonly used in finance. The formula for calculating NPV is as follows: Where: C0 is the initial investment; C1 is the first year's expected cash flow is the discount rate (i.e.) the interest rate that you would use to discount the future cash flows to their present value is the number of years the investment will be held; and is the year for which the cash flow is being calculated. In order to determine the net present value, you must calculate the present value of each expected cash flow, sum them together, and subtract the initial investment.

If the resulting value is positive, the investment is profitable. If the resulting value is negative, the investment is not profitable. And if it's zero, the investment is break-even. So, we know that the initial investment of $25 produces a return of $27.50 at the end of the year with no risk. Thus, we can conclude that the cash flow for year one is $2.50 ($27.50 - $25.00). Now, we can use this information to calculate the NPV at various interest rates, as shown below: NPV at 5% = -$0.47NPV at 10% = $0.50NPV at 15% = $1.45From this calculation, we can say that if the interest rate is less than 10%, NPV is negative, which means that the statement "NPV is negative if the interest rate is less than 10%" is not true. Therefore, the correct answer is: NPV is negative if the interest rate is less than 10%.

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djimon sala has $9,700 to invest today and would like to have $12,000 in 3 years. to reach his goals, djimon needs to earn a rate of at least:

Answers

Djimon needs to earn a rate of at least: 5.6%

To calculate the rate that Djimon needs to earn to reach his financial goal, we need to use the formula for compound interest. The formula is given as;

A = P (1 + r/n)^nt

Where; A = the amount of money Djimon will have in 3 years P = the principal amount, which is $9,700r = the annual interest rate that Djimon needs to earn to achieve his goal, expressed as a decimal n = the number of times the interest is compounded per year.

Since this is not given, we'll assume it's compounded once per year.

t = the time period in years, which is 3 years

Substituting the values given into the formula, we have;

A = 9,700(1 + r/1)^(1*3)

A = 9,700(1 + r)^3

Simplifying and solving for r;

12,000 = 9,700(1 + r)^3

Dividing both sides by 9,700, we get;

1.237 = (1 + r)^3

Taking the cube root of both sides, we have;

1.056 = 1 + r

Subtracting 1 from both sides;

0.056 = r

Therefore, Djimon needs to earn a rate of at least 5.6% to reach his goal of having $12,000 in 3 years.

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Which of the following items is commonly included in a
partnership agreement?
A. The place of birth of each partner that is an individual.
B. The basis of accounting for the partnership.

Answers

The item that is commonly included in a partnership agreement is B. The basis of accounting for the partnership.

A partnership agreement is an arrangement between two or more people to oversee and operate a business enterprise and distribute its profits or losses among themselves in accordance with the terms of the contract. The agreement outlines the partners' rights and responsibilities, as well as how profits and losses will be divided. It also specifies how business decisions will be made and what happens if one of the partners leaves the partnership or dies. The agreement can also include other conditions that the partners agree to.

The basis of accounting for the partnership is typically stated in the partnership agreement. Accrual and cash are the two most popular forms of accounting. In accrual accounting, income and expenses are recorded when they are incurred, rather than when cash is received or paid out. Cash accounting, on the other hand, records income and expenses when cash is received or paid out. The correct option is B.

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Question 1 A database is a collection of raw data from both the internal and external sources. True False

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A database is not just a collection of raw data from both internal and external sources. False.

It is a structured collection of data that is organized, managed, and accessed in a way that allows for efficient storage, retrieval, and manipulation of the data. A database typically includes tables, relationships, and constraints that define the structure and integrity of the data. It provides mechanisms for querying, updating, and managing the data to support various applications and information needs. In essence, a database is a carefully designed and controlled system that stores and manages data in a structured manner, rather than just a collection of raw data.

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Omosomi stock is expected to return 14 percent in a normal economy and lose 3.5 percent in a recession. The probability of a recession is 24 percent and the probability of a booming economy is zero. What is the variance of the returns on Omosomi stock? .312034 .019453 .009604 .000979 .005586

Answers

The variance of the returns on Omosomi stock is 0.009604.

To calculate this, first find the expected return, which is (0.14 x 0.76) + (-0.035 x 0.24) = 0.09916. Then, find the probability of each scenario happening squared (0.76² and 0.24²), and multiply each by its corresponding return minus the expected return squared [0.076¹ x (0.14 - 0.09916)² + 0.024¹ x (-0.035 - 0.09916)²].

Finally, add the two products together to get the variance of 0.009604.Variance = P1(R1 - E(R))² + P2(R2 - E(R))²⁰.⁰⁰⁹⁶⁰⁴ is the variance of the returns on Omosomi stock.

Variance is a measure of how far each number in a data set is from the mean, generally represented as a statistical measure.

In finance, variance is often used to calculate stock price changes over time by determining the standard deviation of an investment's price changes. The variance provides a way to estimate the risk or volatility of an investment.

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One of the managers explained. "All the sections' performances are benchmarked against each other" Specify the managerial function that the manager is conducting in this statement.

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The managerial function that the manager is conducting in this statement is Control. Control is a crucial managerial function that involves monitoring and evaluating performance to ensure that organizational goals are being met.

By benchmarking all the sections' performances against each other, the manager is implementing a control mechanism known as "benchmarking." Benchmarking is the process of comparing an organization's performance, processes, or practices against those of other organizations or internal units within the same organization.

It helps identify areas of improvement, best practices, and performance gaps. By benchmarking the sections' performances against each other, the manager is establishing a standard of comparison and evaluating each section's performance relative to others.

This control mechanism allows the manager to identify high-performing sections that can serve as role models and identify underperforming sections that may require additional support or interventions. It fosters a competitive environment among the sections and motivates them to improve their performance.

In conclusion, the manager's statement reflects the managerial function by implementing benchmarking as a means to monitor and evaluate the performances of different sections. Benchmarking enables the manager to gain insights, promote healthy competition, and drive performance improvements throughout the organization.

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The marketing manager for Ned's Bar and Grill notices that his typical customer is a male college student. In the context of external information sources, he is using ___________ to define his market.

a. visual cues
b. estimations
c. stereotypes
d. demographics instincts

Answers

In the context of external information sources, Ned’s Bar and Grill marketing manager is using demographics instincts to define his market. The correct option is D.

Demographics instincts refer to the use of demographic characteristics to define markets. Demographic characteristics include age, gender, income, education, and marital status among others. Demographic instincts allow marketers to define their target market according to the common features of the market's characteristics. The marketing manager of Ned’s Bar and Grill has identified that the typical customer is a male college student.

By using demographics instincts, he can create targeted marketing strategies that appeal to this customer. This is critical in marketing, especially for businesses that have a specific target market. Therefore, Ned’s Bar and Grill marketing manager should use his demographics instincts to create targeted marketing strategies that appeal to male college students.

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You have been named CEO of Nu-Kit Power a deregulated nuclear power generation company. Your small 100 MW has No market power, a MC of zero and the plant is "green" in that it does not emit any CO2. There are also 5000 MW of high-carbon coal plants with a MC of $20/MWh in your market. Each coal plant emits 1 ton per MWh of electricity it produces. There are also 2000 MW of zero-carbon and zero MC renewable power. You can assume that this renewable power is available 24 hours a day. Regulators are now proposing to expand a renewable portfolio standard (RPS), raising the capacity of zero-carbon renewable energy from 2000 up to 5000 MW. (a) Assume that electricity demand in your market ranges from 4000 to 6000 MW. Purely from the perspective of Nu-Kit's profits, would you support the new RPS, oppose it, or are you indifferent? (b) Assume instead that, instead of an RPS, regulators are proposing a $20/ton carbon tax as a means to incentivize new renewable investment. Again purely from a profit perspective, should Nu-Kit be supportive of this proposal, indifferent, or opposed? Explain.

Answers

a) Purely from the perspective of Nu-Kit's profits, it would be in the company's interest to support the new Renewable Portfolio Standard (RPS).

The expansion of the RPS would increase the capacity of zero-carbon renewable energy from 2000 MW to 5000 MW. As Nu-Kit operates a green nuclear power plant with no marginal cost, it would not be directly affected by the RPS expansion. However, the increased deployment of renewable energy would reduce the demand for electricity generated from high-carbon coal plants, which have a marginal cost of $20/MWh.

With a larger share of the market occupied by zero-carbon renewable energy, the demand for electricity from coal plants would decrease, potentially leading to a decrease in their market share and profitability. As a result, Nu-Kit's nuclear plant would face less competition from high-carbon coal plants, giving it a comparative advantage in terms of cost and environmental impact. Therefore, supporting the RPS would be beneficial for Nu-Kit's profits.

b) From a profit perspective, Nu-Kit should also be supportive of the proposal for a $20/ton carbon tax. A carbon tax is designed to internalize the external cost of carbon emissions, making high-carbon coal plants more expensive to operate. This would increase their marginal cost from $20/MWh to $40/MWh, considering the emission of 1 ton of CO2 per MWh.

Since Nu-Kit's nuclear plant is "green" and does not emit any CO2, it would not be subject to the carbon tax and its marginal cost would remain zero. The increased cost for coal plants would make Nu-Kit's nuclear power more competitive in the market. Additionally, the carbon tax would incentivize investment in new renewable energy sources, potentially expanding the market for zero-carbon electricity, which would benefit Nu-Kit.

From a profit perspective, Nu-Kit should support both the expansion of the Renewable Portfolio Standard (RPS) and the proposal for a carbon tax. These policies would reduce the competitiveness of high-carbon coal plants and incentivize the growth of zero-carbon renewable energy, creating a favorable market environment for Nu-Kit's zero-carbon nuclear power generation.

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What are the credit ratings of the Goldman Sachs Group Inc. and its subsidiaries? Why is management concerned with the level of these credit ratings? This information can be found in the 10-K of Goldman Sachs, Inc. (In 300 words minimum)

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Goldman Sachs Group Inc. is an American multinational investment bank that offers various investment banking, securities, and asset management services. Its credit rating represents the assessment of the company's creditworthiness and the likelihood of its defaulting on debt obligations.

The credit rating of Goldman Sachs Group Inc. and its subsidiaries is influenced by many factors, including financial performance, management quality, regulatory environment, and market conditions. Goldman Sachs Group Inc. has a strong credit rating due to its strong financial performance, diversified business model, and high-quality management team. It is currently rated A2 by Moody's and A by S&P Global. These credit ratings are investment-grade and indicate that the company has a low credit risk. Management is concerned with the level of these credit ratings because they affect the company's ability to borrow money from the capital markets.

Companies with a high credit rating can borrow money at lower interest rates and under better terms than companies with a lower credit rating. Therefore, maintaining a strong credit rating is essential for companies like Goldman Sachs Group Inc. to access capital at reasonable rates. The company's credit rating also affects its reputation and investor confidence. A downgrade in its credit rating could signal that the company is facing financial difficulties and may harm its reputation. Therefore, Goldman Sachs Group Inc. and its subsidiaries are focused on maintaining their strong credit rating by managing their financial performance, maintaining a diversified business model, and investing in high-quality assets. They are also focused on complying with regulatory requirements and maintaining good relationships with their investors and stakeholders.

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Some people have argued that performance appraisal
should not be done. Take the position that performance appraisal is
useful and should be done.

Answers

Performance appraisal is a critical process in an organization that evaluates an employee's work performance to determine their achievements, failures, strengths, and weaknesses.

While some people have argued against the performance appraisal system, claiming that it leads to demotivation, low productivity, and unfair treatment, it is essential to understand that performance appraisal is useful and should be done. First, performance appraisal enables the management to provide feedback to the employees on their performance.

Through feedback, employees can identify their areas of weakness and take necessary steps to improve. The feedback should be constructive and realistic to help the employee understand their progress, set achievable goals, and strive to become better. Second, performance appraisal helps the organization set future objectives and goals.

The management can also use the performance appraisal results to formulate training and development programs for employees to enhance their skills and knowledge. Third, performance appraisal facilitates communication between the management and employees. By discussing the performance appraisal results, the management can establish a rapport with employees and motivate them to work towards the organization's goals.

Finally, performance appraisal helps in identifying the potential for career advancement and promotions. Through performance appraisal, the management can identify the employees who have shown exceptional performance and reward them with promotions and career advancement opportunities. This motivates employees to work harder and improves their morale.

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Risk monitoring and control measures the planned responses to risks and creates reactions to unplanned risks. The outputs/results of risk monitoring and control aim to help the project reach its objectives.
Explain any four (4) outputs/results of the process.

Answers

The output/results of risk monitoring and control that aim to help the project reach its objectives are:

1. Risk register updates: The risk register documents every identified risk and how the project team is managing them. Throughout the project, it should be updated as risks change or new ones are discovered.

2. Requested changes: If a risk occurs, it may impact the project and could require a change in scope, budget, or schedule. Risk management processes that have been put in place may identify potential changes.

3. Work performance information: This information provides status updates on the project’s technical, cost, and schedule performance and can help identify risks.

4. Risk audits: Risk audits are used to assess the effectiveness of risk management procedures and the risk management plan. They also ensure that risks are being addressed properly, and risk responses are being executed.

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