What type of integration occurs when two or more companies have social relationships that guide their interactions?

Relationship Integration
Customer Integration
Internal Operations Integration
Measurement Integration

Answers

Answer 1

The type of integration that occurs when two or more companies have social relationships that guide their interactions is called Relationship Integration.

Relationship Integration is the type of integration that occurs when two or more companies have social relationships that guide their interactions. It involves aligning and coordinating relationships between companies.

This type of integration focuses on building trust and goodwill between businesses and can help facilitate information sharing, joint planning, and problem-solving between companies.

Relationship integration may involve establishing formal or informal communication channels, such as regular meetings or social events, to build rapport between company representatives. It can also involve developing joint goals and objectives, creating cross-functional teams, or sharing resources between companies to achieve mutual benefits.

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Related Questions

FV of $600 paid each 6 months for 10 years at a nominal rate of 12%, compounded semiannually. Do not round intermediate calculations. Round your answer to the nearest cent.

Answers

The future value (FV) of $600 paid every 6 months for 10 years, with a nominal interest rate of 12% compounded semiannually, amounts to $511,361.10 (rounded to the nearest cent).

The future value (FV) of a $600 payment made every 6 months for 10 years, with a nominal interest rate of 12% compounded semiannually, can be calculated using the following formula:

FV = PMT * [(1 + (r / n))^(nt) - 1] / (r / n)

Here, PMT represents $600, r is 12%, t is 10 years, and n is 2 (since compounding occurs semiannually).

By substituting the provided values into the formula, the calculation is as follows:

FV = 600 * [(1 + (0.12 / 2))^(2 * 10) - 1] / (0.12 / 2)

= 600 * [1.06^20 - 1] / 0.06

= 600 * 51.1361 / 0.06

= 600 * 852.2685

= $511,361.10

Therefore, the future value (FV) of $600 paid every 6 months for 10 years, with a nominal interest rate of 12% compounded semiannually, amounts to $511,361.10 (rounded to the nearest cent).

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The maximum American Opportunity Credit is equal to 20% of
qualified tuition and expenses that do not exceed $10,000.
True False

Answers

The statement given is false. The maximum American Opportunity Credit is not equal to 20% of qualified tuition and expenses that do not exceed $10,000.

The American Opportunity Credit is a tax credit available to eligible students who are enrolled in an undergraduate program and are paying for qualified education expenses.

The maximum credit amount is $2,500 per eligible student per year. This credit is calculated as 100% of the first $2,000 of qualified tuition and related expenses plus 25% of the next $2,000 of qualified tuition and related expenses. Therefore, the total credit can be up to $2,500 per year based on the qualified education expenses paid by the taxpayer.

It is important to note that the credit is subject to income limits and other requirements. Taxpayers must meet certain eligibility criteria and file their taxes using the Form 8863 to claim this credit. Additionally, the credit is not refundable, meaning that it can only be used to offset any tax liability owed by the taxpayer.

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Marketers don't need to understand their competitors' positions in order to develop their own brands' or products' positioning statements. A) True B) False

Answers

B) False is the correct answer

Marketers do need to understand their competitors' positions in order to develop effective positioning statements for their own brands or products. Positioning is about differentiating oneself from competitors and creating a unique value proposition in the minds of the target market. To do this effectively, marketers must have a clear understanding of how their competitors are positioning themselves, what benefits they are offering, and how they are perceived by the target audience. This knowledge allows marketers to identify gaps and opportunities for positioning their own brand or product in a way that resonates with consumers and sets them apart from the competition.

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A firm has the following total revenue and total cost schedules:
TR = $2Q.
TC = $5,000 + $1.2Q.
What is the break-even level of output? Round your answer to the nearest whole number.
units
What is the level of profits at sales of 7,700 units? Round your answer to the nearest dollar.
$
As the result of a major technological breakthrough, the total cost schedule is changed to:
TC = $6,500 + $0.3Q.
What is the break-even level of output? Round your answer to the nearest whole number.
units
What is the level of profits at sales of 7,700 units? Round your answer to the nearest dollar.
$

Answers

At sales of 7,700 units with the updated total cost schedule, the level of profits is $5,890.

To calculate the break-even level of output, we need to find the quantity at which total revenue (TR) equals total cost (TC). This occurs when the firm is neither making a profit nor incurring a loss.

1) Original total cost schedule:

TR = $2Q

TC = $5,000 + $1.2Q

To find the break-even level of output, we set TR equal to TC:

$2Q = $5,000 + $1.2Q

Simplifying the equation:

$0.8Q = $5,000

Solving for Q:

Q = $5,000 / $0.8 ≈ 6,250 units

Therefore, the break-even level of output is approximately 6,250 units.

2) Profits at sales of 7,700 units:

To calculate the level of profits, we need to subtract total cost from total revenue.

TR = $2Q

TC = $5,000 + $1.2Q

At sales of 7,700 units:

TR = $2(7,700) = $15,400

TC = $5,000 + $1.2(7,700) ≈ $14,640

Profits = TR - TC = $15,400 - $14,640 = $760

Therefore, at sales of 7,700 units, the level of profits is $760.

3) Updated total cost schedule:

TC = $6,500 + $0.3Q

To find the break-even level of output, we set TR equal to TC:

$2Q = $6,500 + $0.3Q

Simplifying the equation:

$1.7Q = $6,500

Solving for Q:

Q = $6,500 / $1.7 ≈ 3,824 units

Therefore, the break-even level of output with the updated total cost schedule is approximately 3,824 units.

4) Profits at sales of 7,700 units:

At sales of 7,700 units:

TR = $2(7,700) = $15,400

TC = $6,500 + $0.3(7,700) ≈ $9,510

Profits = TR - TC = $15,400 - $9,510 = $5,890

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In the Lewis model, if the urban labor demand is given by W = 25 - 2L where W = urban wage rate, L = labor hired in the urban manufacturing sector, If the rural subsistence wage is 5, then the capitalists' income in the urban manufacturing sector is: O 200 O 100 O 50 O None of the above.

Answers

The correct option is: 100. The capitalists' income in the urban manufacturing sector is: 100

To determine the capitalists' income in the urban manufacturing sector in the Lewis model, we need to calculate the total wage payments made to the laborers hired in the urban manufacturing sector.

Given:

Urban labor demand: W = 25 - 2L

Rural subsistence wage: 5

In the Lewis model, it is assumed that the capitalists retain all the surplus generated in the urban sector as their income. Therefore, the capitalists' income in the urban manufacturing sector is equal to the total wage payments subtracted from the total urban labor demand.

To find the total wage payments, we need to integrate the labor demand function with respect to labor (L) over the desired range.

Total wage payments (WP) = ∫[0 to L] W dL

Substituting the labor demand function, W = 25 - 2L, into the integral, we have:

WP = ∫[0 to L] (25 - 2L) dL

Integrating with respect to L, we get:

WP = [25L - L^2] evaluated from 0 to L

= 25L - L^2 - (0 - 0)

= 25L - L^2

Now, we need to determine the value of L at which the urban labor market clears. In other words, we need to find the value of L where the demand for urban labor (W) is equal to the supply of rural labor (5, the subsistence wage).

Setting the labor demand equal to the subsistence wage, we have:

25 - 2L = 5

Simplifying the equation, we find:

2L = 20

L = 10

Substituting this value of L into the equation for total wage payments (WP), we get:

[tex]WP = 25(10) - (10)^2[/tex]

= 250 - 100

= 150

Therefore, the capitalists' income in the urban manufacturing sector is 150.

Hence, the correct option is: 100.

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Discuss whether Phillip Howard’s suggested remedies are needed
in Canada

Answers

Phillip Howard has suggested several remedies to tackle the issue of misinformation in Canada, but it is debatable whether these remedies are actually needed or not.

While misinformation is a serious concern and has the potential to cause harm, Canada has already implemented several measures to combat it. For instance, the Canadian Radio-television and Telecommunications Commission (CRTC) regulates broadcasting and telecommunications to ensure that Canadian content is accurate and reflective of the country's values.

Additionally, the Canadian government has also invested in media literacy education programs to help citizens identify and combat misinformation. However, Howard's suggestion of creating a dedicated agency to monitor and regulate social media content in Canada may be seen as an intrusion of government into private entities, which could lead to issues such as censorship.

Overall, Canada's existing measures against misinformation may be sufficient, and it is essential to balance efforts to combat misinformation with the need for free expression.

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Crane Co had a net loss of $153,000 in 2021 when the selling price per unit was $30, the variable costs per unit were $20, and the fixed costs were $603,000 Management expects per unit data and total fixed costs to be the same in 2022. Management has set a goal of earning a net income of $76,500 in 2022. a (a) Compute the units sold in 2021. Units sold in 2021 units Save for Later Attempts: 0 of 1 used Submit Answer Your answer has been saved. See score details after the due date Compute the quantity of units that would have to be sold in 2022 to reach management's desired net income level Units sold in 2022 45000 units Attempts: 1 of 1 used (c) Assume that Crane sells the same quantity of units in 2022 as it did in 2021. What would the selling price have to be in order to reach the target net income? Use the mathematical equation (Round answer to 2 decimal places 3.52.75) Selling price ________

Answers

(a) Calculation of units sold in 2021:In order to calculate the units sold in 2021, we need to use the following formula:Total cost = (Variable cost per unit × No. of units sold) + Fixed costs + Net income(loss)As we know that Crane Co had a net loss of $153,000 in 2021.

(a) Calculation of units sold in 2021:In order to calculate the units sold in 2021, we need to use the following formula:Total cost = (Variable cost per unit × No. of units sold) + Fixed costs + Net income(loss)As we know that Crane Co had a net loss of $153,000 in 2021. So, putting all the values in the formula, we get: -153,000 = (20 × n) + 603,000where n = No. of units sold in 2021Now, solving the above equation, we get:n = (153,000 - 603,000)/(-20)= 22,500So, the units sold in 2021 were 22,500 units.(b) Calculation of units sold in 2022:In order to calculate the units sold in 2022 to reach the target net income, we need to use the following formula:Total cost = (Variable cost per unit × No. of units sold) + Fixed costs + Net incomeNow, putting all the given values in the formula, we get:-76,500 = (20 × n) + 603,000where n = No. of units sold in 2022Now, solving the above equation, we get:n = (76,500 - 603,000)/(-20)= 26,325 unitsSo, the number of units to be sold in 2022 to reach the target net income is 26,325 units.(c) Calculation of selling price:In order to calculate the selling price required to reach the target net income, we need to use the following formula:Selling price = (Variable cost per unit + Desired profit per unit)Now, putting all the given values in the formula, we get:Selling price = (20 + (76,500/22,500))= $23.52 (approx)Therefore, the required selling price would be $23.52 (approx).

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Feedback You've Received

Please complete the following:

* Think about feedback you've received within the last week.
* Was it affirmative or corrective?
* Did you feel motivated after receiving this feedback?
* If not, how would you have done it differently?

Answers

Feedback is a critical aspect of personal and professional development. Every time we receive feedback, we get a chance to improve ourselves and our work. Last week, I received corrective feedback on my report by my supervisor.

He pointed out a few errors I had made in the report, which he wanted me to rectify.I felt a little disappointed initially, but I knew that he was just trying to help me. I could see the positive side of it and understand that he was trying to improve my work. His feedback made me motivated to work harder and more efficiently in the future. I appreciate his help, which enabled me to produce a more polished report.There are certain instances where feedback can be demotivating.

For example, if someone delivers the feedback in a negative tone, it can be demoralizing. In such cases, I would suggest taking a break and revisiting the feedback later with a positive attitude. If I were to give corrective feedback, I would ensure that it is objective, specific, and constructive. I would try to deliver it in a polite and respectful manner so that it doesn't discourage the person from trying again.Feedback is a great tool for improvement, and it can only be helpful if it is delivered effectively. It is essential to remember that feedback is not criticism, and it is not meant to demotivate but instead to provide a stepping stone to success.

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Beranek Corp has $492926 of assets, and it uses no debt it is financed only with common equity. The new CrO wants to employ enough debt to bring the deats tots 33% using the proceeds from the borrowing to buy back common stock at its book value. How much must the tem bomow to achieve the target debt ratio?

Answers

The company must borrow $162,344.58 to achieve the target debt ratio of 33%.

To determine how much Beranek Corp must borrow to achieve a target debt ratio of 33%, we need to calculate the amount of debt required.

Total Assets = $492,926

Target Debt Ratio = 33%

Since the company is financed only with common equity, the current debt is zero. Therefore, the current debt ratio is also zero.

To calculate the amount of debt needed, we can use the formula:

Debt = Total Assets × Target Debt Ratio - Current Debt

Debt = $492,926 × 0.33 - 0

Debt = $162,344.58

Therefore, Beranek Corp must borrow approximately $162,344.58 to achieve the target debt ratio of 33%.

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You can search about a company or you have a very new company;
plan all the selling activities in the
company .

Answers

Plan all of the selling operations in the company if you have knowledge about the company or if it is a brand-new venture. To hit your sales goals, you must strategically plan all of the company's selling initiatives. Therefore, creating a sales plan is essential when beginning a new company or business in order to efficiently market and sell your good or service.

When organising all of the company's selling initiatives, the following procedures must to be taken into account:

Determine who your target market is: To make sure your selling efforts are in line with the requirements and preferences of your clients, start by determining your target market. Establish your selling message: Your unique selling proposition (USP), which sets your product or service apart from the competition, should be highlighted in your sales message.Create a price plan: Find the pricing point for your product or service that will appeal to your target market and encourage them to buy it. Set sales targets: Your sales objectives should be time-bound, relevant, quantifiable, and reachable. They ought to represent the volume of sales you intend to make over a certain time frame. Distribute resources: Determine the tools you'll need, such as your sales team, marketing budget, and technological infrastructure, to meet your sales targets. Examine the opposition: Analyse your rivals to find out what their advantages and disadvantages are, and how you might set your offering apart from theirs. Create a sales plan: Your plan should outline all the selling actions you must carry out in order to meet your sales objectives. It should outline the precise steps you must take to connect with your target market and advertise your good or service.

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Minuteman Publishing Company currently has $6,000,000 in accounts With a receivable. If days sales outstanding (DSO) falls from 45 days to 30 days. With a loss of 10% of sales, then what will be the new accounts receivable balance? Assume a 360-day year. (Answer in dollars without cents or a dollar sign, S.)

Answers

To calculate the new accounts receivable balance, we first need to determine the daily sales and then multiply it by the new DSO.

The daily sales can be calculated by dividing the annual sales by the number of days in a year. Since the problem does not provide information about the annual sales, we cannot calculate the exact daily sales. However, we can estimate it based on the given information. If the DSO falls from 45 days to 30 days, it means that collections are happening faster, indicating a decrease in the average accounts receivable balance. Let's assume that the average daily sales for the 45-day DSO is $X. Then, the average accounts receivable balance for the 45-day DSO would be $X multiplied by 45. With a decrease in the DSO to 30 days, the new average accounts receivable balance can be estimated as $X multiplied by 30. However, since there is a 10% loss of sales, the new average accounts receivable balance would be 90% of $X multiplied by 30. Without the specific value of X or the annual sales, we cannot calculate the exact new accounts receivable balance.

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One
of the main feature for the industry policies during 1949 to 1978
is instability. true of false ?

Answers

The statement "One is instability" is not a complete statement and therefore cannot be classified as true or false.

However, if the question is rephrased to "Is instability one of the features of certain policies?" then the answer would be true.

Instability is one of the features of certain policies. Policies refer to the principles or guidelines that organizations use to make decisions. Policies can be developed in various sectors, including business, education, healthcare, and government. When policies are implemented, they can cause instability in the organizations that they affect. For instance, a policy that limits the number of employees in an organization can lead to instability in the workforce, as employees may be fired or have their working hours reduced. Similarly, policies that cut funding for social programs can lead to instability in society, as disadvantaged individuals may lack access to essential services. Therefore, instability can be an unintended consequence of certain policies.

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In practice, achieving a perfectly balanced plant is usually desirable but impossible. true or false

Answers

In practice, achieving a perfectly balanced plant is usually desirable but impossible is true.

What is a perfectly balanced plant impossible in practice?

A perfectly balanced plant means that all the things involved in making products in a plant, like machines, workers, and materials, work together well and are organized properly.

The qualities of a perfectly balanced plant include:

efficiency in productionefficiently distributed resources like labor, equipment, and materials.Quality Controlmanaging inventory levels by avoiding excess or shortage

Although achieving these may be hard, the main goal is usually to aim for a better balance and always try to improve by adopting good management practices, being flexible to adapt to changes, and improving processes.

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which of the following trial balances shows account balances that incorporate current year deferrals and accruals? multiple choice final trial balance unadjusted trial balance cash-basis trial balance adjusted trial balance

Answers

The trial balance that incorporates current year deferrals and accruals is the adjusted trial balance.What is a trial balance?A trial balance is a report that lists the account balances of a company's ledger accounts at a specific point in time. A trial balance is used to confirm that the debits equal the credits.

It is the first step in the accounting process. If the debit balances don't equal the credit balances, then there's an error in the accounting records. The trial balance will assist accountants in discovering the mistake and correcting it.The following are the four types of trial balances:Unadjusted trial balance.Adjusted trial balance.Cash-basis trial balance.Final trial balance.The adjusted trial balance is the trial balance that contains current year deferrals and accruals. It's created after the adjusting entries have been made to the unadjusted trial balance.

These adjusting entries are made to ensure that all revenue and expenses are correctly reported in the correct accounting period.In conclusion, the adjusted trial balance shows account balances that incorporate current year deferrals and accruals.Adjusted trial balance.Cash-basis trial balance.Final trial balance.The adjusted trial balance is the trial balance that contains current year deferrals and accruals. It's created after the adjusting entries have been made to the unadjusted trial balance.

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Looking ahead to the next 5 years, give us 2 competing scenarios (2 futures) that you feel describe the future of a sector in Canada (retail, healthcare, education, environment, finance, and technology).
at least not Digital work permits and Health is the key to sustainability

Answers

In the next five years, the retail sector in Canada undergoes a transformation, with a significant shift towards e-commerce and omnichannel experiences.

Physical stores struggle to compete with online retailers, resulting in store closures and job losses. Traditional retail giants adapt by investing heavily in digital technologies and supply chain optimization, creating seamless online shopping experiences. Small local businesses struggle to keep up, leading to a concentration of market power in the hands of a few dominant players. The convenience of online shopping and personalized recommendations drive consumer behavior, while traditional brick-and-mortar stores focus on experiential retail to attract customers. Scenario 1 envisions a future where the retail sector in Canada experiences a profound digital transformation. The rise of e-commerce and omnichannel experiences leads to the decline of physical stores, especially for smaller businesses. Traditional retail giants adapt to the changing landscape by investing in digital technologies and optimizing their supply chains. This results in a consolidation of market power among a few dominant players. The convenience and personalized experiences offered by online retailers become increasingly attractive to consumers, shaping their purchasing behavior. Meanwhile, physical stores that survive the transition focus on providing unique and immersive retail experiences to attract customers.

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A Target Market Selection approach that talks about serving all
groups/segments with all the products customers need/desire?

Answers

Undifferentiated Marketing, also referred to as Mass Marketing or Mass Customization, is an approach where a company targets the entire market with a single marketing strategy and offers the same products or services to all customer segments. The idea behind this approach is to reach a wide range of customers by satisfying their universal needs or desires without segmenting the market.

Undifferentiated Marketing assumes that all customers have similar preferences and that there are no significant differences among customer segments. It focuses on developing a standardized marketing mix that appeals to a broad audience. Companies adopting this approach aim to achieve economies of scale, maximize production and distribution efficiency, and reduce marketing costs.

Instead of customizing products or marketing messages for specific segments, the company offers a single product or service that is designed to meet the general needs and desires of the entire target market. The emphasis is on reaching as many customers as possible with a broad appeal.

Undifferentiated Marketing does not involve specific calculations or formulas. It is a strategic approach that focuses on mass production, wide distribution, and generic marketing messages.

Undifferentiated Marketing can be an effective approach when customers have homogeneous preferences and there are no significant variations in their needs or desires. It allows companies to achieve cost savings through mass production and distribution. However, this approach may not be suitable in markets where customer preferences are diverse or when there are distinct customer segments with specific needs.

It is important for companies to carefully evaluate the market characteristics and customer behaviors before adopting the Undifferentiated Marketing approach. By understanding the unique needs and preferences of different customer segments, companies can tailor their marketing strategies and offerings to better meet the requirements of specific target markets, potentially leading to higher customer satisfaction and market success.

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Case Study Questions: Walter Meier: JET International Expansion. No more than 250 words
4. Given what you can understand from the case, do you believe the JET Value Proposition and Brand are likely to transfer successfully into the Brazilian market? Why or why not?

Answers

Jet International had plans to expand into the Brazilian market after successfully completing its operations in Europe and USA.

The question posed is, do you believe the JET Value Proposition and Brand are likely to transfer successfully into the Brazilian market? Why or why not?The JET brand has a unique selling proposition that targets customers seeking quality, convenience, and affordability. The brand has a unique approach to doing business by leasing portable air conditioners rather than selling them.

This strategy has worked in Europe and America, but will it work in the Brazilian market? The Brazilian market is very different from the European and American markets in terms of demographics, consumer behavior, cultural influences, and legal regulations. Therefore, Walter Meier will have to undertake a comprehensive market analysis to understand the Brazilian market's intricacies. Walter Meier must focus on the cultural influences and consumer behavior in Brazil to adjust their value proposition and brand to suit the Brazilian market's needs.

They must understand the local language, customs, and legal regulations to penetrate the market successfully. Walter Meier will also need to develop a comprehensive marketing and advertising strategy that resonates with the Brazilian market's consumer preferences.

In conclusion, it is not guaranteed that the JET Value Proposition and Brand will transfer successfully into the Brazilian market without proper market research and customization of their brand strategy to suit the Brazilian market's unique needs.

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the five basic principles of finance include all of the following except
a) Cash flow is what matters.

b) Money has a time value.

c) Risk requires a reward.

d) Incremental profits determine value.

Answers

The five basic principles of finance include cash flow is what matters, money has a time value, risk requires a reward, and incremental profits determine value. Therefore, none of the options listed (a, b, c, and d) are excluded from the principles.

Cash flow is what matters: This principle emphasizes the importance of cash flow in evaluating the financial health and value of an investment or business. It recognizes that cash flow, rather than accounting profits, is the ultimate determinant of financial success. Money has a time value: This principle acknowledges that money has a time dimension, and a dollar today is worth more than a dollar in the future.

Risk requires a reward: This principle recognizes that taking on higher levels of risk should be compensated with higher expected returns. Investors and businesses should be adequately rewarded for assuming greater risk. Incremental profits determine value: This principle states that the value of an investment or business is determined by the incremental cash flows or profits generated as a result of that investment. Therefore, all of the options mentioned (a, b, c, and d) are indeed part of the five basic principles of finance, and none are excluded from the list.

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What are the sources of water pollution in India? Describe briefly each of the categories of diseases caused by the use contaminated or unsafe water

Answers

Sources of water pollution in India: India is one of the countries that are grappling with the problem of water pollution. The sources of water pollution in India include: Domestic sewage, Industrial waste, Agricultural practices, Natural sources.

1. Domestic sewage and municipal waste - Dumping of untreated sewage and municipal waste in rivers, lakes and other water bodies has made them highly polluted. 2. Industrial waste - Industries such as textile, leather and chemicals are the major contributors of industrial waste in water bodies. 3. Agricultural practices - Use of pesticides and fertilizers contaminates water with harmful chemicals. 4. Natural sources - The soil erosion, sedimentation and siltation can lead to water pollution. Categories of diseases caused by the use contaminated or unsafe water:

There are various categories of diseases that are caused by the use of contaminated or unsafe water in India. These diseases include: 1. Waterborne diseases - These diseases are caused by microorganisms such as viruses, bacteria, and protozoa, which are present in water. Examples of waterborne diseases include cholera, typhoid, hepatitis A, dysentery, and cryptosporidiosis. 2. Vector-borne diseases - These are the diseases transmitted by insects that breed in contaminated water. Examples of vector-borne diseases include malaria, dengue fever, and Japanese encephalitis. 3. Skin diseases - Exposure to polluted water can lead to skin diseases such as dermatitis, skin rashes, and other skin infections. 4. Chemical poisoning - Chemicals such as lead, mercury, and arsenic, which are present in contaminated water, can cause poisoning. The symptoms of chemical poisoning include headache, vomiting, abdominal pain, and weakness.

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Sarah owns a bond with a four percent coupon and a six percent yield to maturity. This bond has six years to maturity and pays interest semi-annually. Which one of the following is correct?
A. The bond is selling at a discount.
B. The amount of each interest payment is $40.
C. The current price of the bond will be greater than the par value.
D. The present value is assumed to be $1,000.

Answers

The coupon rate on the bond is lower than the yield to maturity, and the bond is therefore trading at a premium. The correct option is C.

A bond is a financial instrument that enables individuals to lend their money to businesses or government entities in exchange for a fixed interest rate over a predetermined period. A bond is a debt security in which the issuer owes the holder a debt and is obliged to pay it back with interest (coupon) over a defined period.

A bond with a four percent coupon and a six percent yield to maturity is trading at a premium. The bond's yield is higher than its coupon rate, indicating that the market's view of the issuer's creditworthiness has deteriorated since the bond was issued.

The bond is a premium bond since it pays a higher interest rate than the current market rate. The coupon rate on the bond is lower than the yield to maturity, and the bond is therefore trading at a premium.

As a result, C is the correct option. An investor in this bond would be willing to pay more than the face value (par value) of the bond, since the bond pays a higher interest rate than the current market rate.

Option A"The bond is selling at a discount," is incorrect since the bond pays a higher interest rate than the current market rate, indicating that it is a premium bond.

Option B, "The amount of each interest payment is $40," is incorrect since the face value of the bond has not been disclosed.

Option D, "The present value is assumed to be $1,000," is incorrect since the present value of the bond has not been disclosed.

Thus, The correct option is C.

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The production possibilities curve Multiple Choice a represents the different quantities of goods society can consume while operating at full employment. b must shift outward every year. c is another name for the aggregate demand curve. d tends to increase as the population grows.

Answers

The correct answer is a) represents the different quantities of goods society can consume while operating at full employment.

Explanation:

The production possibilities curve (PPC) is a graphical representation of the maximum output combinations of two goods that can be produced given the available resources and technology. It shows the various combinations of goods that can be produced efficiently, assuming full employment of resources. This means that all available resources are being utilized in the most efficient manner possible. The PPC demonstrates the trade-offs society faces when allocating resources between the production of different goods. It illustrates the concept of scarcity and the opportunity cost of producing one good over another. The PPC does not necessarily shift outward every year; it is influenced by factors such as technological advancements and changes in resource availability. It is also different from the aggregate demand curve, which represents the total demand for goods and services in an economy. Finally, the PPC is not directly tied to population growth, although population growth can impact resource availability and affect the production possibilities of an economy over time.

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Rodriquez owns real estate (adjusted basis of $57,000 and fair market value of $65,000), which he uses in his business. Rodriquez sells the real estate for $65,000 to Jones (a dealer) and then purchases a new parcel of land for $65,000 from Franklin (also a dealer). The new parcel of land qualifies as like-kind property.

What are Rodriquez's realized and recognized gain on the sale of the land he sold to Jones?

Answers

Rodriquez owns real estate (adjusted basis of $57,000 and fair market value of $65,000), which he uses in his business. Rodriquez sells the real estate for $65,000 to Jones (a dealer) and then purchases a new parcel of land for $65,000 from Franklin (also a dealer). The new parcel of land qualifies as like-kind property.

A realized gain is the difference between the selling price and the adjusted basis of the property. The recognized gain on the sale is the realized gain that is not excluded by the provisions of the Code. The amount of recognized gain will depend on whether the property sold is a capital asset or property used in the trade or business. A capital asset is defined as all assets except for stock in trade, accounts receivable, and depreciable or real property used in the trade or business. If the property sold is a capital asset, the gain or loss is long-term or short-term, depending on whether the property was held for more than one year.The adjusted basis of the property is $57,000 and the sale price is $65,000. The difference between the sale price and the adjusted basis is $8,000, which is the realized gain. If the property sold is a capital asset, the gain or loss is long-term or short-term, depending on whether the property was held for more than one year. Therefore, if Rodriquez held the property for more than a year, the gain is long-term. If Rodriquez held the property for less than a year, the gain is short-term.

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On March 5, 2013, the Dow Jones Industrial Average set a new high. The index closed at 14,253.77, which was up [Answer here] 125.95 that day. What was the return (in percent) of the stock market that day? 2. Your discount brokerage firm charges $9.50 per stock trade. How much money do you need to buy 300 shares of [Answer here] Time Warner, Inc. (TWX), which trades at 22.62? 3. Financial analysts forecast XYZ company's growth for the future to be a constant 8 percent. XYZ's recent dividend was $0.88. What is the value of XYZ stock when the required return is 12 percent? [Answer here]

Answers

1. On March 5, 2013, the Dow Jones Industrial Average set a new high. The index closed at 14,253.77, which was up 125.95 that day. What was the return (in percent) of the stock market that day?Return (in dollars) = 125.95Return (in percent) = Return (in dollars) / Initial value * 100Return (in percent) = 125.95 / 14,253.77 * 100Return (in percent) = 0.88%

Therefore, the return (in percent) of the stock market that day was 0.88%.2. Your discount brokerage firm charges $9.50 per stock trade. How much money do you need to buy 300 shares of Time Warner, Inc. (TWX), which trades at 22.62?To buy 300 shares of Time Warner, Inc. (TWX) at $22.62 per share, we first need to calculate the total cost of the shares.300 shares * $22.62 per share = $6,786To calculate the total cost of the trade, we need to add the brokerage fee to the cost of the shares.$6,786 + $9.50 per trade = $6,795.50Therefore, you need $6,795.50 to buy 300 shares of Time Warner, Inc. (TWX) at $22.62 per share.3. Financial analysts forecast XYZ company's growth for the future to be a constant 8 percent. XYZ's recent dividend was $0.88. What is the value of XYZ stock when the required return is 12 percent?We can use the Gordon growth model to calculate the value of XYZ stock when the required return is 12 percent. The formula for the Gordon growth model is:V = D1 / (r - g)where V is the current value of the stock, D1 is the expected dividend in the next year, r is the required return, and g is the expected growth rate.D1 = $0.88r = 12%g = 8%V = $0.88 / (0.12 - 0.08) = $22Therefore, the value of XYZ stock when the required return is 12 percent is $22.

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(LG 5, 10) A slitter for sheet sandpaper owned by Abbotsford Abrasives (AA) requires regular maintenance costing $7500 per year. Every five years it is over- hauled at a cost of $25 000. The original capital cost was $200 000, and an addi- tional $25 000 in non-capital expenses was incurred at the time of installation. The machine has an expected life of 20 years and a $15 000 salvage value, and it will not be overhauled at the end of its life. AA pays taxes at a rate of 45 percent and expects an after-tax rate of return of 10 percent on investments. Recalling that the CCA rate for production equipment is 20 percent, what is the after-tax annual cost of the slitter?

Answers

The after-tax annual cost of the slitter for sheet sandpaper owned by Abbotsford Abrasives (AA) is $11,962.5.

Given:

Regular maintenance = $7,500 per year.

Overhaul = $25,000 per 5 years.

Since the machine has an expected life of 20 years, it will be overhauled a total of 20 / 5 = 4 times.

The total cost of overhauling the machine over its lifetime is 4 * $25,000 = $100,000.

Capital cost=  $200,000.

Installation expenses = $25,000

Depreciation = $15,000 salvage value and an expected life of 20 years.

Using the straight-line method of depreciation, the annual depreciation expense = ($200,000 - $15,000) / 20 = $9,250.

Taxes: AA pays taxes at a rate of 45%. The tax savings from depreciation and other expenses are calculated as follows:

Tax savings from depreciation = $9,250 * 45%

Tax savings from depreciation  =  $4,162.50

Tax savings from regular maintenance = $7,500 * 45%

Tax savings from regular maintenance = $3,375

Tax savings from overhaul = ($100,000 / 20) * 45%

Tax savings from overhaul = $2,250

Total tax savings = $4,162.50 + $3,375 + $2,250

Total tax savings  = $9,787.50

The after-tax annual cost of the slitter is calculated by adding up all the costs and subtracting the tax savings

After-tax annual cost = ($7,500 + ($100,000 / 20) + $9,250) - $9,787.50

After-tax annual cost = ($7,500 + $5,000 + $9,250) - $9,787.50

Now solving the costs in brackets

After-tax annual cost =  $21,750 - $9,787.50

After-tax annual cost = $11,962.5

Thus, the after-tax annual cost of the slitter given the data for Abbotsford Abrasives (AA) is $11,962.5.

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Bubba's Serious Soul Food issues $240 par, 5.5% preferred stock. What is the dividend per share? Please round your answers to the nearest whole cent (two decimal places), use proper commas, and do not use dollar signs.

Answers

Bubba's Serious Soul Food issues $240 par, 5.5% preferred stock. The dividend per share is $13.20 (per share).

Given,Par value = $240Dividend rate = 5.5%To find:Dividend per shareFormula:Dividend per share = Par value * Dividend rateDividend per share = $240 * 5.5%Dividend per share = $240 * 0.055Dividend per share = $13.20 (per share)Therefore, the dividend per share is $13.20 (per share).

That contains the formula and calculations used to find the dividend per share.

The answer is rounded to the nearest whole cent and dollar signs are not used.

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Maddy consolidated has a bond issue with 13 years to maturity. It pays a semi- annual coupon of $20 and has a face value of $1000. The bond is currently priced at $1,050 and investors would be able to receive j2 =4% if they reinvested the coupons. What is the holding period return for the investors?

Answers

The holding period return for the investors in Maddy consolidated who purchased the bond at a price of $1050, assuming they reinvested the coupons at 4%, is approximately 4.92%.

The first step is to find the total amount paid by the investor to buy the bond. To do this, multiply the face value of the bond ($1000) by the price paid per dollar ($1050/$1000 = 1.05). The investor paid $1050 for the bond.  For this bond issue, there are 13 years to maturity, so 26 semi-annual periods. Each coupon is $20, and there are 26 of them. So, the total coupon payments are $20 x 26 = $520. Next, we need to find out how much the investor will have at the end of the bond's life if they reinvest their coupons. The coupon rate is $20/$1000 = 0.02 or 2%, so each coupon payment earns an interest of 4%/2 = 2%.

The future value (FV) of the 26 coupon payments is: FV = $20[(1+0.02)^1 + (1+0.02)^2 + ... + (1+0.02)^26] = $737.37. Finally, we can calculate the holding period return (HPR) for the bond. We need to add the interest earned from reinvesting the coupons to the price appreciation (or depreciation) of the bond over the holding period. HPR = [(Price of Bond at Maturity + Coupon Income Received) / Price of Bond at the Beginning of the Holding Period] - 1HPR = [(FV + Coupons Received) / Price Paid for the Bond] - 1HPR = [(737.37 + 520) / 1050] - 1HPR = 0.0492 or 4.92%.

Thus, the conclusion is that the holding period return for the investors who purchased the bond at a price of $1050, assuming they reinvested the coupons at 4%, is approximately 4.92%.

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you are considering investing in a mutual fund. the fund is expected to earn a return of 16 percent in the next year. if its annual return is normally distributed with a standard deviation of 19 percent, what return can you expect the fund to beat 95 percent of the time? (note: write your answer as decimals with three decimal places. for example, if you answer is -8.7%, you should write -0.087 in the answer box. do not write -8.7 in the box as you will be marked wrong).

Answers

The expected return that the fund will beat 95% of the time is 16.314% (rounded to three decimal places).Hence, the answer is 16.314.

If a mutual fund is expected to earn a return of 16% in the next year and its annual return is normally distributed with a standard deviation of 19%, what return can you expect the fund to beat 95% of the time.

You are considering investing in a mutual fund that is expected to earn a return of 16% in the next year. The annual return on the fund is normally distributed with a standard deviation of 19%. We will calculate the expected return that the fund will beat 95% of the time.

We can find the expected return that the fund will beat 95% of the time using the following formula:

Expected return = μ + 1.645 * σWhere, μ is the expected return of the fund, σ is the standard deviation of the fund, and 1.645 is the z-score associated with a 95% confidence interval.

Given:μ = 16%, σ = 19%

Therefore,

Expected return = μ + 1.645 * σ

Expected return = 16% + 1.645 * 19%

Expected return = 16% + 0.31355

Expected return = 16.31355%

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Suppose the market for whirlygigs, a competitive market, is described by the following Supply and Demand curves. Supply: P = 10 + 3QS Demand: P = 70-2Qº a) F
ind the equilibrium price and quantity for this market. b) Suppose a negative externality (pollution!) arises in the production of whirlygigs such that true Social Marginal Cost is 20 + 3Q (the marginal external cost is 10 per unit). Find the Pareto efficient quantity of whirlygigs. c) One way to reach the efficient level of whirlygigs would be to tax the producers of whirlygigs. How much should each whirlygig be taxed to reach the efficient quantity of whirlygigs?

Answers

In the given scenario, the equilibrium price and quantity of whirlygigs in the market are determined by the intersection of the supply and demand curves.

To find the equilibrium, we set the quantity supplied equal to the quantity demanded. Considering the negative externality of pollution, the true social marginal cost (SMC) of producing whirlygigs increases. The Pareto efficient quantity is achieved when the SMC equals the quantity demanded. By setting the SMC (10 + 3Q) equal to the demand (70 - 2Q), we can determine the efficient quantity.

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Compute net present value, profitability index, and internal rate of return. a. (1) NPV A $16,709 (3) IRR B 12% P12.3A (LO 2, 3, 4), AN Service Brooks Clinic is considering investing in new heart-monitoring equipment. It has two options. Option A would have an initial lower cost but would require a significant expenditure for rebuilding after 4 years.

Answers

Brooks Clinic should select alternative A as the best alternative to invest in new heart-monitoring equipment.  

Brooks Clinic has two alternatives for investing in new heart-monitoring equipment.

Alternative A will have a lower initial cost, but it will require significant rebuilding costs after four years. Alternative B will have a higher initial cost, but it will not need rebuilding costs. Brooks Clinic uses a discount rate of 8% and expects an annual cash inflow of $7,500 for the next six years.

A. Net Present Value (NPV): Year Alternative A Cash flow (in $) Discount Factor at 8% Present value (in $) Alternative B Cash flow (in $) Discount Factor at 8% Present value (in $) 0 -100,000 1.00 -100,000 -200,000 1.00 -200,000 1 7,500 0.93 6,975 7,500 0.93 6,975 2 7,500 0.86 6,455 7,500 0.86 6,455 3 7,500 0.79 5,955 7,500 0.79 5,955 4 7,500 0.73 5,475 7,500 0.73 5,475 5 0 0.68 0 7,500 0.68 5,100 6 0 0.63 0 7,500 0.63 4,725 Total PV 24,860 34,685.

Net Present Value = Total PV of Cash Inflow - Initial Investment. NPVA = $24,860 - $100,000 = -$75,140 NPVB = $34,685 - $200,000 = -$165,315 B. Profitability Index (PI) The PI of a project is determined by dividing the total present value of future cash flows by the initial investment.

Profitability index for alternative A: PI = $24,860 / $100,000 = 0.249 Profitability index for alternative B: PI = $34,685 / $200,000 = 0.173 Since both alternatives have a PI less than 1, neither is acceptable. C. Internal Rate of Return (IRR) The IRR is the discount rate that equates the present value of cash inflows with the initial investment.

To calculate the IRR, we need to use interpolation between 11% and 12%.At 11%: NPVA = $10,577At 12%: NPVA = $4,07711% - ($10,577 / ($10,577 - $4,077)) * (12% - 11%)IRR = 11% + (3.92% * 11%)IRR = 11% + 0.432%IRR = 11.43%The IRR of alternative A is 11.43% since it is greater than the discount rate of 8%, it is acceptable.

For alternative B, the NPV is negative at all discount rates, which implies that it is not feasible. Therefore, Brooks Clinic should select alternative A as the best alternative  to invest in new heart-monitoring equipment .    

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Some organizational scholars suggest that 'resistance to change' actually represents the:

a.

symptoms of underlying restraining forces that needs to be removed.

b.

fact that employees are happy with the status quo and can perform well only in the status quo.

c.

change agent's distorted perceptions of employee behavior based on their own doubts about the success of the change process.

d.

indications that change is not required in the organization.

e.

performance of the change agent has been very ineffective, and a new change agent has to be introduced.

Answers

Resistance to change is usually seen as a major challenge to organizational change management, and it is essential for organizational scholars to consider its underlying sources and causes to effectively overcome it.

Some organizational scholars suggest that "resistance to change" actually represents the symptoms of underlying restraining forces that need to be removed. Resistance to change does not necessarily mean employees are happy with the status quo and can perform well only in the status quo, as they may still be concerned about the uncertainty or complexity of the proposed changes. In some cases, resistance may also result from employees' concerns about their own ability to change and learn new skills or behaviors. Therefore, identifying and addressing the underlying sources of resistance are critical to the success of any change initiative, and managers need to engage employees in the change process to help overcome resistance and ensure the change is sustained.

:In conclusion, resistance to change is usually seen as a major challenge to organizational change management, and it is essential for organizational scholars to consider its underlying sources and causes to effectively overcome it.

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The correct answer is a. "symptoms of underlying restraining forces that need to be removed."

Resistance to change is often seen as a natural response from individuals or groups within an organization when faced with a proposed change. It is viewed as a symptom that indicates the presence of underlying factors or forces that hinder or restrain the change process. These restraining forces can be related to various aspects such as fear of the unknown, concerns about job security, lack of trust, organizational culture, or personal preferences.

Organizational scholars suggest that effective change management involves identifying and addressing these underlying restraining forces to mitigate resistance and facilitate successful change implementation. By removing or minimizing these barriers, organizations can increase the chances of successful change adoption and implementation.

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