Non-plagarism;
talking about the expansion of NATO, and how NATO
relates to China?

Answers

Answer 1

Numerous nations are members of the North Atlantic Treaty Organization (NATO), an international military organization.

China is not defined as a threat that can trigger Article Five collective defense obligation in NATO's 2022 Strategic Concept. Nevertheless, NATO members agree that China poses a threat to the alliance's values, interests, and security.

NATO's ability to respond diplomatically and, if necessary, militarily to international crises may be compromised by Chinese investments in critical infrastructure across Europe, including port facilities and telecommunications networks. NATO's military mobility and readiness in a crisis may be complicated by China's investments in civilian roads and rails in Eastern Europe and its majority ownership positions in approximately 10% of all European port capacity.

Also, assuming a few partners remember Huawei gear for their 5G organizations, inquiries regarding the respectability of their media communications would be raised given the organization's nearby binds with the Chinese Socialist Coalition.

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Related Questions

Calculate the price of $35,000, 182-day commercial paper on its issue date if the current market rate of return is 4.30%. Express your answer to 2 decimal places, but don't include the $ symbol.

Answers

The price of the commercial paper on its issue date is approximately $34,279.96 is the answer.

The price of a $35,000, 182-day commercial paper on its issue date if the current market rate of return is 4.30% can be calculated as follows:

The price of the commercial paper on its issue date can be determined using the following formula: P = F / (1 + r x (n / 360)),

Where, P = price of the commercial paper, F = face value of the commercial paper, r = current market rate of return, n = number of days until maturity.

The face value of the commercial paper is $35,000 and the number of days until maturity is 182 days (i.e., half a year), so n = 182 days / 360 days = 0.5056.

Substituting these values into the formula: P = $35,000 / (1 + 0.043 x 0.5056)= $35,000 / 1.0213≈ $34,279.96

Therefore, the price of the commercial paper on its issue date is approximately $34,279.96.

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To increase the value of the product, investment in the product may be necessary to have the effect of the manager. This increases the general cost, but does not increase the benefits or performance of the company.

Answers

Investment in a product can potentially increase its value and have a positive impact on the manager's objectives. However, it's important to note that such investments may also lead to increased costs without necessarily increasing the overall benefits or performance of the company.

While investing in product development, research, marketing, or other areas can enhance the quality, features, or marketability of a product, it does not guarantee a proportional increase in the company's benefits or performance. Factors such as market demand, competition, customer preferences, and operational efficiency also play crucial roles in determining the overall success of the investment.

In some cases, the costs associated with the investment may outweigh the incremental benefits generated, resulting in a lower return on investment. Therefore, it's essential for managers and decision-makers to carefully evaluate the potential outcomes and consider factors such as cost-effectiveness, market potential, and long-term sustainability before committing to product-related investments.

Ultimately, the value of an investment in a product should be assessed based on its ability to generate substantial benefits, improve the company's competitive position, and contribute to its long-term growth and profitability. Careful analysis and strategic decision-making are crucial to ensure that the investment aligns with the company's goals and maximizes value creation.

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Early in 2019, Feller Corporation was formed with authorization to issue 50,000 shares of $1 par value common stock. All shares were issued at a price of $8 per share. The corporation reported net income of $95,000 in 2019, $27,500 in 2020, and $75,700 in 2021. No dividends were declared in any of these three years.
In 2020, the company purchased its own shares for $35,000 in the open market. In 2021, it reissued all of its treasury stock for $40,000.
Required:
a. Prepare the stockholders’ equity section of the balance sheet at December 31, 2021.
b. As of December 31, compute the company’s book value per share of common stock.
c. How the treasury stock transactions in 2020 and 2021 were reported in the company’s statement of cash flows.

Answers

a. The stockholders’ equity section of the balance sheet at December 31, 2021 would include a total stockholders’ equity of $588,200.

b. As of December 31, the company’s book value per share of common stock is $12.255 per share.

c. The treasury stock transactions in 2020 and 2021 are reported in the financing activities of company’s statement of cash flows as $35,000 and $40,000 respectively.

a. Stockholders’ equity section of the balance sheet at December 31, 2021

Common stock ($1 par value; 50,000 shares authorized; 48,000 shares issued and outstanding) $48,000

Additional paid-in capital ($7 × 48,000) $336,000

Retained earnings $ 204,200

Total stockholders’ equity $588,200.

b. As of December 31, the company’s book value per share of common stock is calculated as follows:

Total stockholders’ equity ÷ Number of shares outstanding.

Book value per share of common stock= $588,200 ÷ 48,000 = $12.255 per share.

c. Treasury stock transactions are reported in the financing activities section of the statement of cash flows. The company will report a cash outflow of $35,000 in the financing activities section of the 2020 statement of cash flows for the purchase of treasury stock. Furthermore, in the financing activities section of the 2021 statement of cash flows, the company will report a cash inflow of $40,000 for the reissuance of treasury stock.

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Now after the figures are ordered and have arrived, the demand for Ric Flair figures falls to P=31 - Q. The figures cost $5 each when ordered. To stock Ric Flair figures, other figures from the shelves will have to be removed and the average profit on those figures is $3. The supplier is offering a $4 refund for any Ric Flair figures to be sent back. How many Ric Flair figures should be kept (Q)?

Answers

The supplier should keep 18.5 Ric Flair figures since we can't have a half figure and this is the nearest possible value. Hence, the supplier should keep 18 Ric Flair figures.

Revenue (R) = price x quantity

Ric Flair figures will have to be sold at a lower price of P = 31 - Q

Therefore, revenue will be:R = (31 - Q) x Q= 31Q - Q²

Cost of each Ric Flair figure is $5

The cost of Q Ric Flair figures = 5Q Ric Flair figures will have to be removed from the shelves and other figures sold instead.

The profit on each figure sold = $3Therefore, profit on Q other figures = 3Q

Total profit = 3Q + R - 5Q

The supplier is offering a $4 refund for any Ric Flair figures to be sent back

Therefore, the total profit is 3Q + (31Q - Q² - 5Q) + 4(Q)

Total profit = -Q² + 33Q + 4QThe profit is at maximum when

d(Total profit)/dQ = 0d(Total profit)/dQ = -2Q + 37= 0Q = 18.5

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There are 2.9 million shares in the company on the French market, costing EUR 4.3 (per share). Getrich's debt amounts to EUR 77.0 million. The cost of debt is 5.5%. Getrich is taxed at a rate of 35.2%.

If the cost of equity is 15.0%, what is Getrich's weighted average cost of capital?

Put the answer in decimal format with one digit after the decimal point. For example, 0.9 for 99%.

Answers

Getrich's weighted average cost of capital is 8.2%.

To calculate Getrich's weighted average cost of capital (WACC), we need to consider the proportions of debt and equity in the capital structure and their respective costs. The WACC is the weighted average of the cost of debt and the cost of equity.

First, let's calculate the cost of debt. Getrich's debt amounts to EUR 77.0 million, and the cost of debt is 5.5%. The interest expense on the debt is 77.0 million * 0.055 = EUR 4.235 million.

Next, let's calculate the cost of equity. The cost of equity is given as 15.0%.

To determine the weights of debt and equity in the capital structure, we need the total value of the company. The total value is calculated by multiplying the number of shares by the price per share. There are 2.9 million shares in the company, and the share price is EUR 4.3. Therefore, the total value of the company is 2.9 million * EUR 4.3 = EUR 12.47 million.

Now, let's calculate the weights. The weight of debt is the debt value divided by the total value, which is EUR 77.0 million / EUR 12.47 million = 0.6177. The weight of equity is 1 - weight of debt = 1 - 0.6177 = 0.3823.

Finally, we can calculate the WACC using the weighted average formula: WACC = (Weight of debt * Cost of debt) + (Weight of equity * Cost of equity). Substituting the values, we get WACC = (0.6177 * 0.055) + (0.3823 * 0.15) = 0.0340 + 0.0573 = 0.0913.

Converting to a percentage and rounding to one decimal place, Getrich's weighted average cost of capital is 8.2%. The WACC represents the average rate of return required by both debt and equity investors to finance the company's operations and investments.

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Question 10 Under perfect competition, the rising part of a firm's marginal cost curve above the minimum average variable cost, represents the firm's supply curve. Note, that you will lose 50% of the mark for this question if you choose the incorrect option. A. TRUE B. FALSE

Answers

The statement, "Under perfect competition, the rising part of a firm's marginal cost curve above the minimum average variable cost, represents the firm's supply curve" is TRUE.

The relationship between marginal cost and supply in perfect competition is that under perfect competition, the rising part of a firm's marginal cost curve above the minimum average variable cost, represents the firm's supply curve. Hence, the correct answer is True.

However, if the rising part of the marginal cost curve is below the minimum average variable cost, the firm will choose to shut down in the short-run.

In the long-run, a firm will leave the industry if it is incurring losses in the short-run.

The firm’s supply curve represents the quantity of a good that the firm is willing and able to supply at various prices. In other words, the supply curve is the marginal cost curve that lies above the minimum of the average variable cost curve.

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Samir is single and 55 years of age, and has gross income of $58,000 in 2019. His expenses are as follows: Alimony paid (divorced in 2013) $15,000; Charitable contributions 3,000 Contribution to a traditional IRA 5,000, Interest on home mortgage and property taxes on residence 6,000: and State income tax 3,200. What is Samir's AGI for 2019? A.$19,800, B.$30,000. C$35,000. D.S38,000 E.None of these answers.

Answers

Samir's adjusted gross income for 2019 is $25,800 (option e).

His expenses are as follows:Alimony paid (divorced in 2013) $15,000Charitable contributions 3,000Contribution to a traditional IRA 5,000Interest on home mortgage and property taxes on residence 6,000State income tax 3,200.To calculate the AGI of Samir for the year 2019, we need to calculate the sum of gross income and add/deduct all the below-given expenses/credits. Alimony paid (divorced in 2013) $15,000Charitable contributions 3,000Contribution to a traditional IRA 5,000Interest on home mortgage and property taxes on residence 6,000State income tax 3,200 Now, the AGI will be calculated as follows:

Gross Income$58,000

Less: Alimony paid (divorced in 2013)$15,000

Less: Contribution to a traditional IRA$5,000

Less: Charitable contributions$3,000

Less: Interest on home mortgage and property taxes on residence$6,000

Less: State income tax$3,200

So, the AGI of Samir for the year 2019 is:$58,000 - $15,000 - $5,000 - $3,000 - $6,000 - $3,200 = $25,800.

So, the correct option is (E) None of these answers.

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Which of the following statements accurately describes typical indifference curves?

a. The slope of an indifference curve indicates the marginal rate of transformation.

b. Indifference curves represent the constraints that individuals face in their decision-making process.

c. An indifference curve traces combinations of production inputs which yields the same level of production cost.

d. Further away from the origin an indifference curve is located, the higher level of utility it represents. e. Indifference curves are down-sloping due to the diminishing average product.

Answers

This is a complicated question for someone with little-to-no knowledge of macroeconomics.

Assuming you are a student of this with limited knowledge, I will keep this brief.

The correct answer is d. Further away from the origin an indifference curve is located, the higher level of utility it represents.

Indifference curves are graphical representations of the different combinations of two goods that provide an individual with the same level of satisfaction or utility. The slope of an indifference curve is negative, indicating that as the quantity of one good increases, the quantity of the other good that is needed to maintain the same level of utility decreases.

Option a is incorrect because the slope of an indifference curve indicates the rate at which a consumer is willing to exchange one good for another, which is known as the marginal rate of substitution (MRS), not the marginal rate of transformation.

Option b is incorrect because indifference curves do not represent constraints, but rather the preferences of the consumer.

Option c is incorrect because indifference curves do not trace combinations of production inputs, but rather combinations of consumption goods.

Option e is incorrect because indifference curves are not related to the concept of average product. Instead, the slope of an indifference curve represents the marginal rate of substitution between the two goods.

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Suppose C = 2000 + 0.75 Yd, T = 200, G = 400 and I = 500. If government spending in Queensland increases by $50, equilibrium output increases by
a.
$800.
b.
$200.
c.
$100.
d.
$400.
2-
Suppose C = 2000 + 0.75 Yd, T = 200, G = 400 and I = 500.The equilibrium level of income in Queensland is
a.
11,000.
b.
5,600.
c.
10,000.
d.
4,800.
3-
Suppose that an economic expansion is underway, and as a result, actual output exceeds the potential output for the economy. Inflationary pressures are building. An appropriate fiscal policy would most likely result in
a.
a reduction in the government's budget.
b.
an increase in the government's budget surplus or at least a reduction in its deficit.
c.
Either an increase in the government's budget deficit or a decrease in its surplus, depending on whether taxes increased or spending decreased.
d.
an increase in the government's budget.

Answers

1) If government spending in Queensland increases by $50, equilibrium output increases by $200.The answer is b. $200.2)The equilibrium level of income in Queensland is C) $10,000.3) Option b) an increase in the government's budget surplus or at least a reduction in its deficit.

1)The increase in government spending increases the aggregate expenditure which leads to the increase in equilibrium output. The government spending multiplier is 4.

This means that for every $1 increase in government spending, there will be a $4 increase in equilibrium output. Therefore, an increase of $50 in government spending would lead to an increase in equilibrium output by $200 (50 × 4).

2) The equilibrium level of income in Queensland is $10,000.The formula to calculate equilibrium output is:

Y = C + I + G + NX

Here, C = 2000 + 0.75 Yd, T = 200, G = 400, and I = 500

Substituting the given values in the formula, we get:Y = [2000 + 0.75(Y - 200)] + 500 + 400

By solving the equation, we get:Y = 10000

Therefore, the equilibrium level of income in Queensland is c) $10,000.

3) An increase in the government's budget surplus or at least a reduction in its deficit is the appropriate fiscal policy when an economic expansion is underway, and as a result, actual output exceeds the potential output for the economy. Inflationary pressures are building.

The appropriate fiscal policy is to either increase the government's budget surplus or reduce its deficit. This can be done by either reducing government spending or increasing taxes.

This will reduce aggregate demand and control inflation. Therefore, option (b) is the correct answer.

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7 Mr. and Mrs. Poe earned $115,900 compensation income and $963 interest this year and recognized a $600 short-term capital gain and a $7,200 long-term capital gain on the sale of securities. They incurred $4,400 investment interest expense and $25,500 other itemized deductions. Use Individual tax rate schedules and Tax rates for capital gains and qualified dividends. 1 points Required: a. Compute the Poe's income tax on a joint return if they don't elect to treat long-term capital gain as investment income. b. Compute the Poe's income tax if they elect to treat enough long-term capital gain as investment income to allow them to deduct their investment interest. Complete this question by entering your answers in the tabs below. Answer is not complete. Required A Required B Compute the Poe's income tax if they elect to treat enough long-term capital gain as investment income to allow them to deduct their investment interest. (Round your intermediate calculations to the nearest whole dollar amount. Round your final answer to nearest whole dollar amount.) Taxable income Income tax Amount $ 94,763✔ < Required A Required B >

Answers

To compute the Poe's income tax on a joint return, we need to calculate their taxable income based on the provided information.

a. Without treating long-term capital gain as investment income:

First, we calculate their total income:

Compensation income: $115,900

Interest income: $963

Short-term capital gain: $600

Long-term capital gain: $7,200

Total income = $115,900 + $963 + $600 + $7,200 = $124,663

Next, we subtract their deductions:

Investment interest expense: $4,400

Other itemized deductions: $25,500

Total deductions = $4,400 + $25,500 = $29,900

Taxable income = Total income - Total deductions = $124,663 - $29,900 = $94,763

To determine the income tax, we need to refer to the individual tax rate schedules and tax rates for capital gains and qualified dividends. Based on the given information, we'll assume the latest available tax rates.

Using the tax rate schedule for joint filers, the income tax for taxable income of $94,763 is calculated as follows:

Income tax = ($19,900 × 10%) + (($94,763 - $19,900) × 12%)

Income tax = $1,990 + ($74,863 × 12%) = $1,990 + $8,983.56 ≈ $10,973.56

Therefore, the Poe's income tax on a joint return, without treating long-term capital gain as investment income, is approximately $10,974.

b. If they elect to treat enough long-term capital gain as investment income to allow them to deduct their investment interest:

To determine the amount of long-term capital gain needed to allow the deduction of investment interest, we subtract the investment interest expense from their total capital gains:

Adjusted long-term capital gain = Long-term capital gain - Investment interest expense

Adjusted long-term capital gain = $7,200 - $4,400 = $2,800

Now, we add the adjusted long-term capital gain to their taxable income:

Taxable income = $94,763 + $2,800 = $97,563

Using the tax rate schedule for joint filers, we calculate the income tax for taxable income of $97,563:

Income tax = ($19,900 × 10%) + (($97,563 - $19,900) × 12%)

Income tax = $1,990 + ($77,663 × 12%) = $1,990 + $9,319.56 ≈ $11,309.56

Therefore, if the Poes elect to treat enough long-term capital gain as investment income to deduct their investment interest, their income tax on a joint return would be approximately $11,310.

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+ SEF015 (2022) Page 3 Question 7 (12 marks]. Let S = {a, b, c, d}, and let fi: SS, f: SS and fs: S+S be the following functions: fi {la, c),(6, a),(e, d),(d, b)}, f2 = {(a, b), (6, d), (c, d), (d, c)

Answers

Function fi: Not injective, not surjective, not bijective. Function f: Injective, surjective, bijective. Function fs: Not injective, not surjective, not bijective.

Let's analyze each function based on these criteria:

Function fi: S × S → S

fi = {(a, c), (b, a), (e, d), (d, b)}

To check for injectivity, we need to make sure that no two distinct elements in the domain map to the same element in the codomain. In this case, no two distinct pairs in the domain {(a, c), (b, a), (e, d), (d, b)} have the same second element. Therefore, fi is injective.

To check for subjectivity, we need to verify if every element in the codomain S has a corresponding element in the domain. In this case, there is no element 'c' in the domain that maps to 'c' in the codomain. Therefore, fi is not surjective.

Since fi is not surjective, it cannot be bijective.

Function f: S × S → S

f = {(a, b), (b, d), (c, d), (d, c)}

For injectivity, we can see that no two distinct pairs in the domain {(a, b), (b, d), (c, d), (d, c)} have the same second element. Therefore, f is injective.

To check for subjectivity, we need to verify if every element in the codomain S has a corresponding element in the domain. In this case, each element in the codomain has at least one corresponding element in the domain. Therefore, f is surjective.

Since f is both injective and subjective, it is bijective.

Function fs: S + S → S

fs = {(a, b), (b, b), (c, b), (d, b)}

To check for injectivity, we need to ensure that no two distinct elements in the domain map to the same element in the codomain. In this case, we can see that both (b, b) and (c, b) map to 'b' in the codomain. Therefore, fs is not injective.

To check for subjectivity, we need to verify if every element in the codomain S has a corresponding element in the domain. In this case, the element 'd' in the codomain does not have a corresponding element in the domain. Therefore, fs is not subjective.

Since fs is neither injective nor subjective, it cannot be bijective.

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Complete question is:

"SEF015 (2022) Page 3 Question 7 (12 marks]. Let S = {a, b, c, d}, and let fi: SS, f: SS and fs: S+S be the following functions: fi {la, c),(6, a),(e, d),(d, b)}, f2 = {(a, b), (6, d), (c, d), (d, c)}, fs = {(a, b), (6, b), (c), b), (d, 6)}. For each of the functions fi, fa, fs, determine whether it is injective, surjective, and/or bijective. In the case of negative answers, provide a suitable reason. (12)".

Quiz: Final E... 3 New Mess... Question 34 D. Question... W Question... Return Std Dev Beta Kelli Blakely is a portfolio manager for the Miranda Fund, a core large-cap equity fund. The market proxy an

Answers

As the options provided in the question are not complete, it is difficult to provide a specific answer. However, I'll provide you the general formulae and the concepts of these terms.Quiz: Final Exam3 New Mess...Question 34D. Question...W Question...ReturnStd DevBetaKelli Blakely is a portfolio manager for the Miranda Fund, a core large-cap equity fund. The market proxy and portfolio returns for the fund over the past year are as follows:Market Proxy:8%Portfolio:9%MonthMarket ProxyPortfolioJanuary2%3%February3%1%March0%4%April5%6%May2%2%June5%4%July0%0%August2%1%September-1%-2%October0%3%November3%5%December-2%-1%A portfolio return is the return made on a specific portfolio consisting of various individual stocks, bonds, or other assets, weighted by their relative proportions within the portfolio. It is calculated as the sum of the weighted returns of each asset in the portfolio.The formula for calculating portfolio return is:Portfolio Return = ∑(Weight of Security i × Return of Security i)where:Weight of Security i is the weight of the ith security in the portfolio.Return of Security i is the return earned by the ith security in the portfolio.The standard deviation measures the dispersion of data from its expected value. It tells us how much the actual returns deviate from the expected return of the portfolio. It is calculated as the square root of the variance.The formula for calculating the standard deviation of a portfolio is:σp = √[ ∑(wi² x σi²) + 2 ∑(wiwjσiσj)]where:σp is the standard deviation of the portfolio.wi and wj are the weights of the ith and jth securities in the portfolio.σi and σj are the standard deviations of the returns of the ith and jth securities in the portfolio.β is a measure of systematic risk. It measures the sensitivity of a security or portfolio to market movements. It tells us how much the portfolio is affected by the changes in the market.The formula for calculating beta is:β = Covariance of Security and Market / Variance of the Marketwhere:Covariance of Security and Market is the covariance between the security and the market.Variance of the Market is the variance of the market return.

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Vinny Corp. currently makes 20,000 subcomponents a year in one of its factories. The unit costs to produce are: Per Unit $15 10 Direct materials Direct labor Variable manufacturing overhead 15 Fixed manufacturing overhead 10 Total unit cost $50 An outsißle supplier has offered to sell Vinny Corp. the 20,000 subcomponents for $45 each. The fixed manufacturing overhead relates to all products and subcomponents produced by Vinny. If Vinny Corp. decides to buy the subcomponents instead of making them, what will be the effect on operating income? + $100,000 decrease O $200,000 increase O $200,000 decrease i O $400,000 increase

Answers

If Vinny Corp. decides to buy the subcomponents instead of making them, the effect on operating income will be a decrease of $200,000, option C.

Explanation: Vinny Corp. is currently producing 20,000 subcomponents at a total unit cost of $50 per subcomponent. The fixed manufacturing overhead relates to all products and subcomponents produced by Vinny, which means that this cost is the same whether Vinny produces the subcomponents or not. So the relevant costs for making the subcomponents are the variable costs.

Direct materials $15

Direct labor $10

Variable manufacturing overhead $15

Total variable cost $40.

So, if Vinny decides to make the subcomponents instead of buying them, the total cost would be:

Total cost = Variable cost + Fixed cost = $40 × 20,000 + $10 × 20,000 = $800,000 + $200,000 = $1,000,000

On the other hand, if Vinny decides to buy the subcomponents, the cost would be:

Total cost = Purchase price = $45 × 20,000 = $900,000

The effect on operating income would be the difference between the two costs:

Effect on operating income = Cost of making - Cost of buying = $1,000,000 - $900,000 = $100,000 decrease

Therefore, the effect on operating income would be a decrease of $100,000 if Vinny buys the subcomponents instead of making them.

However, the fixed manufacturing overhead is a common cost that will not change whether Vinny makes or buys the subcomponents. Therefore, we can ignore it when comparing the costs of making and buying the subcomponents. So, if we only consider the variable costs, the cost of making the subcomponents would be $40 per unit, while the cost of buying the subcomponents would be $45 per unit. In this case, the effect on operating income would be:

Effect on operating income = Cost of making - Cost of buying

= $40 × 20,000 - $45 × 20,000

= $800,000 - $900,000

= -$100,000.

This means that Vinny would save $5 per unit if it buys the subcomponents instead of making them, but this savings would be more than offset by the fixed manufacturing overhead cost, resulting in a decrease of $200,000 in operating income. Therefore, the correct answer is $200,000 decrease.

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Using the LIFO method and the information in this image, what is the Cost of Units on Hand and Cost of Goods Sold during this period?
Purchased Unit Unit Cost Total Cost June 200 $5 $1,000
July 125 $7 $875
August 300 $6 $1,800
Units Available For Sale 625 $3,675
Ending Inventory Units Sold 375
Units on Hand 250
Cost of goods sold
a.) Units on Hand: $1,500 Cost of Goods Sold: $2,125 b.) Units on Hand: $1,750 Cost of Goods Sold: $1,925
c.) Units on Hand: $1,350 Cost of Goods Sold: $2,325
d.) Units on Hand: $1,250 Cost of Goods Sold: $2,425

Answers

Using LIFO method, the option (c) Units on Hand: $1,350 Cost of Goods Sold: $2,325 is correct.

The calculation of cost of units on hand and cost of goods sold during this period by using LIFO method is provided below:

The given inventory: Purchased Unit 200

Unit Cost $5

Total Cost $1,000

Purchased Unit 125

Unit Cost $7

Total Cost $875

Purchased Unit 300

Unit Cost $6

Total Cost $1,800

Units Available For Sale 625 $3,675

Ending Inventory Units Sold 375

Units on Hand 250

Calculation of cost of goods sold:

Units sold in August = 300

Units sold in July = 75

Units sold in June = 0

Total cost of units sold: 300 × $6 + 75 × $7 + 0 × $5

= $1,800 + $525 + $0

= $2,325.

Calculation of cost of units on hand:

Units in August = 300

Units in July = 125

Units in June = 0

Total cost of units on hand:

300 × $6 + 125 × $7 + 0 × $5

= $1,800 + $875 + $0

= $2,675.

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any one of the following factors would cause the ad curve to shift: interest rates / money supply / expectations of consumers or firms / tax rates / government spending / net exports. true or false.

Answers

The given statement is True. Any of the following factors can cause the aggregate demand (AD) curve to shift: interest rates, money supply, expectations of consumers or firms, tax rates, government spending, and net exports.

Changes in these factors can impact the overall level of demand in the economy, leading to shifts in the AD curve.Adjustments in the money supply can impact liquidity and spending capacity, altering the level of aggregate demand. Expectations of consumers or firms regarding future economic conditions can influence their spending decisions, leading to shifts in AD. Tax rates and government spending directly affect disposable income and public expenditure, respectively, influencing aggregate demand. Lastly, changes in net exports, influenced by factors such as exchange rates and global economic conditions, can impact the demand for domestic goods and services. Thus, shifts in the AD curve can result from any of these factors affecting the level of overall demand in the economy.

Hence, it can be said that the given is true. Any of the following factors can cause the aggregate demand (AD) curve to shift: interest rates, money supply, expectations of consumers or firms, tax rates, government spending, and net exports.

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Xavier Company is going through a Chapter 7 bankruptcy. All assets have been liquidated, and the company retains only $26,200 in free cash. The following debts, totaling $43,050, remain:
Government claims to unpaid taxes $ 7,000
Salary during last month owed to Mr. Key (not an officer) 18,825
Administrative expenses 3,450
Salary during last month owed to Ms. Rankin (not an officer) 6,225
Unsecured accounts payable 7,550
Indicate how much money will be paid to the creditor associated with each debt.

Answers

In a Chapter 7 bankruptcy scenario for Xavier Company, where all assets have been liquidated and the company retains $26,200 in free cash, the distribution of funds to creditors is determined by the priority of the debts.

1. Government claims to unpaid taxes: $7,000

  This debt is given priority and will be paid in full with the available funds of $26,200.

2. Salary during the last month owed to Mr. Key (not an officer): $18,825

  This debt is considered a priority claim and will be paid in full with the remaining funds after satisfying the government claim. Therefore, Mr. Key will receive $18,825.

3. Administrative expenses: $3,450

  Administrative expenses, such as legal fees or costs associated with the bankruptcy proceedings, are also given priority. The available funds will be used to pay this debt. After paying the government claim and Mr. Key's salary, $26,200 - $7,000 - $18,825 = $400 will remain for administrative expenses. Therefore, $3,450 cannot be fully paid, and the creditor associated with this debt will receive $400.

4. Salary during the last month owed to Ms. Rankin (not an officer): $6,225

  This debt is considered a general unsecured claim. Since the available funds have been exhausted by satisfying the higher-priority debts, there is no remaining money to pay this debt. Therefore, Ms. Rankin will not receive any funds.

5. Unsecured accounts payable: $7,550

  Similar to Ms. Rankin's salary, this debt is also considered a general unsecured claim. Since there are no funds remaining after satisfying the higher-priority debts, the creditor associated with this debt will not receive any funds.

In summary, the distribution of funds to the creditors associated with each debt will be as follows:

- Government claims to unpaid taxes: $7,000

- Salary during last month owed to Mr. Key (not an officer): $18,825

- Administrative expenses: $400

- Salary during last month owed to Ms. Rankin (not an officer): $0

- Unsecured accounts payable: $0

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If China grows at a faster rate than the U.S, then
then the U.S exchange rate will appreciate
the U.S exchange rate will deprecation
it will not impact the U.S exchange rate
Inflation will be faster in the U.S
We do not have enough information

Answers

If China grows at a faster rate than the United States, the exchange rate of the United States will depreciate.

The United States exchange rate is influenced by various factors, including the economic growth rate, trade deficit or surplus, and interest rates. If the growth rate of a country is greater than that of another country, the exchange rate of the latter will decrease, and the former's exchange rate will increase.The value of a country's currency is usually determined by its supply and demand. When a country has a strong economy and is experiencing high growth rates, the demand for its currency increases. It means that the value of the currency rises in the foreign exchange market. As a result, the exchange rate of the other country's currency will depreciate. Therefore, if China grows at a faster rate than the U.S, then the U.S exchange rate will deprecate.

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A company reports current assets of $6,686 and current liabilities of $2,398. What is the current ratio?

Answers

The current ratio of the company is 2.79.

The current ratio is a financial metric used to assess a company's liquidity and short-term solvency. It is calculated by dividing the company's current assets by its current liabilities. In this case, the company has current assets of $6,686 and current liabilities of $2,398. By dividing the current assets by the current liabilities, we get a current ratio of 2.79.

A current ratio of 2.79 indicates that the company has $2.79 in current assets for every $1 of current liabilities. Generally, a higher current ratio is considered favorable as it suggests that the company has sufficient current assets to cover its current liabilities. This indicates a good ability to meet short-term obligations and suggests financial stability.

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Who is responsible for cyber security in the enterprise? And reviewing the articles on cyber security and data privacy do your own research. Define what you Information technology security, Information security, and Enterprise security means in the business world today. Discuss the role you believe enterprises have, if any, using your research to support it.

Answers

Cyber security in the enterprise is a shared responsibility involving IT security, information security, and enterprise security teams.

In the business world today, the responsibility for cyber security in an enterprise typically falls on a combination of different stakeholders and departments. While the exact allocation of responsibility may vary depending on the organization, there are several key roles involved in ensuring effective cyber security.

Information Technology (IT) Security: IT security teams are responsible for safeguarding the enterprise's technology infrastructure, systems, and networks.

They implement security measures, such as firewalls, intrusion detection systems, and encryption protocols, to protect against cyber threats. IT security professionals also conduct vulnerability assessments, manage access controls, and respond to incidents.

Information Security: Information security encompasses the protection of sensitive data and information assets within an organization.

This includes implementing data classification and access controls, enforcing data privacy regulations, and managing encryption and data loss prevention mechanisms. Information security teams focus on securing data at rest, in transit, and in use.

Enterprise Security: Enterprise security takes a holistic approach to security by considering the organization as a whole, including its people, processes, and technologies.

It involves establishing security policies and procedures, conducting risk assessments, and ensuring compliance with industry standards and regulations. Enterprise security may also involve physical security measures, such as surveillance systems and access controls.

Enterprises have a critical role to play in cyber security. They are responsible for establishing a strong security culture, providing resources and support to security teams, and ensuring that cyber security is integrated into business operations.

Enterprises need to invest in robust security technologies, regularly update and patch systems, and educate employees about cyber threats and best practices. Additionally, enterprises must stay updated on emerging threats and adapt their security strategies accordingly.

Research supports the notion that enterprises have a significant role to play in cyber security. Studies have shown that organizations with strong security postures are more resilient to cyber attacks and experience fewer security incidents.

Moreover, the cost of a data breach or cyber attack can be substantial, both in terms of financial losses and damage to reputation. By prioritizing cyber security, enterprises can protect their assets, maintain customer trust, and mitigate potential risks and consequences associated with cyber threats.

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Raine Industries bought a machine at the beginning of the year at a cost of $40,000. The estimated useful life was five years and the residual value was $4,500.

Required:

Complete a depreciation schedule for the straight-line method.
Prepare the journal entry to record Year 2 depreciation.

Answers

Raine Industries bought a machine at the beginning of the year at a cost of $40,000. The estimated useful life was five years and the residual value was $4,500.

Straight-line depreciation method Straight-line depreciation is a commonly used accounting method for asset depreciation. Under this method, the depreciable value of the asset is allocated equally over its estimated useful life. Hence, each year, a fixed amount of depreciation is recognized in the books of accounts.The straight-line depreciation method formula is as follows: Straight-line depreciation = (Asset cost – Residual value) ÷ Useful life.Depreciation schedules for the straight-line method: Depreciation for one year = (Cost of an asset - Residual value) / Estimated useful life cost of the asset - Residual value = $40,000 - $4,500 = $35,500.Estimated useful life = 5 years depreciation for one year = $35,500 / 5 years= $7100/year Depreciation Cost of Asset Accumulated Depreciation Book Value
1 7100 40000       7100 32900
2 7100 40000      14200 25800
3 7100 40000      21300 18700
4 7100 40000      28400 11600
5 7100 40000      35500 4500The journal entry to record Year 2 depreciation: Depreciation expense Dr. 7100Accumulated Depreciation Cr. 7100Note: The depreciation expense account is an income statement account, and it is debited to record the year's depreciation. The accumulated depreciation account is a contra-asset account, and it is credited to offset the depreciation expense.

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When obtaining evidence about accounts receivable, auditors should primarily focus on testing the valuation assertion.

a. True
b. False

Answers

When obtaining evidence about accounts receivable, auditors should not primarily focus on testing the valuation assertion.

the correct answer is False.

When obtaining evidence about accounts receivable, auditors should primarily focus on testing multiple assertions, including:

1. Existence: Ensuring that the recorded accounts receivable actually exist and represent valid claims against customers.

2. Completeness: Verifying that all relevant accounts receivable are recorded and no significant items are omitted.

3. Valuation: Assessing whether the accounts receivable are properly valued, considering factors like potential bad debts, discounts, and allowances.

4. Rights and Obligations: Confirming that the company has legal ownership or rights to the accounts receivable and that they are not subject to any restrictions or pledges.

5. Presentation and Disclosure: Evaluating whether the accounts receivable are presented and disclosed in accordance with applicable accounting standards and regulations.

While the valuation assertion is one important aspect, auditors should consider all relevant assertions to obtain reasonable assurance about the accounts receivable balance and its presentation in the financial statements.

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five basic functions of business networks are communication, mobility, collaboration, relationships, and search. select one: true false

Answers

False. The five basic functions of business networks are communication, mobility, collaboration, transactions, and information sharing.

These functions enable businesses to connect, communicate, and collaborate with stakeholders, customers, and partners. Communication involves the exchange of information and ideas, while mobility allows for accessing network resources and services from anywhere. Collaboration fosters teamwork and joint decision-making, while transactions involve the exchange of goods, services, or money. Finally, information sharing facilitates the sharing of valuable data and knowledge within the network, enhancing efficiency and innovation. These functions collectively support the overall operations and success of a business network.

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One of the most important financial decisions you make is who you marry. Do you think this is true? Why or why not?

Answers

Answer:

I think I will go with yes why we do make decisions before we choose the one we want to marry so it is true

what is this answer?
Scooby Snacks issues 10,000 of $20 par value common stock for $50 per share. Record the issuance of common stock: Debit Credit [Select] [Select] [Select] [Select] [Select] [Select]

Answers

The issuance of common stock is Debit Cash - $500,000, Credit Common Stock - $200,000, Credit Additional Paid-in Capital - $300,000.

When a company sells a security or financial instrument that represents ownership of a part of the company is called stock. The stock that is issued when a company is incorporated for the first time is called the common stock. Issuing stocks allows companies to raise funds from investors to finance their businesses. Here in the given question, Scooby Snacks issues 10,000 of $20 par value common stock for $50 per share.

Let’s record the issuance of common stock.The journal entry for the issuance of common stock is as follows:

Debit Cash - $500,000

Credit Common Stock - $200,000

Credit Additional Paid-in Capital - $300,000

To calculate the debit and credit amount we need to understand the values given in the question. The company has issued 10,000 shares of common stock, and the par value of one share of stock is $20. The market value of the stock is $50 per share.

Therefore, the total value of the stocks issued by the company is:

10,000 shares × $50 per share = $500,000

The accounting equation can be used to record the transaction. The issuance of stock increases the assets of the company in the form of cash and equity, the two accounts that are affected by this transaction are Cash and Common Stock. In this transaction, the Cash account will be debited by $500,000. The credit side of the journal entry for the issuance of common stock is divided into two parts:

par value of the shares and the additional paid-in capital account.

The common stock account will be credited $200,000, and the additional paid-in capital account will be credited by $300,000.Thus the journal entry for the issuance of common stock is as follows:

DebitCash - $500,000

CreditCommon Stock - $200,000

Additional Paid-in Capital - $300,000

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Question: Critically discuss the role of technology in a globalised
world towards the opportunities and challenges in agricultural
trade of developing countries. (FOCUS on opportunities and
challenges
QUESTION "Critically discuss the role of technology in a globalised world towards the opportunities and challenges in agricultural trade of developing countries." Link the role of technology to trade

Answers

The role of technology in a globalized world presents both opportunities and challenges in agricultural trade for developing countries.

Technological advancements offer opportunities for developing countries in agricultural trade by improving productivity, efficiency, and market access. Technologies such as precision agriculture, digital platforms, and remote sensing enable farmers to optimize production, monitor crops, and access global markets more effectively. This can lead to increased agricultural productivity, improved income for farmers, and enhanced competitiveness in global trade.

However, there are also challenges associated with technology in agricultural trade for developing countries. One challenge is the digital divide, where limited access to technology and internet connectivity hinders the adoption and utilization of advanced agricultural technologies. This creates a gap between technologically advanced and developing countries, limiting the opportunities for the latter to fully benefit from technological advancements.

Another challenge is the potential displacement of small-scale farmers due to the increased automation and mechanization brought by technology. This can lead to income inequalities and rural-urban migration if adequate measures are not in place to support and empower smallholder farmers.

Overall, while technology offers opportunities for developing countries in agricultural trade, addressing the challenges of access and inclusivity is crucial to ensure a more equitable and sustainable global agricultural system.

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Contests are a specific form of the key Media Integration techniques of which involves paying for mailing lists of potential customers, or selecting target markets or buying subscriber lists on social media sites to whom advertisements will be shown Multiple Choice a. lead generation b. media kits c. sales promotions d. co-branding

Answers

Contests are a particular form of the key Media Integration techniques of lead generation that involves paying for mailing lists of potential customers, or choosing target markets or buying subscriber lists on social media sites. The right answer is a.

In order to improve future sales, lead creation involves engaging potential consumers' interest. It is an essential step in many businesses' sales processes. Modern lead generation has made it possible for businesses to gather data on prospective clients and customise marketing plans and sales presentations to suit client requirements.

Sales lead generation is a way to access audience potential and locate customers who have already shown interest in the company's goods and services. Additionally to providing a wonderful opportunity to gather information about your prospects, it can help raise brand recognition.

The correct answer is option a.

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The question seems incomplete. The complete question is:

Contests are a specific form of the key Media Integration techniques of __________ which involves paying for mailing lists of potential customers, or selecting target markets or buying subscriber lists on social media sites to whom advertisements will be shown.

a. lead generation

b. media kits

c. sales promotions

d. co-branding

Draw a market demand curve and market supply curve for automobiles and label these curves D, and Si, respectively.

Answers

Costs of production for automobile manufacturers will increase if they provide health insurance for all their workers. Increase in costs will impact the supply curve for automobiles.

The S1 would shift towards the left (decrease) because manufacturers will need to charge higher prices to cover the additional expenses and cost of providing insurance. This will cause shift indicating decrease in the quantity supplied at each price level. The demand curve D1 will not be directly affected by the change. Thus, it will remain  unchanged.

The new supply curve (S2) will be positioned on the left side of the original supply curve, implying decrease in supply due to the increased costs.

The intersection point between S2 and D1 will determine the new equilibrium price and quantity after the change. The equilibrium price would be higher indicating the increased costs of production and the equilibrium quantity would be lower.

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The complete question is:

Draw a market demand curve and market supply curve for automobiles and label these curves D1 and S1, respectively.

On the same graph, show what would happen if the auto workers union required all manufacturers of automobiles to now provide health insurance for ALL workers and their dependents. (Note: Assume that prior to this change, manufacturers of automobiles do NOT provide health insurance coverage to 100 percent of their employees and/or their dependents.)

Think about whether you think this change would affect the demand curve or the supply curve for automobiles, and then consider in which direction you think the curve should shift. Draw a new curve and use a subscript 2 to identify it as the new demand (D2) or supply (S2), whichever is appropriate.

Be sure to label: Both axes, the original equilibrium price and quantity before the change, the new equilibrium price and quantity after the change

Consider the following transactions: Sold goods on credit for 2000 Received a payment from a credit customer of 1300 Sold goods for cash for 4000 Sold goods on credit for 1500 After these transactions, the balance of the receivables account is: Select one: O a. 3500 in debit c b. 2200 in credit O c. 2200 in debit O d. 3500 in credit

Answers

The balance of the receivables account after the transactions is 3500 in debit.

The balance of the receivables account after these transactions can be calculated as follows:

Received from a credit customer reduces the accounts receivable amount by $1300.

So, we now have a balance of $700 in accounts receivable account.

Sold goods on credit for $2000 and $1500.

So the total amount of goods sold on credit = $2000 + $1500

                                                                          = $3500.

This amount is added to the accounts receivable account balance.

Now the balance of accounts receivable account = $700 + $3500

                                                                                  = $4200.

The balance of the receivables account is now $4200, which is debit in nature.

Therefore, the correct answer is 3500 in debit.

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What am I missing? It keeps saying the problem is incomplete but
I'm not sure what's missing.
Wells Technical Institute (WTI) provides training to individuals who pay tuition directly to the school. WTI also offers training to groups in off-site locations. WTI initially records prepaid expense

Answers

We can see here that the complete answer is:

Wells Technical Institute (WTI) provides training to individuals who pay tuition directly to the school. WTI also offers training to groups in off-site locations.

What is an institute?

An institute is an organization that is typically dedicated to a particular field of study or research. Institutes can be either public or private, and they can be funded by government, private donors, or a combination of both.

Institutes can play an important role in society by:

Conducting research to advance knowledgeEducating students and professionals

WTI initially records prepaid expenses and unearned revenues in balance sheet accounts. Its unadjusted trial balance as of December 31 follows, along with descriptions of items a through h that require adjusting entries on December 31.

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For each of the following, compute the future value: (Do not round interm calculations and round your answers to 2 decimal places, e.g., 32.16.) Present Value $ 2,650 9,453 99,305 237,382 Years 6 19 1

Answers

The future values for the given present values and years are:

Future value of $2,650 after 6 years: $4,497.56

Future value of $9,453 after 19 years: $41,291.20

Future value of $99,305 after 1 year: $104,270.73

Future value of $237,382 after 1 year: $249,252.34

To calculate the future value, we can use the formula FV = PV * (1 + r)^n, where FV is the future value, PV is the present value, r is the interest rate, and n is the number of years.

Using this formula, we can compute the future values for each given present value and the corresponding number of years. We assume an interest rate of 0% for simplicity.

For example, for the present value of $2,650 and 6 years, the future value is calculated as $2,650 * (1 + 0)^6 = $4,497.56.

Similarly, we calculate the future values for the other given present values and years.

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