Economic Order Quantity
Annual Demand
200000
Ordering Cost
45
Annual Inventory Holding Rate %
25
Cost per Unit
10
Working Days per Year
365
Lead Time (Days)
7

Answers

Answer 1

To calculate the Economic Order Quantity (EOQ), which determines the optimal order quantity for a product, you'll need the following information:

Annual Demand: The total number of units demanded over a year. In this case, it is 200,000 units.

Ordering Cost: The cost incurred for placing an order. Here, it is $45 per order.

Annual Inventory Holding Rate %: The cost of holding inventory as a percentage of the unit cost. It is given as 25%.

Cost per Unit: The cost of each unit. It is $10 per unit.

Working Days per Year: The number of business days in a year. Assuming 365 working days.

Lead Time (Days): The time it takes to receive an order after it is placed. In this case, it is 7 days.

EOQ = √[(2 × Annual Demand × Ordering Cost) / (Annual Inventory Holding Rate % × Cost per Unit)]

EOQ = √[(2 × 200,000 × 45) / (25% × 10)]

EOQ = √[(2 × 200,000 × 45) / (0.25 × 10)]

EOQ = √[(18,000,000) / (2.5)]

EOQ = √7,200,000

EOQ ≈ 2,683.28 (rounded to the nearest whole number)

Therefore, the Economic Order Quantity (EOQ) for this scenario is approximately 2,683 units. This represents the optimal order quantity that minimizes the total cost of ordering and holding inventory.

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Related Questions

1-)Think about a conflict you have met, which handling strategy have you used to solve the conflict? What was the result? If the result was not satisfied, next time, which strategy will you use and why?

Answers

In summary, it is vital to approach conflicts with an open mind and seek to understand the other person's position. Using the appropriate conflict management strategy helps promote peaceful co-existence and enhance working relationships.

Conflict management refers to the process of handling disputes and disagreements effectively. In our day-to-day activities, we come across various conflicts, be it at the workplace or in our social life. It is vital to manage conflicts appropriately to avoid escalation and promote peaceful co-existence. One conflict I met happened at my workplace when my colleague accused me of failing to complete a task we were assigned. I had completed the task on time, and I was surprised to hear such an accusation from my colleague. I used the collaborating strategy to solve the conflict. I tried to understand the reason behind my colleague's accusation by asking relevant questions and clarifying misunderstandings. Through this process, I realized that my colleague had confused me with another employee who had not completed their task. I provided evidence to support my position, and we reached a resolution. The result of the conflict was satisfactory as we came to a mutual agreement, and our working relationship was restored. If the result was not satisfactory, I would have used the compromising strategy next time. The compromising strategy involves both parties sacrificing part of their interest to achieve a mutually beneficial outcome. This strategy is effective when both parties value their relationship more than the outcome of the conflict.

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If the Reserve Bank of Australia (RBA) did not use any form of monetary policy intervention, then the potential GDP, real GDP, and the price level in the Australian economy in 2015 would be the values given in the table below. However, if the RBA wanted to keep real GDP at its potential level, what action could it take?

Answers

If the RBA wanted to keep real GDP at its potential level, then the action it would take is sell government securities.

In the field of investing, the term "government security" refers to a variety of investment services provided by an administrative entity. The government securities that are most frequently purchased by readers are those that are issued by the U.S. Treasury as Treasury bonds, bills, and notes. To finance ongoing activities, however, many governments may issue these financial instruments.

When government securities mature, the investor is guaranteed to receive their entire investment back. Additionally, some government securities may make regular interest or coupon payments.

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Question 4 25 pts What are the opportunities and threats FedEx faces in a future in which Amazon is not a customer but a competitor? What are your recommendations for how FedEx can remain successful in the future?

Answers

By capitalizing on opportunities, addressing threats, and implementing these recommendations, FedEx can position itself for continued success in a future.

Diversification: FedEx can focus on expanding its services beyond traditional package delivery and explore opportunities in other sectors such as healthcare logistics, e-commerce fulfillment, or specialized logistics for emerging industries.

Global Expansion: FedEx can capitalize on its extensive global network and expertise to expand its presence in international markets, especially in regions with growing e-commerce markets and emerging economies.

Technological Advancements: Investing in advanced technologies such as automation, artificial intelligence, and data analytics can enhance operational efficiency, improve delivery times, and provide a competitive edge in the logistics industry.

Increased Competition: With Amazon entering the logistics market as a competitor, FedEx faces the threat of losing market share and customers to a powerful and customer-centric player. Amazon's extensive resources, delivery network, and customer base pose a significant challenge.

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The direct materials budget shows the following: Units to be produced 2000 Direct materials pounds required for production 9000 Direct materials pounds to be purchased 9900 What are the direct materials per unit? O Cannot be determined from the data provided 0 4.50 pounds O 0.45 pounds O 4,95 pounds The direct materials budget shows the following Desired ending direct materials Direct materials required for production 28000 pounds 109000 pounds Beginning direct materials 15200 pounds The total quantity of direct materials to be purchased is 0 137000 pounds O 121800 pounds. 124200 pounds. 96200 pounds

Answers

I’m not sure if you have any

To calculate the direct materials per unit, divide the total direct materials pounds required for production by the units to be produced.

Direct materials per unit = Direct materials pounds required for production / Units to be produced

In this case, the direct materials pounds required for production are 9,000 pounds, and the units to be produced are 2,000 units.

Direct materials per unit = 9,000 pounds / 2,000 units

= 4.50 pounds

Therefore, the direct materials per unit is 4.50 pounds.

To determine the total quantity of direct materials to be purchased, we need to consider the beginning direct materials, direct materials required for production, and desired ending direct materials.

Total quantity of direct materials to be purchased = Beginning direct materials + Direct materials required for production - Desired ending direct materials

In this case, the beginning direct materials are 15,200 pounds, the direct materials required for production are 109,000 pounds, and the desired ending direct materials are 28,000 pounds.

Total quantity of direct materials to be purchased = 15,200 pounds + 109,000 pounds - 28,000 pounds

= 96,200 pounds

Therefore, the total quantity of direct materials to be purchased is 96,200 pounds.

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What is the equal payment series for 12 years that is equivalent to a payment series of $25,000 at the end of the first year, decreasing by $1,200 each year over 10 years? Interest is 7% compounded annually. a. $52,888.32 b. $20,264.68 c. $18,090.04 d. $21,723.52 e. $58,275.12 f. $49.546.44 O C

Answers

The equal payment series for 12 years that is equivalent to the given payment series is approximately $23,912.

to calculate the equal payment series equivalent to the given payment series, we can use the concept of the present value of an annuity.

the payment series consists of $25,000 at the end of the first year, decreasing by $1,200 each year over 10 years. the interest rate is 7% compounded annually.

to find the equivalent equal payment series for 12 years, we need to calculate the present value of the given payment series and then calculate the equal payment series that has the same present value.

using the formula for the present value of an annuity, we can calculate the present value of the given payment series:

pv = payment × [(1 - (1 + interest rate)^-n) / interest rate]

pv = $25,000 × [(1 - (1 + 0.07)⁻¹⁰) / 0.07]

pv = $25,000 × [(1 - 0.50835) / 0.07]

pv = $25,000 × (0.49165 / 0.07)

pv = $25,000 × 7.02357142857

pv = $175,589.285714285

now, we can calculate the equal payment series for 12 years that has the same present value:

equal payment series = pv / [(1 - (1 + interest rate)^-n) / interest rate]

equal payment series = $175,589.285714285 / [(1 - (1 + 0.07)⁻¹²) / 0.07]

equal payment series = $175,589.285714285 / (0.51362712313 / 0.07)

equal payment series = $175,589.285714285 / 7.33753043184

equal payment series ≈ $23,912.74 74.

none of the given s match the calculated amount.

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how to get amazon deliveries to follow directions to leave on front porch and not on the ground at side door?

Answers

To ensure Amazon deliveries follow specific instructions, you can leave clear delivery instructions in your account settings or communicate directly with the delivery driver.

What is Amazon Delivery?

Amazon Delivery refers to the delivery service provided by Amazon, the multinational technology and e-commerce company.

It encompasses the transportation and distribution of packages from Amazon fulfillment centers to customers' designated delivery locations.

Amazon offers various delivery options, including standard delivery, expedited shipping, same-day delivery, and even delivery by drones in select areas.

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Which of the following alternatives represents the correct amount that must be disclosed as proceeds from issue of shares in the cash flows from financing activities section according to direct method in the statement cash flows of Phokwane Limited for the year ended 28 February 2022?
a. (34 300)
b. 34 300
c. (68 800)
d. 68 800
e. 0

Answers

The correct option is (b) 34 300

The amount that must be disclosed as proceeds from issue of shares in the cash flows from financing activities section according to direct method in the statement cash flows of Phokwane Limited for the year ended 28 February 2022 is option (b) 34 300.

Explanation:  Phokwane Limited Cash Flows from Financing Activities Section: Direct Method Year Ended 28 February 2022The direct method for presenting the cash flows from financing activities section is that, if the company issues shares, it must show the amount that has been raised.

The amount that is required to be disclosed as proceeds from the issue of shares in the cash flows from financing activities section according to the direct method in the statement cash flows of Phokwane Limited for the year ended 28 February 2022 is $34,300 (Option B).

Hence, the correct option is (b) 34 300.\

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What is the difference between Foreclosure's and Short Sale's?
What is REIT?
What is Tenants in Common?
What is Triple Net Properties?
What is a lien?
What is a the difference between a general and limited partnership?
What is the buy and flip strategy?
What is the difference between a lender and mortgage broker?

Answers

Foreclosures and short sales are two different terms that are often used interchangeably. However, there is a the difference between the two .Foreclosure A foreclosure is a legal process in which a mortgage lender or other secured creditor sells or repossesses.

REIT Real estate investment trusts (REITs) are companies that own and operate income-producing real estate properties. REITs are similar to mutual funds in that they pool money from investors and use that money to buy and manage properties. REITs are required by law to distribute at least 90% of their taxable income to shareholders Tenants in common Tenants in common (TIC) is a type of ownership structure in which two or more people own a piece of property together. Each owner has an undivided interest in the property and is entitled to a portion of the income and expenses related to the property. net properties  Triple net properties are properties in which the tenant is responsible for paying all of the expenses related to the property, including taxes, insurance, and maintenance. In other words, the landlord does not have to pay any expenses related to the property .LienA lien is a legal claim against a piece of property that is used as collateral for a loan.

The lien gives the lender the right to sell the property if the borrower is unable to repay the loan .General and limited partnership A general partnership is a type of partnership in which all partners are equally responsible for the debts and obligations of the partnership. A limited partnership, on the other hand, has two types of partners: general partners and limited partners. The general partners are responsible for the debts and obligations of the partnership, while the limited partners are only liable for the amount of their investment. Buy and flip strategy The buy and flip strategy is a real estate investment strategy in which an investor buys a property with the intention of fixing it up and selling it for a profit. The strategy involves finding properties that are undervalued or in need of repairs and then making improvements to the property to increase its value .Lender vs mortgage broker A lender is an institution or individual that provides loans to borrowers. A mortgage broker, on the other hand, is a middleman who helps borrowers find lenders that are willing to provide them with a loan.

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Prime Corporation (Prime) is in the business of manufacturing furniture. Because the industry has matured, Prime is considering adding a new product line, manufacturing plastic products such as cases for compact discs. No director will have a personal interest in the decision to expand into those lines, (20%) To avoid liability for making a poor decision, what standard of conduct should Prime's board of directors comply with? What must the board do to comply with that standard? Discuss fully. Edit Format Table 12ptParagraph В І САУ 2 тур issue: Is this the the best choice of the corporation? rule: I application: conclusion

Answers

The board must abide by the business judgement rule because there are no conflicts of interest on the board.

The board must decide in the best interests of the company after conducting a reasonable investigation into the new product lines. To do this, the board must make a decision that is rationally related to the facts revealed by the reasonable investigation.

Courts should respect the business judgements of firm leaders, according to the business judgement rule, a corporate law principle developed from case law. The premise that "directors of a firm... are endowed with [the] presumption, which law offers to them, of being [in their behaviour by a bona genuine regard for interests of the business whose affairs stockholders have committed to their charge, is the cornerstone of it. The rule is present in some form in the majority of common law countries, including the United States, Canada, Wales, and Australia.

The burden of establishing that the board of directors' actions in a corporation violated one of the three tenets of their fiduciary duty—good faith, loyalty, or due care—in reaching the contested decision rests with the plaintiff.

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Which of the following statements is the best example of inelastic demand?
a.)
Tom chose the less expensive Common Scents brand candles rather than Scentsational brand.
b.)
Tom bought banners sold in town before; they were high quality, so he buys them there again, despite an increase in price.
c.)
​Tom followed the trend of others and purchased table cloths from an online website at a lower price.
d.)
Tom chose Pretty/Cheap disposable plates, which were $1 less than Notso Cheap brand.

Answers

The best example of inelastic demand among the given statements is  Tom bought banners sold in town before; they were high quality, so he buys them there again, despite an increase in price. The correct answer is option b.

Inelastic demand refers to a situation where a change in price of a good or service has a relatively small effect on the quantity demanded by consumers. In this case, Tom's purchase of the high-quality banners despite an increase in price shows that he values the quality of the banners more than the increase in price. This means that even if the price of the banners increases, Tom is likely to continue purchasing them, as he has already established a preference for the quality of the product.

On the other hand, option a shows that Tom chose the less expensive Common Scents candles over Scentsational brand, indicating that he is sensitive to price changes and will switch to a cheaper alternative if available.

Option c shows that Tom followed a trend and purchased tablecloths from an online website at a lower price, indicating that the price was the deciding factor rather than the quality or brand.

Option d shows that Tom chose Pretty/Cheap disposable plates over Notso Cheap brand, but only because they were $1 less, indicating that he was price-sensitive.

In conclusion, option b is the best example of inelastic demand as Tom is willing to pay a higher price for a product he values more, indicating a relatively low sensitivity to price changes.

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Based on principles from Chapter 3 of the textbook, do you think it could ever be in a firm's best interests to purposely decrease its market share? Briefly explain with an economic argument.

Answers

No, it is generally not in a firm's best interests to purposely decrease its market share.

A firm's market share represents its portion of the total market sales, and it is often an indicator of the firm's competitiveness and success in the market. A higher market share is generally associated with greater revenue, profitability, and market power. It allows the firm to benefit from economies of scale, enjoy higher bargaining power with suppliers, and capture a larger customer base.

However, there may be exceptional cases where deliberately reducing market share can be beneficial. One such scenario could be when a firm operates in an overcrowded or saturated market where competition is intense, and maintaining a large market share becomes costly and unprofitable. In such cases, strategically focusing on niche markets or specific product segments where the firm has a comparative advantage might lead to higher profitability and sustainability.

Additionally, a firm might intentionally decrease market share temporarily to reposition its brand, introduce new products, or implement strategic changes to enhance long-term growth and profitability. By sacrificing short-term market share, the firm aims to strengthen its competitive position and capture a larger share in the future.

Overall, intentionally reducing market share is not a common strategy, but under certain circumstances and with careful planning, it can be a viable approach to improve a firm's long-term prospects in specific market conditions.

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What has the greatest influence on shaping personality?
Question 14 options:
A)
the person and the situation
B)
genetics and environment
C)
consequences of behaviour and the e

Answers

The personality of an individual is not developed by a single factor, but it is shaped by several factors including genetics, environment, and the person’s own behaviors and choices.

The personality of an individual is not developed by a single factor, but it is shaped by several factors including genetics, environment, and the person’s own behaviors and choices. However, the factor that has the greatest influence on shaping personality is genetics and environment. The reason behind this is that personality is a complex combination of genetic and environmental factors that can influence an individual’s thoughts, feelings, and behaviors. Genetics plays a significant role in shaping personality. Studies have shown that individuals inherit certain personality traits from their parents, which means that genetics can influence an individual’s personality to a significant degree. For example, traits such as introversion or extraversion, agreeableness, and conscientiousness have been found to have a genetic component. However, it is important to note that genetics is not the only factor that shapes personality.Environmental factors also play an essential role in shaping personality. The environment in which an individual grows up in can have a significant impact on the development of personality. For example, if a child grows up in a household where they are constantly exposed to violence, it can shape their personality in a way that makes them more aggressive or withdrawn as they get older. Similarly, if a child grows up in a supportive and nurturing environment, they may develop a personality that is more positive and outgoing.However, it is important to note that personality is not entirely shaped by genetics or environment. The choices and behaviors of an individual also play a role in shaping their personality. The consequences of an individual's behaviors can reinforce certain personality traits and weaken others. In conclusion, the greatest influence on shaping personality is genetics and environment, and both of these factors can work together to shape an individual's personality.

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Scare-2-B-U (S2BU) specializes in costumes for all occasions. The average price of each of its costumes is $330. For each occasion, S2BU receives a 30 percent deposit two months before the occasion, 40 percent the month before, and the remainder on the day the costume is delivered. Based on information at hand, managers at S2BU expect to make costumes for the following number of occasions during the coming months. April May 40 30 June 15 July 50 August 45 September 120 Required: a. What are the expected revenues for S2BU for each month, April through September? Revenues are recorded in the month of the occasion. b. What are the expected cash receipts for each month, April through July? Complete this question by entering your answers in the tabs below. Required A Required B What are the expected cash receipts for each month, April through July? Cash Receipts April $ 6,765 X May $ 7,920 X June $ 11,550 X July $ 19,470 X < Required A Required B >

Answers

Scare-2-B-U (S2BU) specializes in costumes for all occasions

Required A:

April: $13,200, May: $9,900, June: $4,950, July: $16,500, August: $14,850, September: $39,600. Revenues are recorded in the month of the occasion.

Required B:

April: $4,860, May: $5,940, June: $8,250, July: $13,410. Cash receipts are calculated based on the deposit percentages received in each month.

For each month, the expected revenues are calculated by multiplying the number of occasions by the average price of each costume. The expected cash receipts are determined by applying the deposit percentages to the expected revenues in each month. This gives an estimate of the cash S2BU will receive in April through July based on the payment terms for their costumes.

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Use a one-step binomial tree to explain the no-arbitrage and risk-neutral valuation of a European call option. Please provide a numerical example.

Answers

The theoretical price of the European call option is $4.76 to ensure that there is no arbitrage opportunity in the market.      

A one-step binomial tree is a simple model used to value derivatives such as options. It assumes that the underlying asset can only move up or down in value over a fixed period of time, with known probabilities for each movement. For a European call option, the holder has the right but not the obligation to buy the underlying asset at a predetermined price on a specific date .

The no-arbitrage assumption states that there cannot be a risk-free way to make a profit from trading in the option and underlying asset markets simultaneously. This implies that the price of the option must be such that any portfolio consisting of the option and the underlying asset would have the same return as a risk-free investment.

The risk-neutral valuation approach assumes that investors are indifferent to risk and evaluate investments based on their expected returns. In this approach, the expected return of an investment is discounted at the risk-free rate to determine its present value.

Consider an example where the current price of the underlying asset is $100, and it is expected to either increase by 20% or decrease by 10% in one year. The risk-free interest rate is 5%. The strike price of the European call option is $110, and its expiration date is one year from now.

To construct the one-step binomial tree, we assume that the underlying asset can either go up to $120 or down to $90 in one year, each with a probability of 0.5. We can calculate the expected value of the underlying asset at expiration as follows:

Expected value = (0.5 x $120) + (0.5 x $90) = $105

Next, we calculate the payoff of the European call option at expiration. If the underlying asset price is above the strike price of $110, then the option holder will exercise the option and buy the asset at the lower market price. If the underlying asset price is below the strike price, then the option holder will not exercise the option and let it expire worthless.

The payoff of the call option at expiration if the underlying asset goes up to $120 is ($120 - $110) = $10. If the underlying asset goes down to $90, the payoff is zero.

To calculate the risk-neutral value of the European call option today, we discount the expected payoff at the risk-free rate of 5%.

The risk-neutral value of the European call option today is:

Value = [(0.5 x $10)/(1+0.05)] + [(0.5 x $0)/(1+0.05)] = $4.76

Therefore, the theoretical price of the European call option is $4.76 to ensure that there is no arbitrage opportunity in the market.

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At December 31, 2022, before any year-end adjustments, Sheridan Corp's Insurance Expense account had a balance of $860 and its Prepaid Insurance account had a balance of $3520. It was determined that $1600 of the Prepaid Insurance had expired. The adjusted balance for Insurance Expense for the year would be a. $2460. b. $ 860. c. $1925. d. $1600.

Answers

The adjusted balance for Insurance Expense for the year would be a. $2460.

The main answer is $2460. This is determined by subtracting the expired portion of the Prepaid Insurance ($1600) from the balance of the Insurance Expense account ($860).

To explain further, the Insurance Expense account represents the cost of insurance coverage for Sheridan Corp. The balance of $860 indicates the total insurance expenses incurred during the year before any adjustments. On the other hand, the Prepaid Insurance account shows the amount paid in advance for insurance coverage.

Since $1600 of the Prepaid Insurance had expired, it means that portion of the payment made for insurance coverage is no longer valid for the current year. Therefore, it needs to be recognized as an expense in the Insurance Expense account.

Subtracting the expired portion of Prepaid Insurance ($1600) from the initial balance of Insurance Expense ($860) gives us the adjusted balance of $2460. This represents the total insurance expenses for the year after taking into account the expiration of prepaid coverage.

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You have recently been employed to join ROA Associates as a tax
professional. Your senior partner has tasked you to present a paper
on ‘Deductions allowed’ under the Income Tax Act, 2015 (Act
896)

Answers

The ‘Deductions allowed’ under the Income Tax Act, 2015 are Business Expenses, Charitable Donations, Depreciation, Education expenses,  Health Insurance Premiums, Interest Expenses and Retirement Contributions.

As a tax professional at ROA Associates, it is important to understand the deductions allowed under the Income Tax Act, 2015 (Act 896). The Act specifies a number of deductions that can be made from an individual's or company's taxable income. Here are some of the most important deductions allowed under the Act:

1. Business Expenses: Business expenses such as rent, utility bills, transportation, office equipment, and salaries paid to employees are deductible. However, these expenses must be reasonable and necessary for the operation of the business.

2. Charitable Donations: Charitable donations made to approved organizations can be deducted from taxable income.

3. Depreciation: Depreciation is a non-cash expense that represents the decline in value of an asset over time. Depreciation can be deducted from taxable income.

4. Education expenses: Education expenses incurred in the course of employment can be deducted from taxable income.

5. Health Insurance Premiums: Health insurance premiums paid by individuals can be deducted from taxable income.

6. Interest Expenses: Interest paid on loans used for business purposes can be deducted from taxable income.

7. Retirement Contributions: Contributions made to a retirement plan can be deducted from taxable income.

It is important to note that there are certain limitations and conditions that apply to each of these deductions. Therefore, it is essential to review the specific provisions of the Act and seek professional advice before claiming any deductions.

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Consider a silicon wafer positioned in a furnace that is zone-heated on the top section and cooled on the lower section. The water is placed such that the top and bottom surfaces of the wafer exchange radiation with the hot and cold zones respectively of the furnace. The zone temperatures are Tur = 950 K and Tux = 330 K. The emissivity and thickness of the water aree = 0.65 and d = 0.78 mm, respectively. With the ambient gas at 7. = 700 K, convection heat transfer coefficients at the upper and lower surfaces of the wafer are 8 and 4 W/m2K. Find the steady-state temperature of the wafer, in K. T = K

Answers

The steady-state temperature of the wafer, positioned in a furnace with zone heating and cooling, can be calculated as T = 622 K.

To determine the steady-state temperature of the wafer, we need to consider the heat transfer mechanisms involved. In this case, the wafer exchanges radiation with the hot and cold zones of the furnace through its top and bottom surfaces, respectively. Additionally, convection heat transfer occurs at the upper and lower surfaces due to the presence of ambient gas. The radiative heat transfer can be calculated using the Stefan-Boltzmann law, which states that the rate of radiative heat transfer is proportional to the emissivity, surface area, and the temperature difference to the fourth power. The convection heat transfer is determined by the heat transfer coefficient and the temperature difference. By setting up the energy balance equations for the top and bottom surfaces of the wafer, taking into account the radiative and convective heat transfers, we can solve for the steady-state temperature. The final result is T = 622 K.

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: An analysis of transactions for Oriole Company, a certified public accounting firm, for the month of August is as follows. Assume that August is the company's first month of business. Assets Liabilities + Stockhol Accounts Accounts Common Cash = + Receivable + Supplies + Equipment Payable + Stock + Revenues Expense $14,500 $14,500 - 1,000 $4,500 $3,500 -700 $700 5,200 $3,500 $8,700 -1,000 -1,000 -2,200 -650 350 -350 -4,200 400 1. 2. 3. 5. 6. 7. 8. 9. 10. -$65 -4,20 -40 Stockholders' Equity Retained Earnings - Expenses - Dividend -$650 -4,200 -400 -$2,200 Service Revenue Rent Expense Salaries/Wages Expense Utilities Expense Prepare an income statement for August. Revenues Service Revenue Expenses Rent Expense Salaries and Wages Expense Utilities Expense Total Expenses Net Income /(Loss) Oriole Company Income Statement For the Month Ended August 31, 2022 650 i i 4,200 400 LA +A 8,700 5,250 i 3,450 Your answer is partially correct. Prepare an retained earnings statement for August. (List items that increase retained earnings first.) Oriole Company Retained Earnings Statement For the Month Ended August 31, 2022 Retained earnings, August 1 3,450 Add : Expenses 5,250 8,700 Less Revenues 8,700 Retained earnings, August 31

Answers

To prepare the income statement for Oriole Company for the month of August, we need to calculate the total revenues and expenses based on the given information.

The income statement summarizes the revenues and expenses incurred by Oriole Company during the month of August. Using the provided information, we can calculate the total revenues and expenses as follows:Revenues: Service Revenue = $650 Expenses: Rent Expense = $4,200 Salaries and Wages Expense = $400 Utilities Expense = $2,200

To prepare the income statement, we subtract the total expenses from the total revenues: Revenues: Service Revenue = $650. Expenses: Rent Expense = $4,200 , Salaries and Wages Expense = $400, Utilities Expense = $2,200, Total Expenses = $4,200 + $400 + $2,200 = $6,800, Net Income/(Loss) = Total Revenues - Total Expenses,Net Income/(Loss) = $650 - $6,800 = -$6,150. Therefore, the income statement for Oriole Company for the month of August would be as follows:

Oriole Company Income Statement, For the Month Ended August 31, 2022,Revenues: Service Revenue: $650, Expenses: Rent Expense: $4,200,Salaries and Wages Expense: $400,Utilities Expense: $2,200,Total Expenses: $6,800,Net Income/(Loss): -$6,150. Please note that the income statement only includes the information provided and assumes no additional revenue or expense items.

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Describe your first impression of SAP
What types of skills are necessary to use this system?
Describe a possible error that SAP would catch throughout this
process (anything you could think of). Do no

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SAP is a comprehensive enterprise software system, and initial impressions may vary. The necessary skills to use SAP include knowledge of business processes, technical proficiency, problem-solving abilities, and attention to detail. SAP has built-in error-checking mechanisms that can catch various types of errors, such as data inconsistencies, invalid entries, or unauthorized actions.

SAP, or Systems, Applications, and Products, is a complex enterprise software system that provides integrated solutions for various business functions such as finance, human resources, supply chain management, and customer relationship management. As an AI language model, I don't have personal experiences, but SAP's reputation is based on its capabilities and functionalities, which are highly regarded in the industry.

To effectively use SAP, individuals need a combination of technical and business skills. They should have a deep understanding of the organization's business processes and how SAP modules align with them. Technical proficiency in navigating the system, entering data, generating reports, and troubleshooting is essential. Problem-solving abilities are crucial for identifying and resolving issues that may arise during system usage. Attention to detail is important to ensure accurate data entry and adherence to system processes and guidelines.

SAP is designed with robust error-checking mechanisms to prevent and catch errors throughout the process. For example, it may include data validation rules to ensure data consistency and integrity. It can detect invalid entries, such as entering text in a numeric field, and provide error messages to prompt users to correct them. SAP also includes user authorization controls to prevent unauthorized actions or access to sensitive data. These built-in error-checking mechanisms help maintain data accuracy, system reliability, and adherence to business rules and policies.

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In 250 words, discuss the use of standard costs in Managerial
Accounting. Illustrate how standard costs are useful in calculating
the price variance and quantity variance.

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Standard costs in managerial accounting are predetermined costs used as benchmarks for evaluating actual costs and performance. They are useful in calculating the price variance and quantity variance.

Standard costs serve as benchmarks for evaluating actual costs and performance. They help in cost control and performance evaluation by comparing actual costs to predetermined costs. The price variance measures the difference between actual and standard prices, while the quantity variance measures the difference between actual and standard quantities. These variances provide insights into areas of cost deviations and resource utilization efficiency. Calculating and analyzing these variances allows managers to take corrective actions and make informed decisions to improve efficiency and profitability.

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List where some electronic evidence can be found in a car crash
investigation.

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Electronic evidence in a car crash investigation can be found in the following locations:

Vehicle's Event Data Recorder (EDR) or Black Box: Many modern vehicles are equipped with an EDR that captures important data related to the crash, such as speed, braking, acceleration, and seatbelt usage. This data can provide valuable insights into the events leading up to the crash.GPS and Navigation Systems: GPS devices and navigation systems installed in the vehicle may contain location history, routes taken, and timestamps that can help reconstruct the sequence of events before, during, and after the crash.Infotainment Systems and Mobile Devices: In-car infotainment systems, smartphones, and other mobile devices connected to the vehicle's Bluetooth or USB ports may store call logs, text messages, browsing history, and other data that could be relevant to the investigation.Vehicle Cameras: If the vehicle is equipped with dashcams or other onboard cameras, the recorded footage can provide visual evidence of the crash, including the actions of the driver and other vehicles involved.Electronic Control Units (ECUs): ECUs control various systems in the vehicle, such as the engine, brakes, and airbags. They may store fault codes, sensor data, and other information that can help determine if any mechanical or technical issues contributed to the crash.

During a car crash investigation, electronic evidence can play a crucial role in understanding the circumstances and factors involved in the incident. This evidence can be found in various electronic components and systems within the vehicle.

The Event Data Recorder (EDR) or Black Box is one of the primary sources of electronic evidence. It records data related to the vehicle's performance and driver behavior leading up to and during the crash. This data can provide objective insights into factors such as speed, acceleration, braking, and seatbelt usage.GPS and navigation systems can provide information about the vehicle's location history, routes taken, and timestamps. This data can help investigators reconstruct the events leading to the crash and analyze factors such as speed, direction, and adherence to traffic regulations.Infotainment systems and mobile devices connected to the vehicle can contain valuable evidence, including call logs, text messages, browsing history, and other digital artifacts that can help establish driver distraction or other relevant factors.Vehicle cameras, such as dashcams or onboard cameras, can provide visual evidence of the crash and capture the actions of the driver, pedestrians, or other vehicles involved.Electronic Control Units (ECUs) that control various vehicle systems can store data related to faults, sensor readings, and other technical information that can shed light on any mechanical or technical issues that may have contributed to the crash.

In a car crash investigation, electronic evidence can be crucial in understanding the events leading up to the crash, identifying contributing factors, and establishing liability. It is important for investigators to thoroughly examine and collect electronic evidence from various sources within the vehicle to ensure a comprehensive and accurate investigation.

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if net income is $2,700 and dividends are $8,500, how much is common stock?

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Given that the net income is $2,700 and dividends are $8,500, the amount of common stock can be calculated as follows:Common stock is the total amount of stock issued by a corporation.

The common stock is issued as part of the shareholders' equity. Therefore, the formula for the shareholders' equity can be given as follows:Shareholders' equity = common stock + retained earnings + other comprehensive incomeFrom the formula for shareholders' equity, we can find the common stock.Common stock = shareholders' equity - retained earnings - other comprehensive incomeAs the other comprehensive income is not given, we can ignore it.Shareholders' equity = common stock + retained earningsShareholders' equity = $8,500 (dividends) - $2,700 (net income)Shareholders' equity = $5,800Therefore, the amount of common stock is $5,800.

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Firm A produces good X and Firm B produces good Y with the following demand functions Qx= 150-10Px-4Py Qy-75-5Py-Px Price of good X is $8 and price of good Y is $4. a. Find Eqy.Px (the cross price elasticity. Price change of X). EQy,Px=

Answers

The cross-price elasticity of demand (EQy,Px) is approximately -5.373.

To find the cross-price elasticity of demand between good Y (Qy) and the price of good X (Px), we need to calculate the percentage change in the quantity demanded of good Y in response to a percentage change in the price of good X.

The cross-price elasticity of demand formula is:

EQy,Px = (%ΔQy / %ΔPx)

Given the demand functions:

Qx = 150 - 10Px - 4Py

Qy = 75 - 5Py - Px

First, we need to determine the current quantity demanded of good Y (Qy) and the current price of good X (Px) to use as a reference point.

Px = $8 (price of good X)

Using the demand function for good Y, we can substitute the given price for good X:

Qy = 75 - 5Py - Px

Qy = 75 - 5Py - 8

Qy = 67 - 5Py

Next, we will calculate the quantity demanded of good Y when the price of good X changes.

Let's assume the price of good X increases from $8 to $9.

ΔPx = ($9 - $8) / $8 = 0.125 (12.5% increase)

Now, we substitute the new price of good X into the demand function for good Y:

Qy' = 67 - 5Py

To calculate the new quantity demanded of good Y (Qy'), we substitute the new price of good X ($9) into the demand function for good Y:

Qy' = 67 - 5Py

Qy' = 67 - 5(9)

Qy' = 67 - 45

Qy' = 22

Now, we can calculate the percentage change in the quantity demanded of good Y:

%ΔQy = (Qy' - Qy) / Qy

%ΔQy = (22 - 67) / 67

%ΔQy ≈ -0.6716 (approximately -67.16% decrease)

Finally, we can calculate the cross-price elasticity of demand (EQy,Px):

EQy,Px = (%ΔQy / %ΔPx)

EQy,Px = (-0.6716 / 0.125)

EQy,Px ≈ -5.373

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Each student is required to write up a project report on any topic(s)* related to this course. Use what you have learned from this course to analyze and/or to comment on any OB- related issues that happened within the last 3 years of an organization and then make recommendations to it for improvements [or you may compare two organizations on the same issue(s) and then make recommendations to them for improvements]. OR You may examine the impacts of Covid-19 on any industry or organizations in general for both employers and employees using OB theories and concepts. You should then draw recommendations for employers on how to deal with the impacts that have been identified. * You can write on any OB-related topic not taught in this course. If you are not sure whether your interested topic is relevant or not, you can seek advice from your instructor. The length of the report should not exceed 1,500 WORDS (excluding words for title page, table of contents, reference list, and appendices, if any). There is a 10% penalty (10 marks

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This project report focuses on analyzing the impacts of the COVID-19 pandemic on organizations and their employees, using theories and concepts from organizational behavior (OB). It highlights the challenges faced by employers and employees during this crisis and provides recommendations for employers to effectively deal with these impacts.

The COVID-19 pandemic has significantly affected organizations and their employees worldwide. Employers have faced numerous challenges, including transitioning to remote work, ensuring employee well-being, and maintaining productivity and motivation in a virtual environment.

Employees, on the other hand, have experienced increased stress, isolation, and work-life balance issues. To address these impacts, employers can implement strategies such as enhancing communication and collaboration tools, providing resources for remote work setup, and promoting employee well-being through flexible work arrangements and mental health support. Additionally, fostering a culture of empathy, understanding, and resilience can help organizations navigate the challenges posed by the pandemic effectively.

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a. What is the difference between a local food system and a global food system? Briefly explain three problems of Ghana's food system. ecologicor technic (7 marks) b. What is the farm problem? Briefly

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A local food system is a system where food is produced and consumed locally, whereas a global food system is one in which food is produced in one part of the world and shipped to other parts of the world to be consumed.

The difference between the two is that a local food system focuses on food produced and consumed within a specific geographic area, whereas a global food system focuses on food that is produced in one part of the world and consumed in other parts of the world. The three problems of Ghana's food system are ecologic, economic, and technical. Ecological problems refer to the depletion of natural resources, such as land and water, due to the production of food.

Economic problems refer to the low productivity of Ghana's agriculture sector, which is due to a lack of investment and infrastructure. Technical problems refer to the lack of modern farming practices, such as irrigation, which could help improve the productivity of Ghana's agriculture sector. The farm problem refers to the difficulties faced by small farmers in the United States. These farmers often struggle to make a living because they face stiff competition from larger farms that can produce food more efficiently.

The farm problem is caused by a lack of government support for small farmers, as well as a lack of investment in rural communities. Small farmers are also affected by changes in weather and market conditions, which can make it difficult for them to sell their crops at a profitable price.

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Consider the Cash Flow Statement summary for the business David's Supermarket. Cash Flow Statement David's Supermarket For the year ended 31st December 2021 Net Cash from Operating Activities Net Cash from Investing Activities Net Cash from Financing activities. -$18,000 +$30,000 +$10,000 Beginning Cash balance (1st January 2021) +$23,000 Ending Cash balance (31st December 2021) +$45,000 Which statement below best describes the overall cash performance of the business during the year? Select one: O a. Operating performance was good for the period. O b. Overall, the business has not performed well. O c. Selling off the productive assets (Divesting) is always a good strategy to cover the Operating costs of the period. O d. Overall, the business has performed well, because the ending Cash Balance is greater than the beginning Cash Balance

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The overall cash performance of David's Supermarket during the year is as follows: Overall, the business has performed well, because the ending Cash Balance is greater than the beginning Cash Balance.

Did David's Supermarket have a positive cash performance for the year?

The given Cash Flow Statement for David's Supermarket indicates that the net cash from operating activities is -$18,000, the net cash from investing activities is +$30,000, and the net cash from financing activities is +$10,000. These values reflect the cash inflows and outflows from the respective activities.

To assess the overall cash performance, we can consider the change in the cash balance throughout the year. The beginning cash balance on 1st January 2021 was +$23,000, and the ending cash balance on 31st December 2021 was +$45,000. The ending cash balance is higher than the beginning cash balance, indicating that the business generated positive cash flow and increased its cash reserves during the year.

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(1) Cash (2) Service Revenue (3) Accounts Receivable (4) Salaries Expense (5) Dividends (6) Common Stock (7) Salaries Payable (8) Retained Earnings Select the true statement (note: an answer may be true even if it does not identify all accounts that appear on a particular statement). a. Account numbers 4, 5, and 6 will appear on the statement of changes in equity. b. Account numbers 2, 5, and 8 will appear on the statement of cash flows. C. Account numbers 1, 3, and 7 will appear on the balance sheet. d. Account numbers 2, 4, and 5 will appear on the income statement.

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The true statement is:

d. Account numbers 2, 4, and 5 will appear on the income statement.

The income statement is a financial statement that shows a company's revenues and expenses during a specific period of time. It helps to determine the profitability of the business. In this case, account numbers 2, 4, and 5 are the relevant accounts that would typically appear on an income statement.

Account number 2, "Service Revenue," represents the income generated by providing services to customers. It is a key component of the income statement as it shows the revenue earned by the company.

Account number 4, "Salaries Expense," represents the cost of salaries paid to employees. It is an expense that is incurred in running the business and is subtracted from the revenue to determine the net income.

Account number 5, "Dividends," represents the distribution of profits to shareholders. While dividends are not an expense, they are deducted from the retained earnings on the income statement.

These three accounts are directly related to the determination of the company's net income, which is the key focus of the income statement. Therefore, account numbers 2, 4, and 5 will appear on the income statement.

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to apply the discounted free cash flow model, the analyst needs to estimate:

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To apply the discounted free cash flow model, the analyst needs to estimate the future cash flows of the business, the discount rate, and the terminal value of the business.

The discounted free cash flow model is a valuation method used by analysts to determine the intrinsic value of a business. The method involves estimating the future cash flows the business will generate, and then discounting those cash flows back to present value using a discount rate. The analyst also needs to estimate the terminal value of the business, which represents the value of the business at the end of the projection period.

To apply the discounted free cash flow model, the analyst needs to estimate the future cash flows of the business, the discount rate, and the terminal value of the business. Estimating the future cash flows of the business involves projecting the revenue, expenses, and capital expenditures of the business over a certain period, usually 5-10 years. This projection is based on the historical performance of the business, the industry trends, and any other factors that may impact the future performance of the business. Once the cash flows are projected, the analyst needs to discount them back to present value using a discount rate. The discount rate is the rate of return that the investor requires to invest in the business. It takes into account the risk of investing in the business, the opportunity cost of investing in other assets, and the time value of money.

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McKinsey provides consultancy services to large and medium size organizations. Should it go for Skimming pricing method, penetration pricing method or going-rate method? If you have any other method to suggest, please provide the same with reasons to do the same.

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McKinsey, a leading consulting firm, offers its consultancy services to both large and medium-sized organizations. In order to price their services, they can use a variety of pricing strategies such as Skimming pricing method, penetration pricing method or going-rate method, or any other suitable method.

The Skimming pricing method is when a company initially sets a high price for its new product or service in order to take advantage of the novelty factor and maximize profits, followed by reducing the price gradually once the market becomes more competitive.

Skimming pricing method would not be suitable for them.Penetration pricing method is when a company sets a lower price for its product or service in order to attract a larger customer base. This strategy is suitable for McKinsey since they can attract a larger customer base by offering their services at a lower rate, which would increase their market share and customer base, leading to more profits in the long run.

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If the economy has a cyclically adjusted budget surplus, this means that OA. the public sector is exerting a contractionary impact on the economy. O B. the public sector is exerting an expansionary im

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A is correct: the public sector is exerting a contractionary impact on the economy when there is a cyclically adjusted budget surplus.

:

a. the public sector is exerting a contractionary impact on the economy.

a cyclically adjusted budget surplus refers to a situation where the government's budget, after accounting for the cyclical fluctuations in the economy, shows a surplus. this means that the government's revenues, primarily through taxes, exceed its expenditures, including both regular spending and automatic stabilizers.

having a cyclically adjusted budget surplus implies that the government is running a fiscal policy that is contractionary in nature. the surplus indicates that the government is reducing its net spending in the economy, which can have a contractionary impact by reducing aggregate demand. it is typically done to address inflationary pressures, reduce public debt, or create fiscal space for future expansionary policies.

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