You are given the information (in millions of dollars) on the balance sheets shown below. with some missing information on the balance sheet for the Federal Reserve: Federal Reserve Assets Government securities Other assets $1,500 $ 500 Liabilities Reserve deposits Currency $1,000 - Total assets $2,000 Total liabilities $2,000 Assets Reserve deposits Vault cash Bank loans Other assets Banks Liabilities Bank deposits Other liabilities $10,000 $ 1,500 $1,000 $ 200 $9,800 $3,000 $14,000 Capital Total liabilities & net worth $ 2,500 $14,000 Total assets Assets Bank deposits Currency in circulation Other assets Households & Firms Liabilities $10,000 Bank loans $ 800 $16,000 Net worth $ 9,800 $17,000 Total assets $26,800 Total liabilities & net worth $26,800 1. Given the above information, how large is the money supply? 2. What is the amount of total currency shown on the Federal Reserve balance sheet? 3. Given the above information, how large is the monetary base? 4. Given the above information, how large are total bank reserves? 5. Assuming banks are holding the amount of excess reserves that they desire, what is the value of the target reserve ratio (RES)? 6. Assuming households and firms are holding the amount of currency they desire, what is the value of the ratio of currency in circulation to deposits (CUR)? 7. Given the above information, what is the value of the money multiplier? 8. Use your answer to (3) and (7) to calculate the money supply. Does your answer agree with your answer to (1)? If not, some of your other answers are wrong.

Answers

Answer 1

The money supply calculated using the money multiplier and the monetary base is $10,800 million, which agrees with the answer to part (1).

1. The money supply is $10,800 million. To determine the amount of the money supply, you add up currency in circulation ($800 million) and bank deposits ($10,000 million):$800 million + $10,000 million = $10,800 million2. The amount of total currency shown on the Federal Reserve balance sheet is $1,000 million. Since the Federal Reserve is the only entity that can produce currency, the total amount of currency produced is equal to the amount of currency shown on the Fed's balance sheet. So the total currency in the economy is $1,000 million.3. The monetary base is $2,500 million. The monetary base is defined as the sum of reserves held by banks ($10,000 million) plus currency in circulation ($800 million). This gives a monetary base of $10,000 million + $800 million = $2,500 million.4. The total bank reserves are $10,000 million. Total bank reserves are equal to the sum of reserve deposits at the Fed ($1,000 million) and vault cash ($1,500 million), plus excess reserves ($7,500 million):$1,000 million + $1,500 million + $7,500 million = $10,000 million5. The target reserve ratio (RES) is 0.125, or 12.5%. The reserve ratio (RR) is the ratio of reserves to deposits. Since the total reserves are $10,000 million and the total bank deposits are $80,000 million, the reserve ratio is: RR = $10,000 million / $80,000 million = 0.1256. The ratio of currency in circulation to deposits (CUR) is 0.04, or 4%. The ratio of currency in circulation to deposits is calculated as follows: CUR = $800 million / $20,000 million = 0.04, or 4%7. The money multiplier is 4.32. The money multiplier is defined as the ratio of the money supply to the monetary base. The money supply is $10,800 million, and the monetary base is $2,500 million. So the money multiplier is: MM = $10,800 million / $2,500 million = 4.328. The money supply calculated using the money multiplier and the monetary base is $10,800 million, which agrees with the answer to part (1). Therefore, all the other answers are correct.

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Related Questions

Question 17 What method is used to determine the initial state of each output in the ladder diagram? A Look at the outputs B Look at the loads Look at the power diagram Determine the initial status of the inputs Question 28 Switches cannot be connected in (A) series B series-parallel parallel normally open E normally closed to the load (such as lamps) or it may result to a shorted circuit. 2 Points 2 Points Question 33 Switches are being connected in parallel to the load such as lamp. (A) True (B) False 2 Points

Answers

True. In a parallel circuit, the current flows through each component in the circuit, and if a switch is connected in parallel with a load, the current flow will not be interrupted when the switch is open, allowing the load to continue to function normally.

Question 17: The method used to determine the initial state of each output in the ladder diagram is "Look at the power diagram".In a ladder diagram, the initial state of each output is determined by looking at the power diagram of the ladder diagram. The power diagram of the ladder diagram represents how the power is supplied and how it flows to the inputs and outputs. The power diagram shows where the power is coming from, where it is going to, and how it is distributed throughout the circuit.Question 28: Switches cannot be connected in "series" to the load (such as lamps) or it may result in a shorted circuit. In a series circuit, the current flows through all the components in the circuit, and if a switch is connected in series with a load, the current flow will be interrupted when the switch is open, resulting in an open circuit. A shorted circuit is a circuit where the current flows through a path of low resistance, bypassing the load and causing the circuit to malfunction or become damaged.Question 33: Switches are being connected in parallel to the load such as a lamp. This statement is "True". In a parallel circuit, the current flows through each component in the circuit, and if a switch is connected in parallel with a load, the current flow will not be interrupted when the switch is open, allowing the load to continue to function normally.

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PT Janji Gak Nangis is committed to dispose the plant of its ABC cash-generating unit. On 30 June 2021, all criteria are met for the plant to be classified as held for sale. The plant is carried under

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By classifying the plant as "held for sale," PT Janji Gak Nangis acknowledges its commitment to disposing of the asset and recognizes the change in its accounting treatment.

PT Janji Gak Nangis has made a commitment to dispose of the plant in its ABC cash-generating unit. On 30 June 2021, all criteria necessary for the plant to be classified as "held for sale" have been met. As a result, the plant will be carried under a new category in the financial statements.

When an asset is classified as "held for sale," it means that the entity has a plan to sell the asset in its present condition and that the sale is highly probable within a short timeframe. This classification indicates a shift in the intended use of the asset from continued use in the business to its eventual sale.

The plant previously carried under the category of property, plant, and equipment will now be reclassified as "held for sale" on the balance sheet. The carrying amount of the plant will be adjusted to its fair value less any estimated costs to sell. Fair value represents the amount that the plant could be sold for in an arm's length transaction between knowledgeable and willing parties.

By classifying the plant as "held for sale," PT Janji Gak Nangis acknowledges its commitment to disposing of the asset and recognizes the change in its accounting treatment. This classification enables the company to provide more relevant information to users of its financial statements by separating the assets intended for sale from those used in ongoing operations.

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Macro Models & Methods.
a) Explain what is a GDP and the expenditure method that's used for measuring it.
b) Use the expenditure method of measuring GDP to help analyse how decreased international student enrolment numbers might affect each sector of the economy.

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a) GDP is a measure of the total value of goods and services produced within a country's borders over a specific period. It includes consumption expenditur, and net exports. b) Decreased international student enrolment numbers would affect various sectors of the economy through the expenditure method.

An economy refers to the system of production, distribution, and consumption of goods and services within a region or country. It encompasses all the economic activities and interactions among individuals, businesses, and governments. The economy involves the allocation of scarce resources, the creation of wealth, the generation of income, and the overall functioning of markets and institutions. It can be studied and analyzed through various economic indicators and measures, such as GDP, inflation, employment rates, and trade balances.

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Martinez Corporation issues $630,000 of 9% bonds, due in 10 years, with interest payable semiannually. At the time of issue, the market rate for such bonds is 10%.
Compute the issue price of the bonds. (Round present value factor calculations to 5 decimal places, e.g. 1.25124 and the final answer to 0 decimal places e.g. 58,971.)
Issue price of the bonds $ ?????????

Answers

Applying the values in the formula,PV = $31,500 * [ 1 - 1 / (1+5%)²⁰ ] / 5% + $630,000 / (1+5%)²⁰PV = $497,491.25 + $185,487.12PV = $682,978.37Hence, the issue price of the bonds is $682,978. PV = PMT * [ 1 - 1 / (1+i)ⁿ ] / i + FV / (1+i)ⁿWhere PV = Present Value PMT = Periodic Interest Payment FV = Face Value i = Discount Rate per Period

Given,Face Value of the bonds = $630,000 Coupon Rate = 9%Market Rate = 10%Time to Maturity = 10 years Semiannual interest payment N = 20 (10 years × 2)I/Y = 5% (10% ÷ 2)PMT = $31,500 ($630,000 × 9% ÷ 2)FV = $630,000When market rate is greater than the coupon rate, the bonds sell at a discount to par value. In this case, since the market rate is greater than the coupon rate, the bonds will be sold at a discount. We need to calculate the present value of the bonds.Using the formula,PV = PMT * [ 1 - 1 / (1+i)ⁿ ] / i + FV / (1+i)ⁿWhere PV = Present Value PMT = Periodic Interest Payment FV = Face Value i = Discount Rate per Period n = Total Number of Periods Applying the values in the formula,PV = $31,500 * [ 1 - 1 / (1+5%)²⁰ ] / 5% + $630,000 / (1+5%)²⁰PV = $497,491.25 + $185,487.12PV = $682,978.37Hence, the issue price of the bonds is $682,978.

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the purpose of mission, vision and value statements is not realized if the message is not understood. how many of the following are acceptable methods of transmitting the message?

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The purpose of mission, vision, and value statements is not realized if the message is not understood. The following are acceptable methods of transmitting the message: Verbal communication:

Verbal communication is the best way to communicate mission, vision, and values because it is interactive and encourages a two-way dialogue. Employees are more likely to ask questions about the company's direction and expectations when the information is delivered in person.Written Communication: Mission, vision, and value statements are often written in employee manuals, on the company's intranet, or in newsletters. While not as effective as verbal communication, this method can be beneficial because it provides a written record that employees can refer to later. Also, it is cost-effective and can reach a large audience quickly.Visual communication: Infographics, charts, and posters can help employees understand and remember a company's mission, vision, and values.

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a and b own property as community property. a dies, willing her property to c. the property would be owned by:

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The executor of the estate, who is typically named in the will, is in charge of ensuring that the deceased's assets are properly distributed.

In the case where a and b own property as community property, a dies, willing her property to c; the property would be owned by c as his/her separate property.

Community property is a type of asset ownership that is recognized in some states and countries. It refers to assets owned by a married couple that are treated as though they belong to both individuals equally, regardless of who earned or acquired them.It means that if one spouse dies, the other will automatically own half of the assets and the deceased spouse's half will be distributed according to their will or, if they don't have a will, state law.

Willing Property Will is a legal document that specifies how a person's property is distributed after their death. The testator may name one or more beneficiaries to inherit their property.

The executor of the estate, who is typically named in the will, is in charge of ensuring that the deceased's assets are properly distributed.

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nswer the following questions briefly (within 100 words):
(A.) Stocks Alpha, Beta and Gamma have exhibited CAPM beta of 0.5, 1.5, and -0.25 over the last five years. If the market return has been 12% and the risk-free rate is 5.5%, what are the expected returns from these stocks? Also, which of these stocks will offer the maximum diversification and why?
(B.) Let's say you have invested in a callable bond. Discuss how does it affect your reinvestment risk.

Answers

Expected returns for the three stocks are 6.5%, 13%, and 2.5%. A)Expected returns from Alpha, Beta, and Gamma can be calculated as follows:

Stock Alpha

Expected returns = Risk-free rate + (Beta x Market return – Risk-free rate)

Expected returns = 5.5% + (0.5 x 12% – 5.5%)Expected returns = 6.5%

Stock Beta

Expected returns = Risk-free rate + (Beta x Market return – Risk-free rate

)Expected returns = 5.5% + (1.5 x 12% – 5.5%)

Expected returns = 13%

Stock Gamma

Expected returns = Risk-free rate + (Beta x Market return – Risk-free rate)

Expected returns = 5.5% + (-0.25 x 12% – 5.5%)

Expected returns = 2.5%

Beta measures systematic risk, and high beta means high systematic risk. Stocks that have a higher beta will have a greater diversification benefit. Stock Beta, which has a beta of 1.5, will provide the most diversification benefit. The explanation for this is because the stock has a high systematic risk, it is more prone to market volatility, and it has a stronger correlation to market returns, allowing for greater diversification benefits.

B)Callable bonds are bonds that can be repaid before their maturity date. When interest rates decline, investors will exercise their right to call back the bonds and reissue them at a lower interest rate. The investor would then need to reinvest the bond's principal at a lower interest rate, lowering the investor's future returns. As a result, callable bonds increase the investor's reinvestment risk.

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Bridgeport Co. is building a new hockey arena at a cost of
$2,680,000. It received a downpayment of $500,000 from local
businesses to support the project, and now needs to borrow
$2,180,000 to complet

Answers

Bridgeport Co. is building a new hockey arena at a cost of $2,680,000. The company received a down payment of $500,000 from local businesses to support the project.

Bridgeport Co. needs to borrow $2,180,000 to complete the project. In order to finance this project, Bridgeport Co. can obtain a loan from the bank, issue bonds, or use some other means of financing. To obtain a loan, the company would need to apply for a loan from a bank. The bank would assess the company's creditworthiness before granting the loan.

The company would need to provide financial statements and other documents to prove its ability to repay the loan. The bank would then set the terms of the loan, such as the interest rate, repayment schedule, and other conditions. If Bridgeport Co. decides to issue bonds to finance the project, it would need to work with an investment bank to underwrite the bonds.

The investment bank would help Bridgeport Co. determine the terms of the bonds and sell them to investors. The interest rate on the bonds would depend on the creditworthiness of the company and the terms of the bond issue. In addition, Bridgeport Co. could use other methods of financing, such as equity financing or crowdfunding. Regardless of the method chosen, the company needs to carefully consider the terms and conditions of the financing and make sure it has a plan to repay the funds.

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Which of the following statements is true of the International Accounting Standards Board (IASB)?
Multiple Choice
All members of the Board should be from a single country.
The Board should contain 6 part-time members.
At least 13 members of the Board must have experience as auditors.
The Board consists of 16 members.

Answers

The statement that is true of the International Accounting Standards Board (IASB) is that "The Board consists of 16 members". The International Accounting Standards Board (IASB) is responsible for creating International Financial Reporting Standards (IFRS). The Board consists of 16 members, as per the statement that is true of the International Accounting Standards Board (IASB).

The IASB Board is responsible for creating International Financial Reporting Standards (IFRS), which are global accounting standards that aim to bring transparency, accountability, and efficiency to financial markets. The Board consists of 16 members, of which at least one must be from a developing country. Each Board member is selected for their professional skills and experience in financial reporting, auditing, financial analysis, or academia.The Board members work on a full-time basis, and their primary responsibility is to develop high-quality financial reporting standards that meet the needs of investors and other users of financial statements. They consult with various stakeholders, including investors, auditors, regulators, standard-setters, and the general public to ensure that their standards are relevant, up-to-date, and useful. In conclusion, the International Accounting Standards Board (IASB) is responsible for creating International Financial Reporting Standards (IFRS), and the Board consists of 16 members.

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The Centers for Medicare and Medicaid Services (CMS) implemented a
new approach to reimbursement starting in 2011 called value-based
purchasing. The goal was to reduce the amount of CMS payments
overa

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The Centers for Medicare and Medicaid Services (CMS) implemented a new reimbursement approach called value-based purchasing in 2011 with the goal of reducing CMS payments over time.

Value-based purchasing aims to shift the focus from quantity to quality in healthcare delivery. Providers are incentivized to meet or exceed performance measures related to patient outcomes, safety, and satisfaction. By linking reimbursement to performance, CMS seeks to encourage higher-quality care while controlling costs. This approach encourages healthcare providers to improve their processes and outcomes to receive financial rewards, ultimately leading to more efficient and effective healthcare delivery and a reduction in overall CMS payments.

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In 1992, South Central Los Angeles exploded into riots...again. Why? What had improved for black Americans in the city since the 1960s, and what problems remained? Or what new problems emerged? And what did these portend for the future of race and American cities?

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The 1992 riots in South Central Los Angeles, also known as the Los Angeles uprising, were sparked by the acquittal of four white police officers involved in the beating of Rodney King, a black motorist. However, the riots were not solely a response to this incident but were a result of deeper-rooted issues in the city. To understand why the riots occurred, it is important to consider the context of racial tensions, socioeconomic conditions, and systemic inequalities prevalent at the time.

Since the 1960s, there were both improvements and persisting problems for black Americans in Los Angeles. Some improvements included advancements in civil rights legislation, increased access to educational opportunities, and the rise of black political representation. These changes provided avenues for empowerment and social mobility for some black residents.

However, significant problems remained, particularly in marginalized communities like South Central Los Angeles. Economic disparities persisted, with limited job opportunities and high unemployment rates among black residents. Racial discrimination and police brutality continued to plague the community, leading to a strained relationship between law enforcement and black residents.

New problems also emerged over the years. The influx of drugs, particularly crack cocaine, into inner-city communities exacerbated social and economic challenges. Drug-related violence, gang activity, and the associated destabilization of neighborhoods further compounded the problems faced by black Americans in Los Angeles.

The riots served as a powerful expression of frustration and anger over these longstanding issues. They highlighted the deep-seated inequalities, racial tensions, and systemic injustices that were not adequately addressed. The riots exposed the underlying social, economic, and political dynamics that contributed to the marginalization of black communities.

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subject -HR MANAGEMENT
1. Why is performance evaluation important?
2. Discuss which appraisal method you might use for the following types of jobs.
# CEO
#HRM MANAGER
3. What are the important points of an improvement plan?

Answers

Performance evaluation is important for several reasons. Firstly, it helps to identify the strengths and weaknesses of an employee. Secondly, it provides an opportunity to communicate with employees about their job performance, discuss career goals, and to plan for development.

Performance evaluation helps the organization to identify high-performing employees who are suitable for promotion or future development. In order to evaluate the performance of the CEO, the 360-degree method may be used. This method is useful in assessing the CEO's performance as it involves feedback from all levels of employees. Similarly, for the HR Manager, the graphic rating scale appraisal method is appropriate. This is because the HR Manager's performance can be evaluated based on specific performance criteria. 

The improvement plan is an important aspect of the performance evaluation process. The improvement plan should identify the employee's strengths and areas that need improvement, provide specific and measurable objectives, and establish a timeline for achieving these objectives. The improvement plan should also include regular feedback sessions between the employee and the manager to assess progress, provide support, and address any issues that may arise. Additionally, the employee should be provided with resources and support to achieve the objectives identified in the improvement plan.

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Suppose a bakery purchases $400 in flour every month from accorn food distributors. After some investigation, accorn learns that the bakery purchases an additional $600 a month of flour from other vendors. The share of the customers held by aacorn is
a. 15 percent
b. 40 percent
c. 60 percent
d. 66 percent

Answers

The b. Accorn food distributors hold a 40% share of the bakery's flour customers.

What are the key factors to consider when evaluating a company's financial performance?

To calculate the share of customers held by Accorn food distributors, we need to determine the proportion of the bakery's total flour purchases that come from Accorn.

Total flour purchases from all vendors:

$400 (from Accorn) + $600 (from other vendors) = $1000

Share of customers held by Accorn:

$400 (from Accorn) / $1000 (total purchases) = 0.4 or 40%

Therefore, the correct answer is option b. Accorn food distributors hold a 40% share of the bakery's flour customers.

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true or false the mean squared error is obtained by computing the average of the squared forecast errors

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The statement "true or false the mean squared error is obtained by computing the average of the squared forecast errors" is true.

The mean squared error is a statistical tool used to measure the average of the squares of the errors or deviations that occur between the forecasted value and the actual observed value. The squared forecast errors are added together and then divided by the number of observations to obtain the mean squared error. The mean squared error is an important tool for evaluating the accuracy of a predictive model and is often used in the field of statistics. Mean squared error (MSE) is the mean of the square of the errors. It is a popular and widespread measure of forecast error. MSE provides us with a quantitative measure of how much our prediction deviates from the actual values.

In other words, it is a statistical tool used to measure the average of the squares of the errors or deviations that occur between the forecasted value and the actual observed value. MSE is obtained by computing the average of the squared forecast errors. The squared forecast errors are added together and then divided by the number of observations to obtain the mean squared error. MSE is the most commonly used measure of the difference between the predicted values and the actual values.

Therefore, it can be concluded that the mean squared error is obtained by computing the average of the squared forecast errors. The MSE provides us with a quantitative measure of how much our prediction deviates from the actual values. It is an important tool for evaluating the accuracy of a predictive model and is often used in the field of statistics.

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Consider this brief written description of a contract containing all material terms:
Buyer agrees to buy from Seller and Seller agrees to sell to Buyer the winter coat pictured here, (red, adult size L) for the sum of $65.00, COD when we meet outside of Hodge Hall this Saturday morning at 10:00 a.m. at the corner of 10th Street and Fee Lane, so long as Buyer is satisfied upon inspection. Once completed, the sale will be "As Is," no warranties, no returns.
List and label all the material terms, and explain why this writing reflects a binding contract.

Answers

Material terms: Buyer and Seller: The parties involved in the contract. Winter coat: The specific item being bought and sold. Description: The color (red) and size (adult size L) of the winter coat.

Price: The sum of $65.00. Payment terms: Cash on delivery (COD). Meeting location: Outside of Hodge Hall, at the corner of 10th Street and Fee Lane. Meeting time: Saturday morning at 10:00 a.m. Inspection and satisfaction: The condition of the winter coat must meet the Buyer's satisfaction upon inspection. "As Is" sale: The sale is final, with no warranties or returns. This writing reflects a binding contract because it includes all the essential elements of a contract, known as the material terms. It clearly identifies the parties involved, the specific item being bought and sold (winter coat), the price, payment terms, meeting location and time, inspection condition, and the terms of the sale. Additionally, the contract indicates the intent to create a legal agreement between the Buyer and Seller. The consideration, or the exchange of something of value (the winter coat for $65.00), is present, and the meeting time and location provide a specific framework for performance.

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You have estimated the following cash flows on a project:
Year Cash Flow to Equity (4)
0 -5,000,000
1 4,000,000
2 4,000,000
3 -3,000,000
Plot the NPV profile for this project. What is the IRR?
If the

Answers

To plot the NPV profile for the project, we need to calculate the Net Present Value (NPV) at different discount rates. The NPV is calculated by discounting each cash flow to present value using the given discount rate and then summing them up. The discount rate is the rate of return required by the investor.

Here is the calculation of the NPV at different discount rates:

Discount Rate: 0%

NPV = -5,000,000 + (4,000,000 / (1 + 0%)^1) + (4,000,000 / (1 + 0%)^2) + (-3,000,000 / (1 + 0%)^3)

NPV = 0

Discount Rate: 5%

NPV = -5,000,000 + (4,000,000 / (1 + 5%)^1) + (4,000,000 / (1 + 5%)^2) + (-3,000,000 / (1 + 5%)^3)

NPV = 2,366,413.67

Discount Rate: 10%

NPV = -5,000,000 + (4,000,000 / (1 + 10%)^1) + (4,000,000 / (1 + 10%)^2) + (-3,000,000 / (1 + 10%)^3)

NPV = 874,125.20

Discount Rate: 15%

NPV = -5,000,000 + (4,000,000 / (1 + 15%)^1) + (4,000,000 / (1 + 15%)^2) + (-3,000,000 / (1 + 15%)^3)

NPV = -486,694.56

Discount Rate: 20%

NPV = -5,000,000 + (4,000,000 / (1 + 20%)^1) + (4,000,000 / (1 + 20%)^2) + (-3,000,000 / (1 + 20%)^3)

NPV = -1,584,299.48

We can plot the NPV profile by plotting the discount rate on the x-axis and the corresponding NPV on the y-axis. Connecting the data points will give us the NPV profile.

As for the IRR (Internal Rate of Return), it is the discount rate at which the NPV of the project becomes zero. In this case, the IRR can be calculated using a financial calculator or Excel's IRR function. The IRR for this project is approximately 13.7%.

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Fill in the blank. the foundation of good performance management is ____________and choosing the best method(s) for measuring it.

Answers

The foundation of good performance management is the identification of what is important and choosing the bestmethod(s) for measuring it.

Performance management refers to the processes and systems established to monitor and measure an employee's productivity, progress, and overall contribution to a company. It is a continuous process of setting objectives, assessing progress, and providing feedback and support to improve the performance of individuals and teams.According to experts, the foundation of good performance management is the identification of what is important and choosing the best method(s) for measuring it.

This means that an organization should determine the critical success factors (CSFs) that are necessary for achieving its goals and then measure how well employees are doing in those areas.To establish the foundation of good performance management, an organization should perform the following tasks:a. . Identify the critical success factors (CSFs) that are necessary for achieving its goals.b . Determine the key performance indicators (KPIs) that are most relevant to those CSFs.c. Establish a method for measuring performance against the KPIs.d. Regularly monitor and assess employee performance against the established KPIs.e. Provide feedback and support to employees to improve their performance.In summary, the foundation of good performance management is the identification of what is important and choosing the best method(s) for measuring it. By following this approach, an organization can ensure that its employees are focused on the critical success factors necessary for achieving its goals.

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fairfield corporation issues 100,000 shares of $1 par value common stock for $10 per share. this transaction:

Answers

The given transaction is known as a primary issue of common stock.

Here, the Fairfield Corporation has issued 100,000 shares of $1 par value common stock for $10 per share. The total amount of money raised through this issue is $1,000,000 ($10 per share x 100,000 shares).

The issuance of new securities by a company to raise funds is known as the primary market.

Furthermore, the $10 per share price is higher than the par value of the stock, which means that the stock is being sold at a premium. The premium amount is calculated as the difference between the selling price and the par value of the stock. In this case, the premium is $9 ($10 - $1).

The share market is an essential platform for the issuance and trading of securities. The stock market provides a transparent and regulated environment for the buying and selling of securities. Once a company has issued shares in the primary market, those shares can be bought and sold by investors in the secondary market, which is the stock market.

In conclusion, the Fairfield Corporation issued 100,000 shares of $1 par value common stock for $10 per share, and the total amount of money raised through this issue is $1,000,000. This is a primary issue of common stock that took place in the primary market. The selling price of $10 per share is higher than the par value of $1, which means that the stock is being sold at a premium of $9. The share market provides a platform for the buying and selling of securities issued in the primary market.

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Fairfield Corporation is an entity that issues 100,000 shares of $1 par value common stock for $10 per share. This transaction can be recorded under the following account head:

Debit Cash:                                $1,000,000

Credit Common Stock:                                                   $100,000

Credit Additional Paid-in Capital:                                  $900,000

Here, the credit to common stock represents the total par value of the stock issued. The credit to Additional Paid-in Capital represents the excess of the issue price over the par value.

Common stock is the basic form of ownership in a corporation, as it represents the percentage of ownership of a shareholder in the company. It is denoted in par value, which is its nominal face value. In this case, the par value of the stock is $1.However, the fair market value of the stock is $10. This means that investors are willing to pay $10 to own a share in Fairfield Corporation. Therefore, when the company issues 100,000 shares of its common stock at $10 per share, it is receiving cash worth $1,000,000.Therefore, the transaction is recorded as a debit to cash account and credits to common stock and additional paid-in capital accounts. The credit to common stock represents the par value of the stock issued, which is $100,000. The remaining amount of $900,000 is credited to the Additional Paid-in Capital account. This represents the amount of money paid by investors over and above the par value of the stock, known as the paid-in capital.

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To test for unsupported entries in a sales journal, the direction of audit testing should begin with the a. shipping documents log. b. sales order log C. customer purchase orders d. sales journal.

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The correct answer is d. sales journal. To test for unsupported entries in a sales journal, the audit testing should start with the sales journal itself.

The sales journal is where all sales transactions are recorded, including relevant details such as the customer name, invoice number, date, and amount. By examining the sales journal, auditors can identify any unsupported or unusual entries, such as transactions without corresponding supporting documents.

Once any unsupported entries are identified in the sales journal, further audit testing can be performed, such as reviewing shipping documents, sales order logs, and customer purchase orders, to gather additional evidence and verify the accuracy and validity of the recorded sales transactions. However, the initial step in testing for unsupported entries is to analyze the sales journal itself.

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Floral Company has realized that its Mid-Atlantic division is not performing to expectations. Due to this, one of the managers from Floral Company has recommenced that the division be closed. Below if the most recent income statement of the division’s
Revenues: $365,000
Variable Expenses: $282,875
Contribution Margin: $82,125
Fixed Expenses:
Depreciation: $20,150
Supervisor's Salary: $67,500
Net Operating Income: $-5,525
There is no market for the assets being depreciated by the Mid-Atlantic division. The supervisor would as well be laid-off if the Mid-Atlantic Division were to close.
What is the financial disadvantage or advantage to closing the Mid-Atlantic division?

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The financial disadvantage of closing the Mid-Atlantic division is the loss of $5,525 in net operating income.

Closing the Mid-Atlantic division would result in a net operating income loss of $5,525. This loss represents the difference between the contribution margin ($82,125) and the fixed expenses ($87,650) of the division. While the division is not performing to expectations, it still generates some contribution margin that helps cover the fixed expenses. By closing the division, the company would no longer receive the contribution margin and would still have to bear the fixed expenses. Additionally, the closure would result in laying off the supervisor, which could have additional financial and human resource implications. Overall, the financial disadvantage of closing the division is the negative impact on net operating income.

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First, go back to the Study Plan for "Monopoly" and review the section on Monopoly and Antitrust Policy.
Then based on the following case study, what would you recommend as the best policy: should the Yum! corporation be allowed to own three fast food chains?
Use the following concepts:
The HHI index
Economies of scale
Monopoly profits
Choose from the following:
A) The merged ownership should have been permitted with no additional recommendations.
B) The merged ownership should not be permitted at all.
C) The merged ownership should be permitted with minor limitations (specify the limitations).
D) The merged ownership should be permitted with major limitation (specify the limitations).
The Yum! corporation owns the merged firms: KFC, Pizza Hut and Taco Bell
Market shares in the US are:
McDonalds 30% ($40,000,000,000 US revenue)
Starbucks 15%
Chick-Fil-A 7%
Taco Bell 7%
Burger King 7%
Subway 6%
Wendys 5%
Dunkin 5%
Dominos 4%
Pizza Hut 4%
KFC 3%
Sonic 3%
Arbys 2%
Dairy Queen 2%

Answers

The best policy recommendation for the Yum! corporation owning three fast food chains would be C) The merged ownership should be permitted with minor limitations.

Is it appropriate to allow the Yum! corporation to own three fast food chains?

Yes, the Yum! corporation should be allowed to own three fast food chains, but with some limitations.

While the Yum! corporation's ownership of KFC, Pizza Hut, and Taco Bell would result in a high concentration in the market, it does not necessarily lead to an outright monopoly.

To determine the potential impact on market competition, we can analyze the Herfindahl-Hirschman Index (HHI), which measures market concentration.

In this case, the HHI can be calculated by squaring the market shares of all the firms and summing them up.

Looking at the market shares provided, McDonald's holds the highest share at 30%, followed by Starbucks at 15%.

The combined market share of KFC, Pizza Hut, and Taco Bell amounts to 14%, which is lower than the market shares of McDonald's and Starbucks individually.

This suggests that the merger would not significantly increase market concentration to a level that poses immediate antitrust concerns.

Additionally, economies of scale may play a role in the decision.

The Yum! corporation's ownership of multiple fast food chains allows for the sharing of resources, such as supply chains, marketing, and infrastructure, leading to cost efficiencies and potentially lower prices for consumers.

This can be beneficial in a competitive market, as long as it does not lead to exclusionary practices that harm competition.

To ensure that market competition is maintained, some minor limitations should be imposed on the merged ownership.

These limitations could include periodic monitoring of market behavior, adherence to fair pricing practices, and restrictions on predatory tactics that could harm smaller competitors.

By implementing these limitations, the potential negative effects of market concentration can be mitigated, while still allowing the Yum! corporation to benefit from economies of scale and consumers to enjoy the advantages of a diversified fast food market.

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Do parts a, and b ( 10 points each) a. Identify the four types of market structures. What are the characteristics of the four types of market structure b. Draw the short-run ATC, AVC, MC, MR and Demand graphs for a perfectly competitive market experiencing a profit. In each part, show Total Cost (TC), Total Revenue (TR), shade the profit. Clearly label Q for the equilibrium quantity point and P for market price point.

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a. The four types of market structures are perfect competition, monopoly, oligopoly, and monopolistic competition, each with unique characteristics.

b. In a perfectly competitive market experiencing profit, the short-run ATC, AVC, MC, MR, and demand graphs intersect at equilibrium quantity (Q) and market price (P) points, with profit represented by the area above the equilibrium quantity and between the ATC and AVC curves.

a. The four types of market structures are:

1. Perfect competition: In this market structure, there are many buyers and sellers, homogeneous products, perfect information, ease of entry and exit, and no individual firm has control over the market price.

2. Monopoly: In a monopoly, there is a single seller or producer dominating the market, and there are no close substitutes for the product. The monopolist has significant control over the market price and can restrict entry into the market.

3. Oligopoly: Oligopoly is characterized by a small number of large firms dominating the market. These firms have interdependent decision-making and may engage in collusion or non-collusive strategies. Products can be differentiated or homogeneous.

4. Monopolistic competition: This market structure features a large number of sellers producing differentiated products. There is some degree of control over the market price, and firms engage in non-price competition, such as advertising or product differentiation.

b. In a perfectly competitive market experiencing profit, the short-run average total cost (ATC), average variable cost (AVC), and marginal cost (MC) curves will intersect at their respective points. The demand curve will intersect with the marginal revenue (MR) curve at the equilibrium quantity (Q) and market price (P) points. The profit will be represented by the area between the average total cost and average variable cost curves, above the equilibrium quantity.

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You want to start a new coffee business. Unless you are developing an exclusive product that will not be available at any other competitors such as Starbucks and Coffee Bean, chances to maximize profit margin is to implement ________.
Group of answer choices
yield Management
market skimming pricing
market penetration pricing
prestige pricing

Answers

To maximize profit margins in a coffee business, implementing yield management is crucial.

How can profit margins be maximized in a coffee business?

Yield management maximizes profit margin in a coffe bussiness. It is also known as revenue management, is a strategy that focuses on optimizing pricing and capacity to maximize profits. It involves dynamically adjusting prices based on factors such as demand, time of day, season, and customer behavior.

By leveraging data and analytics, yield management allows businesses to charge different prices for the same product or service, ensuring that they capture the maximum value from each customer segment.

Yield management involves understanding customer preferences, market demand, and pricing dynamics to determine the optimal price for products or services. By implementing yield management techniques, businesses can effectively balance supply and demand, ensuring maximum revenue and profitability.

This strategy is particularly valuable in the coffee industry, where competition is fierce and profit margins can be slim. Through careful analysis of customer behavior, businesses can identify peak and off-peak periods, adjust pricing accordingly, and offer promotions to drive sales during slower times. The goal is to optimize revenue generation while maintaining customer satisfaction and loyalty.

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Question 34 2 pts A company is considering investing in a project that requires a capital investment of $51,519 and is expected to generate cash inflows of $9,186 for each year for 6 years. The compan

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The company's net present value (NPV) for the project, assuming a discount rate of 10%, is approximately -$7,802.

To calculate the NPV, we need to find the present value of the expected cash inflows and subtract the initial capital investment. Using a discount rate of 10%, we can calculate the present value of each cash inflow for the 6-year period. Using the present value of an annuity formula, the present value of the cash inflows amounts to approximately $43,717. Next, we subtract the initial capital investment of $51,519 from the present value of cash inflows ($43,717). The resulting net present value is approximately -$7,802.

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nges to this answer, Question 5 of Question 5 10 points The South African government has embarked on a deep sea exploration project in search of oil. This is part of the government efforts to reduce reliance for fuel on global suppliers whose prices keep shifting and distabilises the economy. BP Shell has already discovered that there is enough oil to sustain viable operation and a willing to take the initiative. They are wiling to enter into a contract with the government. This is the first of its king and the exact nature, cost and its scope is not clearly understood. This is a highly risk project and the government is very keen to ensure that the project is a success. Contacta contract-risk analysis of the project citing the potential contract related risks that the company might come across in the project. [10] For the toolbar, press ALT+F10 (PC) or ALT+FN+F10 (Mac)

Answers

Contract-Risk [CSI] Analysis for the Deep Sea Exploration Project:

Ambiguity and Uncertainty: The lack of clarity and understanding regarding the exact nature, cost, and scope of the project could lead to potential contract-related risks.

Price Volatility: While the objective of reducing reliance on global suppliers is to stabilize the economy, the oil market itself is subject to price volatility.

Technological Challenges: Deep sea exploration is a complex and technically challenging endeavor. The project may encounter unforeseen technical difficulties, such as equipment failures, environmental factors, or difficulties in extracting oil from the deep sea.

Environmental and Regulatory Risks: Deep sea exploration carries inherent environmental risks, including the potential for oil spills and damage to marine ecosystems.

Operational and Logistical Issues: The project's success depends on efficient and effective operations, including logistics, supply chain management, and coordination between the government and BP Shell.

Geopolitical and Socioeconomic Factors: The success of the project may be influenced by geopolitical factors, including political stability, changes in government policies, or international disputes.

Contractual Disputes and Renegotiations: As the project progresses, there may arise the need for contract renegotiations due to changing circumstances, unforeseen challenges, or amendments to regulations.

Currency and Exchange Rate Risks: If the contract involves international transactions or payments in foreign currencies, fluctuations in exchange rates could impact the financial aspects of the project.

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Assignment Details:
Select a country of Qatar.
• Descriptive part of the assignment:
Write the political environment, economic environment and Hofstede's cultural dimensions of the country you select.
• Analysis part of the assignment:
In your own words analyse the managerial tendencies of the country based on the macro environmental factors prevailing in that country. The managerial tendencies includes the management functions i.e.: planning, organizing, controlling and directing. Your analysis should include that how the macro environmental factors impact and influence the managerial functions., or what managerial practices are followed due to the macro environmental factors of that country
Assignment Guideline:
Provide proper headings and sub headings for each factor.
All the In-text citations and End Reference should be in APA style

Answers

The political stability, strong government-business relations, collectivist culture, and emphasis on long-term orientation influence the planning, organizing, controlling, and directing functions of management.

Country: Japan

Descriptive Part:

Political Environment: Japan has a constitutional monarchy with a parliamentary government. The political system is characterized by stability and a strong emphasis on consensus building.

Economic Environment: Japan has the third-largest economy in the world and is known for its highly developed industrial and technological sectors.

Hofstede's Cultural Dimensions: a) Power Distance: Japan has a relatively high power distance, indicating a hierarchical society where people accept and respect authority and social status.

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A very new answer please, thank you.
What are the five types of powers? Can a leader exercise all the powers?

Answers

The five types of power are 1. Legitimate power, 2. Coercive power, 3. Reward power, 4. Expert power and 5. Referent power.

The five types of power are; legitimate power, coercive power, reward power, expert power and referent power. Yes, a leader can exercise all the powers. The following are the five types of power: 1. Legitimate power - It is the power that comes with the position or title that one holds in an organization. 2. Coercive power - This type of power is used to force others to comply with the orders given by the one holding the power. 3. Reward power - The ability to give someone what they want or to reward them is known as reward power. 4. Expert power - Expert power comes from a person's knowledge, skill, or expertise in a particular area. 5. Referent power - It is based on the charisma, personality, or likability of an individual.A leader can exercise all the powers. In some cases, leaders may have power because of their position in the organization, while in others, they may have power due to their personal qualities, such as their expertise or their ability to inspire others.

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See the cartoon below and discuss under what conditions this idea of 'de-humanization' might be useful? DOGBERT CONSULTS IT'S TOTALLY ETHICAL BECAUSE OUR CUSTOMERS WOULD DO THE SAME THING TO US IF THEY COULD. CUSTOMER DATA IS AN ASSET THAT YOU CAN SELL. Ja Dilbert.com DilbertCartoonist 10-13 10 2010 Scott Adama IN PHASE SOUNDS ONE, WELL FAIR. DEHUMANIZE THE ENEMY BY CALLING THEM "DATA"

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Dehumanization is the process of denying humanness to others. It's a form of social engineering that reduces someone's dignity and worth by considering them as objects or animals.

It might be useful to protect one's own self from getting emotionally attached while dealing with enemies, competitors, or dissimilar groups.In certain circumstances, this idea of dehumanization might be useful to prevent an individual from experiencing emotional discomfort and stress. By reducing the enemy to a mere dataset, it makes it easier to separate oneself from them emotionally. It enables an individual to rationalize his or her actions and have a more objective perspective on the issue. However, while it might be beneficial in the short term, dehumanization can have long-term detrimental effects. It may cause someone to lose empathy, concern, and trust, resulting in prejudice and discriminatory behavior. It is, therefore, necessary to distinguish between human beings and data, as the latter is solely a collection of statistics and figures, while the former is a living and breathing entity. Furthermore, one should evaluate whether the scenario necessitates dehumanization before acting on it.

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Where should a manager draw the line with regard to giving and receiving gifts? How much is too much? What do laws have to say about this? This will take a little creative thinking about organizational culture and state/federal laws. Remember to investigate New Hampshire!

Answers

Answer:

A reliable rule of thumb regarding workplace gift giving: Gifts should flow down the supervisory reporting line, not upward.

Explanation:

Unethical behavior can be defined as a lack of morals, principles; not willing to adhere to proper rules of conduct. A person or person’s actions aimed at taking advantage of another person or situation An ethical dilemma is a problem situation or opportunity that receives an individual, group, or organization.

It's important to consult with legal professionals or refer to specific laws and regulations in your jurisdiction, including the state of New Hampshire, for accurate and up-to-date information.

When it comes to giving and receiving gifts as a manager, it's essential to consider organizational culture, ethical considerations, and potential legal implications. Here are some general principles to keep in mind:

Organizational Policies and Culture:

Review your organization's policies: Many companies have specific policies regarding gifts, both giving and receiving. Familiarize yourself with these policies and ensure you comply with them.

Promote transparency: Encourage open communication within your team regarding gift-giving, so that everyone understands the expectations and boundaries.

Ethical Considerations:

Maintain fairness and impartiality: Avoid situations where the exchange of gifts could influence decision-making processes, such as promotions, pay raises, or project assignments. Treat all employees fairly and impartially.

Avoid conflicts of interest: Be mindful of any potential conflicts of interest that may arise from giving or receiving gifts. If a gift could create a perception of bias or compromise your professional judgment, it's best to decline it.

Legal Considerations:

Familiarize yourself with applicable laws: Different jurisdictions may have specific laws and regulations regarding gifts in the workplace. Consult legal resources or seek advice from legal professionals to understand the laws relevant to your location, including New Hampshire-specific regulations.

Anti-bribery and corruption laws: In many jurisdictions, including the United States, there are laws that prohibit bribery and corruption. These laws generally aim to prevent the exchange of gifts that may unduly influence business decisions or create conflicts of interest. It is important to comply with these laws and maintain ethical standards.

While I don't have access to the specific laws of New Hampshire, it's advisable to consult with legal professionals or refer to local labor and employment laws for detailed guidance on gift-giving practices within the state.

Remember, maintaining a transparent and fair environment, adhering to organizational policies, and complying with relevant laws and regulations are crucial when deciding where to draw the line with regard to giving and receiving gifts as a manager.

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Central banks can use monetary policy to:
a. turn prices from inflexible to flexible.
b. force private banks to lend out reserves.
c. make it less expensive for people and businesses to borrow.
d. mint new currency.
e. rewrite the government budget.
Short Answer Questions:

Answers

Central banks can use monetary policy to achieve various objectives and influence the overall economy. While all of the options provided in the question are not entirely accurate, options (a), (c), and (d) are more aligned with the role of central banks in monetary policy.

(a) Central banks can influence price flexibility through monetary policy. By adjusting interest rates, central banks can impact borrowing costs and influence consumer spending and investment. This, in turn, can affect the overall price level in the economy.

(c) Central banks can make borrowing less expensive for individuals and businesses by lowering interest rates. This is done to stimulate economic activity, encourage investment and consumption, and promote economic growth.

(d) Central banks do not mint new currency themselves. That task usually falls under the purview of government agencies responsible for printing and minting money. However, central banks have the authority to issue new currency in some cases, such as when replacing old or damaged notes.

It is important to note that central banks do not have the power to force private banks to lend out reserves (b) or rewrite the government budget (e). These actions are typically outside the scope of their authority and fall under the jurisdiction of fiscal policy and government decision-making processes.

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