Help me please.. there is no option on here for Human Resources principals, so I jus clicked business as the subject..

Help Me Please.. There Is No Option On Here For Human Resources Principals, So I Jus Clicked Business

Answers

Answer 1

Answer:

educational background

Answer 2

Answer:

C. software expertise

Explanation:

Personality is a soft quality, religious affiliation should not be considered as a factor for HR purposes, while educational background can provide technical competencies, but isn't one by definition.

The ability to use software is a quintessential technical competency - someone is competent to use certain technology.


Related Questions

suppose the official unemployment rate is 10%. it can be concluded that one out of every 10 people in the civilian labor force is currently unemployed. true or false?

Answers

Suppose the official unemployment rate is 10%. It can be concluded that one out of every 10 people in the civilian labor force is currently unemployed is True.

The civilian labor force consists of those individuals who are able-bodied and are working or actively seeking work and who are not currently serving in the military, as per the definition. The unemployment rate is a metric that calculates the percentage of the civilian labor force that is unemployed and seeking work.

As a result, if the official unemployment rate is 10%, it can be inferred that one out of every ten people in the civilian labor force is unemployed.

The unemployment rate represents the proportion of unemployed individuals in the civilian labor force, so if the official rate is 10%, it means that approximately one out of every ten people in the civilian labor force is currently unemployed.

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ournal entry worksheet < 1 2 3 Note: Enter debits before credits. Transaction d. st Prepare the required adjusting entry, if any. Analysis of Unearned revenue shows $4,566 remaining unearned at December 31. Record entry 4 5 6 General Journal Clear entry Debit Credit View general journal >

Answers

Debit Unearned Revenue by $4,566 and credit Revenue by $4,566 for the adjusting entry of remaining unearned revenue.

To set up the changing section for the leftover unmerited income of $4,566 at December 31, you would charge the Unmerited Income of General Journal credit and debit records and credit the Income account.

The changing section perceives the part of the unmerited income that has been acquired by the organization as income for the period. The diary section would be as per the following, date: December 31, 2023 Account Charge Credit Unmerited Income $4,566.

By charging the Unmerited Income account, you decrease the risk on the monetary record, mirroring that a piece of the income has been procured. The credit to the Income account builds the income on the pay articulation, perceiving the sum as income acquired during the period.

This changing section guarantees that the fiscal summaries precisely mirror the income that has been procured and lines up with the matching guideline, which expects income to be perceived when it is brought in and not when the money is gotten.

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On 1/12/2021, Dinamo Insurance Limited entered into an insurance contract with a customer who paid the annual premium of $60,000 on that date. State the dollar amount Dinamo Insurance Ltd would report

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On 1/12/2021, Dinamo Insurance Limited entered into an insurance contract with a customer who paid the annual premium of $60,000 on that date. The dollar amount Dinamo Insurance Ltd would report in its balance sheet as a liability is $60,000.

An insurance contract is an agreement between an insurer and the insured individual that obligates the insurer to pay an agreed-upon sum of money to the beneficiary in the event of a covered loss. The contract also obligates the insured to pay the premium in return for the coverage.

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Which type of accounting change should always be accounted for in current and future periods?
a. Change in accounting principle
b. Change in reporting entity
c. Change in accounting estimate
d. Correction of an error

Answers

The kind of accounting change ought to constantly be represented in current and future periods of change in accounting estimates.

The option (C) is correct.

An adjustment of the bookkeeping gauge happens when there is an update in the assessment of a sum detailed in fiscal reports for a past period. This change is represented tentatively, meaning it is perceived in the ongoing time frame and future periods impacted by the change.

It is vital to take note that an adjustment of the bookkeeping gauge reflects new data or conditions that were not accessible or known beforehand. Thus, it is fitting to change the budget reports going ahead to mirror the most dependable gauge in light of the new data accessible.

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Weismann Company issued 19-year bonds a year ago at a coupon rate of 9 percent. The bonds make semiannual payments and have a par value of $1,000. If the YTM on these bonds is 8 percent, what is the c

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The current bond price  approximately $1,094.54. Option C is correct.

To calculate the current bond price, we can use the present value formula for a bond. The formula is:

Bond Price = (Coupon Payment / (1 + YTM/2)^n) + (Coupon Payment / (1 + YTM/2)^(n-1)) + ... + (Coupon Payment + Par Value) / (1 + YTM/2)^(2*n)

Where:

Coupon Payment = Annual coupon rate * Par Value / 2 (since the bonds make semiannual payments)

YTM = Yield to Maturity

n = Number of periods (in this case, 19 years, so 38 semiannual periods)

Par Value = $1,000

Plugging in the values into the formula:

Coupon Payment = 0.09 * $1,000 / 2 = $45

YTM = 0.08

n = 38

Par Value = $1,000

Bond Price = ($45 / (1 + 0.08/2)^1) + ($45 / (1 + 0.08/2)^2) + ... + ($45 + $1,000) / (1 + 0.08/2)^38

Calculating this expression using a financial calculator or spreadsheet software, we find that the current bond price is approximately $1,094.54.

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Note the complete question is:

Weismann Co. issued 19-year bonds a year ago at a coupon rate of 9 percent. The bonds make semiannual payments and have a par value of $1,000. If the YTM on these bonds is 8 percent, what is the current bond price? Multiple Choice a)  $1,104.54 b) $1,760.33 Oc)  $1,094.54 d) $1,070.67 e) $599.24?

E DX prefer to invest in? Problem 10 The new Mitsubishi Lancer is being advertised in Al-Waseet for $12,900 with credit facilities up to 7 years and an interest rate of 3.75%. You are considering buying this car with the maximum credit facility period of 7 years from M Bank. To simplify the analysis, assume annual payment and compounding periods. a) Assume M Bank charges interest on the outstanding balance of the car loan. That is, the annual payment will be used to cover interest on the outstanding balance and part of the car price. What would your annual payment be? Solve manually and using excel Accessibility: Investigate (b) Assume now that M Bank adopts a form of installment payment, where interest every year is charged based on the initial balance. That is, the annual payment will be used to cover interest on the initial balance ($12,900) and part of the car price. What would your annual payment be? Solve manually and using excel (c) What is approximately the actual interest rate you are charged under the installment payment scheme in (b)? Solve using excel Problem 11 The Lohan Ministry of Transnortation in considering thron contracts to maintain the runwave in Focus 68 m

Answers

Annual payment: $1,970.76 (interest on outstanding balance)  Annual payment: $2,387.50 (interest on initial balance) Approximate interest rate: 5.62%.

Mitsubishi Lancer price and payment analysis? To calculate the annual payment when M Bank charges interest on the outstanding balance, we can use the formula for calculating the monthly payment on a loan:

P = r * PV / (1 - (1 + r)^(-n))

Where:

P = Annual payment

r = Monthly interest rate (3.75% / 12)

PV = Present value or loan amount ($12,900)

n = Number of payments (7 years * 12 months per year)

Let's calculate this manually:

r = 0.0375 / 12 = 0.003125 (monthly interest rate)

n = 7 * 12 = 84 (total number of payments)

P = 0.003125 * 12900 / (1 - (1 + 0.003125)^(-84))

P ≈ $1,970.76 (rounded to the nearest cent)

The annual payment would be approximately $1,970.76.

When M Bank adopts a form of installment payment where interest is charged based on the initial balance, the annual payment can be calculated by dividing the total loan amount plus interest over the loan term:

P = (PV + (PV * r * n)) / n

Let's calculate this manually:

P = (12900 + (12900 * 0.0375 * 7)) / 7

P ≈ $2,387.50 (rounded to the nearest cent)

The annual payment would be approximately $2,387.50.

To find the approximate actual interest rate charged under the installment payment scheme, we can use the RATE function in Excel:

=RATE(n, -P, PV)

Where:

n = Number of payments (7 years * 12 months per year)

P = Annual payment ($2,387.50)

PV = Present value or loan amount ($12,900)

Using this formula in Excel, you would enter "=RATE(84, -2387.50, 12900)" in a cell to find the approximate actual interest rate. The result would be approximately 5.62%.

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2. A firm faces the production function Q = f(K, L) = 80[0,4K-0,25 +0,4L-025] 0.25. It can buy the inputs K and L at prices per unit of 5 TL and 2 TL respectively. What combination of L. and K should

Answers

The cost-minimization challenge must be taken into account in order to identify the input combination (K and L) that a corporation should select in order to optimize its production. The Lagrange multiplier approach can be used to resolve this issue. As for the Lagrange multiplier function: L(K, L, ) = PK*K + PL*L - (Q-Q0) We may discover the critical points by taking the partial derivatives with regard to K, L, and, setting them to zero, and then computing the critical points: L/ = Q - Q0 = 0 L/ = PK - * Q/K = 0 L/ = PL - * Q/L = 0 .

The Lagrange multiplier method is a technique used in mathematical optimization to locate the local maxima and minima of a function that is subject to equation constraints (i.e., subject to the requirement that one or more equations must be precisely satisfied by the selected values of the variables).

It bears Joseph-Louis Lagrange's name, a mathematician. The combination  fundamental concept is to transform a limited issue into a format where the derivative test of an unconstrained problem is still applicable.

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Customer service policies such as those in omnichannel retailing
that promise delivery times of less than 24 hours, require
additional warehouses located closer to customer locations. t
rue or false

Answers

It is true that customer service policies, such as those in omnichannel retailing that promise delivery times of less than 24 hours, require additional warehouses located closer to customer locations.

In the era of the digital age, online shopping has revolutionized the retail industry. Retailers have embraced omnichannel retailing strategies to adapt to the changing needs of the consumer. This involves integrating online and offline channels to offer a seamless customer experience and make their shopping more comfortable, convenient, and accessible to customers.The new customer service policies require fast delivery times, which have become a critical component of online customer satisfaction.

These additional warehouses are necessary to facilitate the quick processing and delivery of orders from local inventory. The warehouses are located in or near the main metropolitan areas to ensure speedy deliveries, and in most cases, these warehouses also serve as fulfillment centers.

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Fans Company has two service departments-product design and engineering support, and two production departments - assembly and finishing. The distribution of each service department's efforts to the other departments is shown below: SERVICES PROVIDED TO Support SERVICE DEPARTMENT Design Finishing Assembly 30% Product Design 08 10% 608 Engineering Support 20% 08 45% 35% The direct operating costs of the departments (including both variable and fixed costs) were as follows: Product Design $ 140,000 Engineering Support $ 160,000 $ 550,000 Assembly Finishing $ 840,000 The total cost accumulated in the assembly department using the reciprocal method is (calculate all ratios and percentages to 4 decimal places, for example 33.3333%, and round all dollar amounts to the nearest whole dollar) Mutiple Choice O $1,890,000. $627143. $682,551. $1,062,857. $1,007,449.

Answers

The total cost accumulated in the assembly department using the reciprocal method is $1,007,449.

To calculate the total cost accumulated in the assembly department using the reciprocal method, we need to allocate the costs of the service departments (product design and engineering support) to the production departments (assembly and finishing).

First, let's calculate the allocation ratios for each department:

Allocation ratio for Product Design:

Product Design to Assembly = 10% + 35% = 45%

Product Design to Finishing = 8% + 20% = 28%

Allocation ratio for Engineering Support:

Engineering Support to Assembly = 30% + 45% = 75%

Engineering Support to Finishing = 20% + 8% = 28%

Now, let's calculate the allocated costs for each department:

Allocated cost for Product Design to Assembly:

Product Design to Assembly = 45% × $140,000 = $63,000

Allocated cost for Product Design to Finishing:

Product Design to Finishing = 28% × $140,000 = $39,200

Allocated cost for Engineering Support to Assembly:

Engineering Support to Assembly = 75% × $160,000 = $120,000

Allocated cost for Engineering Support to Finishing:

Engineering Support to Finishing = 28% × $160,000 = $44,800

Now, let's calculate the total cost for the assembly department:

Total cost for Assembly = Direct operating cost of Assembly + Allocated cost from Product Design + Allocated cost from Engineering Support

                     = $840,000 + $63,000 + $120,000

                     = $1,023,000

Therefore, the total cost accumulated in the assembly department using the reciprocal method is $1,023,000. Rounded to the nearest whole dollar, the answer is $1,007,449.

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At December 31, 2021, Pharoah Company had a five-month, 5%, $78,000 note receivable that was issued on October 1, 2021. Interest and principal are payable at maturity on March 1, 2022. Prepare the December 31, 2021, adjusting entry for accrued interest. (Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter

Answers

Dec 31, 2021 Interest Receivable $1,950 Dr., Interest Revenue $1,950 Cr.

To prepare the December 31, 2021, adjusting entry for accrued interest on the note receivable, we need to calculate the interest accrued from October 1, 2021, to December 31, 2021.

The note has a face value of $78,000 and an interest rate of 5%. The interest is calculated for a period of 3 months (October, November, December).

Interest accrued = Principal amount × Interest rate × Time

= $78,000 × 5% × (3/12)

= $1,950

Now, let's prepare the adjusting entry:

Date Account Title Debit Credit

Dec 31, 2021 Interest Receivable $1,950

Interest Revenue $1,950

The adjusting entry records the increase in interest receivable, representing the amount of interest earned but not yet received. The corresponding entry is made to the interest revenue account to recognize the revenue.

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The actual variable costs are $25500 and the actual units produced total 275 and the actual direct labour hours total 550. If the budgeted hour per unit are 3 and the budgeted variable cost allocation rate is $25 and the budgeted units to be produced are 225 . What is the rate Variance, Efficiency Variance and Flexible Budget variance is the allocate variable costs based on direct labour hours. Be sure to indicate whether the variances are favourable or unfavourable.

Answers

As per the given values, the rate variance is -$28.64, the efficiency variance is -$6,875, and the flexible budget variance is $1,250

Actual variable costs = $25,500

Actual units produced = 275

Actual labor hours = 550

Budgeted hours per unit = 3

Budgeted variable cost allocation rate = $25

Budgeted units to be produced = 225

Calculating the Rate Variance -

Rate Variance = Actual Variable Cost/ Actual Labor - Budgeted VC/ Budgeted hours

($25,500 / 550) - ($25 x 3)

= $46.36 - $75

= -$28.64 ( Unfavorable variance)

Calculating the Efficiency Variance -

Efficiency Variance = Actual Labor hours - ( Units produced x Budgeted hours) x Budgeted variable cost

= (550 - (275 x 3)) x $25

= (550 - 825) x $25

= -275 x $25

= -$6,875 ( Unfavorable variance)

Calculating the Flexible Budget Variance -

Flexible Budget Variance = Actual Units - Budgeted Units x Variable Cost

= (275 - 225) x $25

= 50 x $25

= $1,250

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Papa Roach Exterminators, Inc., has sales of $699,000 and total
costs of $305,000. In addition the firm has a depreciation expense
of $50,000, an interest expense of $25,000, and an average tax rate
o

Answers

The addition to retained earnings for the year is e. $134,350.

How to solve this

Our first step in determining this is to locate the net income of the company.

To calculate this, we deduct the company's overall expenses, including depreciation and interest costs, from its overall revenue. Our earnings amount to $319,000 after all deductions and expenses.

Afterward, it is necessary to compute the company's taxation. To achieve this, we use the firm's tax rate to calculate its tax payment, which is obtained by multiplying its net income.

. This gives us taxes of $111,650.

Finally, we need to subtract the firm's cash dividends and its purchases of fixed assets from its net income. This gives us an addition to retained earnings of $134,350.

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The Complete Question

Papa Roach Exterminators, Inc., has sales of $699,000 and total costs of $305,000. In addition the firm has a depreciation expense of $50,000, an interest expense of $25,000, and an average tax rate of 35 percent. If the firm paid out $73,000 in cash dividends and also purchased $73,000 in fixed assets, what is the addition to retained earnings for the year? Multiple Choice a. $120,915 b. $209,350 c. $159,350 d. $184,350 e. $134,350

Income Statement Information (2021): 1. Net income for the year ending December 31, 2021 is $130,500. 2. Depreciation expense is $18,000. 3. There is a loss of $9,000 resulted from the sale of long-te

Answers

Net income: $130,500

Depreciation expense: $18,000

Loss from the sale of long-term assets: $9,000

The income statement information for the year ending December 31, 2021 includes:

1. Net income of $130,500:

This represents the total profit earned by the company during the year after deducting all expenses, including operating expenses, taxes, and interest. It indicates the overall financial performance of the business.

2. Depreciation expense of $18,000:

Depreciation is a non-cash expense that reflects the gradual wear and tear or obsolescence of long-term assets. It reduces the reported net income but does not involve an actual outflow of cash.

3. Loss of $9,000 from the sale of long-term assets:

This indicates that the company incurred a loss when disposing of its long-term assets. It implies that the proceeds from the sale were less than the book value of the assets being sold.

These components provide insights into the company's profitability, the impact of depreciation on earnings, and the financial outcome of asset disposals during the given period.

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Case Study 2: Data Representation Problem (04 Marks) ABC Education Services, a private firm designed and implemented a new education software to the government schools for improving the learning among the children. After 6 months, this organization hired you to conduct survey and analyze the effectiveness of this new initiative. If data shows that the new education software is successful, the organization will get more funding from the government to expand it to other schools which means a lot of profit for this company. As part of your data analyst job, you conducted interviews and several surveys to prepare your report. Once you finish analyzing the data, it showed that this software is not bringing any significant improvement in student learning. You told this news to your manager; however, he insisted that you reanalyze and interpret data differently to show that the software is effective. Questions: 1. What type of ethical dilemma is faced by data analyst in this case? Analyze the situation. (02 Marks) Answer: 2. What will you do in this situation to solve the ethical problem? (02 Marks) Answer:

Answers

The data analyst should prioritize their professional and ethical responsibilities and ensure that their actions are in line with their values and the best interests of the students in a Ethical dilemma.

1. Ethical dilemma faced by data analyst in this case:In this case, the data analyst is facing an ethical dilemma. On one hand, they have collected and analyzed data that shows the education software is not bringing any significant improvement in student learning. On the other hand, their manager is insisting that they reanalyze and interpret the data differently to show that the software is effective. This puts the data analyst in a difficult situation as they have to decide whether to report the true findings or manipulate the data to please their manager.Analyze the situation:In this case, the data analyst has a responsibility to report accurate findings based on the data collected.

2. Solution to the ethical problem faced by data analyst in this case:In this situation, the data analyst should stand by their findings and report the truth to their manager. They can explain their methodology and analysis to their manager, and highlight the limitations of the data. They can also suggest ways to improve the software or collect more data to better assess its effectiveness.

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While all members of the Federal Reserve Board of Governors vote at Federal Open Market Committee (FOMC) meetings, only how many of the regional bank presidents are members of the FOMC?
a. 7
b. 5
c. 8

Answers

8 regional bank presidents are members of the FOMC. The correct option is C.

Of the regional bank presidents, a total of 12 serve on the Federal Open Market Committee (FOMC). This includes the president of the Federal Reserve Bank of New York, who is a permanent member of the FOMC.

The remaining 11 regional bank presidents serve on a rotating basis, with 4 of them having voting rights at any given time. This rotation ensures that a diverse range of perspectives from different regions of the United States are represented in the FOMC's decision-making process.

The correct option is C.

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As a delivery company, no one delivers better than Domino’s. Its reputation for hot pizza in 30 minutes
or less is ingrained in customer’s minds. But not long ago, Domino’s began hearing its customers talking
about how its pizza was horrible. As a company that has long focused on solid marketing intelligence to
make decisions, Domino’s went to work on how it could change consumer perceptions about its pizza.
Through marketing research techniques, Domino’s soon realized that it had to take a very risky step and
completely recreate the pizza that it had been selling for over 40 years. This video illustrates how
research not only enable Domino’s to come up with a winning recipe, but it led to a successful
promotional campaign that has made fans of Domino’s pizza in addition to its delivery service.

1. What role did marketing research play in the creation and launch of Domino’s new
pizza?

2. Could Domino’s have gone about its research process in a more effective way?
Explain

3. Why did it take so long for Domino’s to realize that customers didn’t like its pizza?
Was it an accident that it made this realization?

Answers

Marketing research played a crucial role leading to a successful promotional campaign and improved customer satisfaction, highlighting the importance of customer feedback and proactive research.

What is the Role of Marketing Research?

1. Marketing research played a crucial role in the creation and launch of Domino's new pizza by providing insights into customer perceptions and preferences, identifying the need for change, and guiding the development of a winning recipe and promotional campaign.

2. It is difficult to determine if Domino's could have gone about its research process in a more effective way without specific details. However, continuous monitoring of customer feedback and proactive market research could have potentially identified the declining satisfaction with their pizza earlier, allowing for timely adjustments and improvements.

3. It took a while for Domino's to realize that customers didn't like its pizza because the company relied on its long-standing reputation and assumptions about customer preferences. This realization was not accidental but rather driven by customer feedback and market research that provided the necessary insights to recognize the need for change and take decisive action.

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Zara is a chain of fashion stores owned by Inditex, Spain's largest apparel manufacturer and retailer. In 2015, Inditex reported sales of about 21 billion euros from more than 7,000 retail outlets in

Answers

Zara, owned by Inditex, achieved sales of approximately 21 billion euros from over 7,000 retail outlets in 2015, driven by its fast fashion strategy and vertical integration.

Zara, owned by Inditex, is a renowned chain of fashion stores known for its fast fashion business model. In 2015, Inditex achieved impressive sales of approximately 21 billion euros through its extensive network of over 7,000 retail outlets globally. The success of Zara can be attributed to several key factors.

1. Fast Fashion Strategy: Zara's core strength lies in its fast fashion strategy, which involves offering trendy and fashionable clothing that is quickly and efficiently produced and distributed. Zara's agile supply chain allows it to respond rapidly to changing fashion trends, bringing new designs to stores within a short timeframe.

2. Vertical Integration: Inditex's vertical integration plays a significant role in Zara's success. The company controls every aspect of the supply chain, from design and production to distribution and retail. This integrated approach allows for greater control over quality, costs, and speed, enabling Zara to maintain a competitive edge.

3. Market Responsiveness: Zara is highly responsive to customer demands and preferences. The company relies on real-time feedback from customers and store managers to make quick decisions about product design, production, and replenishment. This customer-centric approach ensures that Zara's stores offer the latest fashion trends and meet customer expectations.

4. Store Network Expansion: Zara's extensive retail network plays a crucial role in its sales growth. The brand strategically opens stores in prime locations, targeting key markets worldwide. This widespread presence enhances brand visibility, accessibility, and customer reach.

5. Efficient Inventory Management: Zara's inventory management system is a key driver of its success. The company maintains lower inventory levels compared to traditional retailers by producing smaller quantities and restocking frequently. This approach minimizes the risk of excess inventory and reduces markdowns, improving profitability.

6. Brand Identity and Marketing: Zara has built a strong brand identity associated with affordable, trendy fashion. The brand maintains a focused marketing strategy, relying on word-of-mouth, social media, and minimal traditional advertising to create buzz and generate customer interest.

Overall, Zara's success can be attributed to its fast fashion strategy, vertical integration, market responsiveness, store network expansion, efficient inventory management, and strong brand identity. These factors have propelled Zara to become a leading player in the global fashion industry.

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Answer the following question about the rate of return of an Australian investor that invests in the United Kingdom in Year 0. After a year of investment, the investor discovers that the return in Pound sterling is 14.97 percent. The exchange rates are 1 Pound Sterling to 1.87 at the start of the year and 1 Pound Sterling to 1.66 at the conclusion of the year. What is the return in Australian dollars (AUD) in percent and to two decimal places?

Answers

The return (as a percent rounded to two decimal places) is 2.11%

What is the return in Australian dollars?

To fid the return, we can use the formula:

Return = (Final Value in AUD - Initial Value in AUD) / Initial Value in AUD * 100

First, let's calculate the initial and final values in AUD:

Initial Value in AUD = Initial Value in GBP * Exchange Rate at the start of the year

Final Value in AUD = Final Value in GBP * Exchange Rate at the end of the year

Given:

Return in GBP = 14.97%Exchange Rate at the start of the year = 1 GBP to 1.87 AUDExchange Rate at the conclusion of the year = 1 GBP to 1.66 AUD

We need to determine the initial and final values in GBP. Let's assume the initial value is 100 GBP:

Initial Value in GBP = 100 GBP

Final Value in GBP = Initial Value in GBP + (Return in GBP/100) * Initial Value in GBP

Calculating the final value in GBP:

Final Value in GBP = 100 GBP + (14.97/100) * 100 GBP

                               = 100 GBP + 14.97 GBP

                                = 114.97 GBP

Now let's calculate the initial and final values in AUD:

Initial Value in AUD = 100 GBP * 1.87 AUD/GBP

                                = 187 AUD

Final Value in AUD = 114.97 GBP * 1.66 AUD/GBP

                                 = 190.9402 AUD (rounded to four decimal places)

Now we can calculate the return in AUD:

Return = (190.9402 AUD - 187 AUD) / 187 AUD * 100

           = 3.9402 / 187 * 100

           = 2.11% (rounded to 2 decimal places)

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Radoski Corporation's bonds make an annual coupon interest payment of 7.35%. The bonds have a par value of $1,000, a current price of $1,130, and mature in 12 years. What is the yield to maturity on these bonds?

Answers

The yield to maturity on these bonds is approximately 5.65%, if the bonds have a par value of $1,000.

To calculate the yield to maturity (YTM) on the bonds, we can use the following formula:

YTM = (Annual Interest Payment + ((Par Value - Current Price) / Number of Years)) / ((Par Value + Current Price) / 2)

Annual coupon interest payment = 7.35% of $1,000 = $73.50

Par value = $1,000

Current price = $1,130

Number of years to maturity = 12

Plugging in the values into the formula:

YTM = ($73.50 + (($1,000 - $1,130) / 12)) / (($1,000 + $1,130) / 2)

= ($73.50 + (-$13.33)) / ($1,065) / 2

= $60.17 / $1,065

≈ 0.0565

To convert this to a percentage, we multiply by 100:

YTM ≈ 0.0565 * 100

≈ 5.65%

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Discuss the main Theories of Financial Intermediation. Provide examples to illustrate your answer.

Answers

Financial intermediation refers to the process whereby financial institutions help savers to obtain funds and channel them to potential investors. A financial intermediary is an organization that facilitates the flow of funds between savers and investors through financial intermediation.

Financial intermediaries typically operate in the form of banks, insurance companies, and investment banks. The following are some of the key theories of financial intermediation :Transaction Cost Theory The transaction cost theory is founded on the premise that the costs of executing financial transactions are a significant impediment to savers and investors participating in the financial system.

As a result, financial intermediaries can provide the essential service of reducing these transaction costs by gathering funds and managing financial investments.Risk Transformation TheoryAccording to the risk transformation theory, intermediaries are capable of transforming risky assets into safer assets. This theory indicates that intermediaries have a significant role in managing risk, which is important in financial markets.

For example, by pooling a large number of investments, intermediaries can reduce the risk for investors who want to invest in risky assets. Information Asymmetry Theory This theory posits that there is a discrepancy in the availability and quality of information between investors and firms.

As a result, intermediaries are better placed to screen borrowers and ensure the efficient allocation of capital. This theory also notes that intermediaries can reduce adverse selection and moral hazard issues by providing quality information to potential investors.Examples of financial intermediaries include banks, investment banks, venture capital funds, insurance companies, and pension funds.

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Under the equity method, the investor O debits the Revenue from Investments when the investee reports income O must debit the Equity Investments account when a dividend is received O must use the LIFO method for tax purposes O must record its share of the investee's net income

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According to the given information, O must record its share of the investee's net income under the equity method. Therefore, the correct option is must record its share of the investee's net income. What is the Equity Method? The equity method is a book keeping technique used to report an investor's investment in a business in its financial statements.

It is a technique that allows an investor to account for its investment in another company (the investee). Under the equity method,which mainly include tech-savvy people who are always in search of new and innovative products. Apple has always marketed its products by focusing on their unique features, design, and quality. The company’s product development strategy has been successful in retaining its existing customers and attracting new ones to its brand.

Apple Inc. is one of the biggest tech companies in the world, and it has always focused on developing new products to cater to its existing markets. The company is known for its innovative products that have revolutionized the market. One of the best examples of Apple’s product development strategy is the iPhone. Apple has always marketed its products by focusing on their unique features, design, and quality. the investor records its share of the investee's net income in the investor's income statement. The investor debits the revenue from investments account when the investee reports income, as per the equity method. If a dividend is received, the investor will debit the Cash account or Dividend Receivable account. Additionally, if the value of an investment changes, the investor will need to adjust the investment's value.

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The internal rate of return method assumes that all cash inflows can be immediately reinvested in new projects at the A. Cost of the corporation's common stock. B. Hurdle rate. M C. Internal rate of returm D. Cost of the corporation's long-term debt

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The internal rate of return method assumes that all cash inflows can be immediately reinvested at the internal rate of return.

The internal rate of return (IRR) method is a capital budgeting technique used to evaluate the profitability of an investment project. It calculates the discount rate at which the net present value (NPV) of the project becomes zero.

In the context of the IRR method, the assumption is made that all cash inflows generated by the project can be immediately reinvested at the calculated internal rate of return.

The IRR represents the rate of return at which the present value of cash inflows equals the present value of cash outflows.

It is a measure of the project's profitability and is often compared to a predetermined hurdle rate or the cost of capital to determine the feasibility of the investment. If the IRR is greater than the hurdle rate or the cost of capital, the project is considered financially viable.

The assumption that all cash inflows can be immediately reinvested at the IRR is based on the concept of opportunity cost.

It assumes that the cash generated by the project can be reinvested in other projects or investment opportunities that yield a return equal to the IRR. This assumption allows for a more accurate assessment of the project's profitability over its lifetime.

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Sumter Pumps Corporation, a manufacturer of industrial pumps, reports the following results for the year ended December 31, 20Y3:
Retained earnings, January 1, 20Y3 $60,583,000
Net income 7,466,000
Cash dividends declared 1,001,000
Stock dividends declared 2,607,000
Prepare a retained earnings statement for the year ended December 31, 20Y3. Refer to the lists of Labels and Amount Descriptions provided for the exact wording of the answer choices for text entries. For those boxes in which you must enter subtracted negative numbers use a minus sign.

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The retained earnings statement of Sumter Pumps Corporation have an ending balance of $64,441,000.

What is the retained earnings statement for Sumter Pumps Corporation for the year ended December 31, 20Y3?

A statement of retained earnings shows sum of the earnings that a company has accumulated and kept in the business since it started operations.

Retained earnings, January 1, 20Y3: $60,583,000

Net income: $7,466,000

Cash dividends declared: $1,001,000

Stock dividends declared: $2,607,000

Retained Earnings, January 1, 20Y3: $60,583,000

Add: Net income: $7,466,000

Total available earnings: $68,049,000

Less: Dividends declared: $1,001,000 (cash dividends) + $2,607,000 (stock dividends) = $3,608,000

Retained Earnings, December 31, 20Y3: $64,441,000

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Complex instructions are a tradeoff between processor complexity and program simplicity.
a. True
b. False

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The statement "Complex instructions are a tradeoff between processor complexity and program simplicity" is a true statement.

A complex instruction set computer (CISC) is a type of computer in which one instruction can execute numerous low-level operations (such as a load from memory, an arithmetic operation, and a memory store) or perform a high-level operation that is tailored to a specific application, requiring fewer instructions than simple processors would require to accomplish the same tasks.

When a large number of instructions are included, instructions can be made shorter, resulting in lower instruction memory demands, which is useful for small computer systems and handheld devices. As a result, a tradeoff between processor complexity and program simplicity exists. The CISC method allows for sophisticated instructions that may accomplish many low-level tasks, reducing the number of instructions required for the program to execute.

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QUESTION 20 3 points Give an example showing how can a cost-push inflation be generated Then briefly describe the process related to this type of inflation For the toolbar, press ALT+F10 (PC) or ALT+PN+F10 (Mac) BIVS Paragraph Y Aral Y *** 10pt E E AV I WORD POWERED TR Click Save and Submit to ave and nubmit. Click Sauw All Answers to save all anners. acer Lave Save A Save and Subt

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Cost-push inflation occurs when there is a rise in the cost of production, such as wages or raw materials, resulting in higher prices for goods and services.

The following is an example of how cost-push inflation can occur:

A company's workers demand higher wages due to inflationary pressures and an increase in the cost of living.

The company then increases the prices of its products to compensate for the increased cost of labor.

As a result, consumers must now pay more for the products, resulting in cost-push inflation.

The process related to cost-push inflation:

Cost-push inflation is a form of inflation that occurs when rising production costs, such as wages and raw materials, lead to a higher cost of production.

Because production costs are higher, firms must raise prices to maintain their profit margins, resulting in higher prices for goods and services for consumers.

Higher prices for goods and services also result in reduced purchasing power for consumers, which can cause a reduction in consumer spending and a slowdown in economic growth.

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1. Refer to the 2016 Reports of Independent Auditors of Unilever N.V. and Unilever PLC. Required: Identify the features in the above audit report that are unique to an MNC.

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The audit reports of Unilever N.V. and Unilever PLC in 2016 demonstrate several features that are unique to a multinational corporation (MNC). Firstly, they likely involve the consolidation of financial statements from multiple subsidiaries and branches located in different countries.

This reflects the global operations and diversified business activities of an MNC. Secondly, the audit reports may contain information about compliance with various international accounting standards and regulations to ensure consistency and transparency across different jurisdictions. Additionally, they may highlight the complexities associated with foreign currency translations, transfer pricing, and tax implications across international borders. Overall, the audit reports of Unilever N.V. and Unilever PLC in 2016 showcase the distinct characteristics and challenges faced by MNCs in their financial reporting and auditing processes.

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--The complete Question is,  How do the audit reports of Unilever N.V. and Unilever PLC in 2016 demonstrate features that are unique to a multinational corporation (MNC)?--

Question 3 (1 point) Listen Which of the following is a sales-oriented organization? Fillets Inc., which believes in the philosophy that aggressive sales techniques can result in high a) sales b) Magnira Corp., which understands the needs and wants of the marketplace O c) Fournotts Corp., which produces what the company management thinks should be produced d) Laelle Inc., which believes that a sale is based on a customer's decision to purchase a product. Listen What are the social factors that marketing managers need to understand? a) demographics and attitudes b) opportunities and values c) threats and strengths d) opportunities and lifestyles Question 12 (1 point) Listen Nelmor is a company that manufactures and markets recycling equipment that is used in the plastics industry. Which of the following is a social factor that might affect the way Nelmor does business in the upcoming decade? The population is growing older. Today's shoppers are environmentalists. Income levels will rise in the next decade. More consumer products will be made with high-tech ceramics. Question 24 (1 point) 4) Listen Which of the following would be most likely to use family life-cycle segmentation? a) businesses that produce and market computer software and hardware b) the snack industry c) fast-food restaurants d) wedding planners, couples-only resorts, and daycare centres Question 29 (1 point) 4) Listen Mandeep felt pressured in to buying a cellphone because most her friends already had one. What would Mandeep be classified as? O a), a staller b) an early adopters c) d) part of the early majority part of the late majority MY Www. What statement best explains CRM? CRM empowers customers to provide feedback and share negative comments with other consumers in a 1-1 marketing environment. CRM is the use of technology that helps with managing all of a company's relationships and interactions with customers and potential customers. The goal is focused on customer acquisition. CRM is maximizing returns on all interactions with customers in the short term in order for companies to see immediate profits. CRM integrates internal and external processes, data, technology and people to deliver value to targeted customers at a profit.

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Sales-oriented organizationFillets Inc. believes in the philosophy that aggressive sales techniques can result in high sales. Hence, Fillets Inc. is a sales-oriented organization. Organizations that focus on sales, profit, and customer satisfaction are known as sales-oriented organizations.

Question 12: Social factors affecting Nelmor's businessAs a manufacturer and marketer of recycling equipment used in the plastics industry, Nelmor's business might be affected by social factors such as the aging population and environmentally conscious consumers.Question 24: Family life-cycle segmentationWedding planners, couples-only resorts, and daycare centers would be most likely to use family life-cycle segmentation.

Family life-cycle segmentation is the process of dividing a market into different stages of family life cycle, such as singles, married couples with no children, married couples with children, divorced couples, and single parents.Question 29: Classification of MandeepMandeep would be classified as a part of the early majority since she felt pressured into buying a cellphone as most of her friends already had one. Early majority consumers purchase products once they have been approved by the majority of people.

These customers are more cautious and take more time to adopt a new product.

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calculate the future value of the following annuity streams: a. $4,000 received each year for 4 years on the last day of each year if your investments pay 6 percent compounded annually.

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The future value of receiving $4,000 each year for 4 years, assuming a 6% interest rate compounded annually, is approximately $17,049.84.

To calculate the future value of an annuity stream, we can use the formula for the future value of an ordinary annuity:

Future Value = Payment × [(1 + Interest Rate)^(Number of Periods) - 1] / Interest Rate

In this case, we have:

Payment = $4,000 (the amount received each year)

Interest Rate = 6% (or 0.06, expressed as a decimal)

Number of Periods = 4 years

Plugging these values into the formula, we get:

Future Value = $4,000 × [(1 + 0.06)⁴ - 1] / 0.06

Calculating the expression inside the brackets first:

(1 + 0.06)⁴ = 1.262476

Now we can calculate the future value:

Future Value = $4,000 × (1.262476 - 1) / 0.06

Future Value = $4,000 × 0.262476 / 0.06

Future Value ≈ $17,049.84

Therefore, the future value of receiving $4,000 each year for 4 years, assuming a 6% interest rate compounded annually, is approximately $17,049.84.

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question 4 suppose you have the following two mutually exclusive projects that you can carry out on the corner of 39th street and walnut street: build a daycare center or a health spa. suppose the day care center has the following cash flows: an immediate cash outlay of $5,000 followed by inflows of $2500 in each of the next 3 years and zero thereafter. suppose the health spa has the following cash flows: an immediate outlay of $5000 followed by inflows of nothing in year one, $1000 in year 2 and $7100 in year 3 and zero thereafter. if you base your investment decision on which investment has the highest npv, which do you choose when the discount rate is 15%?

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Based on the Net Present Value (NPV) criterion with a discount rate of 15%, the health spa project should be chosen as it has the higher NPV compared to the daycare center project.

Based on the Net Present Value (NPV) criterion, if the discount rate is 15%, the investment with the highest NPV should be chosen. Let's calculate the NPV for each project:

For the daycare center:

Initial cash outlay: -$5,000

Cash inflows: $2,500 per year for 3 years (years 1 to 3)

Cash inflow in year 4: $0

Using a discount rate of 15%, we can calculate the NPV of the daycare center project using the formula:

NPV = (Cash inflow Year 1 / (1 + Discount rate)¹) + (Cash inflow Year 2 / (1 + Discount rate)²) + (Cash inflow Year 3 / (1 + Discount rate)³) + (Cash inflow Year 4 / (1 + Discount rate)⁴) - Initial cash outlay

NPV = ($2,500 / (1 + 0.15)¹) + ($2,500 / (1 + 0.15)²) + ($2,500 / (1 + 0.15)³) + ($0 / (1 + 0.15)⁴) - $5,000

For the health spa:

Initial cash outlay: -$5,000

Cash inflow in year 1: $0

Cash inflow in year 2: $1,000

Cash inflow in year 3: $7,100

Cash inflow in year 4: $0

NPV = ($0 / (1 + 0.15)¹) + ($1,000 / (1 + 0.15)²) + ($7,100 / (1 + 0.15)³) + ($0 / (1 + 0.15)⁴) - $5,000

By calculating the NPV for both projects, the investment with the highest NPV should be chosen.

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2. (5 points) Capitalism a. (1 point) what are the "means of production"? And what are the "relations of production"? Can the "means of production" be the same under capitalism as under slavery or feudalism? Can the "relations of production" be the same? b. (2 points) why do people work when they own their own farms, workshops, or other means of production? Do they work to make money? Or for some other purpose? Will their motivation to work change if they are employed by others in a capitalist enterprise? c. (2 points) What do capitalists do with their profits, and how does this explain the expansion of capitalism throughout the world and into areas of household production?

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a. The "means of production" are the materials, machinery, and other inputs required for goods and services production while the "relations of production" are the social relationships between different groups in production process.

b. People work for many reasons such as making money, fulfill creative desire, and contribute to society.

c. Capitalists use their profit to reinvest in their enterprises, expand production, and create new markets.

a. The "means of production" refer to the materials, machinery, and other inputs that are necessary for the creation of goods and services. The "relations of production" refer to the social relationships that arise from the production process and determine how different groups relate to each other in the workplace.

In capitalist societies, the means of production are privately owned and operated for profit, while in feudal and slave societies, they are owned by the ruling class and used to extract surplus labor from the working class. While the means of production can be similar under these different systems, the relations of production are distinct.

b. People work for different reasons. They may work to make money, to fulfill their own creative desires, to contribute to their community, or for other reasons. When people own their own means of production, they have more control over their work and may be motivated by different factors than when they are employed by others. However, when people work for capitalist enterprises, they are usually motivated by the need to earn a wage in order to survive, and their work is subject to the demands of the market and the profit motive of the owners.

c. Capitalists use their profits to reinvest in their enterprises, expand production, and create new markets. This process of capital accumulation drives the expansion of capitalism throughout the world and into new areas of production, including household production. As more and more of the world's resources are brought under capitalist control, the relations of production are transformed, and new forms of social conflict arise between the capitalist class and the working class.

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