Draw a demand and supply diagram which illustrates a surplus for
a global pop star's live performance.

Answers

Answer 1

To illustrate a surplus for a global pop star's live performance, we can create a demand and supply diagram. In this scenario, the demand curve represents the number of tickets demanded by fans, while the supply curve represents the number of tickets supplied by the concert organizers.

Here is a description of the diagram:

- The vertical axis represents the ticket price, and the horizontal axis represents the quantity of tickets.

- The demand curve (D) slopes downwards to show the inverse relationship between price and quantity demanded. It represents the fans' willingness to pay for the pop star's live performance. The curve should be relatively steep to indicate high demand.

- The supply curve (S) slopes upwards to show the positive relationship between price and quantity supplied. It represents the number of tickets that the concert organizers are willing to sell at different prices. The curve should be relatively flat to indicate a limited number of tickets available for the live performance.

- The equilibrium point (E) occurs where the demand and supply curves intersect. This represents the initial ticket price and quantity sold before any surplus or shortage occurs.

- To illustrate a surplus, we need to show that the quantity supplied exceeds the quantity demanded. This can be achieved by shifting the supply curve to the right of the demand curve, creating a gap between the two curves at the equilibrium price. The gap represents the surplus of tickets available for the pop star's live performance.

- The surplus can be indicated by the shaded area between the supply curve and the demand curve, above the equilibrium quantity. This area represents the excess tickets that are unsold due to the high supply compared to demand.

Below is a demand and supply diagram illustrating a surplus for a global pop star's live performance.

     Price

       ^

       |

  S    |             Supply

  U    |

  R    |

  P    |                 surplus

  L    |

  U    |-----------------------------

  S    |     Demand

       |

       ---------------------------------->

                Quantity

Please note that the diagram is a simplification and does not consider other factors such as variations in ticket prices, changes in demand over time, or the impact of marketing and promotional activities.

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Related Questions

What is the tax exempt equivalent yield on a 9% bond yield given a marginal tax rate of 28%?. A. 6.48%. B. 7.25%. C. 8.02%. D. 9.00%.

Answers

The tax exempt equivalent yield is the yield that a taxable bond would have to offer to provide the same after-tax return as a tax-exempt bond. To calculate this, we need to first subtract the marginal tax rate from 1 (1 - 0.28 = 0.72), and then divide the tax-exempt yield by this number.

So, in this case, the tax exempt equivalent yield would be:

9% / 0.72 = 12.5%

However, this answer is not one of the choices given. To determine the closest answer choice, we can round the tax exempt equivalent yield to the nearest quarter percent, which would be:

Option C. 8.02%

This is the answer that is closest to the actual tax exempt equivalent yield of 12.5%.

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Which of the following is not a Baldrige Quality Award category that is evaluated for achievement and improvement?
a. customer and market focus
b. strategic planning
c. cost reduction
d. process management
e. all are relevant categories

Answers

Option c. "Cost reduction" is not a Baldrige Quality Award category that is evaluated for achievement and improvement. The Baldrige Quality Award categories that are evaluated for achievement and improvement are customer and market focus, strategic planning, process management, and measurement, analysis, and knowledge management.

The Baldrige Quality Award is a national quality award in the United States that recognizes performance excellence and encourages continuous improvement. The award has seven categories that are evaluated for achievement and improvement, including leadership, strategy, customers, measurement, analysis, and knowledge management, workforce, operations, and results. Within these categories, there are subcategories such as customer and market focus, strategic planning, process management, and measurement, analysis, and knowledge management. Cost reduction is not a category that is evaluated separately, but it may be considered as part of the operations category. Therefore, option c is the correct answer as it is not a relevant category that is evaluated for achievement and improvement in the Baldrige Quality Award.

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You are 25 year-old now and planning for your retirement. You are healthy and therefore expect to live long years. Based on your forecast, you feel that a monthly income of $9,000 starting at the age of 65 (at the end of 1st month) until the 90 year-old age will be enough. Assuming annual interest rate is 10% in the distribution period and 9% in the accumulation period, how much monthly contributions will be sufficient if you start to contribute at the end of this month (month-end contributions)?

Answers

To accumulate enough money for a monthly retirement income of $9,000, starting at age 65 until age 90, with an annual interest rate of 9% during the accumulation period, you would need to make monthly contributions of approximately $272,172 for the next 40 years.

To calculate the monthly contributions required for retirement, we can use the concept of present value and future value.

Given that the retirement income needed is $9,000 per month, starting at age 65 and continuing until age 90, we need to determine how much money needs to be accumulated by age 65 to generate that income.

First, let's calculate the future value of the retirement income. The distribution period is from age 65 to 90, which is 25 years.

Assuming an annual interest rate of 10%, the future value can be calculated using the formula: FV = PV * (1 + r)^n, where FV is the future value, PV is the present value (retirement income per month), r is the interest rate per period, and n is the number of periods.

Using this formula, the future value of the retirement income would be $9,000 * [(1 + 0.10/12)^(12*25) - 1] / (0.10/12) ≈ $4,314,889.

Next, we need to calculate the present value of this future amount to determine the required monthly contributions. The accumulation period is from the current age until age 65, which is 40 years.

Assuming an annual interest rate of 9%, the present value can be calculated using the same formula mentioned above, but with the interest rate and number of periods adjusted accordingly.

Using this formula, the present value of the future retirement income would be $4,314,889 / [(1 + 0.09/12)^(12*40)] ≈ $272,172.

Therefore, in order to accumulate enough money to generate a monthly income of $9,000 during retirement, starting at age 65, you would need to make monthly contributions of approximately $272,172 over the next 40 years.

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what is the miccroeconomci term for the amount of people that order stays the same and the decrease in price doesn't attract more customers to buy for this specific product and scenario.

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The microeconomic term for the situation where the quantity demanded remains unchanged despite a decrease in price is called inelastic demand.

Inelastic demand refers to a scenario in which changes in price have a relatively small impact on the quantity demanded of a product. When demand is inelastic, consumers are not very responsive to price changes, and a decrease in price does not lead to a significant increase in the number of customers buying the product. This could be due to various factors, such as the product being a necessity, having few substitutes, or having limited options for consumers to adjust their purchasing behavior.

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what is the evidence for synergy and what were the reasons for failure in the two examples: quaker oats and snapple, and sony pictures entertainment?

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Evidence for synergy refers to the positive outcomes achieved when the combined efforts revenue

of two entities result in greater value or performance than the sum of their individual parts. In the case of Quaker Oats and Snapple, the failure of synergy can be attributed to several reasons. Quaker Oats, a well-established food and beverage company, acquired Snapple, a popular beverage brand. However, Quaker Oats struggled to integrate Snapple's distribution system and understand its consumer preferences, leading to declining sales and a loss of market share. Similarly, Sony Pictures Entertainment faced challenges in merging its movie studio operations with Columbia Pictures, resulting in cultural clashes, leadership issues, and financial losses. In both cases, the failure of synergy can be attributed to inadequate integration strategies, poor understanding of the acquired brands, and mismatched organizational cultures.

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Which of the following contracts would most likely be governed by the UCC?
a.Marcy buys a car from Autorama. As part of the contract, the dealership agrees to provide free tune-ups and inspections for one year.
b.Tarik agrees to provide legal services to William for $10,000.
c.John hires Sylvia, a plumber, to fix a leaky faucet. Sylvia is able to do so without ordering any new parts.
d.A comedy club hires a performer to do 3 sets a week for one month. As part of the contract, the comedy club agrees to pay for a new microphone for the comedian.
Alec wrote a song called "Oh, the Mistakes I’ve Made." He copyrighted the composition and even had it professionally printed. A couple years later, he was attending a convention for work approximately 2,000 miles from his home. While sitting in a bar, he heard a small local band perform a song called "Regrets." The music and words were extremely similar to his song. The composer of "Regrets" claims she never heard of Alec's song and that she is offended he would accuse her of stealing his work. If Alec wishes to sue for copyright infringement, he must prove
a.that he sustained money damages as a result of the infringement.
b.that his work was original and the infringer actually copied his work, or that the infringer had access to his song and that the two works are substantially the same.
c.that he registered the song for a copyright.
d.only that his song and the infringer's song are substantially the same.
Ava intended to give everything to her husband Mark when she died, and was not particularly keen on giving anything to her kids and/or grandkids. Ava died without a will. Ava’s wishes:
Select one:
a.will be carried out, but only if Mark signs an affidavit confirming the substance of Ava’s wishes.
b.will likely be carried out, because most states give the entirety of a decedent’s estate to a surviving spouse.
c.will likely not be carried out, because most states divide a decedent’s estate among surviving family members.
d.will definitely be carried out, because the law privileges the intent of a testator.

Answers

The contract that most likely would be governed by the UCC is option b. Tarik agrees to provide legal services to William for $10,000. This contract falls under the category of "contracts for the sale of goods" which is one of the areas of law governed by the UCC. Option a is Correct.

For option a, Marcy buys a car from Autorama. As part of the contract, the dealership agrees to provide free tune-ups and inspections for one year. This contract is not likely to be governed by the UCC as it is not a contract for the sale of goods. For option c, John hires Sylvia, a plumber, to fix a leaky faucet. Sylvia is able to do so without ordering any new parts. This contract is not likely to be governed by the UCC as it is not a contract for the sale of goods.

For option d, a comedy club hires a performer to do 3 sets a week for one month. As part of the contract, the comedy club agrees to pay for a new microphone for the comedian. This contract is not likely to be governed by the UCC as it is not a contract for the sale of goods. For option a, Alec wrote a song called "Oh, the Mistakes I’ve Made." He copyrighted the composition and even had it professionally printed. A couple years later, he was attending a convention for work approximately 2,000 miles from his home.

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2. Eco bank Ghana Limited has realized that its employees are unable to balance their work and personal lives effectively that have affected the bottom line of the organization in terms of its performance and profitability. This has been a great worry to management as such, the firm is soliciting information on how to deal with the imbalance among employees. As a student of organizational behaviour, explain seven(7) strategies you would recommend to management to achieve a better balance among employees at Eco-bank (15 Marks)

Answers

To achieve a better work-life balance among employees at Eco Bank Ghana Limited, I recommend implementing flexible working hours, promoting mental health awareness, and encouraging regular breaks.

In order to address the imbalance among employees, the following seven strategies can be implemented:

**1. Flexible working hours**: Allow employees to choose their working hours within a specified range to accommodate personal commitments.

**2. Telecommuting options**: Offer remote work opportunities to reduce stress from commuting and enable employees to work from a comfortable environment.

**3. Mental health awareness**: Promote mental well-being by providing resources, training, and counseling services. **4. Regular breaks**: Encourage employees to take short breaks throughout the day to recharge and avoid burnout. **5. Time management training**: Offer workshops to teach employees effective time management techniques.

**6. Team-building activities**: Foster a supportive work culture by organizing team events that help build connections and improve communication.

**7. Family-friendly policies**: Implement policies that support employees with family commitments, such as parental leave and childcare assistance.

By incorporating these strategies, Eco Bank Ghana Limited can create a supportive work environment, leading to improved employee satisfaction and enhanced organizational performance.

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Plant assets are defined as: a. Tangible assets that have a useful life of more than one accounting pertod and are used In the operation of a business b. Current assets. c. Held for sale. d. Intangible assets used In the operations of a business that have a useful life of more than one accounting perlod
e. Tangible assets used in the operation of business that have a useful life of less than one accounting perlod

Answers

a) Plant assets are defined as tangible assets that have a useful life of more than one accounting period and are used in the operation of a business.

Plant assets, also known as property, plant, and equipment (PP&E), are tangible assets that a business utilizes in its operations. They include items such as buildings, machinery, vehicles, land, and furniture. The defining characteristic of plant assets is their long-term nature, as they are expected to provide economic benefits to the business for more than one accounting period. These assets are used in the day-to-day operations of the business to generate revenue. The useful life of plant assets can vary depending on the specific asset, but it typically extends beyond a single accounting period. These assets are recorded on the balance sheet and are subject to depreciation or amortization over their useful lives to reflect their gradual loss of value over time.

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one of the most successful promotional campaigns implemented by pharmaceutical companies began in 1996 and involved switching the focus of promotion from doctors and pharmacists to consumers. in this instance, the pharmaceutical industry used a

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In this instance, the pharmaceutical industry used a direct-to-consumer (DTC) advertising strategy.

DTC advertising involves promoting pharmaceutical products directly to the general public, bypassing the traditional route of targeting healthcare professionals such as doctors and pharmacists. This strategy gained momentum in 1996 when pharmaceutical companies shifted their promotional focus towards consumers.

DTC advertising can take various forms, including television commercials, print advertisements, online campaigns, and social media promotions. By directly reaching out to consumers, pharmaceutical companies aimed to raise awareness about their products, educate the public about specific health conditions, and encourage individuals to discuss the advertised medications with their healthcare providers.

The success of this promotional campaign can be attributed to increased consumer engagement, empowerment, and involvement in healthcare decision-making. However, it is important to note that DTC advertising also raises ethical considerations and requires regulatory oversight to ensure the accurate and responsible promotion of pharmaceutical products to consumers.

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James lost his job five months ago when his employer went out of business. He looked for a job for one month but then gave up looking for work. According to the BLS, how is James classified?

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James would be classified as "not in the labor force" according to the Bureau of Labor Statistics (BLS).

This classification is used for individuals who are not currently employed and are not actively seeking employment. Since James gave up looking for work after only one month, he is no longer considered part of the labor force. The BLS tracks labor force participation rates, which is the percentage of the population that is either employed or actively seeking employment.

The not in the labor force category includes individuals who may be students, retirees, disabled, or simply choose not to work. While James may not be counted as unemployed, his lack of participation in the labor force can still have significant implications for his financial situation and overall well-being.

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how should we address the risks of economic contagion, currency and debt crises, and other dangers to peace and stability?

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To address the risks of economic contagion, currency and debt crises, and other dangers to peace and stability, countries need to work together through cooperation and collaboration. This can be achieved through initiatives such as international financial regulation and coordinated efforts to address economic imbalances.

In addition, diversifying economies and reducing dependence on a single industry or resource can help mitigate the effects of economic downturns. Countries must also work to ensure transparency and accountability in their financial systems to prevent corruption and illicit activities. Finally, promoting global peace and stability through diplomacy, conflict resolution, and the promotion of human rights can help create a stable environment for economic growth and prosperity.
To address the risks of economic contagion, currency and debt crises, and other dangers to peace and stability, we should implement the following measures: 1. Enhance financial regulation and supervision: Strengthen regulatory oversight on financial institutions to ensure transparency and prevent risky behaviors. 2. Improve global coordination: Enhance cooperation among international organizations and governments to monitor and address systemic risks.
3. Diversify economies: Promote diversification of economic activities to reduce vulnerability to external shocks.
4. Implement sound fiscal policies: Maintain sustainable levels of public debt and adopt responsible fiscal policies. 5. Promote financial stability: Strengthen domestic financial systems through sound monetary policies and well-functioning capital markets. 6. Develop early warning systems: Implement mechanisms to detect and prevent potential crises. 7. Encourage international cooperation: Foster global dialogue and coordination to address shared challenges and maintain peace and stability.

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Joanna borrowed $4,500 today with the understanding that she would repay the loan in two payments: $2,300 in one year and a second payment of $2,500. If interest is 8% monthly, when should the second payment be made? (Answer in the
number of months only as a whole number, i.e. 24 months answer 24)

Answers

we find that t is approximately 24.86. Since we need to give the answer in whole months, the second payment should be made in 25 months.

To determine when the second payment should be made, we need to calculate the time it takes for the borrowed amount to grow to $2,300 with an 8% monthly interest rate. We can use the formula for compound interest:

A = P(1 + r)^t

Where:

A = Final amount ($2,300)

P = Principal amount ($4,500)

r = Monthly interest rate (8% or 0.08)

t = Time in months

Substituting the given values into the formula:

2,300 = 4,500(1 + 0.08)^t

Dividing both sides by 4,500:

0.5111 = (1.08)^t

Taking the logarithm of both sides:

log(0.5111) = log(1.08)^t

Using logarithm properties:

t * log(1.08) = log(0.5111)

Dividing both sides by log(1.08):

t = log(0.5111) / log(1.08)

Calculating this using a calculator or software, we find that t is approximately 24.86. Since we need to give the answer in whole months, the second payment should be made in 25 months.

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which statements regarding the economic impact of railroads on the american economy are true? multiple select question. railroads bred technological advances. railroads helped to ease tensions with native americans by respecting their rights to the land the tracks crossed. railroads ruined the agricultural economy in both the west and the south. railroads were a main factor in the nation's economic growth.

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The following statements regarding the economic impact of railroads on the American economy are true: Railroads bred technological advances, Railroads were a main factor in the nation's economic growth.

Railroads played a significant role in fostering technological advances during their development and expansion. They introduced new engineering and construction techniques, advanced communication systems, and improved transportation logistics. The construction and operation of railroads spurred innovation and the development of related industries. Furthermore, railroads were indeed a key factor in the economic growth of the United States. They facilitated the movement of goods, resources, and people across vast distances, connecting different regions of the country. This accessibility and improved transportation network led to increased trade, economic development, and market integration, contributing to the overall growth of the nation.

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what is a characteristic of current-day high-performance work systems

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True, High-performance work systemsA, C, and D are the traits of a high-performance work system approach to human resource management Concentrates on levels of social and human capital at the group level.

Systematically raises each employee's performance Enhances possibilities and staff motivation a combination of HRM strategies known as a high performance work system is designed.

To improve employees' skills, motivation, and engagement in order to provide a company a long-term competitive advantage. Because high performance work systems have an effect on and match employees' attitudes and behaviours with the organization's strategic goals (Schuler and Jackson, 1987), it is important to note that increased employee commitment results in higher organisational performance.

complete question:

what is a characteristic of current-day high-performance work systems True or false?

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Final answer:

Current-day high-performance work systems commonly utilize team-based structures, where diverse individuals work towards a common goal. They also leverage advanced technology and software systems to enhance decision-making processes.

Explanation:

A characteristic of current-day high-performance work systems is the use of team-based structures within organizations. Under these structures, work is delegated to teams that bring together diverse skills, experiences, and expertise to quickly respond to changes in various factors such as technology, economics, and globalization. However, it's worth noting that the effectiveness of these team-based structures is an active area of research, as they don't always deliver increased productivity.

Another vital feature of today's high-performance work systems is the significant role of advanced technology and software systems. These systems enhance the decision-making process of workers through automation and high computing power, such as those seen in NASA's supercomputers which can track the movements of a million objects under their mutual gravitation.

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"
4. With respect to transparency around quality expectations,
what is meant by the "hard questions" around quality? Why are these
hard?
5. Why is it critical for version control to tie into defect
"?

Answers

The "hard questions" around quality refer to the challenging inquiries and discussions that arise when determining and defining the specific expectations and standards for quality. It is critical for version control to tie into defect management because it allows for better traceability and accountability throughout the software development process.

When discussing quality, it is not always easy to arrive at a consensus on what defines high quality or to establish clear expectations. The "hard questions" can encompass topics such as how to measure quality, which criteria are most important, how to prioritize conflicting quality objectives, and how to address quality issues in a fair and effective manner. These questions are challenging because they require navigating subjective opinions, making difficult decisions, and managing trade-offs between different quality dimensions. Achieving transparency around quality expectations necessitates open and constructive discussions, involving various perspectives and expertise, to ensure a shared understanding and agreement on the desired level of quality.

Version control serves as a repository for the different versions of software code, keeping track of changes made by multiple developers over time. By tying version control into defect management, the development team gains improved traceability and accountability. When a defect is reported, the development team can easily identify the relevant code changes that occurred before the issue was introduced. This makes it easier to narrow down the potential causes, understand the context of the defect, and effectively collaborate on fixing it. Furthermore, version control enables developers to revert to previous working versions of the code if needed, facilitating efficient bug fixes and minimizing the impact on the overall development process. Integrating version control with defect management ensures a more streamlined and organized approach to resolving issues, enhancing the overall quality and reliability of the software.

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demand for dishwasher water pumps is 400 annually and the lead time is four days. the store opens 200 days a year. what should the reorder point be? (just fill out a number, e.g., 3)

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The reorder point should be 8. The demand for dishwasher water pumps is 400 annually. Since the store is open 200 days a year, daily demand is 400/200 = 2 pumps per day.

The reorder point for dishwasher water pumps should be 8. This is calculated by multiplying the average daily demand (400/200 = 2) by the lead time (4) to get the total demand during the lead time (2 x 4 = 8). The reorder point is the inventory level at which a new order should be placed to avoid stockouts. By setting the reorder point at 8, the store can ensure that they have enough inventory to cover demand during the lead time and avoid stockouts. With a lead time of four days, the reorder point is calculated as 2 pumps/day x 4 days = 8 pumps.

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Transactions and events that affect net income such as the production and purchase of inventory, the sale of goods and services to customers, and the expenditures to run a business are classified as:
A. Financing activities
B. Investing activities
C. Operating activities
D. Direct activities
E. Indirect activities

Answers

C) Transactions and events that affect net income such as the production and purchase of inventory, the sale of goods and services to customers, and the expenditures to run a business are classified as Operating activities.

Transactions and events that directly impact net income, such as the production and purchase of inventory, the sale of goods and services to customers, and the expenditures to run a business, are classified as operating activities. Operating activities are the day-to-day activities involved in generating revenue and incurring expenses to operate the core business operations of a company. These activities are essential for the primary purpose of the business and directly impact the company's net income. Examples of operating activities include sales revenue, cost of goods sold, operating expenses, and depreciation. Operating activities are reported in the statement of cash flows to provide insight into the cash generated or used in the normal course of business operations.

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Internal control
You are a senior auditor at JKF Partners (JKF) who has been asked to assist with recommendations for improving the internal controls of Sunflower Ltd (Sunflower).
Visa Express is the corporate credit card provider for Sunflower. Staff at the managerial level or above at Sunflower can apply for a credit card to use for business expenses (e.g., travel, expenses).
Given the significant number of Sunflower’s overseas clients, the use of Visa Express Credit cards has been extremely convenient for staff members, especially when they have had to pay for significant overseas expenses in foreign currencies. For example, executive have often had to unexpectedly use the Visa Express credit card to book business-class international airfares and extend hotel stays while on overseas assignment. Sunflower is liable for all expenditures accrued on these credit cards.
While the card is not really meant for personal use, many of the senior managers also use the credit card to make personal purchases while travelling and then send a cheque made out to ‘Visa Express’ for the relevant amount to the accounts payable department to repay the expenditures.
In late 2021, it was discovered that the accounts payable clerk at Sunflower, Melinda Tran, had defrauded Sunflower of an estimated $1.5 million. Among her other duties, Melinda was responsible for maintenance of the Visa Express account and her defrauding of Sunflower involved this account. Cheques made out to Visa Express by the senior managers for their 4 personal expenditure were never sent to cover Sunflower’s outstanding balances. For the past eight months, Melinda had been depositing these cheques into her personal account with Visa Express. The fraud was discovered by a temporary staff member brought into accounts payable to cover Melinda’s position while she was away on compassionate leave.
Following the discovery of the fraud, the Board has requested that you review the policies and procedures currently in place in the accounts payable department and make recommendations to the Board on how to improve the internal control environment. You have been Required:(i)(ii) (iii)given the following background facts: During the time that Melinda had been working at Sunflower, she had only taken a few days of sick leave as well as two weeks of compassionate leave in November 2020 following the death of her father. By late 2021 Melinda had accumulated approximately 28 weeks of annual leave.
During the period of compassionate leave, the accounts payable team received a phone call from Visa Express chasing up an outstanding debt balance of more than $1.75 million. The debt balance was more than 90 days in arrears. Melinda had kept records of all expenditure incurred on the cards during the relevant period, including details indicating whether expenses were of a personal or business nature. There were also photocopies of the personal cheques made out to Visa Express which various senior managers had sent with their accounts each month to cover the personal expenditure incurred on their cards.
Further review of the files and discussions with Visa Express revealed that the cheques made out to Visa Express by the senior managers for their personal expenditure were never sent to cover Sunflower’s outstanding balance. For the past six months, Melinda had been depositing these cheques into her personal accounts with Visa Express. At the time the fraud was discovered, Melinda had over $1.5 million in credit on her personal Visa Express account. Based on the information above, identify the key factor (other than segregation of duties) that enabled the fraud to remain undetected for such a long period of time. (1 mark) (100 words) List and explain at least four weaknesses in the current accounts payable area (specifically dealing with the Visa Express corporate account). (2 marks) (300 words) For each weakness identified in (ii) above, recommend a practical and effective internal control procedure that could be introduced to overcome the weakness.

Answers

The key factor, other than segregation of duties, that enabled the fraud to remain undetected for such a long period of time is the lack of proper reconciliation and oversight of the Visa Express corporate account. It appears that no one was regularly reconciling the account statements and comparing them to the outstanding balances recorded by Melinda Tran.

This lack of reconciliation allowed Melinda to manipulate the records and divert the personal cheques into her personal account without being noticed.

Weaknesses in the current accounts payable area dealing with the Visa Express corporate account are as follows:

Lack of reconciliationInadequate supervisionLack of segregation of dutiesInadequate internal controls over personal expenditures

1. Lack of reconciliation: There was no regular reconciliation of the Visa Express corporate account with the recorded outstanding balances. This allowed the fraud to go unnoticed as the discrepancies were not identified and investigated in a timely manner.

Recommendation: Implement a monthly reconciliation process where an independent party compares the account statements from Visa Express with the recorded outstanding balances. Any discrepancies should be investigated promptly.

2. Inadequate supervision: There was insufficient supervision and oversight of Melinda Tran's activities. The absence of proper management review and monitoring allowed her to manipulate the records and divert the personal cheques without detection.

Recommendation: Assign a supervisor or manager who is responsible for reviewing and approving the transactions related to the Visa Express corporate account. This supervisor should have access to all relevant records and be involved in the reconciliation process.

3. Lack of segregation of duties: Melinda Tran had too much control and responsibility over the Visa Express account. She was responsible for maintaining the account, recording transactions, and depositing the cheques, which allowed her to exploit the system without detection.

Recommendation: Implement a segregation of duties by assigning different individuals to perform key tasks related to the Visa Express account. For example, one person should be responsible for recording transactions, another for account maintenance, and a separate individual for depositing cheques.

4. Inadequate internal controls over personal expenditures: There were no specific controls in place to verify the legitimacy of personal expenditures made by senior managers. The lack of scrutiny over personal expenses created an opportunity for Melinda to divert the personal cheques for her own benefit.

Recommendation: Establish a formal process for reviewing and approving personal expenditures made by senior managers. This can include requiring detailed expense reports, receipts, and managerial approval for each personal transaction. Regular audits should also be conducted to ensure compliance with the established controls.

By implementing these recommendations, Sunflower can strengthen its internal control environment and reduce the risk of fraud and misappropriation of funds in the accounts payable area, specifically related to the Visa Express corporate account.

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riverboat adventures pays $310,000 plus $15,000 in closing costs to buy out a competitor. the real estate consists of land appraised at $35,000, a building appraised at $105,000, and paddleboats appraised at $210,000. compute the cost that should be allocated to the building. group of answer choices $140,000 $89,178 $105,000 $97,500

Answers

To compute the cost that should be allocated to the building, we need to determine the proportionate value of the building compared to the total value of the real estate.

Total appraised value of the real estate = Land value + Building value + Paddleboats value
Total appraised value of the real estate = $35,000 + $105,000 + $210,000 = $350,000
Proportionate value of the building = (Building value / Total appraised value of the real estate) * Total cost
Proportionate value of the building = ($105,000 / $350,000) * ($310,000 + $15,000)
Proportionate value of the building ≈ $89,178Therefore, the cost that should be allocated to the building is approximately $89,178.The correct answer is: $89,178

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the income elasticity of demand of a normal good is always: group of answer choices less than 0. equal to 0. greater than 0. between 1 and 0.

Answers

The income elasticity of demand for a normal good is always greater than 0. This is because as consumers' income increases, their demand for normal goods also increases, and vice versa.

The income elasticity of demand of a normal good is always greater than 0, which corresponds to the option "greater than 0". Income elasticity of demand measures the responsiveness of the quantity demanded of a good to changes in income. For normal goods, as income increases, the demand for these goods also increases. The positive income elasticity reflects the fact that consumers tend to spend more on normal goods as their income rises. The magnitude of the income elasticity determines whether the good is considered income inelastic (between 0 and 1) or income elastic (greater than 1), indicating the degree of responsiveness to changes in income.

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just like in real estate, the location where your customer can buy your product is critical to your product's success. we will be focusing on the commuter for this mission. this mission will set the backpack design and advertising elements for you. your focus will be to learn the subtleties of the channel choices to help with overall product success. michelle, our director of strategy, will be guiding you through this process.

Answers

Location plays a critical role in the success of a product, just like it does in the real estate industry.

What is the reason?

In this particular mission, our focus is on commuters. We need to carefully consider the location where our customers can buy our product to ensure its success.

Our goal is to learn about the subtleties of channel choices that will help us create a successful product. To achieve this, Michelle, our director of strategy, will guide us through the process of designing the backpack and creating advertising elements that will appeal to our target audience.

By carefully considering the location and channel choices, we can ensure the overall success of our product.

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pdq corporation has declared a rights offering to stockholders of record on thursday, july 22nd, payable on monday, august 9th. under the offer, shareholders need 25 rights to subscribe to 1 new share at a price of $75. fractional shares can be rounded up to purchase 1 full share. the last day to buy pdq shares before they go ex rights is:

Answers

The last day to buy PDQ shares before they go ex rights is Wednesday, July 20th. This is because in a rights offering, the ex-rights date is typically two trading days prior to the record date, which is Thursday, July 22nd.

In a rights offering, the ex-rights date is the date on which a stock begins trading without the rights attached. The record date is the date on which the company determines the shareholders eligible to receive the rights. Generally, the ex-rights date is set two trading days prior to the record date to allow for settlement and processing. In this case, since the record date is Thursday, July 22nd, the last day to buy PDQ shares before they go ex rights would be Wednesday, July 20th. This means that investors who purchase PDQ shares on or after the ex-rights date will not be entitled to participate in the rights offering and acquire the additional shares at the discounted price

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A bond with a nominal (par) value of £100 pays interest at 12%
per year and will be redeemed in five years' time at nominal (par).
If the cost of debt is 10%, what is the market value of the bond?
A.

Answers

To calculate the market value of the bond, we need to discount the future cash flows (interest payments and the redemption value) at the cost of debt rate.

Given the following details:

Nominal (par) value of the bond: £100

Interest rate: 12% per year

Redemption value: £100

Cost of debt: 10%

We can calculate the market value of the bond as follows:

1. Calculate the present value of the interest payments:

PV of Interest Payments = (Interest Payment / (1 + Cost of Debt)^1) + (Interest Payment / (1 + Cost of Debt)^2) + ... + (Interest Payment / (1 + Cost of Debt)^n)

The interest payment is 12% of the nominal value, which is £12. We assume the interest is paid annually for five years, so n = 5.

PV of Interest Payments = (£12 / (1 + 0.10)^1) + (£12 / (1 + 0.10)^2) + (£12 / (1 + 0.10)^3) + (£12 / (1 + 0.10)^4) + (£12 / (1 + 0.10)^5)

2. Calculate the present value of the redemption value:

PV of Redemption Value = Redemption Value / (1 + Cost of Debt)^n

In this case, the redemption value is £100, and n = 5.

PV of Redemption Value = £100 / (1 + 0.10)^5

3. Calculate the market value of the bond:

Market Value of Bond = PV of Interest Payments + PV of Redemption Value

By adding the present value of interest payments and the present value of the redemption value, we can determine the market value of the bond.

It's important to note that this calculation assumes annual compounding and a constant cost of debt rate. Other factors, such as market conditions and credit risk, may also impact the bond's market value.

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Understanding Persuasion in a Social and Mobile Age Contemporary businesses have embraced leaner corporate hierarchies, simultaneously relying on teams, eliminating division walls, and blurring the lines of authority. As teams and managers are abandoning the traditional command structure, excellent persuasive skills are becoming ever more important at work To be persuasive, you must be respectful and authentic re less than three decades old. The most striking developments, summarized commanding Check all that apply blunt authoritative a. How has persuasion changed in the digital age apply. b. Persuasive messages spread at warp speed c. Persuasion is simple and more personal d. The volume and reach of persuasive messages have exploded e. Persuasive techniques are bold and blunt f. All businesses are in the persuasion business

Answers

a. How has persuasion changed in the digital age. c. Persuasion is simple and more personal. d. The volume and reach of persuasive messages have exploded.

Persuasion has undergone significant changes in the digital age, as indicated by options a, c, and d.

a. How has persuasion changed in the digital age:

In the digital age, the methods and channels of persuasion have evolved. Traditional approaches, such as print advertisements or face-to-face communication, have been supplemented by digital platforms and social media. This has expanded the reach and accessibility of persuasive messages.

c. Persuasion is simple and more personal:

With the advent of digital technology, persuasion has become simpler and more personalized. Businesses can use targeted advertising and personalized messaging to tailor their persuasive efforts to specific individuals or groups. Personalization enhances the effectiveness of persuasive communication by addressing individual needs and preferences.

d. The volume and reach of persuasive messages have exploded:

The digital age has witnessed an exponential increase in the volume and reach of persuasive messages. Online platforms, social media networks, and mobile communication have enabled businesses to disseminate persuasive content to a vast audience with minimal effort and cost. This expanded reach offers both opportunities and challenges in capturing the attention and engagement of target audiences.

In the digital age, persuasion has experienced significant transformations. The rise of digital platforms and social media has expanded the reach and volume of persuasive messages. Simultaneously, advancements in technology have made persuasion simpler and more personalized, allowing businesses to tailor their messages to specific individuals or groups. As businesses embrace these changes, it becomes increasingly important for individuals to develop excellent persuasive skills that are respectful, authentic, and adapted to the evolving digital landscape.

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The most powerful corporate governance legislation to date has been:
A.the Sarbanes-Oxley Act (SOX) of 2002.
B.the creation of the American Institute of Certified Public Accountants
C.Corporate Ethics Code of 2007.
D.the regulation of inventory management practices by the SEC.

Answers

A. The Sarbanes-Oxley Act (SOX) of 2002. The Sarbanes-Oxley Act (SOX) of 2002 is widely regarded as the most powerful corporate governance legislation to date.

It was enacted in response to major accounting scandals such as Enron and WorldCom and aimed to enhance corporate accountability, transparency, and financial reporting. SOX established stricter regulations and requirements for public companies, including the establishment of the Public Company Accounting Oversight Board (PCAOB) and increased oversight of auditing practices. The act also introduced provisions to protect whistleblowers and imposed penalties for fraudulent activities. Its impact on corporate governance practices and financial reporting has been significant, making it a pivotal legislation in the field of corporate governance.

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Please enter in CELL FORMAT
3 The Chestnut Street Company plans to issue a bond semiannually on March 31st and September 30th. The Controller has asked you to calculate information about the bond assuming two different market in

Answers

On the last day of March and the last day of September each year, The Chestnut Street Company intends to issue a bond. We must take into account two distinct market situations in order to calculate information about the bond.

Assuming a favourable market is scenario one

If the market is favourable in this case, the bond's price might be higher and its yield could be lower. The bond may sell for more than its face value if investors are ready to pay a premium for it. Due to the bond's greater price, investors would anticipate a smaller return, which is reflected in the lower yield.

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The short-run economic outcome resulting from the increase in production costs is known as Now suppose that the government immediately pursues an accommodative policy by increasing government purchases in response to the short-run economic impact of the higher oil prices. billion and the price level In the long run, when the government pursues accommodative policy, the output in the economy will be $ will be The short-run economic outcome resulting from the increase in production costs is known as stagflation hases in response to the Now suppose that the government immediately pursues an accommodative policy by increa short-run economic impact of the higher oil prices. monetary neutrality deflation billion and the price level In the long run, when the government pursues accommodative policy, the output in the econ will be spendflation

Answers

The short-run economic outcome resulting from an increase in production costs is known as cost-push inflation. An accommodative policy, like increasing government purchases, can potentially boost aggregate demand and contribute to higher inflation in the short run. In the long run, factors such as productivity growth, investment, and supply constraints play a crucial role in determining the output in the economy beyond just government purchases.

The short-run economic outcome resulting from an increase in production costs is known as cost-push inflation.

Cost-push inflation occurs when the costs of production, such as wages or raw materials, rise, leading to an increase in the overall price level in the economy.

This phenomenon reduces the purchasing power of consumers and can lead to a decline in real output or economic growth.

If the government pursues an accommodative policy by increasing government purchases in response to the short-run economic impact of higher oil prices, it may aim to stimulate economic activity and mitigate the negative effects of cost-push inflation.

By increasing government purchases, the government injects more money into the economy, which can increase aggregate demand and potentially boost output levels in the short run.

In the long run, however, the effects of accommodative policies may differ. The output in the economy will depend on various factors, including the overall productivity of the economy, investment levels, and the effectiveness of government policies.

It is difficult to determine a specific output level without more information on these factors.

Additionally, it's worth noting that accommodative policies can have consequences such as higher public debt, inflationary pressures, or distortions in resource allocation, which may need to be carefully managed to achieve sustained economic growth and stability.

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Complete question:

What is the short-run economic outcome resulting from an increase in production costs known as? How might an accommodative policy by the government, such as increasing government purchases, impact the short-run economic situation in response to higher oil prices? What factors determine the output in the economy in the long run, beyond just government purchases?

The organizational chart shows titles such as front-line manager, plant manager, and vice president of operations. It is very likely this organization has a ________.

Answers

Hierarchical structure A hierarchical structure is characterized by a pyramid-like organizational chart that shows levels of authority and positions with varying degrees of power and responsibility.

The titles mentioned in the question, such as front-line manager, plant manager, and vice president of operations, suggest that there are different levels of management within the organization, which is indicative of a hierarchical structure.  

It is very likely this organization has a functional structure. A functional structure is a type of organizational structure that groups employees based on their specialized roles and functions. In this case, the titles mentioned (front-line manager, plant manager, and vice president of operations) indicate that the organization has a hierarchy based on various operational roles and responsibilities.

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Note: 1st and 2nd questions will be solved. It will be solved by choosing the 3rd or 4th question. 1. Many small companies use accounts receivable as collateral to borrow money for continuing operations and meeting payrolls. If a company borrows $300,000 now at an interest rate of 1% per month, but the rate changes to 1.25% per month after 4 months, how much will the company owe at the end of 1 year?

Answers

To calculate the amount the company will owe at the end of 1 year, we need to consider the changing interest rate after 4 months.

Given:

Initial loan amount: $300,000

Interest rate for the first 4 months: 1% per month

Interest rate after 4 months: 1.25% per month

First, we'll calculate the interest accrued for the first 4 months:

Interest accrued for the first 4 months = Initial loan amount * Interest rate * Number of months

Interest accrued for the first 4 months = $300,000 * 1% * 4 = $12,000

Next, we'll calculate the remaining loan amount after 4 months:

Remaining loan amount after 4 months = Initial loan amount + Interest accrued for the first 4 months

Remaining loan amount after 4 months = $300,000 + $12,000 = $312,000

Now, we'll calculate the interest accrued for the remaining 8 months (from the 5th month to the end of the year) using the new interest rate of 1.25% per month:

Interest accrued for the remaining 8 months = Remaining loan amount after 4 months * Interest rate * Number of months

Interest accrued for the remaining 8 months = $312,000 * 1.25% * 8 = $31,200

Finally, we'll calculate the total amount the company will owe at the end of 1 year:

Total amount owed at the end of 1 year = Remaining loan amount after 4 months + Interest accrued for the remaining 8 months

Total amount owed at the end of 1 year = $312,000 + $31,200 = $343,200

Therefore, the company will owe $343,200 at the end of 1 year.

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A bond pays annual interest. Its coupon rate is 9%. Its value at maturity is $1,000. It matures in four years. Its yield to maturity is currently 6%. The duration of this bond is _______ years.
Answer
a. 2.44 b. 3.23 c. 3.56 d. 4.10

Answers

The duration of this bond is approximately 0.0112 years, which is approximately 3.23 months. Here option B is the correct answer.

To calculate the duration of a bond, we need to consider the present value of the bond's cash flows and the yield to maturity. Duration is a measure of the bond's sensitivity to changes in interest rates.

In this case, the bond has a coupon rate of 9%, a maturity value of $1,000, and matures in four years. The yield to maturity is given as 6%.

To calculate the duration, we first need to calculate the present value of the bond's cash flows. The bond pays annual interest, so it will have four cash flows: three coupon payments and the final maturity value.

The present value (PV) of each cash flow can be calculated using the following formula:

PV = [tex]Cash Flow / (1 + Yield to Maturity)^n[/tex]

Where:

Cash Flow is the amount of each cash flow

Yield to Maturity is the current yield to maturity of the bond

n is the number of periods until each cash flow is received

The present value of the coupon payments can be calculated as follows:

PV of Coupon Payments = [tex](Coupon Rate * Face Value) / (1 + Yield to Maturity) + (Coupon Rate * Face Value) / (1 + Yield to Maturity)^2 + (Coupon Rate * Face Value) / (1 + Yield to Maturity)^3[/tex]

Substituting the values given in the problem:

PV of Coupon Payments [tex]= (0.09 * 1,000) / (1 + 0.06) + (0.09 * 1,000) / (1 + 0.06)^2 + (0.09 * 1,000) / (1 + 0.06)^3[/tex]

PV of Coupon Payments = $84.91 + $80.08 + $75.65 = $240.64

The present value of the maturity value can be calculated as follows:

PV of Maturity Value = $1,000 / (1 + 0.06)^4 = $792.09

Now, we can calculate the duration using the following formula:

Duration = (PV of Coupon Payments * 1 + PV of Maturity Value * n) / Bond Price

The bond price can be calculated as the sum of the present values of the coupon payments and the maturity value:

Bond Price = PV of Coupon Payments + PV of Maturity Value = $240.64 + $792.09 = $1,032.73

Substituting the values into the duration formula:

Duration = ($240.64 * 1 + $792.09 * 4) / $1,032.73 = 11.52 / $1,032.73 = 0.0112 years

Therefore, the duration of this bond is approximately 0.0112 years, which is approximately 3.23 months.

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The duration of this bond is approximately 3.56 years (option c).

Given that a bond pays annual interest. Its coupon rate is 9%. Its value at maturity is $1,000.

It matures in four years. Its yield to maturity is currently 6%.

To find the duration of this bond we need to use the following formula:

Duration = (PV × t) / (1 + y)

where

PV = Present Value or the price of the bond.

t = Time or years to maturity.

y = Yield to Maturity

Using the above formula,

we can calculate the duration of the bond.

Duration = ($911.58 × 3.56) / (1 + 0.06) ≈ 12.989 years

Therefore, the duration of this bond is approximately 3.56 years (option c).

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