T/F The effects of overfishing cease immediately when fishing is stopped

Answers

Answer 1

False. The effects of overfishing can persist long after fishing has stopped, particularly if the affected species are slow-growing and slow-reproducing. Overfishing can lead to declines in fish populations, which can have cascading effects on the entire ecosystem.

The effects of overfishing do not cease immediately when fishing is stopped. Recovery from overfishing can take time, as fish populations need to replenish themselves and damaged ecosystems need to regenerate. The length of time for recovery depends on various factors such as the species affected, their reproductive rates, and the overall state of the ecosystem. Therefore, while stopping fishing is an essential step in addressing overfishing, it does not instantly resolve the issue.

For example, if a predator species relies heavily on a fish that has been overfished, the predator may suffer as well, as its food source becomes scarce. It can take years or even decades for fish populations to recover from overfishing, and in some cases, they may never fully recover. Therefore, the effects of overfishing are not always immediately reversible when fishing stops.

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Related Questions

Import quotas and tariffs produce some common results. Which of the following is not one of those common
results?
a. Total surplus in the domestic country falls.
b. Producer surplus in the domestic country increases.
c. The domestic country experiences a deadweight loss.
d. Revenue is raised for the domestic government.

Answers

The correct answer is (b) Producer surplus in the domestic country increases.

Import quotas and tariffs are both protectionist measures used by countries to limit the import of goods from foreign countries. These measures increase the price of the imported goods, making them less competitive with domestic goods. As a result, consumers in the domestic country end up paying more for the same product, and some of the demand for the imported product may shift to domestic alternatives. This leads to a decrease in the total surplus in the domestic country, which is the sum of consumer and producer surplus. Additionally, the country may experience a deadweight loss, which is a net loss of economic welfare due to the reduction in trade. Finally, tariffs generate revenue for the domestic government, but this revenue comes at the expense of consumers who end up paying higher prices. Therefore, (b) Producer surplus in the domestic country increases is not a common result of import quotas and tariffs.

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ISO 14000 suggests that there will be 3.4 defects, deficiencies, or errors per one million opportunities. a. true b. false

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This is true because an ISO 14000 is a standard for environmental management systems. However, it also includes guidelines for quality management. One of these guidelines is related to defect management.

According to ISO 14000, the acceptable defect rate is 3.4 defects, deficiencies, or errors per one million opportunities. This means that for every million products or management services delivered, only 3.4 defects are acceptable. Therefore, the statement ISO 14000 suggests that there will be 3.4 defects, deficiencies, or errors per one million opportunities is true.

ISO 14000 is a series of environmental management standards aimed at helping organizations minimize their negative impact on the environment and improve their environmental performance. The statement regarding 3.4 defects, deficiencies, or errors per one million opportunities actually refers to the Six Sigma methodology, which focuses on process improvement and reducing variation in product quality.

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When assessing cultural intelligence,there are four factors that are considered when looking at behavior,awareness,and knowledge.Which of the following factors reflects a person's self-efficacy to adjust to different cultures?
A)Metacognitive CQ
B)Cognitive CQ
C)Motivational CQ
D)Behavioral CQ

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The factor that reflects a person's self-efficacy to adjust to different cultures is D. Behavioral CQ

Behavioral CQ refers to an individual's ability to adapt their behavior effectively in cross-cultural situations. It reflects their confidence and self-efficacy in adjusting their actions, communication style, and behaviors to interact successfully with individuals from different cultural backgrounds.

While Metacognitive CQ (A) refers to an individual's awareness and ability to plan and monitor their own cultural interactions, Cognitive CQ (B) refers to their knowledge and understanding of different cultures, and Motivational CQ (C) refers to their interest, drive, and willingness to engage with diverse cultures, it is Behavioral CQ that specifically relates to a person's ability to adjust and adapt their behavior in cross-cultural contexts.

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Propose a new derivative product
New derivative products are introduced into the market every day.
Some products are not necessarily traded on the exchange such as forward contracts.
In this task each student is asked to design a new derivative product.
You are not required to use exchange traded assets as underlying assets, but the fair price of the asset should be available. Try to come up with original ideas.

Answers

Climate Risk Index Futures offer investors a unique tool to manage climate risk exposure and contribute to a more resilient and sustainable financial system.

Introducing the "Climate Risk Index Futures": a new derivative product designed to help market participants manage climate-related risks. The underlying asset for this derivative is the Climate Risk Index, which measures the vulnerability of a specific geographical region to climate change.

Climate Risk Index Futures allow investors to hedge against or speculate on the impact of climate-related events on specific regions. The fair price of the Climate Risk Index is determined based on historical climate data, projected climate trends, and other relevant factors. This derivative provides a unique tool for investors to manage climate risk exposure in their portfolios, as well as for insurers to hedge their climate-related liabilities.

Market participants can take long or short positions on Climate Risk Index Futures, depending on their outlook on the climate vulnerability of specific regions. This product opens up new opportunities for risk management and investment strategies in response to the increasing importance of climate change in financial decision-making.

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higher unemployment insurance benefits tend to increase unemployment because they group of answer choices reduce the opportunity cost of job search and, hence, increase the search time. increase the opportunity cost of job search and, hence, increase the search time. reduce the opportunity cost of job search and, hence, decrease the search time. increase the opportunity cost of job search and, hence, decrease the search time.

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When discussing the impact of unemployment insurance benefits on unemployment, it is important to consider the concept of opportunity cost.

Opportunity cost refers to the benefits foregone by choosing one option over another. In this case, the opportunity cost of job search refers to the potential earnings that could be made by an individual if they were to take a job, versus the benefits received from unemployment insurance while they continue to search for a job.
Higher unemployment insurance benefits can potentially reduce the opportunity cost of job search, as individuals may be able to receive comparable benefits to what they would earn in a low-paying job. This can lead to individuals spending more time searching for a job, as they may not feel the pressure to take a lower-paying job in order to make ends meet.
On the other hand, higher unemployment insurance benefits can also potentially increase the opportunity cost of job search, as individuals may not want to give up their benefits in order to take a job that pays only slightly more. This can lead to individuals being less motivated to actively search for a job.

Overall, the impact of unemployment insurance benefits on unemployment is complex and can vary depending on individual circumstances. However, it is clear that the concept of opportunity cost plays a significant role in this relationship.

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The company presently operates the machine for a single eight-hour shift for 22 working days each month. Management is thinking about operating the machine for two shifts, which will increase its productivity by another eight hours per day for 22 days per month. This change would require $8,500 additional fixed costs per month. (Round hours per unlt answers to 1 declmel place. Enter operating losses, If any, as negative values.) 1. Determine the contribution margin per machine hour that each product generates. Product G Product B Contribution margin per u nit Contribution margin per machine hour Product G Product B Total Maximum number of units to be sold Hours required to produce maximum units 2. How many units of Product G and Product B should the company produce if it continues to operate with only one shift? How much total contribution margin does this mix produce each month? Product G Product B Total Hours dedicated to the production of each product Units produced for most profitable sales mix Contribution margin per u Total contribution margin- one s nit 3. If the company adds another shift, how many units of Product G and Product B should it produce? How much total contribution margin would this mix produce each month? Product G Product B Total Hours dedicated to the production of each product Units produced for most profitable sales mix Contribution margin per u Total contribution margin two shifts nit

Answers

By adding another shift would increase the total contribution margin by $88,000 ($176,000 - $88,000 = $88,000) per month.

To determine the contribution margin per machine hour for each product, we need to divide the contribution margin per unit by the hours required to produce one unit.

For Product G:
Contribution margin per unit = $20
Hours required to produce one unit = 2
Contribution margin per machine hour = $10 ($20/2)

For Product B:
Contribution margin per unit = $12
Hours required to produce one unit = 1
Contribution margin per machine hour = $12
Total contribution margin per machine hour for both products = $22

If the company adds another shift, they could produce an additional 8000 machine hours. The most profitable sales mix would be to produce 4000 units of Product G and 8000 units of Product B.

Product G:
Contribution margin per unit = $20
Units produced = 4000
Contribution margin for Product G = $80,000

Product B:
Contribution margin per unit = $12
Units produced = 8000
Contribution margin for Product B = $96,000
Total contribution margin for two shifts = $176,000

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at abc manufacturing, employees are grouped according to their location. all employees working in north america are in one department, all employees in europe are grouped in another department, and similarly, employees working in asia and south america are in their respective departments. which of the following structures does abc manufacturing use?functionalclient-basedproductgeographic

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At ABC Manufacturing, employees are grouped according to their location, such as North America, Europe, Asia, and South America. This indicates that ABC Manufacturing uses a geographic structure.

The use of a geographic structure can offer several benefits and align with specific organizational needs:

Localized Decision-making: By grouping employees based on geographic regions, ABC Manufacturing can empower local teams to make decisions that are better suited to their specific market or operational conditions.

This approach recognizes that different regions may have unique challenges, cultural differences, and market dynamics that require localized expertise and decision-making authority.

Efficient Resource Allocation: A geographic structure allows ABC Manufacturing to allocate resources effectively across different locations.

By having separate teams or divisions for each geographic area, the organization can tailor resource allocation strategies, such as staffing, budgeting, and supply chain management, to meet the specific demands and opportunities presented by each region.

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1a. Open Inc. has decided to raise $50 million to finance new projects and acquisitions over the next five years. The current capital structure based on market value is as follows: 40% debt, 10% preferred stock and 50% equity. Their investment banker has provided the following cost estimates for the above financing. i. Debt: They will be able to issue 20-year 10% annual coupon bonds and receive $1,091.29 per $1000 face value bond. ii. Preferred Stock: They will be able to issue perpetual preferred stocks by paying $160 dividends per year and receive $1,000 per face value of $1,000. iii. Common Stock: The market is expected to make the following projections when estimating the cost of equity. The beta of the firm will be 1.3, the risk-free rate will be 8% and the market risk premium is 10%
1a. If the firm maintains the same capital structure what is the weighted average cost of capital (WACC) if the marginal tax rate is 30%?
1b. What should be the risk-free rate if the wish to have WACC of 14.92%?

Answers

If the firm maintains the same capital structure the weighted average cost of capital (WACC) if the marginal tax rate is 30% and the required risk-free rate to achieve a WACC of 14.92% is 13.92%.

1a. To calculate the weighted average cost of capital (WACC), we need to determine the cost of each component of the capital structure and their respective weights.

Given:

Debt: 40%

Preferred Stock: 10%

Equity: 50%

Marginal tax rate: 30%

i. Debt:

The cost of debt can be calculated using the yield to maturity (YTM) of the bonds. The YTM is the rate of return anticipated on the bond if held until maturity. Here, the YTM is 10%, and the bonds are priced at $1,091.29 per $1,000 face value.

Cost of Debt = YTM * (1 - Marginal Tax Rate) = 10% * (1 - 0.30) = 7%

ii. Preferred Stock:

The cost of preferred stock is the dividend rate divided by the market price.

Cost of Preferred Stock = Dividend / Market Price = $160 / $1,000 = 16%

iii. Common Stock:

The cost of equity can be calculated using the Capital Asset Pricing Model (CAPM), which considers the risk-free rate, market risk premium, and beta.

Cost of Equity = Risk-Free Rate + Beta * Market Risk Premium = 8% + 1.3 * 10% = 21%

Weighted Average Cost of Capital (WACC):

WACC = (Weight of Debt * Cost of Debt) + (Weight of Preferred Stock * Cost of Preferred Stock) + (Weight of Equity * Cost of Equity)

WACC = (0.4 * 0.07) + (0.1 * 0.16) + (0.5 * 0.21) = 0.028 + 0.016 + 0.105 = 14.9%

Therefore, the WACC, with a marginal tax rate of 30%, is 14.9%.

1b. To achieve a WACC of 14.92%, we need to find the required risk-free rate.

WACC = (0.4 * 0.07) + (0.1 * 0.16) + (0.5 * (Risk-Free Rate + Beta * Market Risk Premium)) = 0.028 + 0.016 + 0.5 * (Risk-Free Rate + 1.3 * 0.1) = 0.1492

Simplifying the equation:

0.0146 + 0.5 * Risk-Free Rate + 0.065 = 0.1492

0.5 * Risk-Free Rate = 0.1492 - 0.0146 - 0.065

0.5 * Risk-Free Rate = 0.0696

Risk-Free Rate = 0.0696 / 0.5 = 0.1392

Therefore, the required risk-free rate to achieve a WACC of 14.92% is 13.92%.

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.Accounting for held-to-maturity, trading, and available-for-sale debt securities is the same with respect to (Select all that apply.)
- the initial investment.
- interest revenue earned on investment.
- the year-end fair value adjustment.
- The classification of investments must be reassessed each reporting period.

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The following is true of the accounting for held-to-maturity, trading, and available-for-sale debt securities with respect to initial investment, interest revenue earned on investment, and year-end fair value adjustment.

Accounting for held-to-maturity, trading, and available-for-sale debt securities is the same with respect to the initial investment and the interest revenue earned on the investment. With respect to the year-end fair value adjustment, the accounting differs, as follows:

Held-to-maturity investments are recorded at their amortized cost, and no fair value adjustment is required. Unrealized gains and losses are not recognized for held-to-maturity investments.

Trading investments are recorded at their fair value, with unrealized gains and losses recognized in net income each period.

Available-for-sale investments are recorded at fair value, with unrealized gains and losses recorded as other comprehensive income on the balance sheet. At year-end, any unrealized gains and losses are recorded in net income.

The classification of investments as held-to-maturity, trading, or available-for-sale is determined at the time of purchase. This classification must be re-evaluated in each reporting period for available-for-sale securities to ensure that it remains appropriate.

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which of these capital budgeting techniques use time as their unit of measurement? select all that apply.multiple select question.
a. profitability index (pi)
b. modified internal rate of return (mirr)
c. discounted payback (dpb)
d. payback (pb)

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The capital budgeting techniques that use time as their unit of measurement are the discounted payback (DPB) and the payback (PB) methods. Both of these methods focus on the time it takes for a project to generate enough cash flow to recover the initial investment made.

The payback method calculates the time it takes for the initial investment to be recovered based on the expected cash flows generated by the project. It is a simple and intuitive method that is easy to understand and use. However, it does not take into account the time value of money, which can lead to incorrect investment decisions.
The discounted payback method, on the other hand, takes into account the time value of money by discounting the expected cash flows using a predetermined discount rate. This method calculates the time it takes for the discounted cash flows to recover the initial investment made. It provides a more accurate measure of the project's profitability and takes into account the time value of money.

The profitability index (PI) and the modified internal rate of return (MIRR) are both capital budgeting techniques that do not use time as their unit of measurement. The PI calculates the ratio of the present value of the expected cash flows to the initial investment, while the MIRR calculates the rate of return that makes the net present value (NPV) of the cash inflows equal to the initial investment.
In summary, the capital budgeting techniques that use time as their unit of measurement are the discounted payback (DPB) and the payback (PB) methods.

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The capital Budgeting techniques that use time as their unit of measurement are discounted payback (dpb) and payback (pb).Explanation:Payback and discounted payback methods of capital budgeting use time as their unit of measurement.

Payback method is a capital budgeting technique that identifies the length of time required to recover the original investment. The method does not consider any returns after the initial investment is recovered. Payback is calculated by dividing the initial investment by expected annual cash inflows. If an investment returns a cash inflow each year, then this can be the number of years required for the investment to pay off.Discounted payback is a modified version of payback that takes into account the time value of money. Discounted payback, unlike regular payback, takes into account that a dollar today is worth more than a dollar in the future.

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The required return on assets is 18 percent. The firm can borrow at 12. 5 percent; firm's target debt to value ratio is 3/5. The corporate tax rate is 34 percent, and the risk-free rate is 4 percent and the market risk premium is 9. 2 percent. What is the weighted average cost of capital? the firm has a beta of 2. 11. Multiple choice 13. 02 percent 23. 45 percent 14. 33 percent 12. 15 percent

Answers

The value of weighted average cost of capital (WACC) is approximately 13.02%.

We know that Required Return on Equity (Re) is calculated by the following formula:

Re = Rf + β × (Rm - Rf)

Where,R

f = Risk-free rate

β = Beta

Rm = Market risk premium

So,Re = 0.04 + 2.11 × 0.092 = 0.21462 = 21.46%

We know that cost of debt (Rd) is calculated as follows:

Rd = Yield to maturity (YTM) of bond × (1 - Tc)

Where,

Tc = Corporate tax rate

So,

Rd = 0.125 × (1 - 0.34) = 0.0825 = 8.25%

We know that Market Value of Debt (D) is calculated as follows:

D = Target debt to value ratio × V

Where,Target debt to value ratio = 3/5

And V = Total Value of Capital (E + D)

To calculate the V, we need to find the Market Value of Equity first.

Market Value of Equity (E) is calculated as follows:

E = V - DNow,V = 1/ (1 - Target debt to value ratio) × E = 1 / (1 - 3/5) × E = 2.5E

Thus,E = V - D = 2.5DSo,D = 3/5 × V = 3/5 × (E + D) = 0.6E

We have E + D = V = 1/ (1 - Target debt to value ratio) × E = 1 / (1 - 3/5) × E = 2.5E, now substitute the value of D,

We get

E + 0.6E = 2.5E => E = 1E = 1

So,D = 0.6 × E = 0.6

Now, we can calculate the WACC as follows:

WACC = (E/V × Re) + ((D/V × Rd) × (1 - Tc)) = (1/1.6 × 0.2146) + ((0.6/1.6 × 0.0825) × (1 - 0.34)) = 0.13412 or 13.412%

Therefore, the weighted average cost of capital (WACC) is 13.412%.

Hence, the correct answer is 13.02 percent (approx).

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Which dividend option would an insurer invest the policyowner's money and add any interest earnings as the dividends accrue?
Accumulation at Interest Option
Cash Dividend Option
Paid-Up Additions Option
One-Year Term Dividend Option

Answers

The Accumulation at Interest Option is the dividend option where an insurer invests the policyowner's money and adds any interest earnings as dividends accrue.

In the Accumulation at Interest Option, the insurer takes the policyowner's dividends and invests them, typically in an interest-bearing account. The interest earned on the investment is then added to the policyowner's account as additional dividends. This option allows the policyowner's dividends to grow over time and accumulate, providing potential growth and increased benefits in the future. It is a way to maximize the policy's cash value and potential returns by utilizing the power of compound interest.

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in this lesson, you learned how isabella made a plan to find a summer job. what are three things you can do now to start building your work experience?

Answers

To start building your work experience, here are three things you can do:

1. Volunteer: Look for volunteer opportunities in your community or local organizations that align with your interests.

can provide valuable experience and skills that can be transferable to future job roles. Additionally, it demonstrates your willingness to contribute and work in a team environment.

2. Seek internships: Internships are an excellent way to gain practical experience in your field of interest. Look for internships through your school's career center, online job portals, or reach out to companies directly. Internships can provide hands-on experience, exposure to industry professionals, and an opportunity to apply your knowledge in a real-world setting.

3. Take part-time jobs or freelancing: Consider taking on part-time jobs or freelancing gigs that relate to your desired field or build transferable skills. This could include working in Customer service, sales, writing, graphic design, or any other area that interests you. Even if it's not your dream job, these experiences can provide valuable skills and demonstrate your work ethic and reliability to future employers.

Remember, building work experience is an ongoing process, so be proactive and keep seeking opportunities to learn, grow, and develop your skills.

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Following a report of higher prices (inflation) in country A (the domestic currency, CA), the balance of payments re-equilibration occurs in which order 1-8?
- The DC depreciates from the financial account
-The foreign interest in DI decreases
-Foreign agents increase their interest in domestic investment (DI)
- The relative price (RP) of domestic investment (DI) increases (i.e. it takes more FC to buy the DC to invest in the same amount of DI)
-The DC depreciates from the current account
-Foreign agents decrease their demand of the domestic currency (DC) in the FX market that was used to invest in DI
-The relative price (RP) of domestic investment (DI) dereases (i.e. it takes less FC to buy the DC to invest in DI)
-Foreign agents increase their demand for the domestic currency (DC) in the FX market to invest in domestic investment (DI)
-The DC appreciates from the financial account

Answers

The re-equilibration process following a report of higher prices involves changes in relative prices, demand for the DC, and currency exchange rates, ultimately leading to a depreciation in the DC

The relative price (RP) of domestic investment (DI) increases (i.e. it takes more FC to buy the DC to invest in the same amount of DI).

Foreign agents decrease their demand for the domestic currency (DC) in the FX market that was used to invest in DI.

Foreign agents decrease their interest in domestic investment (DI).

Foreign agents increase their demand for the domestic currency (DC) in the FX market to invest in domestic investment (DI).

The DC depreciates from the financial account.

The DC depreciates from the current account.

The relative price (RP) of domestic investment (DI) decreases (i.e. it takes less FC to buy the DC to invest in DI).

The DC appreciates from the financial account.

When there is a report of higher prices (inflation) in country A (the domestic currency, CA), it leads to a re-equilibration in the balance of payments. This re-equilibration process occurs in the following order:

The relative price of domestic investment (DI) increases because it takes more foreign currency (FC) to buy the domestic currency (DC) to invest in the same amount of DI.

As the relative price of DI increases, foreign agents decrease their demand for the DC in the foreign exchange (FX) market that was used to invest in DI.

With a decrease in foreign interest in domestic investment, foreign agents decrease their interest in investing in DI.

Due to decreased foreign demand for the DC, foreign agents increase their demand for the DC in the FX market to invest in DI.

The DC depreciates from the financial account as foreign agents increase their demand for the DC, leading to a decrease in its value relative to FC.

The DC depreciates from the current account as a result of the increased demand for FC to pay for imports and current account deficits.

The relative price of DI decreases because it takes less FC to buy the DC to invest in DI.

Finally, the DC appreciates from the financial account as foreign agents decrease their demand for the DC, resulting in an increase in its value relative to FC.

The re-equilibration process following a report of higher prices involves changes in relative prices, demand for the DC, and currency exchange rates, ultimately leading to a depreciation in the DC from both the financial account and the current account.

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products such as home goods, clothing, furniture are usually sell in a(n) market structure. products such as home goods, clothing, furniture are usually sell in a(n) market structure. pure monopoly pure competition oligopoly monopolistic competition

Answers

Products such as home goods, clothing, and furniture are usually sold in a monopolistic competition market structure.

Monopolistic competition refers to a market structure where there are many sellers offering differentiated products to meet consumers' preferences. In this type of market, sellers have some degree of control over the pricing of their products due to product differentiation and brand identity. Home goods, clothing, and furniture are examples of products that often have variations in design, style, quality, and features, allowing sellers to differentiate themselves from competitors.

While there may be numerous sellers in a monopolistic competition market, each seller has a small market share compared to the overall market. Additionally, entry barriers are relatively low, meaning new firms can enter the market and compete with existing sellers. Advertising and marketing play significant roles in monopolistic competition as sellers aim to attract consumers to their specific products through branding and product differentiation strategies.

Overall, monopolistic competition provides consumers with a variety of choices while allowing sellers to exert some control over pricing and product differentiation.

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Grainger W.W. Inc sells computer equipment to a firm in Japan. The total price of computer equipment is 172,650 in U.S. dollars. Approximately, how much the firm in Japan will pay to Grainger W.W. Inc in Japanese yens if one unit of Japanese yen is currently equal to $0.01 (expressed as $/Japanese yen)?

Answers

The firm in Japan will pay 17,265,000 Japanese yen for the computer equipment.

To calculate the payment in Japanese yen for the computer equipment, we will use the given exchange rate and the total price in U.S. dollars.

Total price in U.S. dollars: $172,650
Exchange rate: $0.01 per Japanese yen

To find the equivalent amount in Japanese yen, we will divide the total price in U.S. dollars by the exchange rate:

Payment in Japanese yen = $172,650 / $0.01 per Japanese yen = 17,265,000 Japanese yen

So, the firm in Japan will pay Grainger W.W. Inc approximately 17,265,000 Japanese yen for the computer equipment.

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Which of the following is NOT characteristic of what American workers have faced recently?
A. widened gap between executive compensation and pay of common workers
B. lagging wages even amid an economic recovery
C. actions by management that increase loyalty
D. corporate emphasis on globalization

Answers

C.) Actions by management that increase loyalty are NOT characteristic of American workers have faced recently.

Actions by management that increase loyalty are not characteristic of what American workers have faced recently. In recent years, American workers have experienced a widened gap between executive compensation and the pay of common workers, indicating growing income inequality. They have also faced lagging wages even amid economic recovery, with wage growth not keeping pace with the overall economic improvements. Additionally, there has been a corporate emphasis on globalization, with companies expanding operations and seeking cost advantages in international markets. However, actions by management to increase loyalty have not been a prominent characteristic. In fact, there has been a shift towards more flexible employment arrangements, decreased job security, and a focus on cost-cutting measures, which may have led to reduced loyalty from both employees and employers.

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View Policies Current Attempt in Progress Sunland Company produces small gasoline-powered engines for model airplanes. Mr. Walker, Sunland's CFO, has presented you with the following cost information: Direct Materials Inventory, beginning $ 66,000 Direct Materials Inventory, ending $ 48,000 Work in Process Inventory, beginning $ 29,000 Work in Process Inventory, ending $ 22.000 Direct labor $ 158,000 Direct materials purchases $ 221,000 Insurance, factory $ 45,000 Depreciation, factory $ 19,000 Depreciation, executive offices $ 12,000 Indirect labor $ 17,000 Utilities, factory $ 15,000 Utilities, executive offices $ 7,000 Property taxes, factory $ 13,000 Property taxes, executive offices $ 9,000 Using this cost information, prepare a cost of goods manufactured schedule for Mr. Walker

Answers

The cost of goods manufactured schedule for Mr. Walker is as follows:

Cost of Goods Manufactured Schedule:

Direct materials:

Beginning inventory $66,000

Add: Purchases $221,000

Total materials available for use $287,000

Less: Ending inventory $48,000

Direct materials used $239,000

Direct labor $158,000

Factory overhead:

Indirect labor $17,000

Insurance, factory $45,000

Depreciation, factory $19,000

Utilities, factory $15,000

Property taxes, factory $13,000

Total factory overhead $109,000

Total manufacturing costs:

Direct materials used $239,000

Direct labor $158,000

Factory overhead $109,000

Total manufacturing costs $506,000

Add: Work in process inventory, beginning $29,000

Total cost of work in process $535,000

Less: Work in process inventory, ending $22,000

Cost of goods manufactured $513,000

To prepare the cost of goods manufactured schedule, we need to calculate various cost components involved in the manufacturing process.

Direct materials:

Beginning inventory of direct materials = $66,000

Direct materials purchases = $221,000

Ending inventory of direct materials = $48,000

Direct materials used = Beginning inventory + Purchases - Ending inventory = $66,000 + $221,000 - $48,000 = $239,000

Direct labor = $158,000

Factory overhead:

Indirect labor = $17,000

Insurance, factory = $45,000

Depreciation, factory = $19,000

Utilities, factory = $15,000

Property taxes, factory = $13,000

Total factory overhead = Sum of the above costs = $17,000 + $45,000 + $19,000 + $15,000 + $13,000 = $109,000

Total manufacturing costs:

Total manufacturing costs include direct materials used, direct labor, and factory overhead.

Total manufacturing costs = Direct materials used + Direct labor + Factory overhead = $239,000 + $158,000 + $109,000 = $506,000

Work in process inventory:

Beginning inventory of work in process = $29,000

Ending inventory of work in process = $22,000

Cost of goods manufactured = Total manufacturing costs + Beginning inventory of work in process - Ending inventory of work in process = $506,000 + $29,000 - $22,000 = $513,000

The cost of goods manufactured schedule shows the breakdown of costs involved in the manufacturing process and calculates the cost of goods manufactured. According to the provided cost information, the cost of goods manufactured is $513,000.

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as it becomes easier to start a new business in a market, that market a. offers higher-quality products. b. becomes more competitive. c. increases transaction costs. d. attracts more consumers.

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As it becomes easier to start a new business in a market, that market becomes more competitive.  When it becomes easier to start a new business in a market, it lowers barriers to entry, allowing more players to enter the market.

This increased competition leads to a greater number of businesses vying for market share. As a result, businesses are motivated to differentiate themselves and improve their offerings, which often leads to a higher quality of products or services being offered to consumers. Additionally, increased competition can lead to price competition, innovation, and more aggressive marketing strategies. Overall, the market becomes more competitive as new businesses enter, offering consumers more choices and driving existing businesses to improve their offerings.

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what are the main advantages of traditional volume-based allocation methods compared to activity-based costing? group of answer choices traditional volume-based methods are easier to use and less costly to implement and maintain. traditional volume-based methods are less accurate and easier to use. traditional volume-based methods are more accurate and allowed by gaap. traditional volume-based methods are harder to use and more costly to implement and maintain. there are no advantages to using traditional volume-based methods.

Answers

Traditional volume-based allocation methods have been in use for a long time and are still preferred by some organizations due to their simplicity and low cost.

These methods allocate indirect costs based on a single volume driver, such as direct labor hours or machine hours. This means that the indirect costs are allocated to products based on the volume of the driver that they use. This approach is useful when there are few indirect costs and the cost behavior is reasonably predictable.
The advantages of traditional volume-based allocation methods are that they are easier to use and less costly to implement and maintain. These methods require less data collection and analysis, and the calculations are simpler and more straightforward. Also, traditional volume-based methods are allowed by GAAP, which is the Generally Accepted Accounting Principles.
However, activity-based costing (ABC) is a more accurate method of allocating indirect costs. ABC is based on identifying the activities that drive indirect costs and allocating these costs to products based on the specific activities that each product consumes. This results in more accurate product costs, which can be useful for pricing decisions, cost control, and performance measurement.

In conclusion, while traditional volume-based allocation methods have some advantages, such as simplicity and low cost, they are less accurate than activity-based costing. Therefore, organizations should consider using activity-based costing if they want more accurate product costs and better cost control.

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To slow the spread and curtail potential outbreak of COVID-19,
governments worldwide have implemented various restrictive measures
since early 2019, leading the Hong Kong economy to shrink a record
6.

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Yes, there was cyclical unemployment during the period when the Hong Kong economy shrunk by 6.1% in 2020. Cyclical unemployment refers to the temporary increase in unemployment caused by fluctuations in the business cycle. When the economy experiences a recession or contraction, like the one induced by the COVID-19 pandemic, businesses struggle, leading to layoffs and a rise in unemployment.

Considering the significant economic decline, it is highly likely that the unemployment rate exceeded the natural rate. The natural rate of unemployment represents the level of unemployment that exists when the economy is operating at its full potential, with no cyclical fluctuations. During a severe economic downturn, such as the one experienced in 2020, the actual unemployment rate tends to surpass the natural rate due to the negative impact on businesses and employment opportunities.

In summary, the contraction in the Hong Kong economy in 2020 resulted in cyclical unemployment, and the unemployment rate during this period likely exceeded the natural rate.

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Complete Question- To slow the spread and curtail potential outbreak of COVID-19, governments worldwide have implemented various restrictive measures since early 2019, leading the Hong Kong economy to shrink a record 6.1% in 2020. Was there cyclical unemployment during this period? Do you think the unemployment rate was bigger or smaller than the natural rate? Briefly explain (4 marks).

applepay which was introduced and created cooperatively by apple and mastercard is an example of: brand dilution. brand collusion. co-branding. a generic brand. brand extraction

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co-branding. Apple Pay, which was developed through a cooperative effort between Apple and Mastercard, is an example of co-branding.

co-branding. Co-branding refers to a marketing strategy where two or more brands collaborate to create a new product or service that combines their individual brand identities.

In the case of Apple Pay, Apple and Mastercard joined forces to develop a mobile payment system that allows users to make secure transactions using their Apple devices, such as iPhones or Apple Watches. Apple's brand recognition and user base, combined with Mastercard's expertise in payment processing, resulted in the creation of Apple Pay.

Co-branding offers several advantages, including leveraging the strengths of multiple brands, expanding customer reach, and creating new revenue streams. By collaborating, Apple and Mastercard were able to tap into their respective customer bases and enhance their brand images through the association with each other.

It's important to note that brand dilution, brand collusion, generic brands, and brand extraction are distinct concepts unrelated to the cooperative effort seen in co-branding.

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Your boss asks you to review an option to lease an equipment storage facility that the firm needs. You are to compare it with the purchase of the facility. The following information are pertinent to your decision: - The facility will be needed for twelve years - If the facility is leased, the lessor will conduct all maintenance: if purchased, your firm must conduct maintenance - Facility maintenance is expected to cost $85000 per year - The cost to lease the facility is $800000 per year at the beginning of each year - The purchase price of the facility is $6000000 and the market value at the end of twelve years is expected to be $3000000 - The before-tax cost of debt is 8%, and the tax rate is 30% - The company's current EBIT is $1800000 (before leasing or purchasing the facility). Assuming that the facility has a twelve-year depreciation life for tax purposes (i.e. it can be fully depreciated over twelve-years), compute the NPV for each option and based on the cost, indicate your decision (round to nearest $1.000).

Answers

To compare the lease and purchase options for the equipment storage facility, we need to calculate the Net Present Value (NPV) for each option.

For the lease option:

The annual lease cost is $800,000 for twelve years. Considering the before-tax cost of debt (8%) and the tax rate (30%), the after-tax lease cost is $[tex]800,000 * (1 - 0.3) = $560,000[/tex] per year.

Using the NPV formula and discounting the cash flows at the cost of debt, we calculate the NPV for the lease option:

Net Present Value_lease = - Initial cost + PV of cash inflows

= -[tex]$560,000 * [(1 - (1 + 0.08)^-12) / 0.08][/tex]

= -$4,676,126

For the purchase option:

The initial cost is $6,000,000, and the salvage value at the end of twelve years is expected to be $3,000,000. We can calculate the annual depreciation expense as ($6,000,000 - $3,000,000) / 12 = $250,000.

The after-tax cost of maintenance is $85,000 per year, considering the tax rate of 30%. The cash flows for the purchase option are:

Year 1-12: -Maintenance cost: $85,000

-Depreciation tax shield: $250,000 * 0.3 = $75,000

Using the Net Present Value formula and discounting the cash flows at the cost of debt, we calculate the NPV for the purchase option:

NPV_purchase = -Initial cost + PV of cash inflows

=[tex]-$6,000,000 + ($85,000 + $75,000) * [(1 - (1 + 0.08)^-12) / 0.08][/tex]

= [tex]-$4,664,157[/tex]

Comparing the NPVs, the NPV for the lease option is -$4,676,126, and the NPV for the purchase option is -$4,664,157. Since the NPV for the purchase option is slightly higher (less negative), it would be the recommended decision based on cost.

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closeout activities are typically among the highest priority activities in a project. group of answer choices true false

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True. Closeout activities involve finalizing and wrapping up all aspects of a project, including documentation, financials, and stakeholder communication. These activities are crucial to ensure the project is complete and successful.

Closeout activities are typically among the highest priority activities in a project. Closeout activities involve finalizing and wrapping up all aspects of the project to ensure its successful completion. This includes activities such as completing project documentation, conducting final financial assessments, conducting project evaluations, and communicating project outcomes to stakeholders.

By prioritizing closeout activities, project teams can ensure that all loose ends are tied up, lessons learned are captured, and deliverables are properly handed over. This allows for a smooth transition out of the project and provides valuable information for future projects. Neglecting closeout activities can lead to incomplete records, missed opportunities for improvement, and potential risks in future projects.

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which correctly states the order of priority for allocating mortgage foreclosure sale proceeds, from first to last?

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According to the public auction, the money raised from this sale will be utilised to cover the sheriff's cost of the order of priority for allocating mortgage foreclosure sale proceeds sale.

In general, a public auction refers to either a physical event held in a public space or an electronic event that is publicised and made accessible online. This house was purchased at public auction (foreclosure sale).Now we need to determine how the money from this transaction will be spent initially. The sheriff's cost of sale is the first item to be paid from the profits of the foreclosure, even though the real property taxes are the first lien that must be satisfied.

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When a company has an earnings surprise in a quarter, either positive or negative, what has been shown to be more likely for the next quarter? A. It is more likely to repeat being positive or negative. B. No statistically significant relationship has been shown. C. It is more likely to reverse - positive is followed by negative or negative is followed by positive

Answers

When a company has an earnings surprise in a quarter, either positive or negative, no statistically significant relationship has been shown. The correct option is B.

This means that there is no clear pattern or trend indicating that the surprise is more likely to repeat (either positive or negative) or reverse (positive followed by negative or vice versa).

Earnings surprises occur when a company's actual earnings significantly differ from the expectations of analysts and investors. Various factors can influence earnings surprises, such as changes in market conditions, industry dynamics, company-specific events, or management decisions.

While some studies have attempted to examine the relationship between consecutive earnings surprises, the results have been mixed and inconclusive.

The stock market is complex and influenced by numerous variables, making it challenging to predict future earnings surprises based solely on past surprises. Market participants, including investors and analysts, constantly adjust their expectations and incorporate new information, making it difficult to establish a consistent pattern.

It is important to note that financial markets are efficient, and significant surprises are often quickly reflected in stock prices, reducing the predictability of future surprises based solely on historical data.

Investors and analysts rely on a wide range of information, including qualitative and quantitative factors, to make investment decisions and predict future company performance.

In conclusion, based on the available research, no statistically significant relationship has been established between the direction of earnings surprises in consecutive quarters. Therefore, the correct option is B.

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Kickstarter, a global crowdfunding platform, states that its purpose as an organization is to help bring creative projects to life." This is the company's Multiple Choice o mission statement o belief statement o values statement o code of ethics

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Mission statement. The statement provided by Kickstarter, which states their purpose as an organization to help bring creative projects to life, aligns with the definition and purpose of a mission statement.

A mission statement is a concise statement that expresses the purpose or reason for an organization's existence and outlines its primary goals or objectives. It serves as a guiding principle and helps to define the organization's focus and direction. In this case, Kickstarter's mission statement reflects their commitment to supporting and enabling creative projects through their crowdfunding platform.

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an investment project has an initial cost of $382 and cash flows $105, $130, $150, and $150 for years 1 to 4, respectively. the cost of capital is 9 percent. what is the discounted payback period? multiple choice 2.76 years 3.57 years 3.42 years 3.68 years 2.92 years

Answers

It takes approximately 3.68 years (rounded to two decimal places) for the cumulative discounted cash flows to exceed $382.

The discounted payback period for the investment project can be calculated by determining the time it takes for the sum of discounted cash flows to equal or exceed the initial cost of the project. The discount rate is given as 9 percent.

First, we need to calculate the discounted cash flows for each year using the formula:

Discounted Cash Flow = Cash Flow / (1 + Discount Rate)^Year

For Year 1:

Discounted Cash Flow = $105 / (1 + 0.09)^1 = $96.33

For Year 2:

Discounted Cash Flow = $130 / (1 + 0.09)^2 = $111.36

For Year 3:

Discounted Cash Flow = $150 / (1 + 0.09)^3 = $116.64

For Year 4:

Discounted Cash Flow = $150 / (1 + 0.09)^4 = $108.36

Next, we calculate the cumulative discounted cash flows:

Year 1: $96.33

Year 2: $96.33 + $111.36 = $207.69

Year 3: $207.69 + $116.64 = $324.33

Year 4: $324.33 + $108.36 = $432.69

The discounted payback period is the time it takes for the cumulative discounted cash flows to equal or exceed the initial cost of $382. In this case, it takes approximately 3.68 years (rounded to two decimal places) for the cumulative discounted cash flows to exceed $382.

Therefore, the correct answer is 3.68 years.

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assume both players have the same discount factor d, which is between 0 and 1.
(a) what is the total payoff (sum of discounted payoffs in each period) each player gets if both players choose the strategy always c? what is the total payoff (sum of discounted payoffs in every period) each player gets if both players choose the strategy always d?
(b) describe what a grim-trigger strategy is.
(c) for what values of discount factor d , will the pair of grim-trigger strategies be a subgame perfect equilibrium?

Answers

For the pair of grim-trigger strategies to be a subgame perfect equilibrium, the discount factor (d) must be sufficiently high to ensure that the deterrent effect of the punishment outweighs the short-term gains from defection.

(a) If both players choose the strategy always "c," they will receive a constant payoff in each period. Let's denote this payoff as "x." Since the discount factor is the same for both players, the total discounted payoff for each player will be a geometric series:

Player 1's total discounted payoff [tex]= x + dx + d^{2x} + d^{3x} + ...[/tex]

Player 2's total discounted payoff [tex]= x + dx + d^{2x} + d^{3x} + ...[/tex]

This is an infinite geometric series, and its sum can be calculated using the formula for the sum of an infinite geometric series:

Total discounted payoff for each player = x / (1 - d)

If both players choose the strategy always "d," the payoffs will be zero in each period. Therefore, the total discounted payoff for each player will be zero.

(b) A grim-trigger strategy is a strategy used in repeated games where a player cooperates as long as the other player cooperates but "triggers" a severe punishment if the other player deviates from cooperation. The essence of a grim-trigger strategy is to maintain cooperation through the threat of severe and lasting punishment in response to any deviation.

The grim-trigger strategy involves two stages: a cooperative stage and a triggered punishment stage. Initially, players cooperate and receive a mutually beneficial payoff. However, if at any point one player deviates from cooperation, the other player switches to a punishment strategy, causing the defector to receive a significantly worse outcome.

Once the punishment is triggered, the player remains in the punishment stage indefinitely, irrespective of the other player's subsequent actions. The threat of being trapped in the punishment stage acts as a deterrent to defection and encourages long-term cooperation.

(c) For the pair of grim-trigger strategies to form a subgame perfect equilibrium, the discount factor (d) must be sufficiently high. In a repeated game, a subgame perfect equilibrium is a strategy profile that specifies optimal actions at every possible decision point, including any subgames that arise.

In the case of grim-trigger strategies, the threat of punishment must be credible and strong enough to deter defection. This requires that the discounted future payoffs from continued cooperation outweigh the immediate gains from deviating.

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Honky Tonk Central Inc. has a position in a stock portfolio comprising the companies listed in Table 1. Correlation coefficients between stock returns are given in the correlation matrix. Table 1 Stock Tootsie's Layla's Robert's Position ($m) 23 Daily Volatility 1.00% 19 1.45% 16 1.34% Robert's Correlation Matrix Tootsie's Layla's Tootsie's 1 0.60 Layla's Robert's 0.65 1 0.75 1 (a) Calculate the 10-day 99% value at risk (VaR) for the portfolio and interpret your results. (40 marks) (b) Calculate the 10-day 99% VaR for equivalent positions in the individual assets and demonstrate the benefits of diversification. (c) Discuss the benefits and limitations of the model building approach to VaR.

Answers

a) To calculate the 10-day 99% Value at Risk (VaR) for the portfolio, we need to consider the position, daily volatility, and correlation coefficients for each stock.

First, let's calculate the portfolio's daily volatility:

Portfolio Daily Volatility = [tex]√(w₁² * σ₁² + w₂² * σ₂² + w₃² * σ₃²)[/tex]

where:

w₁, w₂, w₃ are the weightings of each stock in the portfolio,

σ₁, σ₂, σ₃ are the daily volatilities of each stock.

Using the information given in Table 1:

Tootsie's daily volatility = 1.00%

Layla's daily volatility = 1.45%

Robert's daily volatility = 1.34%

Assuming equal weighting for each stock:

Portfolio Daily Volatility =

[tex]√((1/3)² * (0.01)² + (1/3)² * (0.0145)² + (1/3)² * (0.0134)²)\\= √(0.000033 + 0.000067 + 0.000046)\\= √0.000146\\= 0.01208 or 1.208%[/tex][tex]0.01208 * 2.33 * √(10)\\\\= 0.2805 or 28.05%[/tex]

Next, we need to calculate the Z-score for the 99% confidence level. The Z-score corresponds to the number of standard deviations required to capture the desired confidence level. For a 99% confidence level, the Z-score is approximately 2.33.

Now, we can calculate the 10-day 99% VaR for the portfolio:

Portfolio VaR = Portfolio Daily Volatility * Z-score * √(n)

=

Interpretation: The 10-day 99% VaR for the portfolio is 28.05%. This means that there is a 1% probability that the portfolio will experience a loss greater than 28.05% over a 10-day period.

(b) To calculate the 10-day 99% VaR for equivalent positions in the individual assets, we can use the same formula as in part (a), considering the daily volatility of each stock individually.

For Tootsie's:

Tootsie's VaR = Tootsie's Daily Volatility * Z-score * √(n)

= [tex]0.01 * 2.33 * √(10)\\\\= 0.233 or 23.3%[/tex]

For Layla's:

Layla's VaR = Layla's Daily Volatility * Z-score * √(n)

= 0.0145 * 2.33 * √(10)

= 0.339 or 33.9%

For Robert's:

Robert's VaR = Robert's Daily Volatility * Z-score * √(n)

= 0.0134 * 2.33 * √(10)

= 0.310 or 31.0%

The benefits of diversification can be observed by comparing the individual VaRs to the portfolio VaR. The portfolio VaR (28.05%) is lower than the sum of the individual VaRs (23.3% + 33.9% + 31.0% = 88.2%). This reduction in VaR demonstrates that diversifying the portfolio across different assets can help mitigate risk.

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