Consider the above incomplete Material Requirements Planning (MRP) record. There are 200 units in inventory at the start of week 1, production has a one-week lead time, and the minimum order quantity is 500 units. What are the Week 2 values (in order) for Projected Ending Inventory (PEI), Net Requirements (NR), Planned Receipts (PR), and Planned Orders (PO)? Note: Don't forget to account for the Scheduled Receipts in Week 1.

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Answer 1

We need more information about Scheduled Receipts and Gross Requirements in Week 1 and 2 to provide specific values for PEI, NR, PR, and PO in Week 2.

The term in 150, the Week 2 values (in order) for Projected Ending Inventory (PEI), Net Requirements (NR), Planned Receipts (PR), and Planned Orders (PO) are as follows:
- Projected Ending Inventory (PEI): 0 units
- Net Requirements (NR): 700 units
- Planned Receipts (PR): 0 units
- Planned Orders (PO): 500 units.

This is because at the start of week 1, there were 200 units in inventory. With a one-week lead time for production, the scheduled receipt for week 1 would be 0 units. Therefore, the beginning inventory for week 2 would be 200 units. However, the net requirements for week 2 are 700 units (given by the demand of 900 units minus the beginning inventory of 200 units and the scheduled receipts of 0 units). Since the minimum order quantity is 500 units, the planned order for week 2 would be 500 units. There are no planned receipts for week 2, and therefore the projected ending inventory would be 0 units.
In the given MRP scenario, you have 200 units in inventory at the start of Week 1, a one-week lead time for production, and a minimum order quantity of 500 units. Assuming there is a Scheduled Receipt in Week 1, let's calculate the Week 2 values for Projected Ending Inventory (PEI), Net Requirements (NR), Planned Receipts (PR), and Planned Orders (PO).

1. PEI = (Beginning Inventory + Scheduled Receipts + PR) - NR
2. NR = Max(0, Gross Requirements - (Beginning Inventory + Scheduled Receipts))
3. PR = NR if lead time is 1 week
4. PO = (NR + extra units needed to meet the minimum order quantity)

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Related Questions

Memo:
Requirements: Create a memo and discuss in one page the option you selected, why you selected this option , and hw it will impact the overall Revenue Cycle process at your organization. Reference key learnings from the textbook, lectures, and additional resources provided in your response.
Revenue Cycle Management Project- excel support
Question 1-Option 3
Cost of implementation -$250000
Subscription Cost: 1500 per month for 10 years
Net Patient Services Revenue increase YoY 7.5%
Year 1
Year 5
Year 10
This option includes incremental headcount of two people and additional system training. The system implementation would track and prevent errors upon billing. if you implement this option, billing errors will be reduced by 25%. In addition this option will provide the organization with additional system protection using the third party cloud services.
Option 2
Cost of implementation $50000
Subscription Cost: 2000 per month for 10 years
Net Patient Services Revenue increase YoY 3%
Year 1
Year 5
Year 10
This option involves using existing headcount, which will require additional training. The system implementation would track and prevent errors upon billing coding. If you implement this option , billing errors would be reduced by 15%.
Option 1
Cost of implementation $100000
Subscription Cost: 1000 per month for 10 years
Net Patient Services Revenue increase YoY 5%
Year 1
Year 5
Year 10
This option includes incremental headcount in the Billing Department and the implementation of a system that would track and prevent errors upon billing coding. If you implement this option, billing errors would be reduced by 20%.

Answers

Implementing the option that includes incremental headcount in the Billing Department and implementation of a system to prevent errors would cost $100000 and reduce billing errors by 20% in year 10.

The proposed option would require additional funding of $100000 for the implementation of a system that would track and prevent errors in the billing coding process. The implementation would also require hiring additional staff for the Billing Department. The cost of the option would be offset by a 20% reduction in billing errors, which would result in significant cost savings in the long run. The implementation of such a system would also lead to a more efficient and accurate billing process, which would result in increased customer satisfaction and improved overall business performance.

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suppose that policy makers decide to temporarily raise taxes. graphically illustrate the impactof the increase in taxes using the model of dynamic aggregate demand (dad) and dynamicaggregate supply (das). assume that the tax increase occurs in period t and ends in period t 2.clearly indicate the path of inflation and output in your graph. describe the transition of bothoutput and inflation to the long-run equilibrium in words.

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When policy makers decide to temporarily raise taxes, the impact can be graphically illustrated using the model of Dynamic Aggregate Demand (DAD) and Dynamic Aggregate Supply (DAS). The DAD and DAS curves represent the economy's aggregate demand and supply, respectively. The temporary tax increase would affect the DAD curve, causing it to shift leftward, resulting in a decrease in output and an increase in inflation.

In the short run, the tax increase would lead to a decrease in aggregate demand, which would cause output to fall. As a result, the economy would experience a period of inflationary pressure. The DAS curve would shift upward, resulting in higher prices and a lower output level.
However, as time progresses, the economy will adjust to the new tax level. Firms would begin to reduce their output due to higher tax rates, which would increase the cost of production. This would lead to a leftward shift in the DAS curve, which would cause prices to fall, leading to a decrease in inflation.
In the long run, the economy would reach a new equilibrium level of output and price level. The economy would return to its potential output level, but at a higher price level due to the tax increase. The new equilibrium point would lie on the original DAS curve, reflecting the economy's ability to produce its potential output level, but at a higher price level.

In conclusion, the temporary tax increase would initially cause output to fall and inflation to rise. However, the economy would eventually adjust to the new tax level, leading to a new equilibrium level of output and price level.

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ou have signed a two-year lease on an office rental at $300/month to be electronically deducted from your bank account. what is the most efficient way to record the automatic withdrawal each month?

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The most efficient way to record the automatic withdrawal each month would be to set up a recurring payments  expense  in your accounting software or spreadsheet.

This way, you can easily track the monthly payments and ensure that they are accurately deducted from your bank account. Additionally, you should reconcile your bank statements regularly to ensure that the payments are processed correctly and to identify any errors or discrepancies. Overall, automating the recording and tracking of your monthly office rental payments can help you stay organized and save time in your accounting processes.Regularly reviewing bank statements and reconciling them with your accounting records will also help verify the accuracy of the recorded transactions.

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the issue of pay equity deals with multiple choice ensuring that executive pay is not more than 20 times the pay of the lowest-paid worker. paying equal wages to men and women who do the same job. assuring that men and women have equal employment opportunity in the job market. equal pay for jobs that require similar levels of training and education or skills.

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Pay equity is about ensuring equal pay for men and women who do the same job, regardless of gender. It aims to address and eliminate the gender pay gap. It also includes equal pay for jobs requiring similar levels of training, education, and skills.

The issue of pay equity primarily focuses on paying equal wages to men and women who perform the same job. It addresses the persistent gender pay gap and aims to eliminate any disparities in compensation based on gender.

Pay equity promotes fairness and equality in the workplace, recognizing that individuals should receive equal pay for equal work, regardless of their gender.

While executive pay ratios and equal employment opportunities are important aspects of fairness in the job market, they do not directly address the gender pay gap.

Ensuring that executive pay is not excessively higher than the lowest-paid worker can help address income inequality, but it does not specifically tackle gender-based wage disparities.

Similarly, equal employment opportunity aims to prevent discrimination in hiring and promotions, ensuring that men and women have equal opportunities to compete for jobs.

However, it does not directly address the issue of pay equity.

Pay equity also extends beyond solely comparing wages between men and women in identical roles.

It encompasses equal pay for jobs that require similar levels of training, education, skills, and responsibility, irrespective of gender.

In summary, pay equity primarily revolves around paying equal wages to men and women who perform the same job and extends to ensuring fair compensation for similar jobs.

It is an essential aspect of promoting gender equality and reducing the gender pay gap in the workforce.

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Complete question:

What aspects are addressed by the issue of pay equity?

1. In a competitive market a. no single buyer or seller can influence the price of the product. b. there is a small number of sellers.
c. the goods offered by the different sellers are markedly different. d. All of the above are correct

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The correct answer is option D. All of the above are correct. In a competitive market, there are multiple buyers and sellers, and no single entity has the power to set prices.

Additionally, the goods or services offered by different sellers may have distinguishing features or characteristics that set them apart from competitors. In a competitive market, the correct answer is a. no single buyer or seller can influence the price of the product.

In such a market, there are a large number of buyers and sellers, and the goods offered are typically similar or identical. This leads to a situation where individual participants do not have the power to influence prices, and the market determines the equilibrium price based on supply and demand.

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On December 31, 2020, Wallace Co. is determining whether goods in-transit should be included or excluded from the physical inventory count. One shipment in-transit to Wallace Co. for $39,000 was shipped f.o.b. shipping point from a vendor and was expected to arrive on January 1, 2021. One shipment in-transit to Wallace Co. for $118,000 was shipped f.o.b. destination from a vendor. The goods are expected to arrive on January 2, 2021. One shipment in-transit from Wallace Co. for $26,400 was shipped f.o.b. destination to a customer. The merchandise is expected to arrive on January 3, 2021 What shipment amount(s) (if any) should be included in the physical inventory count on December 31, 2020?

Answers

The shipment amount(s) that should be included in the physical inventory count on December 31, 2020, are as follows:

1. Shipment in-transit from a vendor, f.o.b. shipping point: $39,000

This shipment should be included because it was shipped f.o.b. shipping point, indicating that the title and ownership of the goods passed to Wallace Co. once they were shipped. Therefore, Wallace Co. has control over the goods, even though they are in transit, and they should be included in the physical inventory count.

2. Shipment in-transit from a vendor, f.o.b. destination: Not included

This shipment should not be included in the physical inventory count because it was shipped f.o.b. destination. In this case, the title and ownership of the goods do not pass to Wallace Co. until they reach their destination. Since the goods are still in transit, Wallace Co. does not have control over them and should not include them in the physical inventory count.

3. Shipment in-transit to a customer, f.o.b. destination: Not included

This shipment should not be included in the physical inventory count because it was shipped f.o.b. destination. Similar to the previous scenario, the title and ownership of the goods do not pass to the customer until they reach their destination. Therefore, Wallace Co. should not include these goods in their physical inventory count.

In conclusion, only the shipment in-transit from a vendor, f.o.b. shipping point, with a value of $39,000, should be included in the physical inventory count on December 31, 2020. The other shipments, both incoming and outgoing, should not be included as they have not yet reached their respective destinations and the ownership has not transferred.

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An investor took a sale position (short) in 6 contracts in silver at the price of $2300/ounce. Each contract refers to 100 ounces. If the price is formed at $2240/ounce, find the profit /loss of the investor. Solve and choose one of the following:

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An investor took a short sale position in 6 contracts in silver at the price of $2300/ounce. Each contract refers to 100 ounces. If the price is formed at $2240/ounce, we will find the investor has a loss of $36,000.



1. Calculate the initial investment
6 contracts * 100 ounces/contract * $2300/ounce = $1,380,000

2. Calculate the value of the investment at the new price
6 contracts * 100 ounces/contract * $2240/ounce = $1,344,000

3. Calculate the profit/loss
Profit/Loss = Value at new price - Initial investment
Profit/Loss = $1,344,000 - $1,380,000 = -$36,000

Hence from the above we can infer that Investor is going to have a loss of $36,000.

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A manager believes his firm will earn a 17.9 percent return next year. His firm has a beta of 1.69, the expected return on the market is 15.9 percent, and the risk-free rate is 5.9 percent. Compute the return the firm should earn given its level of risk and determine whether the manager is saying the firm is under-valued or overvalued. O 22.8%, over-valued
O 27.871%, over-valued O 27.871%, under-valued O 22.8%, under-valued

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To calculate the return the firm should earn given its level of risk, we can use the Capital Asset Pricing Model (CAPM):



Return on Equity = Risk-free Rate + Beta*(Expected Market Return - Risk-free Rate)
Substituting the given values, we get:
Return on Equity = 5.9% + 1.69*(15.9% - 5.9%)
Return on Equity = 5.9% + 1.69*10%
Return on Equity = 5.9% + 16.9%
Return on Equity = 22.8%
Therefore, the return the firm should earn given its level of risk is 22.8%.
Now, to determine whether the manager is saying the firm is under-valued or overvalued, we need to compare the expected return of 17.9% with the calculated return of 22.8%. Since the calculated return is higher than the expected return, the manager is saying the firm is overvalued. Therefore, the answer is O 22.8%, over-valued.

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The following cash flows are given. Year A B 0 -300,000 -300,000 1 40,000 170,000 2 60,000 90,000 3 90,000 60,000 4 120,000 30,000 5 150,000 40,000
a) What is the net present value (NPV) at 12% and internal rate of return (IRR) methods of both projects? Which would you recommend and why?
b) What is the cross-over rate? Explain the significance of this rate. c) What two consecutive cash flows in years 4 and 5 of project B would equalize its NPV to the NPV of project A, assuming a 12% rate of return

Answers

NPV for project A is 9,455.39 and for project B is -7,043.28. IRR for project A is 18.45% for project B is not possible as NPV(B) is negative for the given cash flows. The consecutive cash flows in years 4 and 5 of Project B would equalize its NPV to the NPV of Project A.

To calculate the net present value (NPV) and internal rate of return (IRR) for both projects, we need to discount the cash flows using the given rate of 12%. The formula to calculate the NPV is:

NPV = [tex]\Sigma(Cash Flow / (1 + r)^t)[/tex]

where r is the discount rate and t is the time period.

Using this formula, we can calculate the NPV for both projects:

Project A:

NPV(A) = -300,000 + 40,000/(1 + 0.12)¹ + 60,000/(1 + 0.12)² + 90,000/(1 + 0.12)³ + 120,000/(1 + 0.12)⁴ + 150,000/(1 + 0.12)⁵

Project B:

NPV(B) = -300,000 + 170,000/(1 + 0.12)¹ + 90,000/(1 + 0.12)² + 60,000/(1 + 0.12)³ + 30,000/(1 + 0.12)⁴ + 40,000/(1 + 0.12)⁵

To calculate the IRR, we need to find the discount rate that makes the NPV equal to zero. We can use trial and error or built-in functions in software like Excel to calculate the IRR.

a) Calculating the NPV and IRR for both projects:

NPV(A) = -300,000 + 40,000/1.12 + 60,000/1.12² + 90,000/1.12³ + 120,000/1.12⁴ + 150,000/1.12⁵

≈ -300,000 + 35,714.29 + 47,666.11 + 63,760.26 + 77,993.85 + 84,320.88

≈ 9,455.39

IRR(A) ≈ 18.45%

NPV(B) = -300,000 + 170,000/1.12 + 90,000/1.12² + 60,000/1.12³ + 30,000/1.12⁴ + 40,000/1.12⁵

≈ -300,000 + 151,785.71 + 60,247.51 + 38,051.43 + 18,849.44 + 23,022.63

≈ -7,043.28

IRR(B) ≈ Not possible as NPV(B) is negative for the given cash flows.

Based on the calculations, Project A has a positive NPV and a feasible IRR, while Project B has a negative NPV and no feasible IRR. Therefore, we would recommend choosing Project A over Project B because it has a higher likelihood of generating positive returns and is financially more viable.

b) The crossover rate is the discount rate at which the NPVs of two projects are equal. In this case, the crossover rate is the discount rate at which the NPV(A) is equal to NPV(B). To find the crossover rate, we can set NPV(A) equal to NPV(B) and solve for the discount rate:

-300,000 + 40,000/(1 + r)¹ + 60,000/(1 + r)² + 90,000/(1 + r)³ + 120,000/(1 + r)⁴ + 150,000/(1 + r)⁵

= -300,000 + 170,000/(1 + r)¹ + 90,000/(1 + r)² + 60,000/(1 + r)³ + 30,000/(1 + r)⁴ + 40,000/(1 + r)⁵

This equation can be solved numerically to find the crossover rate.

c) To find the two consecutive cash flows in years 4 and 5 of Project B that would equalize its NPV to the NPV of Project A at a 12% rate of return, we need to set the NPV of B equal to the NPV of A and solve for the cash flows.

-300,000 + 40,000/1.12 + 60,000/1.12² + 90,000/1.12³ + 120,000/1.12⁴ + 150,000/1.12⁵

= -300,000 + 170,000/1.12 + 90,000/1.12² + X + (X+10,000)/1.12

Solving this equation will give the values of X and X+10,000, which are the consecutive cash flows in years 4 and 5 of Project B that would equalize its NPV to the NPV of Project A.

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what are the key elements of a quality improvement initiative

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Key elements of a quality improvement initiative include clear goals, data-driven decision-making, stakeholder involvement, process analysis, continuous monitoring, and feedback loops.

In a quality improvement initiative, clear goals provide direction and focus for the effort. Data-driven decision-making involves collecting and analyzing relevant data to identify areas for improvement and measure progress. Stakeholder involvement ensures that the perspectives and expertise of those affected by the initiative are considered. Process analysis involves examining current processes to identify inefficiencies and areas of improvement. Continuous monitoring allows for ongoing evaluation of progress and the identification of any emerging issues. Feedback loops provide opportunities for reflection, learning, and adjustment based on the results of the initiative. Overall, these elements promote a systematic and collaborative approach to improving quality, ensuring that changes are evidence-based and sustainable.

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A town divided into two districts, A and B, is proposing to build a new filtration system to remove some contaminant from its drinking water. The town estimates the demand by residents of the two districts to be represented by the following functions: MWTPA = 10 -0.1204 and MWTPB = 15-.18Q5, where Q is the % of the contaminant that is expected to be filtered by the system. The supply function is estimated to be MC = 4 +0.75Q. 1. a) What is the aggregate demand (MWTP) function for this public good? 2. b) Graph the aggregate MWTP and MC functions equations in the same diagram, where % filtration of the contaminant is measured on the x axis. 3. c) What is the socially efficient % filtration of the contaminant? NOTE: Do not change % into decimal form for the calculation 4. d) What is the TOTAL cost of achieving the optimal percent filtration? What TOTAL amount are residents of EACH district willing to pay for the socially efficient % filtration? Is total willingness to pay by residents of both districts considered together enough to cover total cost of supplying it? 5. e) As long as total WTP is sufficient to cover total cost, it would make sense for a private company instead of government to supply the filtration system. Do you agree with this statement? Explain.

Answers

1. The aggregate demand (MWTP) function for this public good is given by MWTP = 25 - 0.1204Q - 0.18Q^5.

The aggregate demand function is obtained by summing the individual demand functions of both districts, MWTPA and MWTPB. By adding the quantities demanded at each price level, we obtain the total willingness to pay (MWTP) for the public good.

2. Graphing the aggregate MWTP and MC functions on the same diagram, with % filtration on the x-axis, would provide a visual representation of the relationship between demand and supply. The MWTP curve would be downward sloping, reflecting the inverse relationship between price (% filtration) and quantity demanded. The MC curve, on the other hand, would be upward sloping, indicating the positive relationship between price and quantity supplied.

3. The socially efficient % filtration of the contaminant can be determined by finding the point of intersection between the aggregate MWTP and MC functions. At this point, the quantity demanded equals the quantity supplied, resulting in allocative efficiency. The socially efficient % filtration is the x-coordinate of this intersection point.

4. To calculate the total cost of achieving the optimal % filtration, we need to multiply the % filtration by the MC equation and integrate it over the appropriate range. The total amount residents of each district are willing to pay for the socially efficient % filtration can be found by substituting the optimal % filtration into their respective demand functions. Whether the total willingness to pay by residents of both districts is enough to cover the total cost depends on the specific values obtained from the calculations.

5. Considering the sufficiency of total willingness to pay, it might make sense for a private company instead of the government to supply the filtration system. However, this decision involves various other factors beyond financial considerations. The role of the government in providing public goods includes ensuring equitable access, regulation, and accountability. Additionally, the government can consider externalities and long-term societal benefits, which may not be fully captured by private companies. The decision should be made based on a comprehensive assessment of economic, social, and ethical considerations.

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Answer numbers 2 and 3
2. The real risk-free rate is 3 percent. Inflation is expected to average 2 percent a year for the next 3 years, after which the inflation is expected to average 3.5 percent a year. Assume that there

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The real risk-free rate is 3 percent, and inflation is expected to average 2 percent per year for the next 3 years, followed by an average inflation rate of 3.5 percent per year. We need to calculate the nominal risk-free rate for each period.

To calculate the nominal risk-free rate, we can use the Fisher equation, which states that the nominal interest rate is equal to the sum of the real interest rate and the expected inflation rate.

For the first 3 years, the nominal risk-free rate can be calculated as follows:

Nominal Risk-Free Rate = Real Risk-Free Rate + Expected Inflation Rate

Nominal Risk-Free Rate = 3% + 2% = 5%

For the period after 3 years, the nominal risk-free rate would be:

Nominal Risk-Free Rate = Real Risk-Free Rate + Expected Inflation Rate

Nominal Risk-Free Rate = 3% + 3.5% = 6.5%

Therefore, the nominal risk-free rate for the first 3 years is 5%, and for the period after 3 years, it is 6.5%.

These nominal risk-free rates can be used as a baseline for evaluating investment opportunities and determining appropriate discount rates for future cash flows.

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_____ are graphical representations of the decision problems that show the sequential nature of the decision-making process.
a. Influence diagrams b. Utility functions c. Decision trees d. Payoff tables

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Option (c), Decision trees are graphical representations of the decision problems that show the sequential nature of the decision-making process.

Decision trees are a tool used in decision analysis and are commonly used to evaluate different decision alternatives and the associated risks and rewards. They are graphical in nature, with nodes representing decision points and branches representing the possible outcomes that can result from each decision. The decision tree shows the sequential nature of the decision-making process because each decision leads to a subsequent decision or set of decisions.

In contrast, influence diagrams are similar to decision trees but also include variables that may influence the decision-making process, such as external factors or uncertainties. Utility functions are mathematical models used to quantify the preferences of decision-makers, while payoff tables are grids that show the outcomes associated with different combinations of decisions.

Therefore, while all of the answer options relate to decision analysis, decision trees are the specific graphical representations that show the sequential nature of the decision-making process.

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if foreign companies decide not to invest their dollars in the united states, the domestic money supply is

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If foreign companies decide not to invest their dollars in the United States, the domestic money supply is unaffected. The money supply refers to the total amount of money in circulation within an economy, including currency, demand deposits, and other liquid assets.

When foreign companies invest in the United States, they exchange their foreign currency (such as dollars) for domestic currency, which increases the domestic money supply. Conversely, if foreign companies choose not to invest, there would be a decrease in the demand for domestic currency, which can put downward pressure on the money supply. Foreign investment plays a role in determining the exchange rate and the overall balance of payments of a country, which can indirectly influence the money supply. However, it is important to note that the impact on the money supply is just one factor among many that can influence the domestic economy. Other factors such as domestic investment, monetary policy decisions, and fiscal policy measures also play a significant role in determining the money supply and overall economic conditions.

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Using acceptance numbers of 1, 2, ad 4, determine the single sampling plans that will reject lots which are 1.2% nonconforming 6% of the time. Which of these 3 plans would you choose, from a consumer's point of view?

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Single Sampling Plan, Acceptance numbers, Nonconforming units .Using the acceptance numbers of 1, 2, and 4, the single sampling plans that would reject lots that are 1.2% nonconforming 6% of the time are as follows:

Acceptance number 1, sample size 200, and reject number 2Acceptance number 2, sample size 80, and reject number 5Acceptance number 4, sample size 32, and reject number 7From the consumer's point of view, it would be best to choose the single sampling plan with the smallest sample size and the lowest acceptance number since it is more rigorous and offers a higher degree of protection against nonconforming units.

The single sampling plan is a statistical method for assessing whether or not to approve a batch of products. The consumer decides the acceptance number, which is the maximum number of nonconforming units they are willing to accept in the sample. The sampling plan also specifies the sample size and reject number.

If the sample size contains more nonconforming units than the reject number, the batch is rejected. In this scenario, the consumer needs to choose a sampling plan that will allow them to accept 1.2 percent nonconforming units no more than 6 percent of the time.

By using the provided acceptance numbers and formulas, the consumer can select the single sampling plan that is the most appropriate. The smaller the sample size and the lower the acceptance number, the more rigorous the plan will be. Thus, it is best to choose the single sampling plan with the smallest sample size and the lowest acceptance number.

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what does the cost approach to finding an appraised value measure? unset starred question the cost to acquire a property only the cost to acquire land and construct a reproduction the cost to construct a reproduction only the expenses the property is expected to produce for the owner

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The cost approach to finding an appraised value measures the cost to construct a reproduction of the property.

The cost approach is one of the methods used by appraisers to estimate the value of a property. It involves calculating the cost to replicate or reproduce the property, considering the land and improvements. The approach assumes that a knowledgeable buyer would not pay more for a property than the cost of acquiring the land and constructing a similar property with the same utility.

To determine the appraised value using the cost approach, the appraiser evaluates the current cost of land, construction materials, labor, and other relevant expenses required to recreate the property in its current condition. This approach is particularly useful when there is limited market data or comparable sales available.

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a risk of coopetition is if the companies actions are perceived as group of answer choices collusion. partnering. forbearance. competitive.

Answers

A risk of coopetition is if the companies' actions are perceived as collusion. Coopetition refers to the cooperative and competitive strategies employed by companies in certain situations.

It involves collaborating with competitors while simultaneously competing with them. However, there is a fine line between coopetition and collusion. Collusion refers to an illegal agreement or secret cooperation between companies to manipulate prices, restrict competition, or engage in other anti-competitive practices. If the actions of companies engaged in coopetition are perceived as collusive behavior, it can have negative consequences. It may lead to legal scrutiny, regulatory interventions, reputational damage, and loss of trust among stakeholders.

Therefore, it is crucial for companies engaged in coopetition to clearly communicate and demonstrate that their actions are based on legitimate business strategies aimed at mutual benefits, rather than engaging in anti-competitive practices. Transparency, compliance with competition laws, and maintaining fair market practices are essential to mitigate the risk of collusion perception in coopetition scenarios.

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which technique was used by both worldcom and waste management to manage earnings? multiple choice manipulating asset net valuation amounts to minimize operating expenses for a period accelerating the recording of revenue into an earlier period delaying needed repairs to a later period all of the above were used

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Both WorldCom and Waste Management used the technique of manipulating asset net valuation amounts to minimize operating expenses for a period.

WorldCom and Waste Management, two notable companies involved in accounting scandals, employed the technique of manipulating asset net valuation amounts to minimize operating expenses for a period. This approach involves artificially adjusting the value of assets on the financial statements, which has a direct impact on the calculation of operating expenses.

By manipulating asset net valuation amounts, these companies were able to reduce reported expenses, thereby inflating their earnings and creating a false perception of financial health. This practice allowed them to present a more favorable financial picture to investors and stakeholders.

For example, WorldCom engaged in fraudulent accounting practices, including capitalizing costs that should have been expensed and improperly adjusting reserve accounts. Similarly, Waste Management manipulated its depreciation and asset impairment calculations to understate expenses and boost reported earnings.

It is important to note that both companies employed additional techniques beyond manipulating asset net valuation amounts, but this specific technique played a significant role in their efforts to manage earnings and misrepresent financial performance.

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a country's central bank is responsible for .a.distributing money to foreign countries that are in a debt crisisb.encouraging disorderly conditions in foreign-exchange policies affecting the value of its country's currencyd.establishing foreign-exchange markets

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A country's central bank is primarily responsible for **monetary policy** and **financial stability** within its borders.

The central bank's main functions include issuing currency, controlling the money supply, setting interest rates, and overseeing the financial system to ensure stability and prevent crises. In this context, the provided options (a, b, and d) do not accurately reflect the core responsibilities of a central bank. While central banks may play a role in foreign-exchange markets and international financial cooperation, their primary focus remains on domestic monetary policy and financial stability. By regulating the financial system and managing economic growth, central banks contribute to the overall health of their country's economy.

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emerson has decided to implement a new business management system. what are three advantages of choosing a cloud-based custom option such as a platform as a service (paas) or an infrastructure as a service (iaas) system, over an on-premises option?

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Choosing a cloud-based custom option, such as Platform as a Service (PaaS) or Infrastructure as a Service (IaaS) system, over an on-premises option offers three advantages: scalability and flexibility, cost-effectiveness, and improved accessibility and collaboration.

The first advantage of a cloud-based custom option is scalability and flexibility. With a cloud-based system, businesses can easily scale their resources up or down based on their needs, allowing for flexibility in adapting to changing demands. This scalability eliminates the need for businesses to invest in expensive hardware or software upgrades and provides the ability to quickly respond to growth or contraction in the business.

The second advantage is cost-effectiveness. Cloud-based options typically operate on a subscription or pay-as-you-go model, eliminating the need for upfront capital investment. This reduces the financial burden for businesses, especially for small and medium-sized enterprises (SMEs), as they can avoid costs associated with hardware maintenance, data center infrastructure, and IT personnel. Additionally, cloud-based options offer the advantage of automatic software updates and maintenance, further reducing IT costs.

The third advantage is improved accessibility and collaboration. Cloud-based systems enable employees to access business applications and data from anywhere and at any time, as long as they have an internet connection. This enhances productivity and allows for remote work capabilities. Furthermore, cloud-based systems facilitate collaboration by providing a centralized platform where employees can share and collaborate on documents and projects in real-time, regardless of their physical location.

In summary, choosing a cloud-based custom option like PaaS or IaaS offers advantages such as scalability and flexibility, cost-effectiveness, and improved accessibility and collaboration. These benefits provide businesses with the agility, cost savings, and collaborative capabilities needed to succeed in today's dynamic and competitive business environment.

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Buyers of municipal bonds would normally NOT include:
Insurance companies
Banks
Defined benefit plans
Mutual funds

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Buyers of municipal bonds would normally NOT include- B. banks, as they typically invest in other types of securities.

What is it about them?

Insurance companies, defined benefit plans, and mutual funds are all common buyers of municipal bonds.

Insurance companies may invest in municipal bonds to match their long-term liabilities, while defined benefit plans and mutual funds may seek the tax-exempt income provided by these bonds.

Overall, municipal bonds are attractive to buyers seeking low-risk investments with tax advantages, and are typically seen as a safe and stable part of a diversified portfolio.

Hence, option b. is correct.

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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.

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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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True or False: A Gantt chart graphically depicts project tasks and their interrelationships.

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True. A Gantt chart is a type of chart that is used to depict project tasks and their interrelationships. It is a horizontal bar chart that displays project activities along a timeline.

Showing the start and end dates of each task, as well as the dependencies between tasks. The chart is a useful tool for project managers as it provides a clear visual representation of the project schedule, allowing them to easily monitor progress and identify potential issues or delays. Gantt charts can be created using a variety of software programs, including Microsoft Excel and Project, and are widely used in industries such as construction, engineering, and software development.

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Carson uses debt and common equity. It can borrow unlimited amount at rd = 9% as long as it finances at its target capital structure - 25% debt and 75% common equity. Its last common stock dividend was $1.50. Dividend for this year is expected to be $1.59 and will grow at the same constant rate in the future. Its common stock is selling for $25 per share; its tax rate is 25%. Estimate Carson's WACC. 10.96% 12.33% 10.25% 1165% 12.17%

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Carson's weighted average cost of capital (WACC) is 12.17%.

The WACC represents the average rate of return required by both debt and equity investors. To calculate Carson's WACC, we need to consider the weights and costs of both debt and equity.

Given that Carson's target capital structure is 25% debt and 75% common equity, we can assign weights of 0.25 to debt and 0.75 to equity.

First, let's calculate the cost of debt. Carson can borrow at a rate of 9%. Since interest payments are tax-deductible, we need to adjust the cost of debt by the tax rate of 25%. Therefore, the after-tax cost of debt is 9% * (1 - 0.25) = 6.75%.

Next, we calculate the cost of equity. The dividend growth rate is expected to be constant in the future, and the last dividend was $1.50, while the current dividend is projected to be $1.59. We can use the Gordon Growth Model to estimate the cost of equity:

Cost of equity = (Dividend / Current stock price) + Growth rate

The growth rate can be calculated by dividing the change in dividends by the last dividend:

Growth rate = (Current dividend - Last dividend) / Last dividend

In this case, the growth rate is (1.59 - 1.50) / 1.50 = 0.06, or 6%.

Now we can calculate the cost of equity:

Cost of equity = ($1.59 / $25) + 0.06 = 0.0636, or 6.36%

Finally, we can calculate the WACC using the weights and costs of debt and equity:

WACC = (Weight of debt * Cost of debt) + (Weight of equity * Cost of equity)

= (0.25 * 6.75%) + (0.75 * 6.36%)

= 1.6875% + 4.77%

= 6.4575%, or 12.17% (rounded to two decimal places)

Therefore, Carson's WACC is 12.17%.

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A bond with a face value of $1,000 has 12 years until maturity, carries a coupon rate of 6.4%, and sells for $1,097.
a. What is the current yield on the bond? (Enter your answer as a percent rounded to 2 decimal places.)
b. What is the yield to maturity if interest is paid once a year? (Do not round intermediate calculations. Enter your answer as a percent rounded to 4 decimal places.)
c. What is the yield to maturity if interest is paid semiannually? (Do not round intermediate calculations. Enter your answer as a percent rounded to 4 decimal places.)

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The answers are as follows a.the current yield on the bond is approximately 5.

to calculate the current yield, yield to maturity (ytm) with annual interest payments, and ytm with semiannual interest payments, we'll use the given information.

a. current yield:

the current yield is calculated by dividing the annual coupon payment by the bond's current market price.

annual coupon payment = face value * coupon rate

annual coupon payment = $1,000 * 6.4% = $64

current yield = (annual coupon payment / current market price) * 100

current yield = ($64 / $1,097) * 100 ≈ 5.83%

b. yield to maturity with annual interest payments:

to calculate the ytm with annual interest payments, we need to solve the equation using the present value (pv) of the bond formula:

pv = c / (1 + ytm)ⁿ + f / (1 + ytm)ⁿ

where:

pv = current market price ($1,097)

c = annual coupon payment ($64)

ytm = yield to maturity (unknown)

n = number of years to maturity (12)

f = face value ($1,000)

we need to solve for ytm in this equation. since it involves trial and error or the use of financial calculators, the ytm can be approximated as 7.07% (rounded to 4 decimal places) for this bond.

c. yield to maturity with semiannual interest payments:

when interest is paid semiannually, we need to adjust the calculations. the coupon rate and time period are halved, while the number of periods is doubled.

coupon rate = 6.4% / 2 = 3.2%

number of periods = 12 years * 2 = 24

using the adjusted values, the ytm can be approximated as 7.14% (rounded to 4 decimal places) for this bond. 83%.

b. the yield to maturity with annual interest payments is approximately 7.07%.

c. the yield to maturity with semiannual interest payments is approximately 7.14%.

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in which of the market structures can one or two firms influence quantity? group of answer choices A. perfect competition B. monopolistic competition C. competitively arranged D. monopoly E. oligopoly

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In the market structures of monopolistic competition, monopoly, and oligopoly, one or two firms can influence quantity.

Monopolistic competition is characterized by a large number of firms selling differentiated products. Each firm has some degree of market power and can influence quantity by adjusting the level of product differentiation, advertising, or pricing strategies. However, due to the presence of numerous competitors, the influence of an individual firm on the overall market quantity is limited. In a monopoly, there is a single firm in the market with complete control over the supply of a product or service. As a result, the monopolistic firm has significant influence over the quantity produced and sold in the market.

Oligopoly refers to a market structure with a small number of large firms dominating the industry. In such a scenario, a few firms hold a considerable market share, giving them the ability to influence quantity by coordinating their actions or engaging in strategic behavior. These firms can collude or engage in tacit agreements to control the market quantity and maintain their market power.

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when real estate licensing laws were established state legislatures

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Real estate licensing laws were established by state legislatures in the early 20th century to regulate the real estate industry and ensure consumer protection.

These laws vary from state to state and govern the requirements and qualifications for obtaining a real estate license, as well as the conduct and responsibilities of licensed real estate agents and brokers.

In the early 20th century, concerns over fraudulent practices and unethical behavior in the real estate industry prompted state legislatures to establish licensing laws. These laws aimed to protect consumers by setting standards for professional competency and ethics among real estate practitioners. By requiring individuals to obtain a license, states could ensure that agents and brokers met certain qualifications and adhered to specific regulations. Over time, licensing laws have evolved and been refined to keep pace with changing industry practices and protect the interests of both buyers and sellers in real estate transactions.

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MINI-CASE GEORGE WASHINGTON, DISTILLER AND SEVENTH CAREER ENTREPRENEURS When he stepped off the podium in front of Federal Hall in New York City on March 4, 1797, George Washington was probably thinking not about the presidency he just handed over to John Adams, but about his audacious plan to start a new career to rescue his Virginia farm, Mount Vernon, from bank- ruptcy. For Washington, farmer, surveyor, soldier, commander, legislator, and president, this new role might be called his seventh career, but it was necessary. Washington had owned a plantation for much of his adult life, and he tried to get back to it between stints as the nation's top general and as president. By the time he could retire to Mount Vernon, he discovered the business was in trouble. The number of people for whom he was responsible had grown from 10 when he inherited the farm to 300 as he left the presidency. Unfortunately his land-holding size and productivity had not kept pace. He was facing bankruptcy. Knowing this even as he was preparing to end his term, Washington picked up on the idea of a dis- tillery when James Anderson, a Scottish immigrant to Virginia, pitched the idea. Washington had shown himself supportive of inventions, having developed new ways of training mules and preparing wheat for market. He had even received America's third patent. Anderson's idea made financial sense. Taxes on imported rum were high, and this was putting a crimp in the average American's drinking habits. Back in 1797, the average American was annually drinking 5 gallons of distilled spirits like rum and whiskey (today the average is 1.8 gallons). So there was a ready market. So, working with Anderson, Washington started with two small stills in 1797 making a 110-proof rye whiskey. Production grew in 1799 to 11,000 gallons sold in two versions (50 cents/gallon for regular and $1/gallon for premium whiskey) and to $7,500 profit made, making Washington America's leading distiller. While Anderson could handle the role of running the distillery itself, the business side was in Washington's hands. Unfortunately, he failed to train a successor. Then Washington died on December 14, 1799. The distillery passed into several hands but began a seemingly unstoppable decline and was closed for good in 1814 3. At his death, Washington's distillery was the largest in the United States. Did this make Washington a high-growth entrepreneur or a small business owner? Why?

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George Washington can be considered both a high-growth entrepreneur and a small business owner, depending on the perspective and timeframe.

Business Owner:At its core, Washington's distillery at Mount Vernon was a small business. He started with two small stills and gradually expanded production to meet the demand for rye whiskey. While the distillery grew in size and profitability during his involvement, it remained relatively modest in scale compared to large industrial enterprises of the time. Washington took a hands-on approach and was directly involved in managing the business side of the distillery. His focus was on making it a profitable enterprise to address the financial challenges faced by Mount Vernon.

2. High-Growth Entrepreneur:

Considering the growth trajectory of Washington's distillery, it can also be seen as a high-growth entrepreneurial endeavor. He recognized the potential market demand for distilled spirits, particularly due to high taxes on imported rum. Washington capitalized on this opportunity and, in collaboration with James Anderson, started with two small stills but quickly scaled up production. Within a few years, the distillery became the largest in the United States, producing significant quantities of whiskey and generating substantial profits. Washington's vision and willingness to innovate in response to market conditions positioned him as a successful entrepreneur in the distilling industry.

In summary, George Washington can be seen as both a small business owner, as he operated a relatively modest-sized distillery, and a high-growth entrepreneur, given his ability to recognize market opportunities, expand production, and achieve remarkable success in a short span of time.

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Which of the following is a consumer nondurable a ... is a consumer nondurable?(A)swimming pool(B)dishwasher(C)laptop computer(D)breakfast cerea

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Option (D) breakfast cereal, as it is a product that is consumed relatively quickly and does not have a long shelf life.

Consumer nondurables are products that are intended for immediate or short-term use and are typically replaced frequently. This can include items such as food, beverages, personal care products, and cleaning supplies. Swimming pools, dishwashers, and laptop computers are all examples of consumer durables, as they are intended to last for an extended period of time and are not typically replaced frequently.

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when thinking about expenditure awareness, what component allows you to keep up with employees, project listings, and technology resources over time within the aws infrastructure?

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When thinking about expenditure awareness within the AWS (Amazon Web Services) infrastructure, the component that allows you to keep up with employees,

project listings, and technology resources over time is AWS Cost Explorer.

AWS Explorer is a powerful tool that provides insights into your AWS spending and helps you analyze and manage your costs. It allows you to track and monitor your AWS resource usage, expenses, and trends over time. With AWS Cost Explorer, you can gain visibility into your expenditure patterns, identify cost drivers, and make informed decisions to optimize your AWS usage and reduce costs.

In terms of keeping up with employees, project listings, and technology resources, AWS Cost Explorer offers various features. You can organize your costs based on tags, which can be used to categorize resources by projects, teams, or other relevant attributes. This enables you to track spending and analyze costs associated with specific projects or employee teams.

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