cite three real life situations where quadratic equations are illustrated. Formulate quadratic equations out of these situations then describe each.​

Answers

Answer 1

Answer:

I want to know the sides of a pizza if the width is 9 inches larger than the height and the area is 250 squared inches.

My brother wants to know how long his bed is if it has an area of 2m and the width is .5m larger than the height.

My father wants to know whats the size of a football field if the area is 57,600 square feet given that the length is 200 ft larger than the width.

Explanation:

To solve this you just have to think on the unknown value and represent it as "X" in the first problem we do not know the length or width but we have a values given between them, so if "x" is the height then the width becomes "x+9" so those two values multiplied become the area.

\(x(x+9)=250\\x^{2} +9x=250\\x^{2} +9x-250=0\\\)

With this you just keep solving the others.

My brother wants to know how long his bed is if it has an area of 2m and the width is .5m larger than the height.

2m as an area and the height is "x"

\(x(x+-5)=2\\x^{2} +.5x=2\\x^{2} +.5x-2=0\\\)

My father wants to know whats the size of a football field if the area is 57,600 square feet given that the length is 200 ft larger than the width.

57,600 is the area and width will be "x"

\(x(x+200)=57,600\\x^{2} +200x=57,600\\x^{2} +200x-57,600=0\\\)


Related Questions

Compare the capital gains from investing in the three stocks with the interest income on a one-year CD. Which would have been a more profitable investment—the stocks or a one-year CD? Explain your reason.

Answers

Based on the calculation, the stocks are more profitable investment than a one-year CD.

To determine which investment would be more profitable  -stocks or a one-year CD - it is important to compare the capital gains from investing in the three stocks with the interest income on a one-year CD. Below are the steps to help you answer the question:

Step 1: Calculate the capital gains for each stockAssuming each stock had a value of $100 at the beginning of the year:Stock A: The stock increased by $10, so the capital gain is $10.Stock B: The stock decreased by $5, so the capital gain is -$5.Stock C: The stock increased by $20, so the capital gain is $20.

Step 2: Calculate the interest income for a one-year CDAssuming a one-year CD with an interest rate of 2% and a principal of $100:Interest Income = Principal x Interest Rate= $100 x 0.02= $2

Step 3: Compare the capital gains with the interest incomeThe total capital gain for the three stocks is $10 - $5 + $20 = $25. On the other hand, the interest income for a one-year CD is only $2.

Investing in the three stocks would have been a more profitable investment than a one-year CD. This is because the capital stocks is significantly higher than the interest income from the CD.

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You have now become more versed in the different types of approach the government has at its disposal to combat market inefficiencies.
You're going to be placed in the shoes of a government employee that has been tasked to propose a policy for a specific problem.
You will need:
To theoretically backup your policy (explain why the problem fits the specific theory you want to use)
To explain in laymen terms (simple) how it will work and why it will work
Is the policy you propose enforceable (and realistically doable - in your opinion)
You do not need to go over board - I am not expecting calculation but you can use numbers if that helps.
Situation:
The city of HRM is finding that too many (disposable) mask (used to protect against covid) are finding their way in landfills and on the street.
Help remedy the problem. (the waste is a problem to which your called to address - but do not neglects citizen safety)
2 page max - double space

Answers

In summary, the proposed policy seeks to address the problem of disposable masks in HRM through a combination of economic and regulatory measures. The policy is based on the concept of Extended Producer Responsibility and aims to incentivize manufacturers to produce more sustainable masks while mandating their participation in a take-back program to ensure the proper treatment and disposal of the masks. The proposed policy is enforceable and provides a clear framework for manufacturers to follow, encouraging them to take responsibility for the environmental impact of their products.

What is government employee policy?

Generally, Proposal to Address the Problem of Disposable Masks in HRM

Introduction:

The COVID-19 pandemic has increased the demand for disposable masks for public health purposes. However, this has led to a growing concern about the impact of the disposal of these masks on the environment, particularly with their presence in landfills and on the streets. This proposal seeks to address this problem by implementing a policy that uses a combination of economic and regulatory measures.

Theoretical Backup:

The theoretical framework behind this proposal is based on the concept of Extended Producer Responsibility (EPR). EPR is a policy approach that holds manufacturers responsible for the environmental impact of their products throughout the entire lifecycle. By making the manufacturers responsible, it incentivizes them to reduce waste and improve the recyclability of their products. This approach has been used successfully in many countries to address waste management issues.

Explanation of Policy:

The proposed policy involves the implementation of a two-pronged approach. The first approach is to encourage manufacturers to produce more sustainable masks by offering tax incentives or subsidies for environmentally-friendly materials and recycling efforts. The second approach is to mandate manufacturers to participate in a take-back program, which would ensure that the masks are collected, properly treated, and disposed of in an environmentally sustainable way.

The first approach incentivizes manufacturers to take responsibility for the environmental impact of their products by rewarding them for producing more sustainable masks. These incentives could include reduced taxes or subsidies, which would encourage manufacturers to invest in more environmentally friendly materials and recycling processes. This would help to reduce the amount of waste generated by disposable masks and encourage the development of more sustainable products.

The second approach would mandate manufacturers to participate in a take-back program for their disposable masks. This program would ensure that masks are collected, treated, and disposed of in an environmentally sustainable manner. The program would be regulated by the government and enforced by imposing penalties on manufacturers that do not comply with the program. This would encourage manufacturers to take responsibility for the environmental impact of their products and promote a sustainable waste management system.

Enforceability:

The proposed policy is enforceable, as it can be monitored and regulated by the government. The incentives and penalties would provide a clear framework for manufacturers to follow and provide a mechanism for enforcement. The implementation of the take-back program would require the participation of the government and private waste management companies. The program could be enforced by issuing fines and penalties for non-compliance, which would encourage manufacturers to participate.

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Consider the following data. 42 45 32 27 38 12 32 The difference between the median and the mode is A. 2 B. 3 C. 1 D. 0​

Answers

The difference between the median and the mode is 0. Option D

To find the median, we need to first arrange the data in ascending order: 12, 27, 32, 32, 38, 42, 45. The median is the middle value, which in this case is 32.

To find the mode, we need to identify the value that appears most frequently in the data set. Here, 32 appears twice, which is more than any other value. Therefore, the mode is 32.

The difference between the median and the mode is simply the absolute value of their difference: |32-32| = 0. Therefore, the answer is D) 0.

In summary, to find the difference between the median and the mode, we need to first find the median by arranging the data in ascending order and identifying the middle value. Then, we need to identify the mode, which is the value that appears most frequently in the data set. Finally, we calculate the absolute value of their difference to find the answer. In this case, the difference is 0. Option D.

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If you wanted to purchase ownership interests in diversified portfolios of investments which type of financial product provider should you contact

Answers

Answer:

mutual fund

Explanation:

Mutual funds are investment plans that involve investors buy shares in a basket of financial securities.  A mutual fund manager pool resources from investors and skillfully invests them in a portfolio comprising stock, bonds, and other short term financial securities. Each unit of a mutual fund is made up of smaller units of equities and financial securities of different companies. The mutual fund manager professionally selects the securities that make up the portfolio.

On July 1, Shady Creek Resort borrowed $250,000 cash by signing a 10-year, 8% installment note requiring equal payments each June 30 of $37,258. What amount of principal will be included in the first annual payment

Answers

Answer:

Principal payable in year 1 = $17,258

Explanation:

Loan Amortization: A loan repayment method structured such that a series of equal periodic installments will be paid for certain number of periods to offset both the loan principal amount and the accrued interest.

The annual installment is computed as follows:  

Annual installment= Loan amount/annuity factor .

The annual installment is already given as 37,258.

Principal payable = Annual installment - interest amount

Interest amount = Interest rate × loan amount

                         = 8%× 250,000 =20,000

Principal payable in year 1 =37,258 - 20,000  =$17,258

Principal payable in year 1 = $17,258

Question 6 of 10
What was the main purpose of the Sarbanes-Oxley Act?
A. To increase competition in the accounting industry
B. To increase tax revenue for the government
O C. To create jobs for accountants
D. To protect investors from fraud and false financial reporting

Answers

The main purpose of the Sarbanes-Oxley Act is to protect investors from fraud and false financial reporting (option D).

What is financial reporting?

Financial reporting is described as a process through which the financial statements of an organization are issued. It is a process that includes communication as well as documentation of the financial performance and financial activities of an organization that is carried out for a specific period.  

The Sarbanes-Oxley Act is a law in the US, and the main purpose of this act is to protect investors. The disclosure made through financial reporting is made accurate and reliable through the implementation of this act.

It can be concluded that the main purpose of the Sarbanes-Oxley Act is to protect investors from fraud and false financial reporting (option D).

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Which of the following are deducted from gross taxable income before income taxes are applied to an employee's remuneration?

Answers

Employee contributions to an approved pension plan, Registrable retirement savings plan contributions and union dues (not applicable in Quebec).

For taxable income, what is subtracted from gross income?Any gross income produced that is factored into the calculation of your tax liability is referred to as taxable income. It is essentially your adjusted gross income minus any deductions. Included are any pay from the employer, including wages, tips, salaries, and bonuses. Included are investments and unearned income.In accordance with Section 80A (1), the deductions listed in Sections 80C to 80U must be permitted from the assessee's gross total income when determining their total income. In any circumstance, the assessed person's gross total income cannot be exceeded by the total deduction amount allowed under this section.Employee contributions to an approved pension plan, Registrable retirement savings plan contributions and union dues (not applicable in Quebec),deductions for residing in a designated zone that are listed on the employee's federal personal tax credit return and are approved by the CRA.      

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answer my previous question for 50 pt dm me when its done first brainliest gets it.

Match the terms with their correct meanings.
offer
consideration
agency relationship
utility patent

(options to match with above)
a contract between an agent and
the principal

protects machines and industrial
processes

an unambiguous and clear proposal

the part of a contract that carries
the expectations of all parties in
the contract

Answers

The Match of the terms with their correct meanings are:

Offer - an unambiguous and clear proposalConsideration -  the part of a contract that carries the expectations of all parties in the contractAgency relationship - a contract between an agent and the principalUtility patent - protects machines and industrial processes

What is the consideration part of a contract?

The value that each party brings to a contract is known as consideration. This could be in the form of money or a commitment to carry out a certain deed. A party may be expected to perform an act or refrain from performing an act, depending on the situation.

Therefore, In a principal-agent relationship, one entity formally designates another to act on its behalf.  When there is a principle-agent connection, the agent represents the principal and shouldn't have any competing interests when performing the act.

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Q:
What type of policy does the Fed use to counteract a contraction?

A:
1. О fiscal policy
2. policy lags
3. expansionary monetary policy
4. contractionary monetary policy

Answers

Answer:

3. expansionary monetary policy

Explanation:

To help accomplish this during recessions, the Fed employs various monetary policy tools in order to suppress unemployment rates and re-inflate prices. These tools include open market asset purchases, reserve regulation, discount lending, and forward guidance to manage market expectations.

Work in process inventory increased by $20,000 during the current year. Cost of goods manufactured was $180,000. Total manufacturing costs incurred are a.$189,000 b.$198,000 c.$200,000 d.$160,000

Answers

Answer:

The answer is $200,000

Explanation:

Total manufacturing costs incurred =

Increase in Work in process inventory +

Cost of goods manufactured

Where Increment in Work in process inventory equala $20,000

Cost of goods manufactured equals $180,000

$20,000 + $180,000 = $200,000

Total manufacturing costs incurred are therefore equals $200,000

B. Matching Type. Match Column B with Column A

B. Matching Type. Match Column B with Column A

Answers

Answer:

B. Matching Type. Match Column B with Column A

1. Safety equipment ⇒ C. Must be worn.

2. Danger signs ⇒ D. Inflammable

3. Safety information ⇒ E. Warning Do not touch.

4. Caution signs ⇒ B. No Smoking

5. Serious injuries ⇒ A. First Aid

Bill, the HR manager at Esposito Inc., compiles the company newsletter and in the process coordinates with the managers of other departments. The communication seen in this scenario best exemplifies _____ communication.

Answers

The type of communication which is undertaken by Bill, the HR manager of the company where he compiles the newsletter of the company is known as all channel communication network.

Based on the given question, we can see that the HR manager in a company compiles the newsletter of the company and coordinates with the other managers in other departments.

With this in mind, we can see that this is an example of all channel communication network because there is a liasion with the other managers to share information among themselves.

Therefore, the correct answer is All channel communication network.

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A- graph A only
B graph B only
C graph c only
D graph B and C

A- graph A only B graph B only C graph c only D graph B and C

Answers

Answer:

the answer is believe ably c

which of the following is one reason the statement of stockholders equity is prepared before the balance sheet?

Answers

The statement of owner's equity calculates ending equity that must be reported on the balance sheet, the Statement is created before the balance sheet.

The Statement of Owner's Equity, which must include the company's net income or net loss for the year ended, should be prepared following the Income Statement.

Private businesses may choose to only produce three financial statements, while those mandated to adhere to GAAP are obligated to produce all necessary financial statements. The cash flow statement, income statement, and balance sheet are the three financial statements that almost all businesses of all sizes prepare.

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In order for the economy to be strong, individuals must a. produce goods and pay workers b. provide labor and pay workers c. produce goods and buy goods d. provide labor and buy goods. PLEASE HURRY

Answers

d. Provide labor and buy goods

EconomyAn economy is a domain that includes the production, distribution, and trading of products and services, as well as the consumption of those goods and services by various agents. It is defined broadly as "a social domain emphasizing the activities, discourses, and material expressions linked with the creation, use, and management of finite resources."Individuals must d. provide labor and purchase things in order for the economy to be robust.

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Answer: D

Explanation: E2020

What elements should an ideal CRR plan include?

Answers

The following components belong in a perfect CRR plan. communication lines that are clear, empathy and understanding, activity that is swift and efficient, Feedback and follow-up Continual development

A CRR report: what is it?

The Cyber Resilience Assessment (CRR) is an evaluation of an organisation s resilience or cybersecurity measures based on interviews. Your organization will get knowledge of how to handle cyber risk during both regular operations and during periods of stress levels and catastrophe through the CRR.

What is CRR's emergency response?

Your department can use what you already know to reduce hazards in your operational area with the aid of a community reducing risk (CRR) program. CRR employs a wide range of instruments to create a strategy and integrated program aimed at minimizing the occurrence and effects of local risks.

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what are the important seo features ?

what are the important seo features ?

Answers

The important seo features are Keyword Research, On-Page Optimization, High-Quality and Engaging Content, Link Building, Mobile-Friendly Design, Site Speed and Performance and User Experience (UX).

While SEO is a complex and multifaceted field, there are several important features that contribute to an effective SEO strategy. Let's explore some of these features:

Keyword Research: Keyword research involves identifying the specific search terms and phrases that users are likely to use when searching for information related to your website's content. On-Page Optimization: On-page optimization refers to optimizing individual web pages to make them more search engine-friendly. This includes optimizing title tags, meta descriptions, headers, URLs, and incorporating relevant keywords naturally within the content. High-Quality and Engaging Content: Creating high-quality, informative, and engaging content is crucial for SEO. Search engines prioritize content that provides value to users.Link Building: Link building involves acquiring high-quality backlinks from other reputable websites. Backlinks act as "votes of confidence" for your website, indicating to search engines that your content is trustworthy and authoritative. Mobile-Friendly Design: With the increasing use of mobile devices for internet browsing, having a mobile-friendly website is essential. Site Speed and Performance: Website speed and performance play a vital role in SEO. Search engines prioritize delivering fast and efficient user experiences.User Experience (UX): Providing a positive user experience is critical for SEO success. Factors such as easy navigation, clear site structure, intuitive design, readable fonts, and engaging multimedia elements contribute to a better user experience.

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explain why you would prefer limited company from business​

Answers

Answer:

Explanation:

A limited company is endowed with all of an individual's rights and abilities.

In most cases, a member's liability for the debts, liabilities, or actions of the limited company is limited to the amount of share capital they have subscribed for.

Additionally, a corporation's ownership interests can frequently be modified.

Davenport Inc. offers a new employee a single-sum signing bonus at the date of employment. Alternatively, the employee can receive $30,000 at the date of employment and another $50,000 two years later. Assuming the employee's time value of money is 8% annually, what single sum at the employment date would make her indifferent between the two options

Answers

The single sum at the employment date would make her indifferent between the two options is: $72,867.

Single sum at the employment date

Using this formula

Single sum=Amount- received+ Present value

Let plug in the formula

Single sum=$30,000+($50,000/(1+0.08)²

Single sum=$30,000+($50,000/(1.08)²)

Single sum=$30,000+($50,000/1.1664)

Single sum=$30,000+42,867

Single sum= $72,867

Inconclusion The single sum at the employment date would make her indifferent between the two options is: $72,867.

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Mr Ashok has a company, and has an option to issue different types of preference shares. State all the types preference shares a company can issue.

Answers

A company can issue different types of preference shares. Preference shares are shares in the equity of a company that entitle the holder to a fixed dividend amount to be paid by the issuer. The types of preference shares are:
Cumulative preference shares: These are types of shares where shareholders are given the right to receive dividends for those years where dividends could not be paid due to insufficient profits.
Non-cumulative preference shares: These are types of shares where shareholders are not given the right to receive dividends for those years where dividends could not be paid due to insufficient profits.
Participating preference shares: With participating preference shares, the issuing company must pay an increased dividend to the owners of preference shares if there is a participation clause in the share agreement. This clause states that a certain portion of earnings (or of the dividends issued to the owners of common stock) will be distributed to the owners of preferences shares in the form of additional dividends.
Convertible preference shares: These are preference shares that can be converted into common stock if a shareholder wants to change its holding position. They are converted into a predetermined number of preference stocks.
Non-convertible preference shares: These are preference shares where the holder of a preference share has not been conferred the right to get their holding converted into equity share.
Redeemable preference shares: These are preference shares that can be repurchased or redeemed by the issuing company at a fixed rate and date.
In summary, a company can issue different types of preference shares, including cumulative, non-cumulative, participating, convertible, non-convertible, and redeemable preference shares.

what is the proper way to eat in class

Answers

The proper way to eat in class is to follow the rules and teacher's instructions, choose quiet and odorless foods, eat discreetly, and be respectful of others.

1: Be mindful of the class rules and teacher's instructions. Different schools and teachers may have different policies regarding eating in class. Make sure you are aware of these rules before proceeding.

2: Choose appropriate foods. Opt for foods that are quiet, odorless, and easy to eat without making a mess. Avoid foods that are crunchy, smelly, or require utensils, as they may disrupt the class or distract other students.

3: Prepare in advance. If you know you will be hungry during class, have a small snack or meal before class starts to curb your hunger. This way, you won't be tempted to eat during the class session.

4: Eat discreetly. If you do need to eat something during class, do so discreetly. Choose a moment when the teacher is not actively speaking or when there is a break in the lesson. Take small, quiet bites and avoid making unnecessary noise.

5: Be respectful of others. Ensure that your eating habits do not disturb or distract your classmates. Avoid chewing loudly, slurping drinks, or engaging in messy eating habits. Keep your focus on the class material while eating.

6: Clean up after yourself. Dispose of any food wrappers or containers properly in designated trash cans. If you accidentally make a mess, clean it up discreetly and quickly to avoid drawing attention.

7: Follow teacher's instructions. If your teacher explicitly prohibits eating in class, respect their rules and refrain from eating until an appropriate time, such as during designated breaks or lunchtime.

Remember, the primary purpose of being in class is to learn and engage in educational activities. Eating should only be done when necessary and in a manner that does not disrupt the learning environment.

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Samson Corporation had sales of $1,000,000 during 2012, of which 60 percent were on credit. On December 31, 2012, Accounts Receivable totaled $80,000, and Allowance for Bad Debts had a credit balance of $1,200. Given this information, if uncollectible receivables are estimated to be 1/2 of 1 percent of credit sales, the adjusting entry to account for uncollectible receivables as of December 31, 2012, would include a:________
A) Debit to Bad Debt Expense of $3,000
B) Debit to Bad Debt Expense of $1,800
C) Credit to Bad Debt Expense of $3,000
D) Credit to Allowance for Bad Debts of $5,000

Answers

Answer:

A) Debit to Bad Debt Expense of $3,000

Explanation:

Based on the information given the appropriatethe adjusting journal entry to ACCOUNT FOR UNCOLLECTIBLE RECEIVABLES as of December 31, 2012, would include a DEBIT TO BAD DEBT EXPENSE OF $3,000

BAD DEBT EXPENSE=$1,000,000 *.6*0.005

BAD DEBT EXPENSE=$3,000

When submitting the completed project, please show all work and number each answer accordingly.
When calculating the NPV use the following five columns (use for ALL NPV calculations):

Item

Year(s)

Cash Flow

Discount Factor

Present Value of Cash Flows


1. Tony Skateboards is considering building a new plant. James Bott, the company’s marketing manager, is an enthusiastic supporter of the new plant. Michele Martinez, the company’s chief financial officer, is not so sure that the plant is a good idea. Currently the company purchases its skateboards from foreign manufacturers. The following figures ere estimated regarding the construction of the new plant.

Cost of plant
$4,000,000.00

Estimated useful life
15 years
Annual cash inflows
$4,000,000.00

Salvage value
$2,000,000.00
Annual cash outflows
$3,550,000.00

Discount rate
11%

James Bott believes that these figures understate the true potential value of the plant. He suggests that by manufacturing its own skateboards the company will benefit from a “buy American” patriotism that he believes is common among skateboarders. He also notes that the firm has had numerous quality control problems with the skateboards manufactured by its suppliers. He suggests that the inconsistent quality has resulted in lost sales, increased warranty claims, and some costly lawsuits. Overall, he believes sales will be $200,000 higher than the projected above, and that the savings from lower warranty costs and legal costs will be $80,000 per year.

Required:
a. Compute the Cash Payback period for the project based on the original projections.
b. Compute the net present value of the project based on the original projections.
c. Compute the Cash Payback period for the project incorporating James’ estimates of the value of the intangible benefits.
d. Compute the net present value of the project incorporating James’ estimates of the value of the intangible benefits.
e. Comment on your findings.












2. The partnership of Michele and Mark is considering the following long-term capital investment proposal. Relevant data on the project is listed below. Salvage value is expected to be zero for the project. Depreciation is computed by the straight-line method. The company’s rate of return is the company’s cost of capital which 12%.


Brown

Capital Investment

$200,000.00





Annual Net Income:



Year 1

$25,000.00

Year 2

$16,000.00

Year 3

$13,000.00

Year 4

$10,000.00

Year 5

$8,000.00

Total

$72,000.00


Required:
a. Compute the cash payback period for the project. (round to two decimal places)
b. Compute the net present value for the project (round to the nearest dollar)
c. Compute the annual rate of return for the project.
d. Compute the profitability index for the project.

Answers

1 a. The cash payback period 8.89 years

b. The Net Present Value (NPV) is -346 487.187

c. The adjusted cash payback period  5.48 years

d. Considering potential intangible benefits, the investment could be worthwhile. However, it's important to note that James' estimates are uncertain and could be viewed as optimistic.

2. a. The cash payback period is 4.22 years.

b.  The net present value is -$144,760

c. The Annual rate of return 14.4%

d. The profitability index is 0.2762

How do you calculate the Net Present Value (NPV)?

When calculating the Net Present Value, you can organize the table like this

Tony Skateboard table

Item                 Year(s)     Cash Flow       Discount Factor          PVCF

Investment      0            $450,000          (1 + 0.11)⁰              $450,000  

Year 1               1              $450,000         (1 + 0.11)¹              $405,405.41

Year 2              2            $450,000          (1 + 0.11)²            $365,045.87

Year 3              3            $450,000           (1 + 0.11)³            $328,833.15

.

.

Year 15            15            $450,000           (1 + 0.11)¹⁵            $94 051.956

Michele and Mark NPV table

Item                 Year(s)     Cash Flow       Discount Factor          PVCF

Investment       0           $-200,000          (1 + 0.11)⁰              $200,000

Year 1                1             $25,000             1/(1+0.12)¹             $22,321

Year 2              2             $16,000             1/(1+0.12)²             $12,723

Year 3              3              $13,000             1/(1+0.12)³            $9,273

Year 4              4             $10,000              1/(1+0.12)⁴            $6,355

Year 5             5              $8,000               1/(1+0.12)⁵            $4,568

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Landon Jewelers uses the perpetual inventory system. On April​ 2, Landon sold merchandise with a cost of $3,500 for $7,000 to a customer on account with terms of 3​/15, ​n/30. The journal entry to record the cost of goods sold would​ be:
A.
Merchandise Inventory
3,500
Cost of Goods Sold
3,500
B.
Sales Revenue
3,500
Cost of Goods Sold
3,500
C.
Cost of Goods Sold
3,500
Merchandise Inventory
3,500
D.
Cost of Goods Sold
3,500
Accounts Receivable
3,500

Answers

Answer: C.

Cost of Goods Sold

3,500

Merchandise Inventory

3,500

Explanation:

A perpetual inventory system is a system thats uses records transactions that take place in real-time. Both the returns and the purchases are recorded immediately as they happen in the inventory account.

Under the perpetual inventory method, it should be noted that sales will be credited to the inventory while the purchases that are incurred will be debited to the inventory and it should be noted that the debit will be recorded in the account of the cost of goods sold.

Therefore based on the question, the journal entry to record the cost of goods sold would​ be:

Debit: Cost of goods sold $3500

Credit: Merchandise inventory $3500

Therefore, the correct option is C.

What is a likely result of an increase in trade between nations?
O A. It will increase the cost of goods due to increased competition.
O B. It will restrict the market for domestic products.
O C. It will provide consumers with more choice at lower prices.
O D. It will lower the standard of living in the weaker trade nation.

Answers

Answer:

C

Explanation:

The prices will lower and the the amount of goods will increase

In Paris, France, a new provider was able to negotiate with the mayor and get outdoor ad space in exchange for a bicycle rental program. What is one feature of Paris that he credits for helping get this done (something that is absent in many other cities)?

Answers

Answer:

Paris has bicycle lanes separate from other traffic using physical barriers such as a kerb.  This makes the use of bicycles in Paris to be highly encouraged and patronized.   There are many people, especially tourists, who need bicycles to tour the city.  The mayor is very much aware of the need for a bicycle rental program to sustain this feature of the city (a city of bicycles).

Explanation:

According to wikipedia.com, "There are 700 kilometers (430 miles) of cycle paths and routes in Paris, including piste cyclable (bike lanes separated from other traffic by physical barriers such as a kerb) and bande cyclable (a bicycle lane denoted by a painted path on the road)."

Outline and describe the main types of Communication in your own words. Give one practical example for each type to support your discussion.​

Answers

Answer:

There are four main types of communication: verbal, nonverbal, written, and visual.

1. Verbal communication involves the use of words to convey a message. This can be done through spoken or written language. Verbal communication can be formal or informal, and it is often used in face-to-face conversations, meetings, presentations, and interviews. A practical example of verbal communication is a teacher giving a lecture to a classroom full of students.

2. Nonverbal communication involves the use of body language, facial expressions, and other nonverbal cues to convey a message. This can include gestures, eye contact, posture, and tone of voice. Nonverbal communication is often used in conjunction with verbal communication to reinforce a message or convey meaning. A practical example of nonverbal communication is a job interview, where the interviewer may use body language to convey their interest or disinterest in a candidate.

3. Written communication involves the use of written words to convey a message. This can include emails, memos, reports, and letters. Written communication is often used in business and academic settings, where a permanent record of the communication is required. A practical example of written communication is a business proposal that is sent to a potential client.

4. Visual communication involves the use of images, graphics, and other visual aids to convey a message. This can include charts, diagrams, videos, and photographs. Visual communication is often used in advertising, marketing, and design, where visual impact is important. A practical example of visual communication is a billboard that advertises a new product.

In summary, each type of communication has its own strengths and weaknesses, and they are all important in different contexts. Effective communication requires a combination of these four types, depending on the situation and the message that needs to be conveyed.

Question 1: Critique the case from a leadership, internal and external communication with stakeholders, and barriers to communication point of view.​

Answers

A general view from the leadership, internal and external communication with stakeholders has been provided

The leadership, internal and external communication with stakeholders

Leadership:

Efficient leadership necessitates setting a definitive vision, encouraging and motivating personnel, and making judicious decisions when required. A successful leader should succinctly verbalize the vision and objectives of the organization and guarantee that employees comprehend their positions in attaining those aims.

Internal communication with stakeholders:

Interior communication with stakeholders pertains to communication within an institution with staff, superior executives, and additional internal stakeholders. Successful internal communication can facilitate aligning the visions and aspirations of the corporation and guaranteeing that everybody is progressing towards common ambitions.

External communication with stakeholders:

External communication with stakeholders alludes to communication with purchasers, vendors, financiers, and other external parties. Effective external communication can promote constructing associations with these stakeholders, embellish the standing of the establishment, and elevate customer gratification.

Barriers to communication:

Certain obstructions to productive communication can affect the capability of leaders to communicate effectively with stakeholders. These impediments involve speakers barriers, cultural differences, physical detachment, and technological issues. Other hindrances consist of inadequate trust, deficient listening aptitudes, and indefinite or ephemeral messages.

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You just received a bonus of ​$4 comma 000. a. Calculate the future value of ​$4 comma 000​, given that it will be held in the bank for 7 years and earn an annual interest rate of 5 percent. b. Recalculate part ​(a​) using a compounding period that is​ (1) semiannual and​ (2) bimonthly. c. Recalculate parts ​(a​) and ​(b​) using an annual interest rate of 10 percent. d. Recalculate part ​(a​) using a time horizon of 14 years at an annual interest rate of 5 percent. e. What conclusions can you draw when you compare the answers in parts ​(c​) and ​(d​) with the answers in parts ​(a​) and ​(b​)?

Answers

Answer:

Kindly check attached picture

Explanation:

Kindly check attached picture

You just received a bonus of $4 comma 000. a. Calculate the future value of $4 comma 000, given that
You just received a bonus of $4 comma 000. a. Calculate the future value of $4 comma 000, given that

Suppose a monopolist produces in a market with two distinct segments: market 1, which is denoted as M1 on the graph, and market 2, denoted as M2. The firm's marginal and average costs are $20.

Answers

A monopolist is an individual, gathering, or organization that controls each of the business sectors for a specific decent or administration. The profit in market 1 is $1,600,  The profit in market 2 is $450 and  Demand is more elastic in market 2

(A) Profit = Total revenue - total cost = P*Q - MC*Q = (P-MC)*Q

Profit in market 1

P1 = $60, Q1 = 40, and MC = $20

So, Profit in market 1 = (60-20)*40 = 40*40 = $1,600

(B) Profit in market 2

P2 = $35, Q2 = 30, and MC = $20

So, Profit in market 2 = (35-20)*30 = 15*30 = $450

(C) Demand is more elastic in market 2 as a monopolist charges a lower price in the more elastic market so as P2 < P1 then market 2 is more elastic.

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This question is not complete, Here I am attaching the complete question: also, attaching the diagram

Suppose a monopolist produces in a market with two distinct segments: market 1, which is denoted as M1 on the graph, and market 2, denoted as M2. The firm's marginal and average costs are $20.

(A) What is the profit of market 1?

(B)  What is the profit of market 2?

(C) In which market is demand more elastic?

Suppose a monopolist produces in a market with two distinct segments: market 1, which is denoted as M1
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