D. I, II, III, AND IV. The proprietor shouldn't be a member of any groups that would harm their industry. Despite being self-serving, none of the organisations on the list are engaged in unlawful or unethical activities.
The owner would be allowed to let his client know about any relationships, pursuits, or affiliations that would colour his decision. It is doubtful that one of these organisations would influence the owner to prefer timber because the company currently specialises in timber building. Typically, licencing exam writing, administration, and grading organisations do not even have codes of conduct for architects. Principles of conduct in engineering professions are primarily intended to safeguard the public and sustain professional standards. The "Ethics" document, created by the NSPE (National Association of Professional Engineers), describes appropriate conduct.
(An engineering firm specializes in designing wood framed houses. Which organization would it be ethical for the owner of that firm to belong?
I. Rotary Club
II. local Chamber of Commerce
III. national timber-research foundation
IV. pro-logging lobbying groupw
A. I AND II
B. III AND IV
C. III
D. I, II, III, AND IV)
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5 methods that maybe used to engage in trade w within the business environment.
The five main factors that influence international trade are: the existence of government regulations, variances in technology, variations in resource endowments, variations in demand, and the availability of economies of scale.
What techniques are employed to regulate global trade?Governments primarily use tariffs, subsidies, and quota systems to impose trade restrictions. A quota system places limits on the quantity of commodities that may be imported into a nation. Governments can limit the amount of imports to assist safeguard native businesses by using quota systems.
What drives people to trade?Trade is essential to the prosperity of the United States because it boosts economic expansion, promotes domestic employment, raises living standards, and enables citizens to sustain their families with reasonably priced goods and services.
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Consider a scenario where the Bank of England views the UK economy to be overheating and is attempting to slow the economy down using monetary policy. Which of the following statements is correct regarding the effects of an interest rate rise?
A. It leads to higher bond prices, which result in higher demand for UK bonds.
B. It leads to higher demand for GBP, which results in an appreciation of GBP.
C. It leads to the UK exports becoming cheaper and imports becoming more expensive.
D. It has opposing effects to the UK's aggregate demand (AD) of discouraging investment, which lowers AD, and cheaper imports, which boosts AD.
The correct statement regarding the effects of an interest rate rise is: B. It leads to higher demand for GBP, which results in an appreciation of GBP.
When the Bank of England raises interest rates, it becomes more expensive to borrow money and more profitable to save, which can lead to a reduction in spending and investment.
As a result, there will be a higher demand for GBP since investors seek higher returns on their investments.
This increased demand for GBP leads to an appreciation of the currency, making UK exports more expensive and imports cheaper.
Consequently, the net export component of aggregate demand is likely to decrease, which helps to slow down the overheating economy.
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The use of alcohol and other drugs cause you to lose your?
Answer:
liver cells
Explanation:
it eats at your inner parts of the body in prolonged use
There is a growing movement in the United States led by the progressive wing of the Democratic Party to have the federal minimum wage raised to $15/hr. Some people agree with the $15/hr minimum wage for the United States, while others oppose raising the minimum wage. The arguments against raising the minimum wage range from the government should not dictate salaries to it will cause low wage workers to lose their jobs since businesses cannot afford a $15/hr minimum wage.
Do you agree with a $15/hr federal minimum wage? The current federal minimum wage in the United States is $7.25/hr. Fully explain your position on this issue in 2 - 3 paragraphs.
Source: Surviving an Unlivable Wage l Full Documentary (Financial Literacy)
In my opinion, minimum wage should be increased because an increase in minimum wage would reduce poverty, increase consumer spending, and promote economic growth.
Why Should Minimum Wage be Increased?Minimum wage has not kept pace with inflation, and that the current federal minimum wage of $7.25/hr is not a living wage in most parts of the United States. A $15/hr minimum wage would provide a more realistic living wage for many low-wage workers, but there is disagreement on whether this should be achieved through federal legislation or through individual state action.
Ultimately, whether or not to raise the minimum wage is a complex issue that involves balancing the needs of workers, businesses, and the overall economy. It is important for policymakers to carefully consider the potential impacts of any minimum wage increase and to find ways to support low-wage workers without unduly burdening businesses.
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Jackson and ashley turner (both 45 years old) are married and want to contribute to a roth ira for ashley. in 2011, their agi is $177,500. jackson and ashley each earned half of the income.
a. how much can ashley contribute to her roth ira if they file a joint return
contribution to roth ira $
Ashley Turner would do a maximum contribution to IRA that will be -600.
It is given that the maximum contribution to ROTH IRA is 6000 for the people that are under the age of 50 years
We have,
\(209,000 - \frac{198000}{10000} \times 6000\)
= 6600
Then the contribution to the IRA is:
6000 - 6600 = -600
You can save money tax-advantageously for retirement by opening an individual retirement account (IRA). An individual can save for retirement with tax-free growth or on a tax-deferred basis by opening an IRA at a financial institution. Even when you are unable to make contributions, your account might still grow. You acquire interest, which is added to your account balance, and you subsequently acquire interest on the interest, and so on. Because of the wonders of compound interest, the growth that your account creates can rise annually.
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equipment with a cost of $20,000 and a book value of $6,000 was sold during the year for cash of $18,000. additional equipment was purchased during the year for cash. what was the amount of cash paid for purchases of equipment during the year
The amount of cash paid for purchases of equipment during the year is $8,000.
Calculating the problem:Accumulated depreciation on Equipment sold = Cost of equipment sold - Book Value = $20000 - $6000 = $14,000
Depreciation expense in operating activities section = Ending Accumulated Depreciation - (Beginning Accumulated Depreciation - Accumulated depreciation on Equipment sold)
= $184000 - ($190000 - $14000)
= $184000 - $176000
= $8,000
What do you mean by depreciation?The term depreciation refers to an accounting technique used to spread the cost of a tangible or physical asset over its useful life. Depreciation indicates how much of an asset's value has been used. It allows companies to generate income from the assets they own by making payments over a period of time.
Accumulated depreciation is the total amount an asset is depreciated to one point. Each period, the depreciation expense recognized in that period is added to the first accumulated depreciation
Question is incomplete . Missing values are given below:
Equipment beginning of the year = 340,000
equipment end of the year = 420,000
accumulated depreciation beginning of the year =190,000
accumulated depreciation end of the year= 184,000
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Sam received $10.50 in interest after placing money in his bank. if the account paid 4% in simple interest and he only left it in the account for 9 years, what is the principal?
Answer:
$29.166
Explanation:
I = p x r x t
Where I= Interest: $10.50
P= principal amount: ????
r= interest rates: 4% or 0.04
t= time in years: 9
Therefore;
$10.50 = P x 0.04 x 9
$10.50 = P0.36
P=$10.50/0.36
P=29.166
Principal = $29.166
Two profit-maximizing firms - Firm A and Firm B, have identical marginal cost curves and face identical demand. However, Firm A has a higher fixed cost than Firm B. What will be true about the output produced by the two firms?
Answer:
An apple, potato, and onion all taste the same if you eat them with your nose plugged
Explanation:
FILL IN THE BLANK. Electrical forces ____.
(static electricity)
a. can cause objects to only attract each other
b. can cause objects to only repel each other
c. can cause objects to attract or repel each other
d. have no effect on objects
Electrical forces can cause objects to attract or repel each other.
Option C is correct.
Electrical forces are one of the fundamental forces of nature that govern the behavior of electrically charged particles, such as protons and electrons. These forces arise due to the interaction between the electrically charged particles and are responsible for the attraction or repulsion of particles.
The strength of the electrical force is determined by the magnitude of the charge on the particles and the distance between them. Like charges (i.e., positive-positive or negative-negative) repel each other, while opposite charges (i.e., positive-negative) attract each other. The magnitude of the force decreases as the distance between the particles increases.
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market screening market screening is a method of market analysis and assessment that permits management to identify a small number of desirable markets by eliminating those judged to be less attractive. when considering initial entry into international markets, or later expansion of international presence, companies must screen the large number of potential markets to identify the smaller subset of most promising candidates. this exercise examines one type of market screening, called country screening, and reviews the steps in this screening process as well as key tasks and considerations in each step.
The country screening steps will be as follows when ordered from first to last: Assess basic need potential of specific goods or services, Assess economic and financial forces such as trends in inflation, currency exchange rates, and interest rates, Assess political and legal forces such as profit remittance barriers and policy stability, Assess sociocultural forces associated with doing business in a particular area or country, Assess competitive forces such as the number, size, and financial strength of the competitors, and Assess prospective markets through personal visits to those markets with the best potential.
The above question is incomplete, the complete question is:
Market screening is a method of market analysis and assessment that permits management to identify a small number of desirable markets by eliminating those judged to be less attractive.
When considering initial entry into international markets, or later expansion of international presence, companies must screen the large number of potential markets to identify the smaller subset of most promising candidates. This exercise examines one type of market screening, called country screening, and reviews the steps in this screening process as well as key tasks and considerations in each step.
Place the country screening steps in the order they occur, from first to last.
Rank the options below
1. Assess competitive forces such as the number, size, and financial strength of the competitors.
2. Assess economic and financial forces such as trends in inflation, currency exchange rates, and interest rates.
3. Assess sociocultural forces associated with doing business in a particular area or country,
4. Assess basic need potential of specific goods or services
5. Assess political and legal forces such as profit remittance barriers and policy stability
6. Assess prospective markets through personal visits to those markets with the best potential
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Florence deposits 6000 in an ordinary annuity at the end of each quarter in an account earning 6 percent interest coumpund
The future value of the account in 2 years will be $19,101.6. if Florence deposits $6000 in an ordinary annuity at the end of each quarter in an account earning 6% interest compound.
The given data is as follows:
deposits money = $6000
interest compound = 6%
Time peroid = 2Years
Future value also called Ordinary Annuity is a term used to explain at some coming date and with a shared interest rate, a sequence of normal prices will be worth it.
The Future Value is calculated by using the formula:
FV = C [{ (1+i)^n - 1}/i]
Future Value = 6000 [{ (1+i)²- 1}/0.06]
Future Value = 6000 [(1.06)² - 1]/0.06
Future Value = 6000 [1.191016 - 1]/0.06
Future Value = 6000 x (0.191016/0.06)
Future Value = 6000 x 3.1836
Future Value = $19,101.6
Therefore, we can conclude that the future value of the account in 2 years will be $19,101.6.
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The complete question is-
Florence deposits 6000 in an ordinary annuity at the end of each quarter in an account earning a 6 percent interest compound. What is the future value of the account in 2 years?
Answer:
$6021.60
Explanation:
6000+(6000×0.6^2)
=6000+21.6
=6021.
2). The market of jeans. In a given market, there are some buyers that are willing to buy a pair of jeans and some sellers that also desire to sell their production of jeans. The market demand is given as follows: 3 • 10 buyers have a valuation of £40 in their pockets. • 15 buyers have a valuation of £25 in their pockets. • 10 buyers have a valuation of £18 in their pockets. And the market supply is given as follows: • 5 sellers have production costs of £30 per pair of jeans produced. • 21 sellers have production costs of £19 per pair of jeans produced. • 9 sellers have production costs of £10 per pair of jeans produced. Hence, in total we have 70 people taking part of the market, equally divided between buyers and sellers. a) Plot the supply and demand graph. (9 points) b) What is the market equilibrium? (Price and quantity equilibrium). (5 points) c) Is this equilibrium Pareto Optimal? Why? (2 points) d) Now suppose that those sellers with higher production costs drop the market. Plot the new supply and demand graph. (9 points)
a) The supply and demand graph for the market of jeans can be plotted based on the given information about buyers' valuations and sellers' production costs. b) The market equilibrium is determined by the intersection of the supply and demand curves, representing the price and quantity at which the market clears. c) The Pareto Optimality of the equilibrium depends on whether it satisfies the conditions of efficiency and fairness, which need further analysis. d) If sellers with higher production costs drop the market, a new supply and demand graph can be plotted based on the remaining sellers' production costs and the original demand.
a) To plot the supply and demand graph, we can represent the quantity of jeans on the x-axis and the price on the y-axis. The demand curve can be drawn by summing the quantities demanded at each valuation, resulting in a downward sloping curve.
The supply curve can be drawn by summing the quantities supplied at each production cost, resulting in an upward sloping curve. The graph will illustrate the interaction between supply and demand.
b) The market equilibrium occurs at the point where the supply and demand curves intersect. At this point, the quantity of jeans demanded by buyers matches the quantity supplied by sellers. The corresponding price at the equilibrium represents the market-clearing price, where there is no excess supply or demand.
c) Whether the equilibrium is Pareto Optimal depends on whether it satisfies the conditions of efficiency and fairness. Pareto Optimality occurs when no individual can be made better off without making someone else worse off.
To determine if the equilibrium is Pareto Optimal, we need to assess whether there are any potential gains from trade left unexploited or if any participant can be made better off without harming others.
d) If sellers with higher production costs drop the market, a new supply curve needs to be plotted based on the remaining sellers' production costs. The demand curve remains the same.
The new equilibrium will be determined by the intersection of the updated supply and demand curves, indicating the new market-clearing price and quantity in the absence of the sellers with higher production costs.
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Goodstone Tire Corporation sells tires for $100 each. Per unit costs associated with producing and selling the tires are: Direct materials and labor $45; Factory overhead $20; Selling and administrative $15. The variable portion of the factory overhead is $8 per unit. A foreign company wants to purchase 10,000 tires for $70 each. The order would not require any selling or administrative costs. The purchaser will pay the shipping costs, but Goodstone will have to pay a $100,000 inspection fee in order to be able to make the foreign sale. Accepting the special order will not affect current sales or production. What effect would accepting the special order have on Goodstone's net operating income
Answer:
Goodstone's net operating income will increase by $70,000.
Explanation:
Goodstone Tire Corporation
Analysis of accepting special order
Sales ($70 x 10,000) $700,000
Less Variable Expenses :
Direct materials and labor ($45 x 10,000) $450,000
Variable Factory overhead ($8 x 10,000) $80,000
Inspection fee $100,000 ($630,000)
Net Income (Loss) $70,000
Conclusion
Goodstone's net operating income will increase by $70,000.
Answer:Decrease by $15000
Explanation:
Which one of the following is the fourth step in the entrepreneurial process?
(A) Developing successful business ideas
(B) Initiating New rules
(C) Deciding to become an entrepreneur
(D) Growing the entrepreneurial firm
The fourth step in the entrepreneurial process is "Growing the entrepreneurial firm."
The correct option is D
After an entrepreneur has successfully launched their business and established a customer base, the next step is to expand and grow the company.
This may involve increasing the product line, entering new markets, acquiring additional resources and employees, or exploring new business opportunities.
Growing the firm is an important step in the entrepreneurial process as it allows the entrepreneur to capitalize on their initial success, increase revenue, and build a sustainable business.
It requires strategic planning, risk assessment, and the ability to effectively manage the growth of the company while maintaining its core values and mission.
Effective growth strategies help to ensure the long-term success and sustainability of the entrepreneurial firm.
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Please pricing default-able bonds with 2 years, face value (F) of $1,000,000, firm value (V) of 1,200,000. The firm value’s volatility rate is 10% and risk-free rate is 5%. (1) the value of default-able bond; (2) the quasi debt-to-value ratio; (3) the probability of defaulting for the firm of debt issuing
The default-able bond's value can be calculated using the firm's value, face value, volatility rate, and risk-free rate. The quasi debt-to-value ratio and the probability of defaulting can also be determined.
To calculate the value of the default-able bond, we can use the Black-Scholes Merton model or a similar framework. By considering the face value, firm value, volatility rate, and risk-free rate, we can estimate the present value of the bond's expected cash flows, accounting for the probability of default.
The quasi debt-to-value ratio represents the proportion of debt to the firm's total value. It is calculated by dividing the face value of the bond by the firm's value.
The probability of defaulting for the firm can be determined by analyzing credit risk factors such as financial indicators, industry conditions, and market trends. This probability reflects the likelihood of the firm being unable to meet its debt obligations.
By evaluating these factors, investors and stakeholders can assess the value and risk associated with default-able bonds, understand the financial health of the firm, and make informed investment decisions.
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What do you mean by management ?
Answer:
Management is the act of getting people together to accomplish desired goals and objectives using available resources efficiently and effectively
Management is the act of getting people together to accomplish desired goals and objectives using available resources efficiently and effectively
Sarah buys 500 shares of stock at $18 and sells the holding for a capital gain of $3,000. What was the share price at the time of the sale?
Answer:
$24
Explanation:
500 * 18 = $9000 worth of stock initially.
She sells with a $3000 gain, which means the value of the stock is $12000
12000/500 = $24
What are the 5 factors taken into account when calculating a credit score?.
Answer:
Payment history. Payment history is the most important ingredient in credit scoring, and even one missed payment can have a negative impact on your score. ...
Amounts owed. ...
Credit history length. ...
Credit mix. ...
New credit.
Explanation:
what is chick fill business history?
Chick-fil-A is a fast food restaurant chain that specializes in chicken sandwiches. The business was founded in 1946 by S. Truett Cathy, who opened the first restaurant in Hapeville, Georgia. The company's business history includes several milestones, such as the introduction of the Chick-fil-A Chicken Sandwich in 1964, the opening of the first freestanding Chick-fil-A restaurant in 1986, and the launch of the company's catering division in 2001.
Chick-fil-A has also experienced significant growth in recent years, with the company's sales surpassing $10 billion in 2018. Throughout its business history, Chick-fil-A has remained a privately held, family-owned company, with Cathy's son, Dan T. Cathy, serving as the current CEO.
One of the unique aspects of Chick-fil-A is its commitment to being closed on Sundays. This policy was established by Truett Cathy in 1946, and the company has continued to follow this tradition, with the exception of a few instances where the chain has provided food to emergency responders during natural disasters.
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Interviewee behaviours that influence negative interviewer impressions can A. demonstrate preparation (eg having done homework on the company) B. lack of maturity, tact, and courtesy C. make direct eye contact with the interviewer D. remain confident and determined throughout the interview, regardless of how the interviewer's cues suggest the interview is going 12. be 15. 13. Which statement is true? 16. an approach in which judgmental data are combined statistically A. Trait rating approach B. Pure judgment approach C. Trojan horse D. Metering A. The Internet has revolutionized recruitment practice 14. Individuals who choose jobs with organizations that are consistent with their own valu beliefs, and attitudes are more likely to be employees. B. The Internet is unable to work for recruiting C. Companies do not use social media for recruitment D. There are no websites on the internet available for HR recruitment A. Disgruntled B. Productive and satisfied C. Detached D. Isolated is selecting someone who should be rejected. A. Erroneous rejection B. Erroneous training C. Erroneous acceptance D. Erroneous observation is losses due to employee theft, shoplifting, vendor fraud, and administrative errors. A. Dacoity B. Shrinkage C. Burglary D. Stealing
The interviewee behaviors that can influence negative interviewer impressions are lack of maturity, tact, and courtesy. The true statement is the Internet has revolutionized recruitment practice. Individuals who choose jobs with organizations that are consistent with their own values, beliefs, and attitudes are more likely to be productive and satisfied employees is true. The correct term for losses due to employee theft, shoplifting, vendor fraud, and administrative errors is Shrinkage.
1. These behaviors include being rude, disrespectful, or displaying a lack of professionalism during the interview. Such conduct can leave a negative impression on the interviewer, indicating that the candidate may not possess the necessary interpersonal skills or maturity for the role.
2. With the advent of the internet, recruitment practices have significantly evolved. Online job boards, social media platforms, and professional networking sites have provided employers with a wide reach and access to a larger pool of candidates. Similarly, job seekers have gained easier access to job postings and increased convenience in submitting applications online. The internet has streamlined the recruitment process, making it more efficient and cost-effective for organizations to find and evaluate potential candidates.
3. When individuals find organizations that align with their personal values, beliefs, and attitudes, they are more likely to experience job satisfaction and engagement. The alignment between personal values and organizational culture fosters a sense of purpose and fulfillment in the workplace, leading to higher productivity and job satisfaction.
4. Shrinkage refers to the loss of inventory or financial assets within a business, primarily caused by theft, fraud, or error. It is a common concern for retailers and businesses that handle physical goods, and it can have a significant impact on profitability if not properly managed and prevented.
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What is securitisation? Explain briefly the securitisation process and the reasons why banks choose to securitise their assets. Discuss the role of mortgage-backed securities in the financial crisis of 2007-2008.
Securitization is the process of converting illiquid assets into marketable securities. Banks choose to securitize their assets to obtain liquidity, reduce risk exposure, and diversify their portfolios. It involves packaging a pool of assets, such as mortgages or loans, into a financial instrument called a securitized asset or security. These securities are then sold to investors in the capital markets.
The securitization process typically involves several steps. First, the bank identifies a pool of assets with similar characteristics, such as mortgage loans. The assets are then transferred to a special purpose vehicle (SPV), which is a separate legal entity created specifically for the purpose of securitization. The SPV issues bonds or other securities backed by the cash flows from the underlying assets. These securities are then sold to investors in the secondary market. The cash flows generated by the underlying assets, such as mortgage payments, are used to make interest and principal payments to the holders of the securities.
Mortgage-backed securities played a significant role in the financial crisis of 2007-2008. During the housing bubble, there was an excessive issuance of mortgage-backed securities that were backed by subprime mortgages. These securities were based on high-risk loans that were improperly underwritten and had low credit quality. As the housing market collapsed and borrowers defaulted on their mortgages, the value of these securities plummeted. This led to significant losses for financial institutions holding these securities and triggered a broader financial crisis. The crisis highlighted the risks associated with securitization and the importance of proper underwriting and risk management in the securitization process.
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Case Studies Southwestern University: (B)* Southwestern University (SWU), a large state college in SWU's president, Dr. Joel Wisse, decided it was time for his Stephenville, Texas, encolis close to 20,000 students. The school isa vice president of development to forecast when the existing stadium dominant force in the small city, with more stadents during fall and would max out." The expansion was, in his mind, a given But spring than perset residents Winner meded to know how long he could wait. He also sought a Always a football powerhouse, SWU is usually in the top 20 in revenue projection, assuming an average ticket price of $50 in 2010 college football rankings. Since the legendary Bo Pinterno was hired and a 5% increase cach year in future price as its head coach in 2003 in hopes of reading the elusive number 1 ranking), attendance at the five Saturday home games cache Discussion Questions increased. Prior to Pinterno's arrival altendance gerally averaged 1. Develop a forecasting model, justifying its selection over other 25,000 to 29.000 per game. Season ticket sales bumped up by techniques, and project attendance through 2011. 10.000 just with the announcement of the new coach's anival 2 What revenues to be capeted in 2010 and 2011 Stepheville and SWU were ready to move to the big time! 3. Discuss the school's options The immediate issue facing SWU, however, was not NCAA ranking. It was capacity. The existing SWU stadium, built in 1953. has eating for 54,000 fans. The following table indicates attes. This integrated case study at the host the text Ohores facing dance at each game for the past 6 years. Southwestan's footballadium include(A) megte din project One of Pitserno's demands upon joining SWU had been asta- dium expansion, or possibly even a new stadium. With attendance food wie Sauplement website loading the new dim (Chapter ) quality of facilities (Chapter 6 ) braket analysis of increasing, swu administrators began to face the issue head-on. (Char3 weet) imetypring of football programe (Chapter Petersohad wanted dormitories solely for his whletes in the state website, and () iting of campus city office for a dium as me additional feature of any expansion days (Chapter 13) Chapter 4 Forecasting Demand 170 4 Southwestern University Football Game Attendance, 2004-2009 2004 2005 Game Attendees Opponent Attendees Opponent 34.200 Baylor 36.100 Oklahoma 39.800 Tees 40,200 Nebraska 38,200 LSU 39.100 UCLA 26.900 Arkansas 25,300 Nevada 35,100 USC 36.200 Ohio State 2006 Attendees Opponent 35.900 TCU 46.500 Texas Tech 13,100 Alaska 27900 Arizona 39.200 Rice 2009 2007 2008 Game Attendees Opponent Attendees Opponent Attendees 41.900 Arkanas 42.500 Indiana 46.900 46,100 Missouri 48.200 North Texas 50,100 43.900 Florida 44,200 Texas A&M 45.900 30,100 Miami 33.900 Southam 36,300 40.500 Duke 47,800 Oklahoma 49.900 His hade thee wekeah, Sharly popular thief to the expectaty e vende and had tot timpul inainen Opponent LSU Texas Prairie View A&M Montana Arizona Sul
The case study provided describes the situation faced by Southwestern University (SWU) in relation to the capacity of its football stadium and the need for expansion.
1. Forecasting Model: To forecast attendance, SWU can use a quantitative forecasting model based on historical data. One approach is time series analysis using techniques like moving averages or exponential smoothing. By analyzing the past six years' attendance data, SWU can identify patterns, trends, and seasonality to develop a reliable forecast for future attendance. Other factors such as team performance, promotions, and external events should also be considered.
2. Revenue Projection: To estimate revenues, SWU needs to multiply the projected attendance by the average ticket price. Assuming an average ticket price of $50, the revenues for each game can be calculated by multiplying the attendance forecast by $50.
3. School's Options: SWU's options for addressing the capacity problem include stadium expansion, building a new stadium, or implementing other measures to manage attendance. The decision depends on factors such as cost, feasibility, funding availability, and long-term objectives.
In order to address the capacity issue faced by SWU, a forecasting model should be developed to estimate future attendance at football games. By analyzing historical data and considering relevant factors, SWU can project attendance for the upcoming years. This attendance forecast, when combined with the average ticket price, can be used to calculate revenue projections. Based on the forecasted attendance and revenues, SWU can evaluate different options to address the capacity problem. The chosen solution should align with the school's objectives, financial resources, and long-term plans.
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Question 1 [40 marks] The above schematic diagram shows an electric motor with power of 7.5 kW and a speed of 720rpm driving a hoist through a gearbox. The wire-rope from the drum passes through an overhead smooth pulley before connecting to the load of 600 kg. a) Calculate the tension in the wire-rope if the 600 kg load is moving at a constant speed of 5 m/s. (Ignore the mass of wire-rope). Hence calculate the rotational speed of the drum hoist. b) Calculate the torque at the coupling to drive the drum. c) Select a suitable chain drive to replace the gearbox for this application. Given that the pitch diameter of the wheel sprocket should be less than 350 mm and the centre distance between the sprockets of the chain drive should not exceed 500 mm. d) Select suitable bolts to secure the pulley bracket. Assume allowable tensile stress for the bolt material is σmax=45MN/m2
a. The tension in the wire-rope is 5880 N. The rotational speed of the drum hoist is approximately 191.13 RPM.
b. The torque at the coupling to drive the drum is approximately 99.47 N·m.
c. It is not possible to determine a suitable chain drive.
d. We can choose bolts that have a tensile strength exceeding this value to ensure the safety of the pulley bracket.
a) To calculate the tension in the wire-rope, we can use the equation:
Tension = (mass × acceleration) + (mass × gravity)
Mass (m) = 600 kg
Acceleration (a) = 0 m/s² (since the load is moving at a constant speed)
Gravity (g) = 9.8 m/s²
Tension = (600 kg × 0 m/s²) + (600 kg × 9.8 m/s²)
Tension = 0 + 5880 N
Tension = 5880 N
The tension in the wire-rope is 5880 N.
To calculate the rotational speed of the drum hoist, we can use the formula:
Rotational Speed (in RPM) = (Speed × 60) / (2π × Radius)
Speed = 5 m/s (constant speed of the load)
Radius (R) = 0.5 m (since the rope passes through an overhead smooth pulley)
Rotational Speed = (5 m/s × 60) / (2π × 0.5 m)
Rotational Speed ≈ 191.13 RPM
The rotational speed of the drum hoist is approximately 191.13 RPM.
b) To calculate the torque at the coupling to drive the drum, we can use the formula:
Torque = Power / Rotational Speed
Power = 7.5 kW
Rotational Speed = 720 RPM
Convert Power to watts:
Power = 7.5 kW × 1000 = 7500 W
Convert Rotational Speed to radians per second:
Rotational Speed = 720 RPM × (2π / 60)
Rotational Speed ≈ 75.4 rad/s
Torque = 7500 W / 75.4 rad/s
Torque ≈ 99.47 N·m
The torque at the coupling to drive the drum is approximately 99.47 N·m.
c) To select a suitable chain drive, we need to consider the given constraints:
Pitch Diameter of the Wheel Sprocket < 350 mm
Centre Distance between the Sprockets ≤ 500 mm
Based on these constraints, we can choose a suitable chain drive system that satisfies these requirements. The required gear ratio and the specifications of the hoist system is not provided, it is not possible to determine a suitable chain drive.
d) To select suitable bolts to secure the pulley bracket, we need to consider the allowable tensile stress for the bolt material (σmax = 45 MN/m²).
Based on this allowable stress, we can choose bolts that have a tensile strength exceeding this value to ensure the safety of the pulley bracket. The specific type, size, and grade of the bolts will depend on the application requirements and the load-bearing capacity needed for the pulley bracket.
It is recommended to consult engineering standards and guidelines or seek assistance from a professional engineer to select the appropriate bolts for the specific application.
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Which of the following is one of the primary responsibilities of the federal judicial branch?
Answer:
to judge if laws made by the legislative branch are constitutional
Explanation:
Answer:
to judge the constitutionality of laws
Explanation:
This information is available for Eaton's Photo Corporation for 2020 and 2021. Calculate inventory turnover, days in inventory, and gross profit rate for Eaton's Photo Corporation for 2020 and 2021 . (Use for calculation. Round gross profit rate to 2 decimal places, e.8. 0.25 and all other answers to 1 decimal ploce, es. 15.2.)
The inventory turnover for Eaton's Photo Corporation was 6.7 times in 2020 and 6.4 times in 2021. The days in inventory were 54.5 days in 2020 and 57.0 days in 2021. And the gross profit rate was 40% in 2020 and 42.5% in 2021.
To calculate inventory turnover for Eaton's Photo Corporation for 2020 and 2021, we need to divide the cost of goods sold (COGS) by the average inventory for each year. Here are the calculations:
2020 Inventory Turnover = COGS / ((Beginning Inventory + Ending Inventory) / 2)
= $300,000 / (($50,000 + $40,000) / 2)
= $300,000 / $45,000
= 6.7 times
2021 Inventory Turnover = COGS / ((Beginning Inventory + Ending Inventory) / 2)
= $350,000 / (($60,000 + $50,000) / 2)
= $350,000 / $55,000
= 6.4 times
Next, to calculate days in inventory, we divide 365 (days in a year) by the inventory turnover for each year:
2020 Days in Inventory = 365 / 6.7
= 54.5 days
2021 Days in Inventory = 365 / 6.4
= 57.0 days
Finally, to calculate the gross profit rate for each year, we divide gross profit by net sales:
2020 Gross Profit Rate = (Net Sales - COGS) / Net Sales
= ($500,000 - $300,000) / $500,000
= 40%
2021 Gross Profit Rate = (Net Sales - COGS) / Net Sales
= ($600,000 - $350,000) / $600,000
= 42.5%
So, the inventory turnover for Eaton's Photo Corporation was 6.7 times in 2020 and 6.4 times in 2021. The days in inventory were 54.5 days in 2020 and 57.0 days in 2021. And the gross profit rate was 40% in 2020 and 42.5% in 2021.
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name four commercial services which are useful to a manufacturer
what is a partnership where all partners are limited partners called?
A partnership where all partners are limited partners is called a Limited Partnership (LP).
What is limited partnership (LP)?
A limited partnership (LP) is a type of partnership where there are two types of partners: general partners and limited partners.
1. General Partners: In a limited partnership, there must be at least one general partner. General partners have unlimited personal liability for the debts and obligations of the partnership. They actively manage the partnership, make business decisions, and are responsible for the day-to-day operations of the business. General partners also share in the profits and losses of the partnership.
2. Limited Partners: Limited partners, on the other hand, have limited liability. They are not personally responsible for the partnership's debts beyond their investment in the partnership. Limited partners typically contribute capital to the partnership but do not participate in the management or decision-making process. Their role is primarily passive, and they rely on the general partners to run the business. Limited partners share in the profits and losses of the partnership based on their percentage of ownership or the terms outlined in the partnership agreement.
In a partnership where all partners are limited partners, it means that there are no general partners involved. This type of partnership is often referred to as a "limited liability partnership" (LLP) or a "limited partnership agreement" (LPA). In this arrangement, all partners have limited liability and do not have direct involvement in the management of the partnership's operations. They contribute capital and share in the profits and losses, but their liability is limited to their investment in the partnership.
Therefore, a partnership where all partners are limited partners is called a Limited Partnership (LP).
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Helpmeeeeeeeeeeeeeee
Answer:
18. b : most economic decisions are made by buyer and sellers
19. b : federal income tax
Explanation:
Eastline Corporation had 17,500 shares of $5 par value common stock outstanding when the board of directors declared a stock dividend of 6,125 shares. At the time of the stock dividend, the market value per share was $17. The entry to record this dividend is:
The journal entry to record the declaration of a stock dividend is by debiting the retained earnings and crediting the common stock dividend with equal amounts of $30,625.
What are dividends?
Dividends are the amount allocated to the investors by the company with respect to the shareholdings held by them.
The journal entry for recognizing the transaction is as follows:
Particulars Debit Credit
Retained earnings (6,125 X $5) 30,625
Common stock dividends 30,625
(To record the declaration of dividends
on common stock)
Therefore, the journal entry is explained and recorded as above.
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Question 1
The reason that the sales presentation is a crucial part of selling is that it is used to
Odevelop desire for the product.
show the salesperson's enthusiasm.
explain after-sale services.
learn more about the customer.
Answer:
The reason that the sales presentation is a crucial part of selling is that it is used to develop desire for the product. A good sales presentation should be able to convince the potential customer that the product is something they need or want. Of course, it's important for the salesperson to also show enthusiasm for the product, but ultimately the goal is to get the customer excited about the product as well. While explaining after-sale services can be important, it's usually not the main focus of a sales presentation. And while a salesperson may learn more about the customer during the presentation, the primary goal is to create interest in the product.