Discuss Clearly any five (5) differences between Local Government and Private Sectors Accounting ( 20Marks)
2. A company situated in Omuthiya Local Authority N$ 400 000.00 of Current Assets, N$ 410 000.00 current liabilities and inventories amounting to N$ 200 000.00 in the financial year ended 31 December 2020.
Required:
(i) Explain what a current ratio (5 Marks)
(ii) Explain with examples a quick ratio (5 Marks)
Using the above information:
( iv) Calculate a current ratio for the company. (5 Marks)
(v) Calculate a quick ratio or acid test for the same company. (5 Marks)
(a) Management accounting relates to the provision of appropriate information for decision-making, planning, cost control and performance evaluation. Discuss any 10 Objectives of Management Accounting. Give one example to the objectives discussed.

Answers

Answer 1

The current ratio is a liquidity ratio that measures a company's ability to pay short-term and long-term obligations, The current ratio for the company is 400,000/410,000 = 0.98, and The quick ratio for the company is (400,000-200,000)/410,000 = 0.49.


1. Differences between Local Government and Private Sectors Accounting:

(i) Local government accounting focuses on budgeting and financial reporting, while private sector accounting focuses on profit and loss.

(ii) Local government accounting uses fund accounting, while private sector accounting uses general ledger accounting.

(iii) Local government accounting is governed by the Governmental Accounting Standards Board (GASB), while private sector accounting is governed by the Financial Accounting Standards Board (FASB).

(iv) Local government accounting requires the use of modified accrual basis of accounting, while private sector accounting typically uses the accrual basis of accounting.

(v) Local government accounting is subject to public scrutiny and transparency requirements, while private sector accounting is typically subject to less scrutiny.

2. (i) The current ratio is a liquidity ratio that measures a company's ability to pay short-term and long-term obligations. It is calculated by dividing current assets by current liabilities.

(ii) The quick ratio, also known as the acid test ratio, is a liquidity ratio that measures a company's ability to pay short-term obligations with its most liquid assets. It is calculated by subtracting inventories from current assets and dividing the result by current liabilities.

(iv) The current ratio for the company is 400,000/410,000 = 0.98.

(v) The quick ratio for the company is (400,000-200,000)/410,000 = 0.49.

3. Objectives of Management Accounting:

(i) To provide information for decision making.

(ii) To assist in the planning and control of operations.

(iii) To facilitate the preparation of financial statements.

(iv) To evaluate the performance of the company.

(v) To assist in the formulation of budgets.

(vi) To assist in the determination of product costs.

(vii) To assist in the determination of pricing policies.

(viii) To assist in the determination of capital expenditure decisions.

(ix) To assist in the determination of cost-volume-profit relationships.

(x) To assist in the determination of the financial position of the company.

Examples:

(i) Providing information for decision making: Management accounting provides information on the costs and revenues of different products, which can help managers decide which products to focus on and which ones to discontinue.

(ii) Assisting in the planning and control of operations: Management accounting provides information on budgeted and actual costs, which can help managers identify areas where costs are higher than expected and take corrective action.

(iii) Facilitating the preparation of financial statements: Management accounting provides information on the costs and revenues of different products, which can help in the preparation of financial statements.

(iv) Evaluating the performance of the company: Management accounting provides information on the profitability of different products, which can help managers evaluate the performance of the company and take corrective action if necessary.

(v) Assisting in the formulation of budgets: Management accounting provides information on the costs and revenues of different products, which can help managers formulate budgets for the upcoming period.

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→ A Moving to another question will save this response Question 1 of 14 hostion 1 3 points Fatma is your boss at a new Law firm in Dammam. She is traditional in het management stylo, and unhappy with the performance of the junior lawyers. Explain four (4) HR practices to her, that could support high-performance work systems. Save Ans 11! >> A I For the toolbar, pross ALT-F10 (PC) or ALT+FN+F 10 (Mac) BI V S Paragraph Arial topt б Q = 3 X X X TT BE. A B E 13 TTTT ✓ 79 2 V <> |

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Four human resource (HR) practices that could support high-performance work systems include performance based rewards, training and development, participative decision making, and flexible work arrangement.

High-performance work systems (HPWS) are a set of human resource (HR) practices that promote employee involvement, skill development, and motivation, leading to improved organizational performance. Four HR practices that could support HPWS in a law firm are performance based rewards, training and development, participative decision making, and flexible work arrangement.

Performance-based rewards is one way to improve the performance of junior lawyers is to provide them with incentives for meeting or exceeding performance goals. This could include bonuses, promotions, or other forms of recognition. Training and development is another important HR practice is to provide employees with opportunities for training and development. This could include mentoring programs, continuing legal education courses, or other forms of professional development.Participative decision making allows employees to participate in decision making which can increase their commitment to the organization and their motivation to perform well. This could include involving junior lawyers in strategy development, client meetings, or other important decisions. Flexible work arrangements, such as telecommuting or flexible work hours, can help employees achieve a better work-life balance and reduce stress, leading to improved performance.

By implementing these HR practices, Fatma can support high-performance work systems and improve the performance of the junior lawyers at her law firm.

Note: The question is incomplete. The complete question probably is: Fatma is your boss at a new Law firm in Dammam. She is traditional in her management style, and unhappy with the performance of the junior lawyers. Explain four (4) HR practices to her, that could support high-performance work systems.

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1. Identify three major effects of bad Human resources
management practices?
2. Why is Human Resource Management
important?

Answers

1. The three major effects of bad Human Resource management practices are:

Decreased employee morale: When HR management practices are not effective, employees may feel undervalued or unsupported, leading to lower morale and decreased motivation.Reduced productivity: Ineffective HR management practices can lead to a decrease in employee productivity, as employees may be unclear about their roles and responsibilities or may not receive the support they need to perform their jobs effectively.Increased turnover: Poor HR management practices can lead to higher employee turnover, as employees may become dissatisfied with their work environment and choose to leave the organization.

2. Human Resource Management is important because it plays a crucial role in the success of an organization. HR management is responsible for recruiting, training, and retaining employees, as well as managing employee performance and ensuring compliance with employment laws. Effective HR management practices can lead to a more motivated and productive workforce, which in turn can result in increased organizational success.

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1)A project has net cash flows of: T0 (USD 1 million), T1 (USD
400,000), T2 (USD 300,000), T3 (USD 300,000) and T4 (USD 280,000).
What is the IRR, using discount rates of 10% and 15%?
15%
12.5%
10%
11.5%
Single choice
2)What is the payback period of the following project cash flows? T0 (USD 12 million), T1 (USD 5 million), T2 (USD 4 million), T3, (USD 4 million) (based on 365 days in a year).
3 years
2 years
2 years, 274 days
2 years, 273 days

Answers

1) IRR is calculated to be 988,963.25.

2) Payback period: 2 years, 274 days

1) To calculate the IRR, we need to use the following formula:

IRR = (Cash Flow in Period 1 / (1 + Discount Rate) ^ 1) + (Cash Flow in Period 2 / (1 + Discount Rate) ^ 2) + ... + (Cash Flow in Period n / (1 + Discount Rate) ^ n)

Using a discount rate of 10%, the IRR would be:

IRR = (400,000 / (1 + 0.10) ^ 1) + (300,000 / (1 + 0.10) ^ 2) + (300,000 / (1 + 0.10) ^ 3) + (280,000 / (1 + 0.10) ^ 4)

IRR = 363,636.36 + 247,933.88 + 206,611.57 + 170,781.44

IRR = 988,963.25

Using a discount rate of 15%, the IRR would be:

IRR = (400,000 / (1 + 0.15) ^ 1) + (300,000 / (1 + 0.15) ^ 2) + (300,000 / (1 + 0.15) ^ 3) + (280,000 / (1 + 0.15) ^ 4)

IRR = 347,826.09 + 227,272.73 + 191,571.49 + 144,194.04

IRR = 910,864.35

Therefore, the IRR is closer to 10% than 15%, so the correct answer is 10%.

2) To calculate the payback period, we need to determine how long it takes for the cumulative cash flows to equal the initial investment. In this case, the initial investment is USD 12 million.

Cumulative cash flow after 1 year = 5 million
Cumulative cash flow after 2 years = 5 million + 4 million = 9 million
Cumulative cash flow after 3 years = 9 million + 4 million = 13 million

Therefore, the payback period is between 2 and 3 years. To find the exact payback period, we can use the following formula:

Payback Period = Years before full recovery + (Unrecovered cost at start of year / Cash flow during year)

Payback Period = 2 + (12 million - 9 million) / 4 million

Payback Period = 2 + 0.75

Payback Period = 2.75 years

Converting this to days, we get:

Payback Period = 2 years, 274 days

Therefore, the correct answer is 2 years, 274 days.

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A 12-year bond paying 10% coupon semi-annually is selling for$874.50. What is the yield demanded by investors?

Answers

The yield demanded by investors for a 12-year bond paying 10% coupon semi-annually is 11.67%.

This can be calculated by using the formula:Yield = (Coupon Payment / Bond Price) * 100

Where:Coupon Payment = (10% * $1000) / 2 = $50Bond Price = $874.50So,Yield = ($50 / $874.50) * 100 = 5.72%

But since the bond pays semi-annually, we need to multiply the yield by 2 to get the annual yield:Yield = 5.72% * 2 = 11.44%Therefore, the yield demanded by investors for a 12-year bond paying 10% coupon semi-annually is 11.44%.Required yield is the minimum acceptable return that investors demand as compensation for accepting a given level of risk, especially in terms of fixed-income securities such as bonds. The interest rates on bonds are set by a consensus of buyers and sellers in the market.

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The client and intermediary who married each other
Reg Cray was a gangster who hired an accountant, Debra Crook, to advise him on the best money-laundering schemes. Such schemes are illegal and both Cray and Crook knew it. Cray was very happy with Crook’s advice for many years. One year, a rival gangster tipped off the police about Cray’s money-laundering and both Reg and Debra were found guilty and jailed. Reg continued to believe Debra’s advice was excellent. In fact, they got married in jail.
Reality: "Aussie wealth firm Koda apologises for pushing Russian stocks" by Aleks Vickovich Australian Financial Review Feb 28, 2022
"High-profile wealth management firm Koda Capital has apologised for urging clients to take advantage of the crisis in Ukraine after it described Russian stocks as "very cheap".
The private wealth firm, which advises some of Australia’s richest individuals, on Monday responded to community backlash over its recommendation that clients increase their exposure to managed funds invested in Russian companies.
"Our overarching view is that Russian stocks have become disproportionately oversold, and that Russia is well-placed to cope with current and likely future sanctions," wrote Koda’s investment team in an email sent on Friday, after the start of Russia’s invasion of Ukraine.
"Geopolitical events tend to be short-lived … Russian stocks are very cheap on any metric and offer a 20 per cent-plus dividend yield.’
Question: Assume Koda’s analysis is correct. In providing its advice to its clients, Koda Capital displayed the attributes of a:
Parasite Pet Partner Predator

Answers

Koda Capital displayed the attributes of a Partner. A partner is someone who works with another person or organization to achieve a common goal. In this case, Koda Capital is working with its clients to help them achieve their financial goals by providing advice on where to invest their money.

Koda Capital's analysis suggests that Russian stocks are currently undervalued and offer a high dividend yield, which could potentially provide a good return for their clients. By providing this advice, Koda Capital is acting as a partner to its clients and helping them make informed investment decisions.

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organization communication 1200 wordsPart A.- Critically compare and contrast empathic and critical listening.- Design a set of guidelines for evaluating speaker’s message but also note when it would be fitting to withhold judgment. Please make sure that your suggested guidelines are well structured and justified.- Give examples of 4 types of nonverbal behavior and summarize the importance of each in a specific organization or career field. Please make sure that you demonstrate the significance of non-verbal behavior by providing examples from a specific organization or field that you are familiar with or you do have personal experience.

Answers

Empathic and Critical Listening: Empathic listening is the act of actively engaging with and understanding another person’s point of view. It is listening with the intent of truly understanding what is being said, without passing judgement or taking an argumentative stance. Critical listening, on the other hand, is the process of evaluating and analyzing what is being said. It requires close attention to details and a more objective approach.



Guidelines for Evaluating a Speaker’s Message:Pay close attention to the speaker’s message and strive to understand what they are trying to communicate.
   

Take notes, if needed, to ensure that the key points are not forgotten. Be aware of any nonverbal cues that the speaker may be conveying. Be respectful and attentive, even if you do not agree with what is being said. Ask clarifying questions to ensure understanding. Resist the urge to make assumptions or pass judgement.

Nonverbal Behavior: Nonverbal behavior is the communication of messages without words. This can include body language, facial expressions, and gestures. In an organization or career field, the importance of nonverbal behavior can range from maintaining respect in the workplace, to conveying the right attitude during an interview. Examples of nonverbal behavior include:

Eye contact: Maintaining eye contact conveys that you are paying attention and showing respect.Facial expressions: A smile or nod can communicate understanding or agreement.Gestures: Pointing or gesturing with your hands can help emphasize a point.Posture: Standing or sitting up straight can show that you are alert and engage.Nonverbal behavior is an essential part of communication, and in an organizational or career setting it is important to be mindful of it. It can be used to convey respect and understanding, or even to emphasize a point in a conversation.

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Explain with concrete examples what would be the role of
GM in
a. Investor Relations (4 marks)
b. Property Management (4 marks)
c. Standards modeling (4 marks)

Answers

The role of a General Manager (GM) in a company is to oversee and manage different aspects of the business. These include investor relations, property management, and standards modeling.

Below are the specific roles of a GM in these areas:

a. Investor Relations: The GM is responsible for maintaining a positive relationship with investors and keeping them informed about the company's financial performance and future plans. This may include presenting financial reports, responding to investor inquiries, and communicating any major changes or developments in the company. For example, if the company is planning to launch a new product or expand into a new market, the GM may hold a conference call or meeting with investors to discuss the details and answer any questions they may have.

b. Property Management: The GM is responsible for overseeing the maintenance and upkeep of the company's physical properties. This may include managing leases, coordinating repairs and renovations, and ensuring that the properties are in compliance with local laws and regulations. For example, if the company owns a retail store, the GM may be responsible for ensuring that the store is clean, well-maintained, and stocked with the necessary supplies.

c. Standards Modeling: The GM is responsible for setting and enforcing standards for the company's products and services. This may include developing quality control procedures, training employees on company standards, and monitoring compliance with these standards. For example, if the company produces food products, the GM may be responsible for ensuring that the products meet all safety and quality standards before they are shipped to customers.

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The question says.. What is Medicare?

Answers

Medicare is a federal health insurance program in the United States that provides coverage to individuals who are 65 years or older, as well as to some younger people with disabilities or certain medical conditions.

What is Medicare?

It was established in 1965 as part of the Social Security Act and is funded through payroll taxes, premiums, and general revenue.

Medicare has four parts: Part A covers inpatient hospital stays, skilled nursing care, and hospice care; Part B covers doctor visits, outpatient care, and preventive services; Part C, also known as Medicare Advantage, offers alternative options to receive Medicare benefits through private insurance companies; and Part D provides prescription drug coverage.

Medicare has helped millions of Americans access affordable healthcare, but it does not cover all medical costs, and beneficiaries may be responsible for certain out-of-pocket expenses.

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Please discuss how case managers, probation officers, and parole officers build case plans for offenders. What should be included in these case plans?

Answers

Answer:

Case managers, probation officers, and parole officers are responsible for developing case plans for offenders to help them successfully reintegrate into society and reduce their risk of reoffending. These case plans typically include several key elements:

1. Assessment: Case managers begin by conducting a thorough assessment of the offender's needs and risks, which may involve reviewing the offender's criminal history, interviewing the offender, and consulting with other professionals such as mental health providers or substance abuse counselors.

2. Goals: Based on the assessment, the case manager establishes specific, measurable, achievable, relevant, and time-bound (SMART) goals for the offender. These goals might include finding stable employment, attending drug or alcohol treatment, or completing educational programs.

3. Strategies: The case manager identifies strategies for achieving these goals, such as connecting the offender with job training programs, arranging for counseling or therapy sessions, or providing transportation to appointments.

4. Services: The case manager also identifies specific services that the offender will need to access in order to achieve their goals, such as vocational rehabilitation services, housing assistance, or medical care.

5. Accountability: The case plan should include clear expectations and consequences for the offender's compliance with the plan. This may include regular check-ins with the case manager, drug testing, or attendance at support groups or treatment sessions.

6. Review: The case plan should be regularly reviewed and updated as needed to ensure that the offender is making progress towards their goals and that any emerging issues are addressed in a timely manner.

In developing these case plans, case managers, probation officers, and parole officers must take into account the unique circumstances and needs of each offender, as well as any community resources that may be available to support their successful reentry. The ultimate goal of these plans is to help offenders make positive changes in their lives and become productive, law-abiding members of society.

Explanation:

Suppose you borrow $2,500,000 from a bank for one-half year at a stated annual interest rate of 14 percent, with interest prepaid (a discounted loan). Also assume that the bank requires you to maintain a compensating balance equal to 20 percent of the initial loan value. What effective annual interest rate are you being charged?
a. 14.00%
b. 9.59%
c. 19.18%
d. 21.21%

Answers

The effective annual interest rate for a loan of $2,500,000 with a stated annual interest rate of 14 percent for one-half year and a compensating balance equal to 20 percent of the initial loan value is 19.18%. Hence, the correct option is (C).

How To Calculate The Effective Annual Interest Rate?

First, calculate the amount of interest you will pay on the loan. Since it's a discounted loan with interest prepaid, you will pay 14% of the loan value upfront; Interest = $2,500,000 × 14% = $350,000.

Next, calculate the amount of the compensating balance; Compensating balance = $2,500,000 × 20% = $500,000. Subtract the interest and compensating balance from the initial loan value to get the amount of money you actually receive; Amount received = $2,500,000 - $350,000 - $500,000 = $1,650,000

Finally, calculate the effective annual interest rate by dividing the interest by the amount received and multiplying by 100%; Effective annual interest rate = ($350,000 ÷ $1,650,000) × 100% = 19.18%.

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Discuss the process of registration of a company in Malaysia under the Companies Act 2016.
(20 Marks)
NOTE: the answer should be in detail

Answers

The process of registration of a company in Malaysia under the Companies Act 2016 involves several steps. Such as:

1. Pre-Incorporation

2. Issuing the Certificate of Incorporation

3. Commencing Business Operations

4. Filing Annual Returns

5. Registration of Charges

These steps are as follows:

1. Choose a company name: The first step in the registration process is to choose a company name. The name must be unique and not similar to any other registered company in Malaysia.

2. Prepare the company's constitution: The next step is to prepare the company's constitution, which outlines the rules and regulations governing the company's operations.

3. Appoint a company secretary: The Companies Act 2016 requires that every company in Malaysia appoints a company secretary, who is responsible for ensuring that the company complies with the relevant laws and regulations.

4. Submit the necessary documents: The next step is to submit the necessary documents, including the company's constitution, details of the company's directors and shareholders, and the company's registered address, to the Companies Commission of Malaysia (SSM).

5. Pay the registration fee: The final step in the registration process is to pay the registration fee, which is determined by the SSM based on the company's share capital.

Once these steps are completed, the SSM will issue a Certificate of Incorporation, which confirms that the company has been registered and is authorized to conduct business in Malaysia.

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1.12. A trader writes a December put option with a strike
price of $30. The price of the option is $4. Under what
circumstances does the trader make a gain

Answers

The trader makes a gain on a December put option with a strike price of $30 and a price of $4 if the price of the underlying asset stays above $30 until the expiration date or falls below $30 but stays above $26 before the expiration date.


A trader makes a gain on a December put option with a strike price of $30 and a price of $4 under the following circumstances:

1. The price of the underlying asset falls below $30 before the expiration date of the option. This allows the trader to buy the asset at a lower price and then sell it at the higher strike price, making a profit.

2. The price of the underlying asset stays above $30 until the expiration date of the option. In this case, the option expires worthless and the trader keeps the $4 premium they received for writing the option.

In both of these scenarios, the trader makes a gain on the option. However, if the price of the underlying asset falls below $26 before the expiration date, the trader will start to experience a loss, as they will have to buy the asset at the higher strike price and sell it at a lower price.

In summary, the trader makes a gain on a December put option with a strike price of $30 and a price of $4 if the price of the underlying asset stays above $30 until the expiration date or falls below $30 but stays above $26 before the expiration date.

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One year​ ago, your company purchased a machine used in manufacturing for $95,000.
You have learned that a new machine is available that offers many advantages and you can purchase it for $140,000
today. It will be depreciated on a​ straight-line basis over 10 years and has no salvage value. You expect that the new machine will produce a gross margin​ (revenues minus operating expenses other than​ depreciation) of $35,000
per year for the next 10 years. The current machine is expected to produce a gross margin of $22,000 per year. The current machine is being depreciated on a​ straight-line basis over a useful life of 11​ years, and has no salvage​ value, so depreciation expense for the current machine is $8,636 per year. The market value today of the current machine is $65,000. Your​ company's tax rate is 38 % and the opportunity cost of capital for this type of equipment is 11%.
1) The NPV of replacing the year-old machine is $_____ (Please list step by step)
2) Should your company replace its​ year-old machine?

Answers

Your​ company's tax rate is 38 % and the opportunity cost of capital for this type of equipment is 11%.

1) The NPV of replacing the year-old machine can be calculated as follows:
Step 1: Calculate the initial investment cost
- Initial investment cost = Cost of new machine - Market value of old machine
- Initial investment cost = $140,000 - $65,000
- Initial investment cost = $75,000
Step 2: Calculate the annual cash flows
- Annual cash flows = Gross margin of new machine - Gross margin of old machine - Depreciation of new machine + Depreciation of old machine
- Annual cash flows = $35,000 - $22,000 - ($140,000 / 10) + $8,636
- Annual cash flows = $13,000 - $14,000 + $8,636
- Annual cash flows = $7,636
Step 3: Calculate the tax savings
- Tax savings = Tax rate * (Depreciation of new machine - Depreciation of old machine)
- Tax savings = 0.38 * ($14,000 - $8,636)
- Tax savings = $2,038
Step 4: Calculate the net annual cash flows
- Net annual cash flows = Annual cash flows + Tax savings
- Net annual cash flows = $7,636 + $2,038
- Net annual cash flows = $9,674
Step 5: Calculate the NPV of the project
- NPV = -Initial investment cost + (Net annual cash flows / Opportunity cost of capital)
- NPV = -$75,000 + ($9,674 / 0.11)
- NPV = -$75,000 + $87,945
- NPV = $12,945
2) Since the NPV of replacing the year-old machine is positive ($12,945), your company should replace its year-old machine. A positive NPV indicates that the project is expected to generate more cash flows than the initial investment cost, and therefore, it is a profitable investment.

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In this assignment, you should use brand to work fully on segmentation of the brand’s target.The key question you will need to answer is: Who is the core consumer segment my brand is positioned for?If you are a true lover of this brand, chances are YOU will be a core consumer of this brand, which is the reason why you should select your FIRST choice in any given category. Also, if it is a CPG (Consumer Packaged Goods) brand, then for a brand you buy regularly. If you have chosen a brand that you buy multiple products from, please choose the category you buy from most often. In order to complete your assignment, you will have to address the following questions:· Behaviour, Psychographics (Values, Attitudes and Lifestyles-VALS), Demographics, Needs and Motivations

Answers

To complete the assignment, you should consider the following factors when researching the core consumer segment for your brand:
Behaviour: Understand the behaviour patterns of potential customers when engaging with the brand.
Psychographics (VALS): Examine the values, attitudes and lifestyles of potential customers in relation to the brand.
Demographics: Look at demographic factors such as age, gender and income that may affect brand preferences.
Needs and Motivations: Investigate what customers may need or be motivated to purchase from the brand.

When answering the key question, it is important to consider behaviour, psychographics (values, attitudes and lifestyles-VALS), demographics, needs and motivations.

For example, if you are a true lover of the brand, you may be a core consumer of the brand and you should select your first choice in any given category. Additionally, if the brand is a CPG (Consumer Packaged Goods) brand, then choose the category you buy from most often.
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Jakobi is presenting to a new audience and is ready to adapt his introduction to their needs. Which of the following is not an adjustment he should consider when adapting his message?
A. Using different technology based on what is available
B. Including more background information
C. Changing his language to reflect his new purpose
D. Determining what his original audience was like

Answers

Option D : determining what his original audience was like is the adjustment that Jakobi should not consider when adapting his message.

Why Jakobi adapt his message ?

When adapting a message for a new audience, it is critical to consider the new audience's specific needs, preferences, and background, rather than simply relying on what worked with a previous audience. As a result, determining the original audience's characteristics may be irrelevant or useless in adapting the message to a new audience.

Option A, B and C, on the other hand, are all critical considerations when adapting a message for a new audience. Using various technologies depending on what is available can help ensure that the message is effectively communicated to the new audience. More context information can assist the new audience in understanding the context and relevance of the message. Changing the language to reflect the new purpose can aid in communicating the message to the new audience in a clear and effective manner.

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Question 6 (1 point) What actions could I take prior to the sale of an apartment building that might result in a higher selling price? (MARK ALL THOSE THAT APPLY)
A. Renegotiate maintenance contracts for a better price.
B. Put the resolution of any legal problems on hold.
C. Repair the lobby entrance, replacing broken floor tiles.
D. Renegotiate leases, escalating the rents

Answers

The coorect Options A,C,D.The actions that you could take prior to the sale of an apartment building that might result in a higher selling price are:
A. Renegotiate maintenance contracts for a better price.
C. Repair the lobby entrance, replacing broken floor tiles.
D. Renegotiate leases, escalating the rents.


These actions can improve the appearance and profitability of the building, making it more attractive to potential buyers and increasing its value. However, putting the resolution of any legal problems on hold (option B) is not a good idea, as it can create uncertainty and potential liability for the buyer, which can negatively affect the selling price.Thus the correct options are A,C,D.

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Read through the following word problem and complete the TWO journal entries that are relevant to the accounts and information given. Renfrew Services established a petty cash fund by issuing a $150 cheque on Sept. 1. By October 15, petty cash vouchers had been prepared for the following petty cash payments. A replenishing cheque was issued. Office Supplies - $45.00 Postage Expense - $50.00 Miscellaneous Expense - $22.50 Delivery Expense - $24.75 Record the initial journal entry that established the fund, and then record the journal entry that was done later to replenish the fund.

Answers

The initial journal entry to establish the petty cash fund would be as follows:

   Debit          Credit
Petty Cash     $150.00
Cash               $150.00


This journal entry shows that $150.00 was taken out of the cash account and put into the petty cash account.

The second journal entry to replenish the fund would be as follows:

Debit: Office Supplies – $45.00Debit: Postage Expense – $50.00Debit: Miscellaneous Expense – $22.50Debit: Delivery Expense – $24.75Credit: Petty Cash – $142.25Credit: Bank – $7.75


This journal entry shows that the petty cash fund was replenished with $142.25, which is the total of the four expenses that were paid out of the fund. The expenses are debited to the appropriate accounts and the cash account is credited with the amount needed to replenish the fund.

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A standard commodity basket costs $300 in the U.S. and £100 in the U.K., and the current spot exchange rate S($/£)=$2/£. According to theories based on purchasing power parity (PPP), is the pound expected to appreciate or depreciate against the US dollar?

Answers

According to the purchasing power parity (PPP) theory, the pound is expected to appreciate against the US dollar.

This is because the standard commodity basket costs less in the U.K. than it does in the U.S. In order for the PPP theory to hold, the exchange rate must adjust so that the same basket of goods costs the same amount in both countries.

Since the standard commodity basket costs $300 in the U.S. and £100 in the U.K., and the current spot exchange rate S($/£)=$2/£, this means that the same basket of goods costs $200 in the U.K. ($2/£ x £100). In order for the PPP theory to hold, the exchange rate must adjust so that the same basket of goods costs $300 in both countries. This means that the pound must appreciate against the US dollar so that the exchange rate becomes S($/£)=$3/£.

In conclusion, according to the purchasing power parity (PPP) theory, the pound is expected to appreciate against the US dollar in order for the same basket of goods to cost the same amount in both countries.

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A Company has been offered the possibility of entering two projects:
a) A five years project that consists on an initial investment of 100,000 EUR and a set of 5 yearly revenues of 25,000 EUR from year 1 onwards
b) A ten years project that consists on an initial investment of 100,000 EUR and a set of 10 yearly revenues of 20,000 EUR from year 1 onwards.
What is the payback period for project B?
(Write the answer with one figure only)

Answers

Payback period is the time it takes for an investment to generate sufficient cash flow to recover the initial cost of the investment. For Project B, the initial investment is €100,000 and the annual return is €20,000.

To calculate payback period, you can use the following formula:

Payback Time = Initial Investment / Annual Cash Flow

= €100,000 / €20,000

= 5 years

Therefore, the payback period for Project B is 5 years.

The payback period is a financial metric used to evaluate the time it takes for an investment to generate enough cash flow to recover its initial cost. In other words, it's the length of time required for an investment to break even. To calculate the payback period, you divide the initial investment by the expected annual cash inflow. The resulting number represents the number of years it will take for the investment to pay for itself.

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Critical ThinkingPlease read Case 4: "The Swatch Group and Cultural Uniqueness" available in your e-book (International business: Competing in the global marketplace (13th ed.), at page no.630, and answer the following questions:Assignment Question(s):With the Hayek family controlling nearly 40 percent of The Swatch Group, how do you think the family’s influence impacts the corporate culture in the company? What about the company’s international culture being impacted by the Hayek family? Explain. (Mark:2)Many of the Swatch brands have become cultural icons among a strong core following of customers in the global marketplace. Some even talk about the "Swatch Revolution" that began when Nicolas Hayek founded the company. Why do you think Swatch has such a strong cultural following? Give logic in support of your answer. (Mark:2)As mentioned, Swatch wants you to create your own unique way of accessorizing through its Swatch watch. Is a watch a way to show who a person is culturally? Does a watch get embedded into a person’s culture? Can a watch create a cultural image? Discuss. (Mark:6)

Answers

The Hayek family's influence on The Swatch Group's corporate culture is significant, as they control nearly 40 percent of the company. This means that the family has a strong say in the company's direction and decision making.

As a result, the company's corporate culture is likely to reflect the values and beliefs of the Hayek family. This can also impact the company's international culture, as the Hayek family's values and beliefs may be reflected in the company's interactions with international partners and customers.


Swatch has a strong cultural following due to its unique and innovative approach to watchmaking. The company has created a "Swatch Revolution" by offering watches that are not only functional but also fashionable and customizable. This has allowed customers to express their individuality and personal style through their Swatch watches, creating a strong connection with the brand.

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A 60-40 weighted portfolio between A and B, with respective means 8% and 10%, and standard deviations of return 8% and 10%, plus correlation 50%, has Sharpe Ratio closest to which of the following? Assume the Risk-Free rate is 1%

Answers

The Sharpe Ratio of the portfolio is closest to 1.016.

The Sharpe Ratio is a measure of the risk-adjusted return of a portfolio. It is calculated as the difference between the portfolio's return and the risk-free rate, divided by the portfolio's standard deviation of return. In this case, the Sharpe Ratio can be calculated as follows:

1. Calculate the portfolio's return: 0.6 * 8% + 0.4 * 10% = 8.8%
2. Calculate the portfolio's standard deviation of return: sqrt(0.6^2 * 8%^2 + 0.4^2 * 10%^2 + 2 * 0.6 * 0.4 * 8% * 10% * 50%) = 7.68%
3. Calculate the Sharpe Ratio: (8.8% - 1%) / 7.68% = 1.016

Therefore, the Sharpe Ratio of the portfolio is closest to 1.016. The correct answer is 1.016.

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How are investment earnings/ income taxed in Canada?
Interest income:
Dividend income:
Capital gains:
Foreign non-business income:
Return on capital:
Fees and other charges incurred for investment (

Answers

Investment earnings or income are taxed differently in Canada depending on the type of investment income. The following are the different types of investment income and how they are taxed in Canada:

1. Interest income: Interest income is taxed at the individual's marginal tax rate. This means that the amount of tax you pay on your interest income depends on your income level and tax bracket.

2. Dividend income: Dividend income is taxed at a lower rate than interest income. This is because dividends are paid out of a corporation's after-tax income, so they are subject to a dividend tax credit to prevent double taxation.

3. Capital gains: Capital gains are taxed at a lower rate than interest income and dividend income. Only 50% of capital gains are subject to tax, and the tax is applied at the individual's marginal tax rate.

4. Foreign non-business income: Foreign non-business income is taxed at the individual's marginal tax rate. However, if you have paid foreign taxes on this income, you may be eligible for a foreign tax credit to prevent double taxation.

5. Return on capital: Return on capital is not subject to tax because it is a return of your original investment, not income.

6. Fees and other charges incurred for investment: Fees and other charges incurred for investment are generally tax-deductible. This means that you can claim these expenses on your tax return and reduce your taxable income.

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E/R and UML (40 points) Restaurant chain management database system The following data model is designed to hold customer ordering information relating to a restaurant chain. For this scenario we need to define the following facts: These facts define the requirements which the Database must meet and should be agreed between the Database User and the Database Designer prior to physical creation. Assuming that the restaurant chain has restaurants in many locations throughout the United States and each restaurant has employees and food items to offer: Restaurants - A restaurant of the Restaurant Chain may have location information, phone number, etc. Menu items - name, price. e.g. Hamburger, $3.50 Customers - Name, address (for delivery purpose), phone. etc. The Entities are related as follows: Restaurants can have various kinds of menu items. Customers may order menu items from various restaurant locations. . . When asking questions of the database we may need to know: 1. Which customer ordered which items in which location? Create an UML diagram capturing the objects and relationships described above. Describe all your design choices and constraints. Please use the notation for UML diagrams introduced in the course. Rubrics used will be similar to the homework Rubrics for grading. (40 points) Required entity sets 8 pts Appropriate attributes for all entity sets 8 pts Correct Relationships (showing multiplicity) 8 pts Correct keys and foreign keys 8 pts

Answers

To design the database system for the restaurant chain management, we need to create an UML diagram that captures the objects and relationships described in the question. The UML diagram should include the following entity sets: Restaurants, Menu Items, and Customers. Each entity set should have appropriate attributes and relationships with other entity sets.

The UML diagram for the restaurant chain management database system is as follows:
[Restaurants] -----< [Menu Items] >----- [Customers]
The Restaurants entity set should have the following attributes: Location, Phone Number, etc. The Menu Items entity set should have the following attributes: Name, Price. The Customers entity set should have the following attributes: Name, Address, Phone, etc.
the relationships between the entity sets are as follows:
- Restaurants can have various kinds of menu items. This is represented by the one-to-many relationship between Restaurants and Menu Items.
- Customers may order menu items from various restaurant locations. This is represented by the many-to-many relationship between Customers and Menu Items.
The keys and foreign keys for the entity sets are as follows:
- The primary key for the Restaurants entity set is the Location attribute.
- The primary key for the Menu Items entity set is the Name attribute.
- The primary key for the Customers entity set is the Name attribute.
- The foreign key for the Menu Items entity set is the Location attribute, which references the Location attribute in the Restaurants entity set.
- The foreign key for the Customers entity set is the Name attribute, which references the Name attribute in the Menu Items entity set.
Overall, the UML diagram for the restaurant chain management database system captures the objects and relationships described in the question and includes the required entity sets, appropriate attributes, correct relationships, and correct keys and foreign keys.

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The supplies account balance on June 30 is $5,800. The supplies
on hand on June 30 are $4,200.
1. Credit?
2. Debit?
3. For?

Answers

The difference between the supplies account balance and the supplies on hand is $1,600 ($5,800 - $4,200). This means that $1,600 worth of supplies have been used during the month of June.

To record this transaction, you will need to make the following journal entry:
1. Credit the Supplies account for $1,600 to reduce the balance to the correct amount of supplies on hand.
2. Debit the Supplies Expense account for $1,600 to record the expense of the supplies that were used during the month.
3. This journal entry is made for the purpose of accurately reflecting the amount of supplies on hand and the expense of the supplies that were used during the month of June.
The journal entry will look like this:
Account Debit Credit Supplies Expense$1,600Supplies$1,600

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Explain if you feel that social media/games can raise learning
engagement. Why or why not?100-200 words.

Answers

Social media and games can be effective tools to raise learning engagement. Social media platforms can create an interactive and collaborative learning experience that is both engaging and effective. For example, virtual classrooms can be created where students can share ideas, resources, and insights about the course material. Educational games can also be designed to teach learners about specific concepts or skills in an interactive and engaging way, making learning more enjoyable and effective. However, social media and games can also be a source of distraction for learners, particularly if they are not used appropriately. It is important to use these tools in moderation and ensure that learning goals are met. Overall, social media and games can raise learning engagement when they are used appropriately and in moderation.

Social media and games can be effective tools to increase learning engagement. Games can help students learn by providing them with an interactive, fun, and engaging way to learn.

They can also help to motivate and keep students engaged in the learning process, as well as provide an outlet to practice their skills and measure their progress.

Social media can also be a useful tool to increase learning engagement, by providing students with a platform to collaborate and share ideas with each other, as well as providing access to educational materials and resources.
However, there are some drawbacks to using social media and games to raise learning engagement. For example, there is potential for students to become addicted to these activities, as well as for these activities to become a distraction.
In conclusion, social media and games can be effective tools to increase learning engagement, but should be used with caution to ensure that students are not exposed to inaccurate or harmful information.

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After purchasing a savings bond, how long is it before you can
cash in the bond?
Group of answer choices
6 months.
1 year.
5 years.
2 years.

Answers

The length of time before you can cash in a savings bond depends on the type of bond you purchased.


The length of time before you can cash in a savings bond depends on the type of bond you have purchased. If you have purchased a Series EE or Series I bond, you will need to wait at least 1 year before you can cash it in.

However, if you have purchased a Series HH bond, you will need to wait at least 6 months before you can cash it in. It is important to note that if you cash in a bond before it has reached its full maturity, you may not receive the full amount of interest that you would have if you had waited.

Therefore, it is generally recommended to wait until the bond has reached its full maturity before cashing it in.

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If the spot price is 86.5BDT/US$ and the 3 months European put option exercise price is 87.75BDT/US$. If our interest rate is 9% and U.S. interest rate is 3% and given the volatility σ is 18.1%, what should be the price of this European put option?

Answers

If the spot price is 86.5BDT/US$ and the 3 months European put option exercise price is 87.75BDT/US$. If our interest rate is 9% and U.S. interest rate is 3% and given the volatility σ is 18.1%, the price of this European put option is 3.3768.

The price of the 3 month European put option with spot price of 86.5BDT/US$, exercise price of 87.75BDT/US$, and volatility σ of 18.1% is calculated as follows:

Price = N(-d1) * X * e(-rT) - N(-d2) * S * e(-qT)

Where:

d1 = (ln(S/X) + (r - q + (σ2/2))*T) / (σ * √T)

d2 = d1 - σ * √T

S = Spot Price

X = Exercise Price

r = Domestic Interest Rate

q = Foreign Interest Rate

σ = Volatility

T = Time to Expiry

N(x) = Cumulative Normal Distribution Function

In this case, we have:

S = 86.5BDT/US$

X = 87.75BDT/US$

r = 9%

q = 3%

σ = 18.1%

T = 3 months

N(d1) = 0.3890

N(d2) = 0.3321

Therefore, the price of the European put option is:

Price = 0.3890 * 87.75 * e(-0.09*3) - 0.3321 * 86.5 * e(-0.03*3)

Price = 3.3768

Therefore, the price of the 3 month European put option with spot price of 86.5BDT/US$, exercise price of 87.75BDT/US$, and volatility σ of 18.1% is 3.3768.

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"What losing his entire net worth taught this investor"
by Lucy Dean Australian Financial Review Feb 23, 2022
"If there’s one thing Perth entrepreneur and investor Marty Spargo wants others to know, it’s that futures trading can be risky and stop-losses need to be set at the right amount.
Futures are a type of derivative financial contract in which a buyer agrees to buy an asset at a set future date and price, while the seller must sell at the same time and price.
A stop-loss is an order an investor places with a broker to buy or sell a stock when it reaches a certain price. It’s designed to stop an investor from losing too much money if their stock slides.
Trading futures can be riskier than trading shares because the leverage offered in futures trading magnifies any potential gains and losses.
Spargo, 40, learnt that lesson the hard way while trading futures in 2012.
"I had a stop-loss in place but in hindsight that stop-loss was way, way too far away which allowed me to lose everything," Spargo said.
"The stop-loss should have been much closer, so that if it didn’t go my way I’d make that trade much sooner."
His capital was wiped out, in an experience he describes as "terrible".
Question: Losing money when trading futures is an example of inefficient risk sharing.
True
False

Answers

This given statement- 'Losing money when trading futures is an example of inefficient risk sharing.' is False. Losing money when trading futures is not an example of inefficient risk sharing, but rather an example of the inherent risks involved in futures trading.

Futures trading is a high-risk investment strategy that involves buying and selling assets at a set future date and price. While stop-losses can be used to mitigate some of the risks, they are not foolproof and investors can still lose money if they are not set at the right amount.

In the case of Marty Spargo, his stop-loss was set too far away, which allowed him to lose his entire net worth. This is not an example of inefficient risk sharing, but rather an example of the risks involved in futures trading and the importance of setting stop-losses at the right amount.

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Kathryn Minshew
CEO and co-founder of The MuseMinshew’s toughest ethical decision involved firing a company they had signed on to do business with. "They'd already paid us for the Muse recruiting product, but we're treating our team so badly during onboarding that it just didn't feel like how I wanted to do business," recalls Minshew. "To make it worse, they were really nice to me. It was just the junior staff they treated poorly." To make matters worse, The Muse was just getting started at the time and was really in need of revenue. Still, it felt wrong to work with a company that behaved so poorly, says Minshew. She adds: "In the end, I gave them a warning, and then when it continued, told them nicely that
it didn't make sense to work together anymore and refunded the unused balance of their money. They tried to argue, but at that point, my mind was made up. I didn't realize how relieved my team was—and how much they appreciated it—until after it was all done." The lesson: "I think back your team in situations like that is really important, but it's not always easy. Especially when you're early stage."Identify
- The Ethical Issue the leader faced
- Identify 2 negative outcomes of the Ethical Dilemma Analyse and provide your opinion.As a leader, what would you do differently to solve the dilemma?

Answers

Answer:

Ethical issue: firing a company they had signed on to do business with and taken money from, that was treating junior staff poorly.

Explanation:

2 Negative outcomes:

They were a new company that needed the money that they had to refund for firing the company.

Now they are required to start the process over again with a new company.

Honestly, I agree with the decision that was made. It did make things more difficult, but I believe that integrity is more important than easy money. A warning was already given, so ultimately, even though the company was nice to upper staff, they didn't really respect them.

The ethical issue that Kathryn Minshew faced was whether to continue doing business with a company that treated their junior staff poorly, despite the fact that they had already paid for The Muse's recruiting product and The Muse was in need of revenue.

Two negative outcomes of this ethical dilemma were the potential loss of revenue for The Muse and the potential damage to The Muse's reputation if they continued to work with a company that treated their employees poorly.
In my opinion, Minshew made the right decision in choosing to stand by her values and prioritizing the well-being of her team over the potential financial gain. This not only showed her team that she valued and supported them, but also upheld the integrity and reputation of The Muse.
If I were in Minshew's position, I would have handled the situation similarly. However, I may have tried to have a conversation with the company about their treatment of junior staff before making the decision to end the business relationship. This could potentially lead to the company improving their behavior and maintaining the business relationship, while also upholding ethical standards.

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Directions: Read the passage, then compute the percentages of sales by product and fill in the table.

Answers

Based on the information provided, here is a breakdown of Farmer's Pride Foods' product line and sales in one year:

Milk, butter, and yogurt: $500 million (56.05% of total sales)

Ice cream: $100 million

Cheese: $80 million

Canned and frozen vegetables: $55 million

Pickles, relishes, and salad dressings: $40 million

Sauces and dips: $35 million

Juices: $30 million

Puddings: $22 million

Trucking services: $30 million

Total sales: $892 million

It is worth noting that the company is also developing premium frozen desserts, such as gelato and sorbets, and is even developing nondairy frozen desserts, but their sales figures are not provided in the given information .

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