John is a very diligent worker committed in carrying out his duties. However, John felt that the employer did not pay a salary commensurate with the work he did. John conspired with 10 other employees to invite the employer to commence a collective bargaining session. John also prepared a proposal to invite employers to commence collective bargaining. The proposal was sent to the employer on 2 March 2022. The employer responded to the invitation on 14 March 2022 where the employer accepted the invitation to commence a collective bargaining. However, after that, John and other employees did not receive any information on the date of implementation of the collective bargaining session to be held by the employer. John and other employees tried to refer the matter to the employer, but the employer did not want to meet with them. The employer also verbally informed John and other employees that the employer did not want to commence this collective bargaining session. This situation caused dissatisfaction to John and other employees, and they made a report to the Department of Industrial Relations on April 5, 2022.
Based on the above scenario, answer all questions as follows:
a. What is the collective bargaining process that John and other employees need to follow? Justify your answer with appropriate sections and acts. (15 marks)
b. If you are an officer of the Department of Industrial Relations, what solution will you take after receiving the above case report? Discuss your answer with the appropriate Sections and Acts.(15 marks)

Answers

Answer 1

a. John and other employees need to adopt the collective bargaining process outlined in the Industrial Relations Act 1967.

b. As an officer of the Department of Industrial Relations, the solution to the provide case report would be to further investigation by conducting conciliation proceedings under Section 18 of the Industrial Relations Act 1967.

a. The collective bargaining process that John and other employees need to follow is outlined in the Industrial Relations Act 1967. According to Section 9 of the Act, employees have the right to form or join a trade union and to bargain collectively with their employer.

Section 10 states that a trade union may serve a notice in writing to the employer requesting collective bargaining, which is what John and other employees did by preparing a proposal to invite their employer to commence a collective bargaining session.

The employer's response on 14 March 2022, accepting the invitation, indicates that the employer recognizes the employees' right to engage in collective bargaining. However, under Section 17 of the Act, if a dispute arises during the collective bargaining process, either party may refer the matter to the Director General of Industrial Relations for conciliation.

It appears that John and other employees attempted to refer the matter to the employer, but the employer did not want to meet with them, and so they made a report to the Department of Industrial Relations on April 5, 2022.

b. As an officer of the Department of Industrial Relations, my solution to the above case report would be to investigate the matter further by conducting conciliation proceedings under Section 18 of the Industrial Relations Act 1967.

According to this section, the Director General may appoint a conciliator to assist the parties in resolving the dispute. The conciliator's role is to facilitate discussions between the parties and to help them reach an agreement. If the parties cannot reach an agreement, the Director General may issue a certificate of non-settlement, which would allow the employees to take further action, such as going on strike or referring the matter to the Industrial Court under Section 26 of the Act.

The Director General may also investigate the matter under Section 69 of the Act, which allows the Director General to make inquiries into any dispute or difference between an employer and employee. Overall, my solution would be to use the conciliation process to help John and other employees reach a resolution with their employer.

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Related Questions

Suppose Vince dies this year with a gross estate of $25 million and no adjusted prior gifts. Assume the estate qualifies for the martial deduction. Calculate the amount of estate tax due (if any) under the following alternative conditions. (Refer to Exhibit 25-1 and Exhibit 25-2. ) Required: Vince leaves his entire estate to his spouse, Millie. Vince leaves $10 million to Millie and the remainder to charity. Vince leaves $10 million to Millie and the remainder to his son, Paul. Vince leaves $10 million to Millie and the remainder to a trust whose trustee is required to pay income to Millie for her life and the remainder to Paul

Answers

The estate tax due in each scenario is zero and at scenario 4 estate tax is $1,170,800.

To calculate the estate tax due in each scenario, we need to use the federal estate tax table in Exhibit 25-1 and the unified credit in Exhibit 25-2. We also need to determine the taxable estate, which is the gross estate minus any deductions.

Scenario 1: Vince leaves his entire estate to his spouse, Millie. Since the estate qualifies for the marital deduction, the entire gross estate is deductible for estate tax purposes, and there is no estate tax due. Therefore, the estate tax due is $0.

Scenario 2: Vince leaves $10 million to Millie and the remainder to charity. The taxable estate is $15 million, which is the gross estate of $25 million minus the $10 million bequest to Millie, which qualifies for the marital deduction. Using the estate tax table in Exhibit 25-1, the tentative tax is $4,090,800. Since the estate tax unified credit in Exhibit 25-2 is $6,790,000, the estate tax due is $0 because the unified credit is greater than the tentative tax.

Scenario 3: Vince leaves $10 million to Millie and the remainder to his son, Paul. The taxable estate is $15 million, which is the gross estate of $25 million minus the $10 million bequest to Millie, which qualifies for the marital deduction. Using the estate tax table in Exhibit 25-1, the tentative tax is $4,090,800. Since the estate tax unified credit in Exhibit 25-2 is $6,790,000, the estate tax due is $0 because the unified credit is greater than the tentative tax.

Scenario 4: Vince leaves $10 million to Millie and the remainder to a trust whose trustee is required to pay income to Millie for her life and the remainder to Paul.

The taxable estate is $15 million, which is the gross estate of $25 million minus the $10 million bequest to Millie, which qualifies for the marital deduction. However, the trust does not qualify for the marital deduction because Millie does not have a present interest in the trust. Therefore, the taxable estate is $25 million. Using the estate tax table in Exhibit 25-1, the tentative tax is $7,960,800. Since the estate tax unified credit in Exhibit 25-2 is $6,790,000, the estate tax due is $1,170,800.

Therefore, the estate tax due in each scenario will be,

Scenario 1: $0

Scenario 2: $0

Scenario 3: $0

Scenario 4: $1,170,800

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Topic 3: Using 2 out of the 8 steps involved in the decision making process, explain how you would use it to buy a a mobile phone for your personal use.

Answers

The 8 steps involved in the decision-making process are problem identification, data collection, alternative solutions, analyzing and comparing alternatives, choosing the best alternative, taking action, evaluating the result, and learning from the outcome.

Two out of the eight steps involved in the decision-making process are the following:

Alternative Solutions- Brainstorm possible options. Analyze and Compare Alternatives- Weigh the pros and cons of each option and determine which one will most likely yield the most positive outcome or consequences.

The following are two steps involved in the decision-making process, which can be used to purchase a mobile phone for personal use:

Alternative Solutions- Brainstorm possible options. There are a plethora of phone options on the market, so brainstorming possible alternatives is crucial. The type of phone and its features should be carefully considered based on the intended usage, as well as the individual's budgetary and functional needs. When selecting a phone, one should consider the following factors: Screen size and quality battery life performance, and RAM. Camera quality and features storage and expandable storage optionsThe number of SIM cards supported by the phone is critical to compare the characteristics of several different phone models before deciding which one to purchase. One may also read online reviews and ratings to get a better sense of each phone's benefits and drawbacks. Analyze and Compare Alternatives- Weigh the pros and cons of each option and determine which one will most likely yield the most positive outcome or consequences. After identifying potential phone models, weigh the pros and cons of each option to determine which one is best suited for the individual. In this situation, the individual should examine the following factors: Price and value for money screen size and quality battery life performance, and RAM. Camera quality and features storage and expandable storage options the number of SIM cards supported by the phone. After evaluating each phone's features, one should choose the one that best suits their needs and has the greatest benefits.

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Suppose that you are a U. S. -based importer of goods from the United Kingdom. You expect the value of the pound to increase against the U. S. Dollar over the next 30 days. You will be making payment on a shipment of imported goods in 30 days and want to hedge your currency exposure. The U. S. Risk-free rate is 5. 0 percent, and the U. K. Risk-free rate is 4. 0 percent. These rates are expected to remain unchanged over the next month. The current spot rate is $2. 0.


Required:


a. Indicate whether you should use a long or short forward contract to hedge currency risk. B. Calculate the no-arbitrage price at which you could enter into a forward contract that expires in three months. C. Move forward 10 days. The spot rate is $1. 53 dollars per pound. Interest rates are unchanged. Calculate the value of your forward position

Answers

A- The importer should use a short forward contract,b- the no-arbitrage price of the forward contract is $2.0196 per pound, and c- the value of the forward position after 10 days is a gain of $0.4896 per pound due to a decrease in the spot rate.

a. Based on the expectation that the value of the pound will increase against the U.S. dollar, the importer should use a short forward contract to hedge currency risk. This means that the importer will sell pounds forward and lock in a fixed exchange rate to receive U.S. dollars in the future.

b. The no-arbitrage price of a forward contract can be calculated as:

Forward Price = Spot Price x (1 + Domestic Interest Rate)/(1 + Foreign Interest Rate)

where,

- Spot Price = $2.0 (given)

- Domestic Interest Rate (U.S.) = 5.0%

- Foreign Interest Rate (U.K.) = 4.0%

Forward Price = $2.0 x (1 + 0.05)/(1 + 0.04) = $2.0196

Therefore, the no-arbitrage price at which the importer could enter into a forward contract that expires in three months is $2.0196 per pound.

c. After 10 days, the spot rate is $1.53 per pound. Assuming that interest rates have not changed, the value of the forward position can be calculated as:

Gain/Loss = Forward Price - Spot Price

where,

- Forward Price = $2.0196 (calculated in part b)

- Spot Price = $1.53 (given)

Gain/Loss = $2.0196 - $1.53 = $0.4896 per pound

Since the importer entered into a short forward contract, the importer will receive pounds at the forward price and sell them in the spot market at the prevailing spot rate. Therefore, the importer will realize a gain of $0.4896 per pound on the forward position. If the importer is hedging the entire shipment of goods, the total gain would be calculated by multiplying the gain per pound by the total number of pounds in the shipment.

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Inferring Purchases Using Cost of Goods Sold and Inventory Balances Geiger Corporation, a retail company, reported inventories of $1,320,000 in 2019 and $1,460,000 in 2020. The 2020 income statement reported cost of goods sold of $6,980,000. A. Compute the amount of inventory purchased during 2020. $Answer 7,120,000 b. Prepare journal entries to record (1) purchases, and (2) cost of goods sold. General Journal Description Debit Credit (1) Answer Accounts receivable Answer 0 Answer 0 Answer Inventory Answer 0 Answer 0 (2) Answer Cost of goods sold Answer 0 Answer 0 Answer Sales revenue Answer 0 Answer 0 c. Post the journal entries in part b to their respective T-accounts (including ending balance for inventory). Cash Answer 0 Answer 0 Cost of Goods Sold Answer 0 Answer 0 Inventory Bal. 1,320,000 Answer 0 Answer 0 Bal. Answer 0 Answer 0 d. Record each of the transactions in part b in the financial statement effects template to show the effect of these entries on the balance sheet and income statement. Remember to use negative signs with answers when appropriate

Answers

Geiger Corporation purchased $7,120,000 of inventory in 2020, and journal entries were prepared and posted to their respective T-accounts. The financial statement effects template was also completed to show the effect of these entries on the balance sheet and income statement.

The amount of inventory purchased during 2020 is $7,120,000 ($1,460,000 ending inventory - $1,320,000 beginning inventory + $6,980,000 cost of goods sold).

Purchases:

Debit Inventory for $7,120,000

Credit Accounts Payable for $7,120,000

Cost of goods sold:

Debit Cost of goods sold for $6,980,000

Credit Inventory for $6,980,000

Cash:

No entry

Cost of Goods Sold:

Debit Credit

$6,980,000 0

Inventory:

Debit Credit

$7,120,000 $1,460,000

$0 $0

Financial Statement Effects Template:

Balance Sheet:

Assets:

Inventory: $1,460,000

Liabilities and Equity:

Accounts Payable: $7,120,000

Income Statement:

Revenue: $0

Cost of goods sold: $6,980,000

Net income: -$6,980,000

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The first president to actively fight for the passageof national health insurance (universal coverage) wasA. Lyndon JohnsonB. Franklin RooseveltC. Harry TrumanD. Theodore RooseveltThink answer i

Answers

Answer:

B. Franklin Roosevelt

Explanation:

I believe that the answer is Franklin Roosevelt since he was the first president who fought actively for the passage of national health insurance.

The first president to actively fight for the passage of national health insurance (universal coverage) was Harry Truman. Option C is the answer.

Harry S. Truman was the 33rd President of the United States, serving from 1945 until 1953. Truman served as Vice President under Franklin D. Roosevelt for only 82 days before Roosevelt died and Truman became President.The American Medical Association (AMA) opposed the idea of national health insurance.

President Harry Truman, who held office from 1945 until 1953, was the first to actively fight for the passage of national health insurance (universal coverage). Truman’s efforts to implement a national health insurance program were thwarted by the AMA's opposition.

Option C is the answer.

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If the economy is in equilibrium and the real estate market collapses, what will likely happen?

Answers

If the real estate market crashes when the economy is in equilibrium, it can result in a decline in economic activity and a rise in unemployment.

This is so because the real estate industry is so important to the economy and because its collapse might have a knock-on impact on other sectors of the economy. For instance, the collapse may result in employment losses for mortgage lenders, real estate brokers, and construction employees.

Consumer spending may also decline as a result of the decline in economic activity, which might hurt the economy even more. In rare circumstances, the real estate market collapse may trigger a recession or depression.  

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3 If interest rates are currently 3. 5%, and Shaili sold the bond today, would she expect to get more than, less than, or equal to $1000 for it?​

Answers

If interest rates are currently 3.5% and Shaili sold the bond today, she would expect to get less than $1000 for it.

This is because the bond pays a fixed interest rate of 5%, which is higher than the current interest rate of 3.5%. As a result, the bond would be more valuable to investors looking for higher returns on their investments, and its market price would be bid up above its face value of $1000.

Conversely, if interest rates were to rise above 5%, the bond would become less attractive to investors, as they could earn higher returns by investing in newly issued bonds paying higher interest rates. This would put downward pressure on the market price of the bond, causing it to sell for less than its face value.

Therefore, in the current scenario where interest rates are lower than the bond's coupon rate, Shaili would expect to sell the bond for more than its face value if the bond was issued at a discount, and for less than its face value if the bond was issued at a premium.

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A company has traditionally allocated its overhead based on machine hours but had collected this information to change to activity-based costing:

Answers

The transition from traditional overhead allocation to activity-based costing (ABC) allows for more accurate cost allocation by linking costs to specific activities and cost drivers.

This enables a more precise understanding of resource consumption and provides better insights for decision-making and cost management.

The change can be implemented:

1. Identify activities: First, identify the main activities involved in the production process, such as setting up machines, assembling products, quality control, and packaging.

2. Determine cost drivers: Next, determine the cost drivers for each activity. A cost driver is a factor that has a direct relationship with the costs incurred by the activity. Examples of cost drivers include the number of machine setups, the number of assembly tasks, and the number of quality inspections.

3. Collect costs: Collect the total costs associated with each activity. This might require analyzing historical data or conducting a thorough cost study to determine the appropriate costs to assign to each activity.

4. Calculate activity rates: Divide the total cost of each activity by the total number of cost driver units for that activity. This will provide the activity rate, which represents the cost per unit of the cost driver.

5. Assign costs to products: Finally, use the activity rates to allocate overhead costs to the products. Multiply the activity rate by the number of cost driver units consumed by each product to determine the overhead cost associated with that product.

By implementing activity-based costing, your company can more accurately allocate overhead costs based on the actual activities and resources consumed by each product, leading to better decision-making and improved cost management.

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Organizations use ________ to help them understand processes, products, customers, finances and markets;

Answers

Organizations use data analysis to help them understand processes, products, customers, finances, and markets.

Analytics involves the systematic analysis of data and information to derive meaningful insights and make informed decisions. By applying analytical techniques, organizations can uncover patterns, trends, and relationships within their data, enabling them to gain a deeper understanding of various aspects of their business.

Whether it's analyzing customer behavior, optimizing operations, identifying market opportunities, or evaluating financial performance, analytics provides organizations with valuable insights that can drive strategic planning, improve efficiency, and enhance competitiveness in today's data-driven business environment.

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In 2001, the mean household expenditure for energy was $1493, according to data from the U. S. Energy Information Administration. An economist wants to test whether this amount has changed significantly from its 2001 level. In a random sample of 35 households, he found the mean expenditure for energy during the most recent year to be $1618, with a standard deviation $321. Conduct a hypothesis test at 10% significance level to see whether we have strong evidence to support the economist’s hypothesis

Answers

The hypothesis being tested is whether the mean household expenditure for energy has changed significantly from its 2001 level of $1493. The null hypothesis, denoted as H0, is that the mean expenditure has not changed, while the alternative hypothesis, denoted as Ha, is that the mean expenditure has increased or decreased from its 2001 level.

To conduct the hypothesis test, we use the t-test statistic, which is calculated as the difference between the sample mean and the population mean divided by the standard error of the mean. The standard error of the mean is calculated as the sample standard deviation divided by the square root of the sample size.

The t-test statistic for this hypothesis test is:

t = (1618 - 1493) / (321 / sqrt(35)) = 3.14

Using a t-table or a t-distribution calculator with 34 degrees of freedom (n-1), we find the critical value of t at a 10% significance level to be ±1.69.

Since the calculated t-value of 3.14 is greater than the critical value of 1.69, we reject the null hypothesis and conclude that there is strong evidence to support the economist’s hypothesis that the mean household expenditure for energy has changed significantly from its 2001 level.

In other words, we can say that there is a statistically significant increase in the mean household expenditure for energy since 2001. However, we cannot determine whether the increase is due to inflation or changes in energy consumption patterns. Further analysis may be required to investigate these factors.

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At the beginning of the year, a company estimates total overhead costs of $1,238,080. the company applies overhead using machine hours and estimates that it will use 2,920 machine hours during the year. what amount of overhead should be applied to a job that uses 25 machine hours that year

Answers

To calculate the amount of overhead that should be applied to a job using 25 machine hours, we need to first calculate the predetermined overhead rate.

The predetermined overhead rate is calculated by dividing the estimated total overhead costs by the estimated total machine hours.

Predetermined overhead rate = Estimated total overhead costs / Estimated total machine hours

In this case, the estimated total overhead costs are $1,238,080 and the estimated total machine hours are 2,920.

Predetermined overhead rate = $1,238,080 / 2,920 = $424.52 per machine hour

This means that for every machine hour used in production, $424.52 of overhead costs should be applied.

To calculate the amount of overhead that should be applied to a job using 25 machine hours, we simply multiply the predetermined overhead rate by the number of machine hours used in the job.

Overhead applied to job = Predetermined overhead rate x Machine hours used in job
Overhead applied to job = $424.52 x 25 = $10,613

Therefore, the amount of overhead that should be applied to a job using 25 machine hours is $10,613.

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Of the following activities routinely performed by salespeople, which one contributes LEAST financially to both the salesperson and the company?

Answers

Attending networking events is probably the choice that will have the least financial impact on the salesman and the business. Here option D is the correct answer.

While networking events can be valuable for making connections and building relationships, they often require a significant investment of time and resources without a clear return on investment.

Cold calling, although not always effective, can still yield positive results if done correctly. It involves reaching out to potential customers who may not have heard of the company before and can lead to new business opportunities. Following up with leads is also crucial in the sales process, as it helps to nurture relationships and move potential customers toward a sale.

Negotiating deals is a critical aspect of the sales process and can have a significant impact on the financial outcome for both the salesperson and the company. Effective negotiation can lead to larger deals and higher profits, while poor negotiation skills can result in lost opportunities and lower revenues.

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Complete question:

Which of the following activities routinely performed by salespeople contributes the LEAST financially to both the salesperson and the company?

A) Cold calling

B) Following up with leads

C) Negotiating deals

D) Attending networking events

Calculate the monthly payment for a 5-year car loan of $23,570 at 10. 43% interest, compounded monthly.

Answers

The monthly payment for this 5-year car loan would be $361.15.

To calculate the monthly payment for a car loan, we can use the formula for the present value of an annuity, which is;

PMT = [tex]P_{v}[/tex] x (r / (1 - [tex](1+r)^{-n}[/tex]))

Where;

PMT = Monthly payment

[tex]P_{v}[/tex] = Present value of the loan

r = Interest rate per period

n = Total number of periods

In this case, the present value of the loan ([tex]P_{v}[/tex]) is $23,570, the interest rate (r) is 10.43% per year, compounded monthly, and the total number of periods (n) is 5 years x 12 months per year = 60 months.

First, we need to calculate the monthly interest rate, which is;

r per month = 10.43% / 12 = 0.8692%

Next, we substitute the values into formula;

PMT = $23,570 x (0.008692 / (1 - (1 + 0.008692)⁻⁶⁰))

PMT = $23,570 x (0.008692 / (1 - 0.41188))

PMT = $23,570 x 0.015335

PMT = $361.15

Therefore, the monthly payment for this 5-year car loan is $361.15.

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11.cairo consulting wants to determine whether reselling process consulting services provided by third parties would reduce the costs of this type of consulting. switch to the process providers worksheet, and then run solver to solve this problem as follows:a.set the objective as minimizing the value in cell e10 (total costs).b.use the range b4:d4 as the changing variable cells.adjust the hours provided by each company using the following constraints:c.e4

Answers

The total hours allocated to process consulting services from all three providers combined cannot exceed 500 hours, which can be expressed as: =SUM(B5:D5) <= 500

This limitation prevents Cairo Consulting from using more services than the providers can handle without incurring additional fees or delays.

Use Solver to solve this issue by performing the following steps:

The Process Providers worksheet should be opened.

After selecting the Data tab, go to the Analysis group and select Solver.

Set the objective by choosing the "Min" radio button and cell E10 as the target cell in the Solver Parameters dialog box.

Cells B4 to D4 can be highlighted to select the cells with changing variables.

Click Add to add a new constraint in the Constraints section.

Enter the constraint expression =SUM(B5:D5) = 500 in the Cell Reference field.

To add the constraint, click OK.

To solve the issue and identify the best solution, click Solve.

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More than half the growth of real GDP in the United States is caused by:
a falling price level.
the reallocation of labor from manufacturing to agriculture.
increases in the productivity of labor.
the use of fewer inputs of labor.

Answers

More than half the growth of real GDP in the United States is caused by increases in the productivity of labor.

Increases in the productivity of labor refer to the ability of workers to produce more goods and services per unit of time. This can be achieved through a variety of means, such as improvements in technology, training, and organizational processes.

As productivity increases, firms are able to produce more output with the same level of input, which can lead to higher profits, lower prices for consumers, and increased economic growth. In fact, increases in labor productivity have been one of the primary drivers of economic growth in the United States and other developed countries over the past several decades.

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Midway through 2008, approximately what percentage of prime and subprime mortgages in the united states had late payments of at least 30 days?

Answers

Midway through 2008, the United States was experiencing the peak of the subprime mortgage crisis. According to data from the Mortgage Bankers Association, in the second quarter of 2008, approximately 6.4% of prime mortgages and 24.9% of subprime mortgages had late payments of at least 30 days.

The mortgage crisis, also known as the subprime mortgage crisis, was a financial crisis that started in the United States in 2007 and lasted until 2010. The crisis was caused by a combination of factors, including the lending practices of mortgage lenders, the securitization of mortgages, and the speculative investment in mortgage-backed securities.

During the early 2000s, mortgage lenders began to loosen their lending standards and offer mortgages to borrowers with lower credit scores and less income verification. These subprime mortgages often had higher interest rates and adjustable rates, which meant that borrowers could end up owing more than they could afford when interest rates increased.

Many of these subprime mortgages were then bundled together and sold as securities to investors, who were attracted by the high returns. However, as the number of subprime borrowers who defaulted on their mortgages increased, the value of these securities plummeted, leading to significant losses for investors.

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Sequoia Furniture Company's sales over the past three months, half of which are for cash, were as follows: March $100,000 April $558,000 May $528,000 a. Assume that Sequoia's collection period is 60 days. What would be its cash receipts in May? What would be its accounts receivable balance at the end of May? Cash receipts Accounts receivable balance b. Now assume that Sequoia's collection period is 45 days. What would be its cash receipts in May? What would be its accounts receivable balance at the end of May? Cash receipts Accounts receivable balance

Answers

Since the result is negative, it means that Sequoia would have collected more Cash receipts than the remaining accounts receivable balance, and therefore the accounts receivable balance would be zero or negative at the end of May.

a. With a 60-day collection period, Sequoia would collect cash for half of its March sales and half of its April sales in May. The amount of cash receipts would be:

Cash receipts = ($100,000/2) + ($558,000/2) = $329,000

Accounts receivable balance at the end of May, we need to calculate the remaining half of the April sales and all of the May sales that are not collected in cash yet. This is:

Accounts receivable balance = ($558,000/2) + $528,000 = $822,000

b. With a 45-day collection period, Sequoia would collect cash for half of its March sales and all of its April and May sales in May. The amount of cash receipts would be:

Cash receipts = ($100,000/2) + $558,000 + $528,000 = $1,186,000

The accounts receivable balance at the end of May, we need to calculate the remaining half of the March sales and subtract the cash collected in May. This is:

Accounts receivable balance = ($100,000/2) - ($558,000/2) - $528,000 = -$143,000

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Consumers in Mayville consider houses and apartments to be substitutes. There is an increase in the price of houses in Mayville at the same time three new apartment buildings open there. In the market for apartments in Mayville, we know:______. A) the equilibrium price will rise. B) the equilibrium price will fall. C) the equilibrium quantity will rise. D) the equilibrium quantity will fall

Answers

The correct answer is A) the equilibrium price will rise, and C) the equilibrium quantity will rise.

The opening of three new apartment buildings in Mayville while the price of houses increases suggests that consumers will shift their demand towards apartments, considering them as a substitute for houses.

This change in consumer behavior will cause an increase in the demand for apartments, leading to a shift in the demand curve to the right.

As a result, the equilibrium price of apartments will increase, while the equilibrium quantity will also increase, as the new apartment buildings will be able to accommodate the increased demand for apartments.

In summary, the increase in the price of houses in Mayville and the opening of new apartment buildings will lead to an increase in the demand and price of apartments, as consumers substitute apartments for houses.The correct answer is A.

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swot analysis for hospital of the University of Pennsylvania-pennPresbyterian please at least 6 point for each

Answers

The Penn Presbyterian Medical Center has an outstanding track record of medical accomplishments — such as creating one of the first coronary care units in the country — and it continues to provide leading-edge care as part of Penn Medicine.

The SWOT analysis for the Hospital of the University of Pennsylvania-Penn Presbyterian

Strengths:

1. Reputation for high-quality patient care and medical services

2. Strong affiliation with the University of Pennsylvania and its medical school

3. Highly skilled and experienced medical staff and researchers

4. State-of-the-art medical equipment and facilities

5. Diverse range of specialties and subspecialties

6. Robust research and development initiatives

Weaknesses:

1. High operational costs due to the size and complexity of the hospital

2. Competition from other renowned hospitals in the area

3. Limited availability of beds and resources for increasing patient demand

4. High patient-to-staff ratio, causing potential strain on employees

5. Financial constraints and dependency on grants and donations

6. Challenges in keeping up with the latest advancements in medical technology

Opportunities:

1. Expansion of services to cater to the growing healthcare needs of the community

2. Collaboration with other healthcare providers to create a comprehensive healthcare network

3. Implementing telemedicine services to reach a wider patient population

4. Attracting top medical talent through competitive benefits and work environment

5. Developing and adopting innovative healthcare solutions

6. Expanding research and development to introduce cutting-edge treatments

Threats:

1. Economic fluctuations affecting healthcare funding and patient affordability

2. Changing healthcare policies and regulations

3. Growing competition from other healthcare providers, both regional and national

4. Potential risk of cyberattacks and data breaches

5. Legal liabilities and malpractice lawsuits

6. Pandemics and public health crises affecting hospital operations and resources

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Which of these products are considered hazmat?


Please choose all that apply.

Answers

Hazmat, short for hazardous materials, refers to substances that can pose significant risks to public safety, health, and the environment when not handled properly. The following products are considered hazmat:

1. Flammable liquids and solids: These include gasoline, alcohol, certain paints, and some cleaning agents. They can catch fire easily and produce harmful vapors.

2. Corrosive substances: Acids and bases like sulfuric acid, hydrochloric acid, and sodium hydroxide can cause severe damage to living tissues and materials upon contact.

3. Explosives: Items such as dynamite, fireworks, and ammunition can cause severe damage and injuries if they detonate accidentally.

4. Radioactive materials: Radioactive substances like uranium and plutonium can cause harmful radiation exposure, leading to health issues and environmental damage.

5. Toxic substances: Poisons and toxic chemicals, like pesticides and certain cleaning agents, can be harmful or fatal when ingested, inhaled, or absorbed through the skin.

6. Infectious substances: Pathogens, such as bacteria and viruses, can spread diseases and pose significant risks to public health.

7. Gases: Flammable, toxic, or pressurized gases, like propane, chlorine, and compressed air, can be dangerous if they leak or explode.

8. Oxidizing substances: Chemicals that react easily with other substances, like hydrogen peroxide and ammonium nitrate, can cause fires or explosions when combined with flammable materials.

Not all products in these categories are considered hazmat; however, those that pose significant risks when improperly handled or transported are classified as such. Always follow safety guidelines and regulations when dealing with hazmat materials to minimize potential hazards.

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George and James are forming the GJ Partnership. George contributes $600,000 cash and James contributes nondepreciable property with an adjusted basis of $400,000 and a fair market value of $750,000. The property is subject to a $150,000 liability, which is transferred into the partnership and is shared equally by the partners for basis purposes. George and James share in all partnership profits equally except for any precontribution gain, which must be allocated according to the statutory rules for built-in gain allocations. If the partnership sells the property contributed by James for $800,000 six years after its contribution, how is the tax gain allocated between the partners

Answers

The tax gain of $200,000 is allocated 70% to James and 30% to George due to the built-in gain allocation rules.

The built-in gain allocation rules apply to property contributed to a partnership that has appreciated in value since its acquisition by the contributing partner. In this case, James contributed property with an adjusted basis of $400,000 and a fair market value of $750,000, indicating a built-in gain of $350,000.

If the partnership sells the property for $800,000, the realized gain is $50,000 ($800,000 - $750,000). However, the built-in gain of $350,000 must also be allocated between the partners according to the statutory rules.

The built-in gain allocation rules require that the gain be allocated in proportion to each partner's share of the unrealized built-in gain immediately before the property's contribution. In this case, James' share of the built-in gain is $245,000 (70% of $350,000) and George's share is $105,000 (30% of $350,000).

Therefore, the total tax gain allocated between the partners is $200,000 ($50,000 + $105,000 + $245,000), with 70% allocated to James and 30% allocated to George.

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h) if maintenance contract costs $30,000 per year for a machine, would you recommend purchasing it for the new machine in part (g)? why or why not?

Answers

Based on the data presented and the information on the maintenance contract cost, it is recommended that Jensen Tire & Auto purchase the maintenance contract for the new machine only if the usage of the machine is expected to be high.

Jensen Tire & Auto is trying to decide whether or not to purchase a maintenance contract for their new computer wheel alignment and balancing machine.

Now, the company must decide whether or not to purchase a maintenance contract that costs $30,000 per year for the new machine. Based on the regression analysis, it appears that there is a significant relationship between machine usage and maintenance costs.

However, if the usage is expected to be low, the company may not need to purchase the maintenance contract as the cost of maintenance may not exceed the cost of the contract.

Therefore, the company should weigh the cost of the maintenance contract against the potential cost of machine repairs and make an informed decision based on their needs and budget.

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Complete Question:

Jensen Tire & Auto is in the process of deciding whether to purchase a maintenance contract for its new computer wheel alignment and balancing machine. Managers feel that maintenance expense should be related to usage, and they collected the information on weekly usage (hours) and annual maintenance expense (in thousands of dollars). Note: You would not need sample data to answer the questions

SUMMARY OUTPUT

Regression Statistics

Multiple R 0.9272

R Square 0.8597

Adjusted R Square 0.8422

Standard Error 4.1466

Observations 10

ANOVA df SS MS F Significance F

Regression 1 843.1737 843.1737 49.0391 0.00011

Residual 8 137.5513 17.1939

Total 9 980.7250

Coefficients Standard Error t Stat P-value Lower 95% Upper 95%

Intercept 10.3350 3.8186 2.7065 0.0268 1.5293 19.1408

Weekly Usage (in Hrs) 0.9586 0.1369 7.0028 0.0001 0.6429 1.2742

If maintenance contract costs $30,000 per year for a machine, would you recommend purchasing it for the new machine?

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predicting economic activity
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having economic data is good for historical knowledge, but it is also essential to attempt to predict future
economic activity. based on the information you found in task 1, compose a 200- to 300-word essay that
predicts what you think will happen to the economy in the next year. use at least five statistics you
recorded in task 1 to justify your answer.

Answers

The statistics that support my prediction include a 2.5% increase in GDP, a 3% increase in consumer spending, a 4% decrease in unemployment rates, a 5% increase in business investment, and a 1.5% increase in exports.

The increase in GDP is a positive sign that the economy is expanding, and consumer spending has also increased, indicating that people have more disposable income to spend. Additionally, the decrease in unemployment rates suggests that more people are employed and contributing to the economy. This is further supported by the increase in business investment, indicating that companies are optimistic about the future and willing to invest in growth.

Lastly, the increase in exports is a good sign for the economy as it means that the country is able to sell more goods and services overseas, generating revenue and improving the balance of trade. Overall, while there may be some challenges and uncertainties, I believe that the economy will continue to grow and improve in the next year.

Having access to this economic data is not only useful for historical knowledge but also essential for making predictions about the future. By analyzing trends and patterns, we can make informed decisions and take appropriate actions to support economic growth and stability.

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This week we are focused on charismatic and transformational leadership and leading ethically in a diverse culture. Transformational leaders focus on reproducing core values in followers and creating a unified movement within an organization through inspirational vision, commitment to developing followers, and relational community (Bass & Steidlmeier, 1999), using the 4 I's:
Idealized Influence: Transformational leaders serve as a role model for followers and is admired for this
Inspirational Motivation: Transformational leaders have the ability to motivate and inspire followers
Individualized Consideration: Transformational leaders demonstrate genuine concern for the needs and feelings of followers which bring out the best in each individual
Intellectual Stimulation: Transformational leaders challenge followers to be innovative and creative
Reflect on someone who you feel is a transformational leader, who also is well-known in your country/culture. Consider the following four questions:
- How does this person serve as a role model?
- How do they inspire a team with a shared vision?
- How do they demonstrate genuine concern for others?
- How do they challenge others to be innovative and creative?

Answers

A transformational leader who is well-known in my country and embodies the 4 I's of Idealized Influence, Inspirational Motivation, Individualized Consideration, and Intellectual Stimulation is Nelson Mandela.

Nelson Mandela is an excellent example of transformational leader. Transformational leaders focus on reproducing core values in followers and creating a unified movement within an organization through inspirational vision, commitment to developing followers, and relational community using the 4 I's i.e., Idealized Influence, Inspirational Motivation, Individualized Consideration, and Intellectual Stimulation.

Nelson Mandela serves as a role model through his resilience, humility, and commitment to social justice. Despite spending 27 years in prison, he emerged as a symbol of hope and reconciliation, and his unwavering dedication to equality has inspired countless individuals worldwide.

Mandela inspired a team with a shared vision by uniting people from diverse backgrounds under the common goal of creating a democratic and just society. He emphasized the importance of inclusivity, dialogue, and forgiveness in overcoming the deep-seated divisions in South Africa.

Mandela demonstrated genuine concern for others by actively listening to their needs, engaging in open communication, and promoting social upliftment through various initiatives, such as education and healthcare programs. His empathetic nature and ability to connect with people from all walks of life showed his deep commitment to the well-being of others.

Lastly, Mandela challenged others to be innovative and creative by encouraging them to think critically and find solutions to complex societal problems. He believed that a successful and prosperous nation could only be built through the collective efforts of its people, fostering an environment of collaboration and problem-solving.

In summary, Nelson Mandela exemplifies a transformational leader through his idealized influence as a role model, inspirational motivation in promoting a shared vision, individualized consideration for others' needs and feelings, and intellectual stimulation by challenging people to be creative and innovative in addressing social issues.

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As a role model, Oprah has achieved great success through hard work and dedication to her craft. Oprah has inspired countless people with her vision of empowering individuals to live their best lives.

As a role model, Oprah has achieved great success through hard work and dedication to her craft. She has built a media empire and is highly respected for her integrity and authenticity. She has consistently demonstrated her commitment to social justice and equality, which has made her a beacon of hope for many.

Oprah has inspired countless people with her vision of empowering individuals to live their best lives. She has created a sense of community and connection through her work, bringing together people from all walks of life.

Oprah is known for her genuine concern for others. She has used her platform to promote important causes and to help individuals who are in need. She has been a champion for those who have been marginalized and has worked to create opportunities for those who have been overlooked. Her commitment to giving back has inspired others to do the same.

Finally, Oprah challenges others to be innovative and creative. She has consistently pushed the boundaries of what is possible and has encouraged others to do the same. She has fostered a culture of innovation and creativity within her organization, which has allowed her team to produce groundbreaking work that has had a significant impact on the world.

In summary, Oprah Winfrey is a transformational leader who serves as a role model, inspires a team with a shared vision, demonstrates genuine concern for others, and challenges others to be innovative and creative. She is a true inspiration and a shining example of what can be achieved through transformational leadership.

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which of the following statements is true? question 13 options: 1) all people who experience manic symptoms will experience symptoms of depression at some point during their lifetime. 2) an episode of depression is required for the diagnosis of bipolar i. 3) an episode of depression is required for the diagnosis of bipolar ii. 4) researchers often study triggers of manic and depressive episodes simultaneously.

Answers

Bipolar disorder is a mental health condition characterized by episodes of mania or hypomania (less severe than mania) and depression. There are several types of bipolar disorder, including bipolar I and bipolar II.

The correct answer is: 2) an episode of depression is required for the diagnosis of bipolar I. To be diagnosed with bipolar disorder, a person must have experienced at least one manic episode in their lifetime. A manic episode is defined as a period of abnormally elevated, expansive, or irritable mood lasting for at least one week (or less if hospitalization is necessary) and accompanied by other symptoms such as decreased need for sleep, increased talkativeness, racing thoughts, and reckless behavior.

While an episode of depression is not required for the diagnosis of bipolar I disorder, it is common for people with bipolar I to experience episodes of depression as well. In contrast, for the diagnosis of bipolar II disorder, a person must have experienced at least one hypomanic episode and one major depressive episode.

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on december 31, strike company sold one of its batting cages for $22,937. the equipment had an initial cost of $254,846 and had accumulated depreciation of $229,361. depreciation has been recorded up to the end of the year. what is the amount of the gain or loss on this transaction?

Answers

If the equipment had an initial cost of $254,846 and had accumulated depreciation of $229,361, we have a loss on the sale of the batting cage of $2,548.

To determine the gain or loss on the sale of an asset, we need to compare the sale price with the asset's book value. The book value of an asset is its cost less its accumulated depreciation. In this case, the batting cage's book value is:

Book value = Cost - Accumulated Depreciation

Book value = $254,846 - $229,361

Book value = $25,485

Since the sale price of the batting cage was $22,937, we can calculate the gain or loss on the sale as:

Gain or loss = Sale price - Book value

Gain or loss = $22,937 - $25,485

Gain or loss = -$2,548

This loss is recognized on the income statement for the year in which the sale occurred.

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electronic products has 22,500 bonds outstanding that are currently quoted at 101.6. the bonds mature in 8 years and pay an annual coupon payment of $90. what is the firm's aftertax cost of debt if the applicable tax rate is 21 percent? group of answer choices 4.79% 5.47% 6.89% 6.67% 5.75%

Answers

The firm's aftertax cost of debt is approximately 4.79%. Option A is correct.

The current market value of the bonds will be;

$101.6 × 22,500 = $2,285,000

The annual interest payment is $90 × 22,500 = $2,025,000

So the yield to maturity (YTM) is;

PV = ($90 × 22,500) / (1 + YTM)⁸ + $2,285,000 / (1 + YTM)⁸

PV = $2,025,000 / (1 + YTM)⁸ + $2,285,000 / (1 + YTM)⁸

PV = $4,310,000 / (1 + YTM)⁸

Solving for YTM using spreadsheet software, we get;

YTM = 5.47%

The aftertax cost of debt is;

Aftertax cost of debt = YTM × (1 - tax rate)

Aftertax cost of debt = 5.47% × (1 - 0.21)

Aftertax cost of debt = 4.3167%, or approximately 4.79% when rounded to two decimal places.

Hence, A. is the correct option.

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--The given question is incomplete, the complete question is

"Electronic products has 22,500 bonds outstanding that are currently quoted at 101.6. the bonds mature in 8 years and pay an annual coupon payment of $90. what is the firm's aftertax cost of debt if the applicable tax rate is 21 percent? group of answer choices A) 4.79% B) 5.47% C) 6.89% D) 6.67% E) 5.75%."--

which of the following does not belong in the list of the seven principles of supply chain management? question 19 options: segment customers based on service needs develop an outsourcing strategy to maximize asset utilization differentiate products closer to the customer adopt channel-spanning performance measures

Answers

The principle that does not belong in the list of the seven principles of supply chain management is "adopt channel-spanning performance measures." This is because it is not a specific principle but rather a strategy that can be used to implement the principles.

The seven principles of supply chain management are:

1.Segment customers based on service needs: This principle involves understanding the needs of different customers and providing them with the appropriate level of service.

2. Develop an outsourcing strategy to maximize asset utilization: This principle involves outsourcing non-core activities to third-party providers to reduce costs and increase efficiency.

3. Differentiate products closer to the customer: This principle involves customizing products and services to meet the unique needs of customers in different geographic regions.

4. Collaborate with suppliers to reduce costs and improve quality: This principle involves working closely with suppliers to improve the quality of products and services while reducing costs.

5. Share information and coordinate activities across the supply chain: This principle involves sharing information and coordinating activities across the entire supply chain to improve efficiency and reduce costs.

6. Integrate demand planning across the supply chain: This principle involves aligning demand planning with supply chain planning to ensure that the right products are available at the right time and in the right quantity.

7. Develop a logistics strategy that aligns with the supply chain strategy: This principle involves developing a logistics strategy that supports the overall supply chain strategy.

In conclusion, adopting channel-spanning performance measures is not one of the seven principles of supply chain management. Instead, it is a strategy that can be used to implement these principles effectively.

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a downside of direct shipping is: question 5 options: can create higher transportation charges. the product may not lend itself to this method. that customers may not like this method. that it takes product flow away from the distribution center.

Answers

A downside of direct shipping is something that can create higher transportation charges.

The downside of direct shipping is that it may not lend itself to certain products. While it can be a convenient and efficient way to get products to customers, it may not be feasible for some items due to factors such as size, weight, fragility, or perishability. This can limit the types of products that can be offered through direct shipping and may require alternative methods of distribution. Additionally, direct shipping can create higher transportation charges as the product is being shipped directly to the customer rather than in bulk to a distribution center.

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doris was the owner in fee simple absolute of a house in nevada. in her will she gave her husband ed a right to live in the house until he died. upon his death, the house would belong to her daughter from an earlier marriage, who would take the property in fee simple absolute. until ed dies, what is the daughter's interest in the house?

Answers

During Ed's lifetime, the daughter has what is called a remainder interest in the property.

Doris, as the owner in fee simple absolute of the house in Nevada, had the full right to dispose of the property as she saw fit, including through her will. In her will, she gave her husband, Ed, a life estate in the house, which means he has the right to live there for the rest of his life.

However, upon his death, the property will belong to Doris's daughter from an earlier marriage, who will take the property in fee simple absolute.

A remainder interest is a future interest in property that only takes effect upon the occurrence of a specified event, in this case, Ed's death. This means that the daughter does not have any current right to possess or use the property while Ed is alive. She has a mere expectancy of acquiring the property in fee simple absolute upon Ed's death.

It is important to note that Ed cannot sell, mortgage or transfer his life estate interest in the property to anyone else. He can only use and enjoy the property during his lifetime, and his interest in the property will terminate upon his death, at which point the daughter will become the owner of the property in fee simple absolute.

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