Because of safety considerations, in May 2021 the Federal Aviation Administration (FAA) changed its guide- lines for how small commuter airlines must estimate passenger weights. Under the old rule, airlines used 160 pounds as a typical passenger weight (including carry-on luggage) in warm months. A journal reported that an airline con- ducted a study to estimate average passenger plus carry-on weights. They found an average summer weight of 10aß pounds. Suppose that each of these estimates was based on a random sample of 100 passengers and that the sample standard deviations were 15 pounds for the summer weights. Construct a 95% confidence interval for the mean summer weight (including carry-on luggage) of this airline's pas- sengers. (Show the detailed steps, and round your answer to three decimal places.)

Answers

Answer 1

Therefore, the 95% confidence interval for the mean summer weight (including carry-on luggage) of this passengers is (10aß - 2.94, 10aß + 2.94). Hence, the required confidence interval is (10aß - 2.94, 10aß + 2.94).

According to the new rule, the Federal Aviation Administration (FAA) changed its guidelines for how small commuter airlines must estimate passenger weights, which is due to safety considerations. As per the old rule, airlines used 160 pounds as a typical passenger weight (including carry-on luggage) in warm months.

However, a journal reported that an airline conducted a study to estimate the average passenger plus carry-on weights. They found an average summer weight of 10aß pounds. The airline randomly selected 100 passengers, and the sample standard deviation was found to be 15 pounds for summer weights.

Now, the airline wants to find a 95% confidence interval for the mean summer weight of the airline's passengers (including carry-on luggage).Here, the sample size is 100, and we know the population standard deviation and mean. Therefore, we can use the Z-distribution.

The 95% confidence interval is given as,95% Confidence interval = (¯x - Z(α/2) * σ/√n, ¯x + Z(α/2) * σ/√n)

Where,¯ x = sample mean = 10aßσ = population standard deviation = 15n = sample size = 100Z(α/2) = Z-score for the α/2 level of significance.

The Z(α/2) value can be obtained from the Z-table or calculator.

Z(α/2) = Z(0.025) (from the Z-table)Z(α/2) = 1.96Substituting the given values,95% Confidence interval = (10aß - 1.96 * 15/√100, 10aß + 1.96 * 15/√100)95% Confidence interval = (10aß - 2.94, 10aß + 2.94)

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Which of the following statements is CORRECT? Assume that the project being considered has normal cash flows, with one outflow followed by a series of inflows. a. A project's MIRR is always greater than its regular IRR. b. If a project's IRR is greater than its WACC, then the MIRR will be less than the IRR. c. If a project's IRR is greater than its WACC, then the MIRR will be greater than the IRR. d. A project's MIRR is always less than its regular IRR. e. To find a project's MIRR, we compound cash inflows at the IRR and then discount the terminal value back to that the WACC

Answers

The correct statement is if a project's IRR is greater than its WACC, then the MIRR will be greater than the IRR. Option c is correct.

Modified internal rate of return (MIRR) is a financial metric used to assess the attractiveness of an investment. It is used in capital budgeting to estimate the potential profitability of a project. The MIRR assumes that all cash flows are reinvested at the company's cost of capital and that the project will be paid out over time.

A project's MIRR is greater than its regular IRR if it has a normal cash flow and is made up of one outflow followed by a series of inflows. Similarly, if the project's IRR is greater than its WACC, the MIRR will be greater than the IRR.

Therefore, c is correct.

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Draw the distinctions among exploratory, descriptive, and causal research. What conditions are most appropriate for each of the three major research purposes?

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Exploratory research is focused on identification of any patterns or trends. Descriptive research is focused on explaining and defining the topic or problem. Causal research is focused on identifying the cause-and-effect relationship between variables.

Exploratory research, descriptive research, and causal research are the three major types of research designs. Exploratory research aims to examine the research subject to identify any patterns or trends. The aim of this type of research is to identify a topic for further research. Exploratory research is commonly conducted when researchers are not entirely sure what they are searching for. Such research can involve extensive literature research, case studies, interviews, and focus groups.

Descriptive research, on the other hand, aims to explain and define the topic or problem being investigated. This research seeks to identify and describe the various characteristics and behavior of a population. This type of research is useful for identifying patterns and trends, and it can be quantitative or qualitative.

Causal research is designed to identify the cause-and-effect relationship between variables. Causal research is often conducted when researchers want to establish whether one variable affects another. It often involves the manipulation of independent variables to observe their impact on the dependent variable.

The appropriate condition for each of the three major research purposes are:

Exploratory research: It is most appropriate when there is a need to investigate a new area of research where little or no prior knowledge exists. For instance, it can be used to investigate new consumer trends, the launch of a new product or service, or a change in consumer behavior.Descriptive research: It is most appropriate when the aim is to describe the characteristics of a particular group, situation or phenomenon. It can be used to describe consumer demographics, the level of awareness or perception of a brand or product, or the level of satisfaction of consumers with a product or service.Causal research: It is most appropriate when there is a need to understand how one variable influences another. For instance, it can be used to investigate how the price of a product influences the purchasing behavior of consumers, how an advertising campaign affects sales, or how an increase in salary impacts employee performance.

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You want to calculate the depreciation and then record the depreciation on a piece of equipment using the straight-line depreciation method. Knowing that a depreciation entry doesn’t impact any of your bank accounts directly, which QuickBooks window(s) do you use to enter this information?
A Chart of Accounts
B Expense
C Account
D Journal Entry

Answers

To calculate the depreciation and then record the depreciation on a piece of equipment using the straight-line depreciation method, the QuickBooks window that is used to enter this information is the journal Entry. Option d is correct.

Depreciation is an accounting technique that reduces the worth of an asset over time. Depreciation can be calculated utilizing one of the four methodologies available in QuickBooks: straight-line, declining balance, sum-of-years-digits, and income.

Straight-line depreciation is the most basic method for computing depreciation and is the most commonly used method. In QuickBooks, journal entries are used to record depreciation because depreciation entries do not have a direct impact on any bank accounts.

Therefore, option d is correct.

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Which of the following is a disadvantage of the departmental overhead rate method? a. It may fail to accurately assign many overhead costs that are not driven by production volume. b. Allows each department to have its own overhead rate.
c. Allows each department to have its own allocation base, d. The departmental overhead rate is usually more accurate in overhead allocations than the plantwide overhead rate. e. The departmental overhead rate is consistent with GAAP and can be used for external reporting.

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A disadvantage of the departmental overhead rate method is that it may fail to accurately assign many overhead costs that are not driven by production volume.

The departmental overhead rate method involves assigning overhead costs to different departments within an organization based on each department's specific activities or cost drivers. While this method offers advantages such as allowing each department to have its own overhead rate (option b) and allocation base (option c), it also has its limitations.

One major disadvantage is that the departmental overhead rate method may fail to accurately assign many overhead costs that are not driven by production volume (option a). Some overhead costs, such as administrative expenses or research and development costs, may not be directly related to production volume and may not be properly allocated to the departments based on their activities. This can result in distorted departmental cost allocations and potentially inaccurate decision-making.

The remaining options, d and e, are not disadvantages of the departmental overhead rate method. Option d suggests that the departmental overhead rate is more accurate than the plantwide overhead rate, which is not necessarily true. The accuracy of the overhead allocation depends on various factors and cannot be generalized. Option e states that the departmental overhead rate is consistent with Generally Accepted Accounting Principles (GAAP) and can be used for external reporting, which does not relate to its disadvantage.

Therefore, the correct answer is option a: It may fail to accurately assign many overhead costs that are not driven by production volume.

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When studying a project, the following variable costs were estimated for a normal production capacity
of 140,000 units, with a maximum capacity of 200,000 units:

Materials $120,000
Labor $300,000
Other $80,000
Fixed costs are estimated, according to the level of production, in:

Production

Fixed Cost

0 – 40,000

$320,000

40,001 – 130,000

$380,000

130,001 – 180,000

$420,000

180,001 – 200,000

$500,000

If the selling price of each unit is $15 and the expected production is 100,000 units per year, what is
the minimum number of additional units that need to be sold at the price of $11 per unit to show a
profit of $762,000 per year? To raise sales to 120,000 units per year, how much could be spent
additionally in advertising (fixed cost) so that by maintaining a price of $15, a profit of
20% on sales?

Answers

To raise sales to 120,000 units per year, $431,160 Could be spent additionally on advertising (fixed cost) so that by maintaining a price of $15, a profit of 20% on sales

Materials $120,000

Labor $300,000

Other $80,000

Fixed Cost 0 – 40,000 $320,00040,001 – 130,000 $380,000130,001 – 180,000 $420,000180,001 – 200,000 $500,000

The selling price of each unit is $15

Expected production is 100,000 units per year

Expected Profit per year = $762,000For the first part of the question

Calculate the variable cost per unit:

Variable cost per unit = Materials + Labor + Other

Variable cost per unit = $120,000 + $300,000 + $80,000

Variable cost per unit = $500,000/140,000Variable cost per unit = $3.57

Minimum number of additional units required to show a profit of $762,000 = 20,663

Therefore, to show a profit of $762,000, an additional 20,663 units need to be sold at $11 per unit. For the second part of the question:

Expected production is 120,000 units per year

Additional sales required = 120,000 - 100,000

Additional sales required = 20,000 units

Fixed cost = (Units sold * Contribution per unit) - Profit

Fixed cost = (120,000 * 11.43) - (0.20*120,000*15)

Fixed cost = $791,160 - $360,000

Fixed cost = $431,160

Therefore, an additional fixed cost of $431,160 could be spent to raise sales to 120,000 units per year while maintaining a price of $15, a profit of 20% on sales.

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babara is proud of himself for creating his first financial budget. he is excited to watch his savings grow while he reduces his unnecessary spending. when calculating his income, babara expects to make bring home $180 a week by working 20 hours and making $9 an hour. when he receives his first paycheck, babara is upset because he only made $145. what is the most likely reason for the difference between his expected income and his actual income?

Answers

The most likely reason for the difference between his expected income and his actual income is that he did not consider the taxes and other deductions from his gross pay, resulting in a lower net pay. (Option b)

The most likely reason for the difference between Babara's expected income of $180 and his actual income of $145 is that he did not consider the taxes and other deductions that are typically taken out of an employee's paycheck. That is option b. When calculating income, it's important to take into account deductions such as federal and state taxes, Social Security, Medicare, and possibly other withholdings like health insurance premiums or retirement contributions.

These deductions are usually mandatory and are automatically subtracted from an employee's gross pay to arrive at the net pay, which is the amount actually received by the employee. Therefore, Babara's actual income of $145 is likely the result of taxes and deductions being taken out of his gross pay, resulting in a lower net pay than he initially expected.

The correct question is:

Babara is proud of himself for creating his first financial budget. He is excited to watch his saavings grow while he reduces his unnecessary spending. When calculating his income, Babara expects to bring home $180 a week by working 20 hours and making $9 an hour. When he receives his first paycheck, Babara is upset because the only made $145, What is the most likely reason for the difference between his expected income and his actual income?

a. His manager did not pay him for all the hours he worked, resulting in fewer hours of pay.

b. He did not consider the taxes and other deductions from his gross pay, resulting in a lower net pay.

c. He does not even realize that his paycheck is less than expected because it was automatically deposited into his bank account.

d. His manager did not pay him for the agreed upon $9 an hour and is paying him less than he should be.

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2. Describe and discuss the underlying reasons for the collapse of Luna Blockchain and UST stable coin.

Answers

The cryptocurrency and blockchain industry can be highly volatile and subject to various risks including,

Technological vulnerabilities, regulatory challenges, market fluctuations, and potential fraud or mismanagement.

Collapse of Luna Blockchain or issues with the UST stable coin, some potential underlying reasons and discussions could include,

Technological Vulnerabilities,

Blockchain networks and stable coins rely on robust and secure technological infrastructure.

If there were any significant technical vulnerabilities or flaws in the Luna Blockchain or the underlying smart contracts of UST stable coin.

It could lead to instability and loss of confidence in the system.

Regulatory Challenges,

The cryptocurrency industry operates in a complex regulatory landscape.

If Luna Blockchain or UST stable coin faced regulatory scrutiny, legal challenges, or compliance issues in certain jurisdictions.

It could impact their operations and stability.

Market Fluctuations,

The value and stability of stable coins are dependent on the underlying assets or mechanisms that support their pegged value.

If there were significant market fluctuations or disruptions in the underlying assets or markets related to UST stable coin.

It could lead to a collapse or loss of confidence in the stability of the coin.

Mismanagement or Fraud,

Poor management, financial mismanagement, or fraudulent activities within Luna Blockchain or UST stable coin could undermine trust and lead to a collapse.

Lack of transparency, inadequate audits, or misrepresentation of reserves or assets backing stable coin could contribute to such issues.

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Your submission should include the following: • Part A - Argument for the continued supply of medical products to Russia so Brief overview of the key tenets of the ethical theory you will apply in Part A (150-300 words) • Application of the ethical theory to support an argument for the continued supply of medical products to Russia (600-800 words)

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Part A - Argument for the continued supply of medical products to Russia: Brief overview of ethical theory Utilitarianism is a moral theory that takes into account the benefits and drawbacks of all possible courses of action when making moral decisions.

Utilitarianism is a philosophical theory that attempts to create the greatest good for the greatest number of people. Utilitarianism is a utilitarian approach that examines the consequences of an action to determine whether it is ethical or not. Utilitarianism emphasizes the importance of maximizing benefits and minimizing harms to achieve a good outcome.

Utilitarianism can be utilized to justify the continued supply of medical products to Russia by analyzing the potential benefits and drawbacks of discontinuing medical supply to Russia. There are several arguments for continuing the supply of medical products to Russia that can be supported by a utilitarian perspective.

Firstly, Russia has a significant population that requires access to medical supplies. If medical supplies are discontinued, Russia's population will suffer significant consequences. Medical supply shortages could result in deaths, illnesses, and other medical problems for people who rely on medical supplies.

Secondly, cutting off medical supplies to Russia would result in severe economic consequences for countries that produce medical supplies. Medical supply producers could suffer significant losses and job losses as a result of the cessation of medical supply to Russia.

A utilitarian approach emphasizes the importance of creating the greatest good for the greatest number of people, and it is clear that the cessation of medical supply to Russia would be detrimental to both Russia's population and the economies of countries that produce medical supplies.

In conclusion, utilitarianism provides a strong moral argument for continuing the supply of medical products to Russia. Despite Russia's political actions, the wellbeing of Russia's population and the economies of medical supply-producing countries are at stake. Utilitarianism is a valuable ethical framework to use when considering the potential consequences of an action on a global scale.

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On December 31, 2020, Searle Company sells production equipment to Transformer Inc. for $75,000. Searle includes a 1-year assurance warranty service with the sale of all its equipment. The customer receives and pays for the equipment on December 31, 2020. Searle estimates the prices to be $73,200 for the equipment and $1,800 for the cost of the warranty. In addition to the assurance warranty, Searle sold an extended warranty (service-type warranty) for an additional 2 years (2022-2023) for $1,200. Instructions (a) Prepare the journal entry to record this transaction on December 31, 2020. (5 Points) (b) What will be Searle's warranty revenue in 2022 and 2023? (1 Point)

Answers

The Warranty revenue for 2022 = $ 600 for the year 2022 and 2023

How to solve for the revenue

When a company offers warranty services in addition to the sale of a product, the transaction price needs to be evaluated to account for these warranty services.

There are two types of warranties: assurance type and service type.

Assurance type warranty is provided to ensure that the product meets the agreed-upon specifications. It is not considered a separate performance obligation.

Service type warranty, on the other hand, is considered a separate performance obligation because it involves providing additional services to the customer.

Based on the above information, the question involves two performance obligations:

PO 1: Sale of production equipment and assurance warranty.

PO 2: Sale of service type warranty for 2 years.

(a) Journal entries in December 2020:

To record revenue and contract liability for Performance Obligation 1:

Debit Bank A/c $76,200

Credit Revenue $75,000

Credit Contract Liability $1,200

Performance Obligation 1 is completed, so the related revenue is recognized. Performance Obligation 2 is still pending, so the related amount received is recorded as a contract liability. It will be transferred to revenue upon completion of Performance Obligation 2.

(b) Warranty revenue in 2022 = $600 ($1,200 ÷ 2):

To recognize warranty revenue for 2022:

Debit Contract Liability $600

Credit Revenue $600

Upon completion of one year, 50% of the service type warranty amount is recognized as revenue.

Warranty revenue for 2022 = $600

To record warranty revenue for 2022:

Debit Contract Liability $600

Credit Revenue $600

These entries reflect the recognition of warranty revenue and the transfer of amounts from the contract liability account to revenue as performance obligations are fulfilled.

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At least _____ before final adoption, the commission will give notice of each preposed rule change.

Answers

At least 30 days before final adoption, the commission will give notice of each proposed rule change.

The statement specifies that the commission will provide notice of each proposed rule change. This notice is required to be given at least 30 days before the final adoption of the rule.

The purpose of providing notice is to ensure transparency and allow stakeholders and the public to review and provide feedback on the proposed rule changes before they are finalized.

The 30-day notice period allows sufficient time for interested parties to study the proposed rule changes, understand their implications, and submit any comments or concerns they may have. This process promotes accountability and allows for the consideration of different perspectives before a rule is formally adopted

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Nikita is a university student. She recently purchased a new computer from a retailer in Singapore as the computer was not yet available in Australia. The computer is for her personal use. The computer cost AUD 3,000 and was shipped directly to Nikita’s home. What are the GST consequences arising from the above information?

Answers

When Nikita purchased a computer from a retailer in Singapore that was not yet available in Australia, the computer cost AUD 3,000 and was shipped directly to her home.

This has certain GST consequences that arise.As per the details given in the question, the GST implications that arise are as follows:In accordance with GST law, any imported goods that are valued less than AUD 1,000 are exempt from GST. Since Nikita's computer is priced at AUD 3,000, it is subject to GST, which she is liable to pay in Australia. In this case, Nikita would be required to pay 10% GST on the AUD 3,000 price of the computer, or AUD 300.In addition, if Nikita is registered for GST, she may claim the GST input credit when she submits her BAS. If she is not a GST registered business, she cannot claim any GST credits on the computer.

Nikita's purchase of a computer from a Singapore retailer and its subsequent shipment to her home has GST implications that require her to pay 10% GST on the AUD 3,000 price of the computer. Nikita cannot claim any GST credits on the computer if she is not registered for GST.

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Which of the following lists the steps of liquidating a partnership in the correct order? cm) OA. 1) Pay cash to the partners based on their capital balances, 2) Sell the assets of the partnership, 3) Pay all the liabilities of the partnership OB. 1) Pay all the liabilities of the partnership, 2) Sell the assets of the partnership, 3) Pay the remaining cash to the partners OC. 1) Sell the assets of the partnership, 2) Pay all partnership liabilities, 3) Pay the remaining cash to the partners D. 1) Pay cash to the partners based on their capital balances, 2) Pay all the liabilities of the partnership, 3) Sell the assets of the partnership

Answers

The correct order of steps for liquidating a partnership is 1) Sell the assets of the partnership, 2) Pay all partnership liabilities, and 3) Pay the remaining cash to the partners. Option C is the correct option.

The correct order of steps for liquidating a partnership is as follows: first, the assets of the partnership are sold to generate cash. This involves assessing and valuing the assets, finding buyers, and completing the sales.

Once the assets have been sold, the partnership uses the proceeds to pay off all the liabilities, including debts, outstanding payments, and obligations. Finally, after settling all liabilities, any remaining cash is distributed among the partners based on their capital balances or ownership percentages. This ensures a fair distribution of the partnership's remaining funds. Following this sequence of steps helps ensure an orderly and equitable dissolution of the partnership.

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In the first fiscal quarter of 2017 Dell Computer showed total debt of €1.98mil and total equity of €3.55mil. Assume Dell's beta is 2.2, the cost of debt is 7%, and Dell's effective income tax rate is 0.35. What is the Weighted Average Cost of Capital (WACC)? (1.5 point)

Answers

The Weighted Average Cost of Capital (WACC) for Dell Computer is 13.13%.

How to calculate the Weighted Average Cost of Capital (WACC)?

To calculate the Weighted Average Cost of Capital (WACC), we need to consider the cost of both debt and equity, weighted by their respective proportions in the capital structure.

First, we calculate the proportion of debt and equity:

Debt proportion = Total Debt / (Total Debt + Total Equity) = €1.98mil / (€1.98mil + €3.55mil) = 0.358

Equity proportion = Total Equity / (Total Debt + Total Equity) = €3.55mil / (€1.98mil + €3.55mil) = 0.642

Next, we calculate the cost of equity using the Capital Asset Pricing Model (CAPM):

Cost of equity = Risk-free rate + Beta * Equity risk premium

Assuming a risk-free rate of 3% and an equity risk premium of 5%, the cost of equity would be:

Cost of equity = 3% + 2.2 * 5% = 13%

Now, we can calculate the WACC:

WACC = (Debt proportion * Cost of debt * (1 - Tax rate)) + (Equity proportion * Cost of equity)

Assuming a cost of debt of 7% and a tax rate of 35%, the WACC would be:

WACC = (0.358 * 7% * (1 - 0.35)) + (0.642 * 13%) = 0.04786 + 0.08346 = 0.13132 or 13.13%

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Sal Co. has preferred stock outstanding that is expected to pay an annual dividend of $4.88 every year in perpetuity. If the required return is 4.69 percent, what is the current stock price? A) $93.65 B) $108.93 C) $104.05 D) $99.39 E) $97.11

Answers

The required current stock price of the preferred stock of Sal Co. is $104.05.

We can use the formula for the present value of perpetuity to calculate the current stock price, where PV is the present value of the preferred stock, D is the annual dividend, and r is the required return.

PV = D/r

Given:Annual dividend = $4.88Required return = 4.69% = 0.0469Using the above formula:PV = $4.88/0.0469PV = $104.05

Therefore, the current stock price of the preferred stock of Sal Co. is $104.05.Option (C) is correct.

Explanation:To calculate the current stock price of the preferred stock of Sal Co., we need to calculate the present value of perpetuity.

This is given by the formula:PV = D/r Where,PV = Present value of Perpetuity and D = Annual dividen

dr = Required rate of return

On substituting the given values, we get:PV = $4.88/0.0469PV = $104.05

Therefore, the current stock price of the preferred stock of Sal Co. is $104.05.

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Under the current rate method, how would cost of goods sold be translated? A) Beginning of the year rate. B) Average rate. C) Current rate.

Answers

Under the current rate method, cost of goods sold be translated at Average rate. Option B is the correct answer.

The current rate approach translates inventory at the current exchange rate while translating cost of goods sold at an average rate, which results in a different inventory turnover. In contrast, the temporal technique translates inventory and cost of products sold at a weighted average rate. Option B is the correct answer.

The majority of financial statement items are translated using the current exchange rate under the current rate technique of foreign currency conversion. The process of translating a parent company's overseas subsidiaries' financial results into that functional currency is known as currency translation. Companies are required to report in the currency of the country or region where their primary cash flow is generated and spent.

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Scenario 3: Mr. Ratu Epeli is a General Manager at Pacifica group of companies, Fiji. The pay details are as follows: Annual income - $68,000 Normal working hours - 37 hours per week He is a resident of Fiji Payroll process monthly wages. Deductions o FNPF o PAYE (if applicable) o Health Insurance $125.00 fortnightly o Housing loan $445.00 monthly Required: Calculate net monthly income of Mr. Ratu Epeli and determine his hourly wage rate. Show all necessary working. (8 marks)

Answers

The net monthly income of Mr. Ratu Epeli is $4,970.64 and his hourly wage rate is $33.40.

To calculate the net monthly income of Mr. Ratu Epeli and determine his hourly wage rate, we need to follow the below steps:

1: Determine the fortnightly health insurance contribution amount

Annual contribution of health insurance = 125 * 26 = $3,250

2: Determine the monthly housing loan contribution amount

Contribution of housing loan = $445

3: Calculate the gross monthly income

Gross monthly income = (Annual income / 12) = (68,000 / 12) = $5,667

4: Calculate the FNPF contribution

The FNPF rate of contribution by the employee is 8% of gross pay.

Contribution to FNPF = Gross monthly pay * rate of contribution= $5,667 * 8% = $453.36

5: Calculate the PAYE contribution

There is no need to calculate the PAYE deduction because it is not applicable to Mr. Ratu Epeli as he is a resident of Fiji.

6: Calculate the total deductions

Total Deductions = Housing Loan + Health Insurance + FNPF= $445 + ($3,250 / 12) + $453.36 = $696.36

7: Calculate the Net monthly income

Net monthly income = Gross monthly pay - Total deductions= $5,667 - $696.36= $4,970.64

8: Calculate the hourly wage rate

To calculate the hourly wage rate, we will divide the gross monthly pay by the number of hours in a month.

Hourly wage rate = Gross monthly pay / (Normal working hours * Number of weeks in a month)= $5,667 / (37 * 4.345) = $33.40

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Use the following data to find P₂₅, P₅₀, P₇₅
5 7 8 9 33 22 14 12 10 0

Answers

Given data: 5 7 8 9 33 22 14 12 10 0We are asked to find P25, P50, P75, which represent the first, second, and third quartiles, respectively.

The first quartile, Q1, is the value that separates the lowest 25% of the data from the other values. The second quartile, Q2, is the value that separates the lowest 50% from the highest 50%. The third quartile, Q3, is the value that separates the lowest 75% from the highest 25%.P25.

First, we need to calculate the rank of the first quartile:n = 10Q1 = (n + 1) × 0.25 = 2.75This gives a rank of 2.75, which means we need to average the values of the second and third items in the data set to find P25:P25 = (7 + 8) / 2 = 7.5P50:To find the median, which is also the second quartile, we use the same formula:n = 10Q2 = (n + 1) × 0.5 = 5.5This gives a rank of 5.5, which means we need to average the values of the fifth and sixth items:P50 = (22 + 14) / 2 = 18P75.

N = 10Q3 = (n + 1) × 0.75 = 8.25This gives a rank of 8.25, which means we need to average the values of the eighth and ninth items:P75 = (12 + 10) / 2 = 11So, P25 = 7.5, P50 = 18, and P75 = 11.

In case the rank of a quartile is not a whole number, take the average of the values of the items whose ranks are the integer part of the rank and the next item.

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a monopoly is an industry with a. many firms each too small to impact the market price of its output. b. many firms each able to differentiate their product. c. a small number of firms each large enough to impact the market price of its output. d. a single firm in which the entry of new firms is blocked.

Answers

A monopoly is an industry with a single firm in which the entry of new firms is blocked. Option d is correct.

A monopoly is an industry or a sector controlled by a single seller (called a monopolist) who controls all aspects of the production, distribution, and pricing of the product. A monopoly market structure is characterized by a lack of competition, which allows a monopolist to set a high price that maximizes profits.

Monopoly is a market structure in which there is a single firm with no close substitutes for its products, and entry to new firms is blocked. As a result, the monopolist has market power and can control prices and profits. As a result, a monopolist can sell at a higher price and produce less than the competitive level.

Therefore, d is correct.

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Please use the following information for the next two questions.
Meryl is 30 years old. She wants to begin saving for retirement, with the first payment to come one year from now. She can save $8,500 per year, and her financial advisor advises her to invest in the stock market, which the financial advisor expects to provide an average return of 10% in the future.

If Meryl follows her financial advisor's advice, how much money will she have at 65?
a. $4,726,821.57
b. $2,303,707.13
c. $3,400,309.42
d. $1,378,819.34

Meryl expects to live for 20 years after she retires at 65. If her investments continue to earn the same rate, how much will she be able to withdraw at the end of each year after her retirement at 65?
a. $270,592.58
b. $399,387.32
c. $161,955.60
d. $555,210.69

Answers

Here is a basic rule of thumb: Correct answers to questions one and two are B and C, respectively. Most experts advise setting a yearly retirement savings goal of 10% to 15% of your pre-tax income while preparing for retirement.

A retirement savings account is the ideal approach to save for retirement. We don't intend to be sly. Simply be very literal. Although there are many various types of investment accounts, retirement accounts like IRAs and 401(k)s were designed particularly to encourage people to save for their later years.

You should have three times your yearly wage in savings by the time you are 40. You should have six times your annual wage saved up by the time you turn 50. You should have eight times your current wealth by the age of 60.

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TRUE / FALSE. 1) The marginal rate of substitution for strictly convex utility functions is constant.

True or False?

2) X1 is a normal good. If the price of X1 decreases, the income effect will cause the quantity of X1 purchased to decrease.

True or False?

3) My preference relation is I prefer students with higher SAT scores or higher ACT scores. This preference satisfies the transitivity requirement.

True or False?

Answers

1. False Strictly convex utility functions have a decreasing marginal rate of substitution. This is because the MRS, or marginal rate of substitution, is the slope of an indifference curve and is equivalent to the ratio of the marginal utilities of two goods.

2. False The income effect and the substitution effect are two distinct effects that occur when the price of a good changes

3. True The preference relation "I prefer students with higher SAT scores or higher ACT scores" is transitive because it is a complete and transitive ordering.

As more of a good is consumed, its marginal utility declines, so the slope of the indifference curve decreases as it moves downward to the right. A normal good is one for which the quantity demanded increases as income increases. If the price of a normal good decreases, the income effect will cause the quantity of the good purchased to increase.

Therefore,  It means that if A is preferred to B and B is preferred to C, then A must be preferred to C.

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5. Define employee relations and industrial
relations? Explain the elements involved in an industrial relations
system. Provide examples. (300 words)

Answers

Employee relations is a complex interaction between employers and employees, both individual and collective, that includes the company's concerns about the workplace environment, job safety, job satisfaction, fair pay and benefits, and employee development. Industrial relations, on the other hand, are defined as the complex set of relationships that exist between management and labor in an organization. Industrial relations systems consist of three primary elements: government regulations, employers, and labor unions.

Employee relations refers to the relationship between the employees and the employer. It is about managing the expectations and concerns of employees and how their rights are maintained.

Industrial relations, on the other hand, refers to the relationship between the employers and employees in an industry. It deals with matters of communication, negotiation, and conflict resolution.

The elements involved in an industrial relations system include:

The environment - includes the legal and social factors that affect the employment relationship. It includes laws and regulations set by the government, social

norms and values, economic policies, among others

.The actors - these are the parties involved in the employment relationship.

They include the employer, employees, trade unions, and the government.Each of these parties has a unique role to play in the employment relationship. Employers provide employment opportunities, remuneration, and working conditions.

Employees provide their labor in exchange for remuneration, benefits, and a safe working environment. Trade unions advocate for the interests of the employees, negotiate with employers, and help resolve disputes.

One example of an industrial relations system is the auto industry. The United Auto Workers (UAW) union represents workers at various automakers, including General Motors and Ford. The UAW negotiates employment contracts and collective bargaining agreements with management on behalf of workers.

Another example is the airline industry, where pilots, flight attendants, and other workers are represented by labour unions in their negotiations with management.

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Littleton Inc is considering expanding its operations outside of the United States. Littleton has a strong U.S. brand, allowing it to earn to a high PM. Littleton’s management knows its international PM will be significantly lower but believes it can operate more efficiently abroad. Currently, Littleton has $220 million in NOA and $440 million in annual sales, generating a NOPAT of $33 million. Littleton’s management group believes expanding international would result in incremental sales of $90 million, requiring an investment in additional NOA, including pates its international operating income, after-tax, to be $6 million. Based solely on the above financial consideration, explain whether you would recommend management to expand internationally.

Answers

Based solely on the above financial consideration, management should expand internationally.

We must calculate Littleton Inc’s incremental operating profit by taking the difference in incremental sales and incremental NOA and multiplying it by incremental PM. NOA is calculated as the difference between assets and liabilities, which can be found by deducting liabilities from assets.

The incremental operating profit can be calculated as follows:

Incremental Sales = $90 million

NOA required to generate incremental sales = Incremental sales / Sales = $90 million / $440 million = 0.2045

Incremental NOA = Incremental sales × Incremental NOA = $90 million × 0.2045 = $18.405 million

Incremental Operating Profit = (Incremental Sales - Incremental NOA) × Incremental PM= ($90 million - $18.405 million) × 5.5% = $3.6085 million

NOPAT is net operating profit after taxes. Therefore, international operating income (after-tax) can be calculated as follows:

International Operating Income (after-tax) = Incremental Operating Profit × (1 - Tax Rate)= $3.6085 million × (1 - 0.4) = $2.1651 million

Therefore, based solely on the above financial consideration, it is recommended that management expand internationally as Littleton Inc can earn an incremental operating income of $2.1651 million by investing $18.405 million in additional NOA, thereby expanding its sales by $90 million.

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(a) How is a strategic move differentiated from a Nash
equilibrium? (b) What is a credible threat?

Answers

Strategic move, Nash equilibrium, and credible threat, they are related to the game theory.

A strategic move and a Nash equilibrium have differences as described below:

Strategic move: It refers to the decision or action taken by one player in a game theory to achieve the desired outcome. In other words, a strategic move is a premeditated action taken by one of the players in a game theory.

Nash Equilibrium: It refers to a stable outcome of a game where no player has an incentive to change their move or decision given the moves of other players. In other words, it is a condition where all players in a game theory are making optimal decisions based on the available information.Basically, a strategic move is made by a player to achieve the desired outcome and alter the game's results. On the other hand, Nash Equilibrium occurs when no player has an incentive to change the move. Nash Equilibrium is often viewed as an optimal solution to a game theory problem.

A credible threat refers to a threat made in a way that the party to which the warning is addressed perceives it as an actual threat. In other words, a credible threat is a warning or promise made by one party to another, which is backed up with the ability to carry out the threat or promise. A credible threat in game theory occurs when a player makes a move or takes an action that would hurt both parties if implemented. The primary objective of a credible threat is to create incentives for a party to choose the optimal outcome that is best for the other party.

Therefore, a credible threat in game theory is a commitment that is difficult or expensive to renege on that enables one player to achieve a better outcome in the game.

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You purchase a bond with a coupon rate of 7.1 percent and a clean price of $1,100. If the next semiannual coupon payment is due in five months, what is the invoice price? Assume a par value of $1,000.

Answers

The invoice price of a bond with a coupon rate of 7.1 percent and a clean price of $1,100, with the next semiannual coupon payment due in five months, is $1,114.78. the invoice price of the bond is $1,114.78.

Assuming a par value of $1,000, the annual coupon payment is 7.1% x $1,000 = $71. The semi-annual coupon payment is $71/2 = $35.50.The accrued interest for the bond can be calculated as follows: Accrued Interest = (Number of days since the last coupon payment / Number of days in a coupon period) x Coupon payment= (5/12) x $35.50= $14.79

Therefore, the invoice price of the bond can be calculated as follows: Invoice price = Clean price + Accrued interest= $1,100 + $14.79= $1,114.78Therefore, the invoice price of the bond is $1,114.78.

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Part 2: Question 1 (9 points) The production function of a good is given by: Q=K0.5 10.5 Where K is capital and L is labor. The wage rate of labor is denoted by w and the rental rate of capital is denoted by r. 1. Assume the wage rate is $2 and the capital rental rate is $1. Derive the short-run total cost function STC(Q) at K = 100. 2. Derive the equation of the short-run supply function in a perfect competition market. 3. Assume the output's unit price is $10. Find the optimal quantity which maximizes profit in the short-run.

Answers

1. STC(Q) = 2 * (100[tex]^{0.5}[/tex]) + 1 * (10.5) * Q[tex]^{0.5}[/tex].

2. QS = STC(Q) + VMC * Q.

3. Set MR = MC and solve for Q to find the optimal quantity.

1. The short-run total cost function, STC(Q), at K = 100 is STC(Q) = 2 * (100[tex]^{0.5}[/tex]) + 1 * (10.5) * Q[tex]^{0.5}[/tex].

In the given production function, Q represents the quantity of output, K represents the capital input, and L represents the labor input. The short-run total cost function represents the cost of producing a given quantity of output, considering the fixed input (capital) at a specific level (K = 100) and the variable input (labor) at the given wage rate ($2) and capital rental rate ($1). By plugging in the values into the production function, we can derive the short-run total cost function.

2. The equation of the short-run supply function in a perfect competition market is QS = STC(Q) + VMC * Q, where QS represents the quantity supplied, STC(Q) represents the short-run total cost function derived in part 1, and VMC represents the variable marginal cost.

In a perfect competition market, firms aim to maximize profit by equating their marginal cost to the market price. The short-run supply function represents the quantity that a firm is willing to supply at different price levels. It is derived by adding the short-run total cost function (STC(Q)) to the variable marginal cost (VMC) multiplied by the quantity (Q). The variable marginal cost represents the additional cost incurred for producing an additional unit of output.

3. To find the optimal quantity that maximizes profit in the short-run when the output's unit price is $10, we need to equate the marginal cost to the marginal revenue. MR = MC. From the production function, we can derive the marginal cost (MC) as MC = (w * 0.5 * K^(0.5-1)) + (r * 0.5 * Q[tex]^{-0.5}[/tex]). By setting MR equal to MC, we can solve for the optimal quantity (Q) that maximizes profit.

Maximizing profit requires balancing the additional revenue earned from selling an additional unit (marginal revenue, MR) with the additional cost incurred in producing that unit (marginal cost, MC). In the short-run, with a fixed level of capital (K), the marginal cost equation considers the variable inputs (labor) and the wage rate (w) and capital rental rate (r). By setting MR equal to MC and solving for Q, we can determine the optimal quantity that maximizes profit in the short-run.

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Kingdom Corporation has the following: Preferred stock, $10 par value, 8%, 50,000 shares issued $500,000 Common stock, $15 par value, 300,000 shares issued and outstanding $4,500,000 In 2020, The company declared and paid $30,000 of cash dividends. In 2021, The company declared and paid $150,000 of cash dividend. Required: How much is the TOTAL cash dividends that will be distributed to preferred and common stockholders over the two years, assu. Please DO NOT use the "$" and signs in you answer. For example, if the right answer is Preferred $10,000 and Common $15,0 10000 15000 Preferred Common

Answers

The total cash dividends distributed to preferred and common stockholders over the two years are:

Preferred stock: $80,000

Common stock: $180,000.

The total cash dividends that will be distributed to preferred and common stockholders over the two years can be calculated as follows:

Preferred stock:

The preferred stock has a par value of $10 per share and an 8% dividend rate. The number of shares issued is 50,000.

For 2020, the preferred stock dividend amount is calculated as:

$10 (par value) x 8% (dividend rate) x 50,000 (number of shares) = $40,000.

For 2021, the preferred stock dividend amount is also $40,000, as the number of shares and dividend rate remain the same.

Therefore, the total cash dividends distributed to preferred stockholders over the two years is:

$40,000 (2020) + $40,000 (2021) = $80,000.

Common stock:

The common stock has a par value of $15 per share, and there are 300,000 shares issued and outstanding.

For 2020, the common stock dividend amount is $30,000, as mentioned in the question.

For 2021, the common stock dividend amount is $150,000, as mentioned in the question.

Therefore, the total cash dividends distributed to common stockholders over the two years is:

$30,000 (2020) + $150,000 (2021) = $180,000.

In summary, the total cash dividends distributed to preferred and common stockholders over the two years are:

Preferred stock: $80,000

Common stock: $180,000.

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What is the difference between fixed and variable expenses?
(Explain with example)
Explain the Decision-making method (High and low Methods) with
examples.

Answers

Fixed expenses refer to expenses that do not change, regardless of the level of production or sales volume of a company. They remain constant and do not change. Examples of fixed expenses include rent, salaries, insurance, and property taxes.

Variable expenses, on the other hand, refer to expenses that are influenced by the level of production or sales volume of a company. Variable expenses increase or decrease depending on how much output or sales a company generates. Examples of variable expenses include raw materials, labor, and direct sales commissions. The higher the sales or production volume, the higher the variable expenses will be, and vice versa.

Decision-making method (High and low Methods):The high-low method is a tool that can be used to calculate the fixed and variable components of a mixed cost.

The high-low method entails identifying the highest and lowest activity levels and their corresponding expenses and then calculating the cost equation.

The steps involved in the high-low method are as follows:Step 1: Gather data for the relevant activity and cost levels. Step 2: Choose the highest and lowest activity levels.

Step 3: Calculate the variable cost per unit of activity. Step 4: Calculate the total fixed cost. Step 5: Formulate the cost equation.

The following is an example of the high-low method:Assume that the cost of producing 4,000 units is $90,000, while the cost of producing 8,000 units is $120,000. Determine the fixed and variable costs by using the high-low method.

Step 1: Gather data for the relevant activity and cost levels.Cost of producing 4,000 units = $90,000Cost of producing 8,000 units = $120,000

Step 2: Choose the highest and lowest activity levels.Highest activity level = 8,000 unitsLowest activity level = 4,000 units

Step 3: Calculate the variable cost per unit of activity.Variable cost = Change in cost/Change in activity= (120,000 – 90,000)/(8,000 – 4,000)= $7.50 per unit

Step 4: Calculate the total fixed cost.Fixed cost = Total cost – Total variable cost= $90,000 – ($7.50 * 4,000)= $60,000

Step 5: Formulate the cost equation.Total cost = Fixed cost + (Variable cost per unit x Number of units produced)Total cost = $60,000 + ($7.50 x Number of units produced)Hence, the cost equation is: Total cost = $60,000 + ($7.50 x Number of units produced)

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Required information Exercise 5-2 Prepare a Cost-Volume-Profit (CVP) Graph [LO5-2] [The following information applies to the questions displayed below.] Karlik Enterprises distributes a single product whose selling price is $27 per unit and whose variable expense is $22 per unit. The company's monthly fixed expense is $24,000. Exercise 5-2 Part 2 2. Calculate the company's break-even point in unit sales. Unit sales to break even units

Answers

The company's break-even point in unit sales is 4,800 units.

The Cost-Volume-Profit graph is used to display the relationship between cost, volume, and profit at various levels of activity.

Karlik Enterprises, a company that distributes a single product with a selling price of $27 per unit and a variable expense of $22 per unit, has a monthly fixed expense of $24,000.

Now, let's calculate the company's break-even point in unit sales.

Break-even point is the level of activity at which total revenue equals total cost, resulting in a zero profit or loss.

When Karlik Enterprise reaches the break-even point, it will be able to cover its variable and fixed costs.

The break-even point in unit sales can be determined using the following formula:

Fixed expenses ÷ Contribution margin per unit= Break-even point in units

Fixed expense of the company is $24,000

Contribution margin per unit

= Selling price per unit - Variable expenses per unit

= $27 - $22

= $5

Therefore,

Break-even point in units

= $24,000 ÷ $5

= 4,800 units

Therefore, the company's break-even point in unit sales is 4,800 units.

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The IS-LM model is considered. Autonomous consumption equals 100, autonomous investment equals 100, government spending equals 100, marginal propensity to consume equals 0.9, income tax rate equals 0.1, investment sensitivity parameter equals 10, autonomous speculative demand equals 200, speculative demand sensitivity parameter equals 4, transactions demand sensitivity parameter equals 1, precautionary demand equals 200, nominal money supply equals 500 and general level of prices equals 1. Using these values solve following problems: a) Find IS curve and interpret its slope b) Derive IS curve graphically c) Find LM curve and interpret its slope d) Derive LM curve graphically e) Find equilibrium income and equilibrium interest rate f) Present IS-LM model graphically and show how fiscal contraction affects economy.

Answers

a) The IS curve represents the equilibrium in the goods market and shows the relationship between the equilibrium level of income and the interest rate. To find the IS curve, we equate total spending (Y) to total output (Y) in the goods market.

Y = C + I + G

Substituting the given values:

Y = 100 + 100 + 100 + 0.9(Y - T) + 10rY = 300 + 0.9Y - 0.1Y + 10r0.2Y = 300 + 10r

The slope of the IS curve is determined by the coefficient of the interest rate (r), which is 10 in this case. This means that for every 1% increase in the interest rate, the equilibrium income decreases by 10 units.

b) Graphically, the IS curve represents the combinations of income (Y) and the interest rate (r) that satisfy the equilibrium condition in the goods market. It is downward sloping, indicating an inverse relationship between income and the interest rate.

c) The LM curve represents the equilibrium in the money market and shows the relationship between the interest rate and the level of real money supply (M/P). To find the LM curve, we equate the demand for real money balances (Md) to the supply of real money balances (M/P).

Md = L(Y, r) = kY - hr

Substituting the given values:

Md = 200 + 4Y - r

The slope of the LM curve is determined by the coefficient of the interest rate (r), which is -1 in this case. This means that for every 1% increase in the interest rate, the real money supply decreases by 1 unit.

d) Graphically, the LM curve represents the combinations of the interest rate (r) and income (Y) that satisfy the equilibrium condition in the money market. It is upward sloping, indicating a positive relationship between the interest rate and the level of real money supply.

e) To find the equilibrium income and interest rate, we need to find the intersection of the IS and LM curves. Equating the equations of the IS and LM curves:

300 + 10r = 200 + 4Y - r

Solving for Y, we get:

5Y = 100 + 11rY = (100 + 11r) / 5

Substituting this back into the IS equation, we can solve for the equilibrium interest rate (r).

f) The IS-LM model can be presented graphically by plotting the IS and LM curves on the same graph. The equilibrium income and interest rate are determined by the intersection of these two curves.

When there is a fiscal contraction, such as a decrease in government spending, the IS curve shifts inward. This leads to a decrease in the equilibrium income and a decrease in the equilibrium interest rate. The exact magnitude of the effects depends on the slopes of the IS and LM curves.

Please note that the numerical calculations and graphical representation can vary based on the specific values and equations used in the model.

About Substitution

Substitution is a method for finding integrals by substituting one of the variables and turning it into a simpler form.

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Which one of the following is a vendor transaction?
Pay bills
Make deposits
Sell products to customers
Receive customer payments

Answers

The correct option among the following options is (C) Sell products to customers.

A vendor transaction is a financial exchange that occurs between a company and a supplier, also known as a vendor. Companies pay vendors for goods and services provided, while vendors supply goods and services to companies. The accounting system should record vendor transactions in accounts payable, which is a liability account.

Pay Bills: Pay bills can be defined as a vendor transaction in which you pay vendors for products or services received. This vendor transaction falls into the account payable category. It is necessary to keep track of when bills are due to ensure on-time payment and avoid late fees.Make Deposits: Deposits may be made to your account by a customer or client. It's a type of transaction that falls into the category of cash inflow. Deposits are not vendor transactions because they are not payments to suppliers.Sell Products to Customers: Selling goods to customers is a vendor transaction. It's a cash inflow that reduces inventory and generates revenue. When a customer pays for a product, a vendor transaction occurs. The transaction should be entered into the system and recorded as revenue.Receive Customer Payments: Receiving customer payments is a cash inflow that reduces the accounts receivable account. When a vendor receives payment from a customer, a vendor transaction occurs. The transaction should be recorded in the system and applied to the appropriate customer account.

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