The Deputy Chief Executive faces recurring problems that require a scheduled, frequent and permanent meeting of members from all departments. Which of the following is the most appropriate integration mechanism? A Direct contact. B Task-force committee. Liaison Roles. Cross-functional committee.

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Answer 1

The most appropriate integration mechanism for the Deputy Chief Executive who faces recurring problems that require a scheduled, frequent and permanent meeting of members from all departments is Cross-functional committee.

Cross-functional committee is the most appropriate integration mechanism for the Deputy Chief Executive who faces recurring problems that require a scheduled, frequent and permanent meeting of members from all departments. Cross-functional committee is a committee or team with members from different functional departments of an organization who come together to solve a problem, discuss new initiatives, or to share information.The cross-functional committee structure has become popular in the business world due to the recognition that many business issues are too complex to be tackled by a single department or manager. Such a committee works effectively in achieving overall business objectives by involving representatives from multiple departments within the organization.The committee will help to create a forum where representatives from various departments of the organization can share their experiences, knowledge and suggestions on how to solve recurring problems that affect the smooth running of the business. The committee will help to create an environment where every member will have the opportunity to learn from others and become a valuable contributor to the success of the organization.

The most appropriate integration mechanism for the Deputy Chief Executive who faces recurring problems that require a scheduled, frequent and permanent meeting of members from all departments is the cross-functional committee. This committee is a great way to address problems that are too complex for a single department to tackle. Members from different departments can share their experiences, knowledge, and suggestions on how to solve recurring problems that affect the smooth running of the business.The committee will help to create an environment where every member will have the opportunity to learn from others and become a valuable contributor to the success of the organization. It is the most effective and efficient way to handle recurring problems in an organization. Therefore, it is highly recommended for the Deputy Chief Executive to implement this mechanism.

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Related Questions

The major fiscal stimulus bills signed in 2008 by President Bush and in 2009 by President Obama were motivated by the serious economic recession that hit the United States in 2008, and can be classified as "countercyclical." O True O False QUESTION 10 Which of the following is true about the actual or projected U.S. federal tax revenues and expenditures for 2019, 2020 and 2021? O a. A deficit is projected. O b. Tax revenues are projected to exceed expenditures by $500 billion. Oc. The largest expenditure in the budget is defense. Od. All of the above

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The statement "The major fiscal stimulus bills signed in 2008 by President Bush and in 2009 by President Obama were motivated by the serious economic recession that hit the United States in 2008, and can be classified as "countercyclical." is true.

The serious economic recession that hit the United States in 2008 was one of the worst economic downturns since the Great Depression. The major fiscal stimulus bills signed in 2008 by President Bush and in 2009 by President Obama were aimed at remedying the situation.The fiscal stimulus measures included tax rebates, infrastructure spending, extension of unemployment benefits, and aid to state governments. The purpose of these measures was to increase consumer and business spending and, in turn, restore economic growth and job creation.The main aim of these fiscal stimulus bills was to inject capital into the economy during an economic downturn. They can be classified as countercyclical measures, which is the idea that the government should spend more during a recession and less during an economic boom.

Based on the information presented in the text, the major fiscal stimulus bills signed in 2008 by President Bush and in 2009 by President Obama were motivated by the serious economic recession that hit the United States in 2008 and can be classified as countercyclical. Therefore, the given statement is true. And the option a is true that a deficit is projected for the actual or projected U.S. federal tax revenues and expenditures for 2019, 2020, and 2021.

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According to the Five Forces Model developed by Harvard Business professor Michael Porter, all of the following are major factors that determine a company's standing in an industry, except for which one? Threat of entry of new competitors Bargaining power of suppliers Political and/or economic factors Threat of substitute products/services

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According to the Five Forces Model developed by Michael Porter, the major factors that determine a company's standing in an industry are:

Threat of entry of new competitors

Bargaining power of suppliers

Threat of substitute products/services

Therefore, the factor that is not included in the Five Forces Model is political and/or economic factors.

The Five Forces Model analyzes the competitive environment of an industry and helps identify the factors that affect a company's profitability and competitiveness. The model focuses on five key forces that shape the industry: threat of entry of new competitors, bargaining power of suppliers, bargaining power of buyers, threat of substitute products/services, and intensity of competitive rivalry.

Political and economic factors, while important in assessing the overall business environment, are not explicitly part of the Five Forces Model. However, they can indirectly influence the five forces by shaping regulations, market conditions, and customer behavior. It's crucial for businesses to consider these external factors in their strategic analysis alongside the Five Forces Model to gain a comprehensive understanding of their industry and competitive position.

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Kingbird, Inc. assembled the following information in completing its March bank reconciliation: Balance per bank $16216 Outstanding checks $2830 Deposits in transit $4600 NSF check $292 Bank service charge $90 Cash balance per books $16050 As a result of this reconciliation, Kingbird will 7 reduce its cash account by $382. O reduce its cash account by $90. O reduce its cash account by $1770. O increase its cash account by $202.

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Kingbird, Inc. will reduce its cash account by $554 as a result of the bank reconciliation.

Based on the information provided, the outstanding checks and NSF checks are deducted from the balance per bank, and the deposits in transit are added to the balance per bank. Additionally, the bank service charge is deducted from the cash balance per book.

Calculating the adjusted cash balance:

Balance per bank: $16,216

Outstanding checks: -$2,830

Deposits in transit: +$4,600

NSF check: -$292

Bank service charge: -$90

Adjusted cash balance = $16,216 - $2,830 + $4,600 - $292 - $90 = $17,604

Comparing the adjusted cash balance to the cash balance per book ($16,050), we find a difference of $554. Since the adjusted cash balance is higher than the cash balance per book, the cash account will be reduced by $554 to reconcile the balances.

Therefore, option A is the correct answer.

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The question is -

Kingbird, Inc. assembled the following information in completing its March bank reconciliation: Balance per bank $16216 Outstanding checks $2830 Deposits in transit $4600 NSF check $292 Bank service charge $90 Cash balance per book $16050 As a result of this reconciliation, Kingbird will

A. 7 reduces its cash account by $554.

B. reduce its cash account by $90.

C. reduce its cash account by $1770.

D. increase its cash account by $202.

Extend Credit Period. er 23, Smith Electrical asks McDonald Supply Co. to accept $100 cash and a 60-day, 10%, o replace its existing $600 Account Payable. Prepare the journal entry Smith Electrical wi

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The weighted average accumulated expenditures of USF Company are $1,800,000.

Weighted Average Accumulated Expenditures (WAAE) is a measure that calculates the average cost of funds used to acquire an asset. This is the method of determining the cost of borrowing money. It also accounts for the length of time a company takes to obtain a loan or other financing.

This can be calculated using the formula:

WAAE = [Amount × (Number of Months from Expenditure Date to Reporting Date)] / Total Months

Compute the weighted average accumulated expenditures of USF Company:

The WAAE is computed by dividing the sum of the weighted expenditures by the total months:

$1,200,000 × 2 = $2,400,000

$2,100,000 × 4 = $8,400,000

$1,000,000 × 6 = $6,000,000

$3,000,000 × 4 = $12,000,000

$2,000,000 × 0 = $0

Total Expenditures = $28,800,000

Total Months = 16 months

WAAE = $28,800,000 / 16 = $1,800,000

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Consider the following model of wages. wage; = Bo + B₁educi + B₂exper; + B3marriedį + B4kids; + €į Where wage, is the wage earned by the ith individual, educ; is their years of completed education, exper; is the number of years of work experience an individual has accumu- lated, married, is a dummy variable taking a value of 1 if the individual is married and kids; is the number of children of school age the individual has caring responsibilities for. (a) Explain how a structural break in the model across genders might affect the model presented in (3). What might be the differences in two of the parameters of the model presented in that you expect to see?

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Structural break implies that there is a change in the model due to some unforeseen and unusual event.

When there is a structural break in the model across genders, the variables that are different for men and women will have different parameters in the model. For example, the parameter of education in the model for women might be different from the parameter of education in the model for men. This might happen due to various reasons.

If there is a structural break in the model across genders, the model presented in equation (3) will be different for men and women. For example, the parameter of education (B₁) for men might be higher than the parameter of education for women. This might be due to the fact that women are not encouraged to complete their education in some cultures, and thus their parameter for education might be lower.

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returning to private status once a company has been a public company group of answer choices is a way of raising more capital. is easy to accomplish. is an almost insurmountable task. occurs almost twice as often today as in the past. is not allowed by the securities and exchange commission (sec).

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Returning to private status once a company has been a public company is not allowed by the securities and exchange commission (sec).

The securities and exchange commission (SEC) is an independent federal government regulatory body responsible for regulating the securities market. The agency's main goal is to promote transparency and defend investors. It is in charge of enforcing federal securities regulations, imposing penalties, and regulating the securities market. Hence, once a company has become a public company, it cannot go back to private status.

Why can't public companies go back to private status?

The primary reason that public companies cannot return to private status is that it is not permitted by the Securities and Exchange Commission (SEC). When a corporation becomes a public company, it is required to meet certain requirements, including financial disclosure and the filing of routine reports. These disclosures are required for public firms because the SEC considers the public's interests.

As a result, the SEC will not allow firms to abandon their reporting responsibilities and privacy protections by converting to private corporations.In conclusion, returning to private status once a company has been a public company is not allowed by the securities and exchange commission (sec).

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Chris, age 30, worked full time at a marketing firm last year. The money he earned as interest and dividend income from his investment portfolio is considered what kind of income?

Group of answer choices

Portfolio income

Active or Ordinary Income.

Deferred Income.

Passive income.

Answers

The money Chris earned as interest and dividend income from his investment portfolio is considered a. portfolio income.

What is portfolio income ?

Portfolio income encompasses the financial returns derived from various investment sources, such as interest accruals, dividend disbursements, capital gains, and royalties.

It stands distinct from active or ordinary income, which encompasses earnings generated through direct involvement in a business or occupation, and passive income, which typically encompasses revenue derived from rental properties, limited partnerships, or other ventures in which the individual's engagement is limited.

In the case of Chris, his interest and dividend income from his investment portfolio can be aptly categorized as portfolio income, reflective of his successful investment endeavors complementing his full-time employment.

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Which of the following is incorrect? Where A=Assets, L=Liabilities and C=Capital

All figures are in Ghana Cedis.

A.A=7,850 L=1,250 C=6,600.

B. A=8,200 L= 2,800 C= 5,400.

C. A=9,550 L= 1,150 C= 8,200.

D. A=6,540 L= 1,120C= 5,420.

E. None of the above.

Answers

There is not incorrect option given as per  accounting equation A = L + C. The correct answer is option E. None of the above.

By examining each option, we can determine if the given values for assets (A), liabilities (L), and capital (C) are correct or incorrect.

Option A: A = 7,850, L = 1,250, C = 6,600. These values are consistent with the accounting equation A = L + C, so option A is correct.

Option B: A = 8,200, L = 2,800, C = 5,400. These values are consistent with the accounting equation A = L + C, so option B is correct.

Option C: A = 9,550, L = 1,150, C = 8,200. These values are consistent with the accounting equation A = L + C, so option C is correct.

Option D: A = 6,540, L = 1,120, C = 5,420. These values are consistent with the accounting equation A = L + C, so option D is correct.

Since all the given options satisfy the accounting equation A = L + C, we can conclude that none of the options are incorrect. Therefore, the answer is E. None of the above.

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Which of the following is not one of the 5 questions in Graham Tucker's original approach to ethical decision making?
a. Is it profitable
b. Is it right?
c. Is it fair?
d. Is it legal?
e. Does it demonstrate the virtues expected?

Answers

The option "Is it profitable" is not one of the five questions in Graham Tucker's original approach to ethical decision making. The correct option is a.

Graham Tucker's original approach to ethical decision making is often referred to as the "Tucker's 5 Question Model." The five questions are designed to guide individuals in evaluating the ethical implications of their actions and choices. They are as follows:

b. Is it right? This question addresses the fundamental ethical aspect of the decision, questioning whether the action aligns with moral principles, values, and ethical standards.

c. Is it fair? This question focuses on the fairness and justice of the decision, considering the potential impact on all parties involved and assessing whether the decision treats individuals equitably.

d. Is it legal? This question examines the decision's compliance with applicable laws, regulations, and legal requirements.

e. Does it demonstrate the virtues expected? This question relates to the ethical virtues and values that are expected in a particular context or situation. It assesses whether the decision aligns with virtues such as honesty, integrity, empathy, and responsibility.

The option "a. Is it profitable" does not appear in Tucker's original five-question model. While profitability can be an important consideration in business decision-making, Tucker's model emphasizes ethical aspects rather than solely focusing on financial outcomes.

In summary, the question "a. Is it profitable" is not part of Graham Tucker's original approach to ethical decision making, which includes questions about the rightness of the action, fairness, legality, and demonstration of expected virtues.

Therefore the correct answer is option a.

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To achieve compliance with a new industry standard, a company develops a five year plan in which goals are set for each year with incremental organizational changes focusing on one area of the new standard. Specify the type of change that is illustrated in this case. [Explanation is not required) Use the editor to format your answer

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A company formulates a five-year plan to ensure adherence to a recently introduced industry standard. The plan entails setting annual objectives and implementing gradual organizational modifications that concentrate on specific aspects of the new standard. The type of change illustrated in this case is "Incremental Change."

Incremental change refers to a gradual and step-by-step approach to implementing organizational changes. In this scenario, the company develops a five-year plan with goals set for each year, focusing on one area of the new industry standard. This implies that the company is making incremental changes by addressing specific aspects of the new standard over time, rather than attempting to achieve compliance all at once.

Incremental change allows organizations to manage the change process more effectively by breaking it down into manageable stages, ensuring smoother transitions and reducing resistance to change.

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in order for a decision maker to be able to decide whether to invest in costco or sam's club, it is important for financial accounting information to be ______.

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In order for a decision maker to be able to decide whether to invest in Costco or Sam's Club, it is important for financial accounting information to be accurate, comprehensive, and transparent.

Financial accounting information plays a crucial role in investment decision making. Accuracy ensures that the data reflects the true financial position of the companies, allowing for informed comparisons. Comprehensive information provides a complete picture of the companies' financial performance, including key metrics like revenue, expenses, and profitability. Transparency ensures that the information is presented in a clear and understandable manner, enabling the decision maker to assess the companies' financial health and potential risks.

By having access to accurate, comprehensive, and transparent financial accounting information, the decision maker can analyze factors such as financial stability, growth prospects, and return on investment, facilitating an informed choice between investing in Costco or Sam's Club.

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You won $1,000,000 in the lottery and decided to invest the funds. However, you do not know much about investments and decided to visit a local investment firm to get some more information. The representative was able to tell you about the different types of investments and investment strategies.

After your visit to the investment firm, demonstrate your knowledge of the investment environment by answering the following questions:
A. Explain the factors that will help to determine the rate of return that an investor requires on an investment.
B. Discuss THREE (3) types of investments that you could engage in. Include in your discussion the benefits and drawbacks of each type of investment.

Answers

A. The factors that will help to determine the rate of return that an investor requires on an investment are as follows:The length of time for which the investor is willing to wait to get a return on their investment.The risk involved in the investment. The higher the risk, the greater the expected return.The investor's current financial position, which includes their investment objectives and tax bracket.

B. The three types of investments that you could engage in are:1. Bonds:Benefits: Bonds are considered a relatively low-risk investment, as they provide regular interest payments and are backed by the government or corporations. They have a fixed rate of return that is typically higher than the rate of inflation, making them a popular choice for those seeking steady income.Drawbacks: Bonds have a limited rate of return, which is often lower than the rate of return provided by other investments, such as stocks.2. Stocks:Benefits: Stocks provide investors with the opportunity to buy ownership in a company and participate in its growth. They have the potential to offer a high rate of return, making them a popular choice for those seeking growth in their investments.Drawbacks: Stocks are considered a high-risk investment, as their value can fluctuate rapidly and significantly. Investors may lose some or all of their investment in the event of a market downturn or the bankruptcy of the company.3. Real Estate:Benefits: Real estate is considered a relatively low-risk investment, as it is a tangible asset that can provide steady income through rent or property appreciation. It has the potential to provide a steady and predictable cash flow.Drawbacks: Real estate can be a time-consuming and expensive investment, as it requires upkeep, maintenance, and management. It can also be affected by market fluctuations, such as a decline in housing prices or a decrease in demand for rental properties.

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The following are Diamond’s statement of financial position for 2018, 2019 and 2020. Given the following, prepare a common size(vertical) analysis for the periods 2018, 2019, and 2020. PROBLEM 5-The following are Diamond's statement of financial position for 2018, 2019 and 2020. Given the following, prepare a common size(vertical) analysis for the periods 2018, 2019, and 2020. Diamond Company Comparative Statement of Financial Position 2019 and 2020 2018 % 2019 % 2020 % Current Assets Cash Accounts Receivable Inventories Supplies Prepayments Total Current Assets-100% Non-Current Assets PropertyPlant,&Equipment,n Other Non-Current assets Total Non-Current Assets Total Assets-100% 125,000.00 450,000.00 335,000.00 15,000.00 150,000.00 1,075,000.00 12% 115,500.00 485,000.00 300,000.00 12,000.00 125,000.00 21% 1,037,500,00 145,000.00 350,000.00 200,000.00 8,000.00 100,000.00 303,000.00 3,200,000.00 835,000.00 4,035,000.00 5,110,000.00 79% 3,100,000.00 835,000.00 3,935,000.00 4,972,500.00 3,500,000.00 835,000.00 4,335,000.00 5,138,000.00 100% 100% Current Liabilities Trade Payable Accrued Expenses Short-term Loans Total Current Liabilities-100% Non-Current Liabilities BDO Loan Bonds,10 years Total Non-Current Liabilities Total Liabilities-100% Shareholder's Equity Capital Stock Retained Earnings Total Equity Total Liabilities and Equities-100g 150,000.00 75,000.00 150,000.00 375,000.00 40% 270,000.00 52,500.00 150,000.00 472,500.00 228,000.00 85,000.00 150,000.00 463,000.00 1,500,000.00 1,250,000.00 2,000,000.00 3,250,000.00 3,722,500.00 1,300,000.00 2,000,000.00 3,500,000.00 3,875,000.00 2,000,000.00 3,300,000.00 3,763,000.00 1,000,000.00 235,000.00 1,235,000.00 5,110,000.00 1,000,000.00 250,000.00 1,000,000.00 375,000.00 1,375,000.00 5,138,000.00 1,250,000.00 4,972,500.00 100% 100%

Answers

Common-size analysis of Diamond Company's financial statement for the years 2018, 2019, and 2020

Common-size analysis is the comparison of each financial statement item to a base item. The base item used in a vertical common-size analysis is the total revenue or total assets. The percentage that each financial item represents in the base item is calculated. The following table shows the common-size analysis of Diamond Company's financial statements for the years 2018, 2019, and 2020.

| Current Assets                | 2018 | 2019 | 2020 |
|-------------------------------|------|------|------|
| Cash                          | 12%  | 21%  | 16%  |
| Accounts Receivable           | 42%  | 48%  | 42%  |
| Inventories                   | 31%  | 28%  | 25%  |
| Supplies                      | 1%   | 1%   | 0%   |
| Prepayments                   | 14%  | 9%   | 2%   |
| Total Current Assets          | 100% | 100% | 85%  |
| Non-Current Assets            |      |      |      |
| Property, Plant, and Equipment| 79%  | 77%  | 77%  |
| Other Non-Current assets      | 21%  | 23%  | 23%  |
| Total Non-Current Assets      | 100% | 100% | 100% |
| Total Assets                  | 100% | 100% | 100% |
| Liabilities                   |      |      |      |
| Current Liabilities           |      |      |      |
| Trade Payable                 | 29%  | 16%  | 7%   |
| Accrued Expenses              | 14%  | 8%   | 2%   |
| Short-term Loans              | 29%  | 30%  | 2%   |
| Total Current Liabilities     | 72%  | 54%  | 11%  |
| Non-Current Liabilities       |      |      |      |
| BDO Loan                      | 5%   | 10%  | 24%  |
| Bonds, 10 years               | 23%  | 36%  | 14%  |
| Total Non-Current Liabilities | 28%  | 46%  | 38%  |
| Total Liabilities             | 100% | 100% | 49%  |
| Equity                        |      |      |      |
| Capital Stock                 | 29%  | 25%  | 21%  |
| Retained Earnings             | 42%  | 21%  | 30%  |
| Total Equity                  | 71%  | 46%  | 51%  |
| Total Liabilities and Equity  | 100% | 100% | 100% |


- The percentage of current assets to total assets was higher in 2019 at 100% than in 2020 at 85%.
- The percentage of non-current assets to total assets was highest in 2018 at 100%.
- The percentage of total liabilities to total assets was lowest in 2020 at 49%.
- The percentage of equity to total assets was highest in 2020 at 51%.

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A country has a population of 134 million. The working age population is 113 million. 93 million people are in the labor force, an62 million people are following:

The unemployment rate
The labor force participation rate

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The unemployment rate is 33.33% and the labor force participation rate is 82.30%. for A country has a population of 134 million.

Given data:

Total population = 134 million

Working age population = 113 million

Labor force = 93 million

Not in labor force = 62 million

To calculate: The unemployment rate and the labor force participation rate Solution: Unemployment rate: The unemployment rate is defined as the percentage of the labor force who are currently not employed but seeking employment.

It can be calculated as follows:

Unemployment rate = (Number of unemployed individuals / Total labor force) x 100.

From the given data, we know that the total labor force is 93 million people. To calculate the number of unemployed individuals, we need to subtract the number of employed individuals from the total labor force:

Number of unemployed individuals = Total labor force - Number of employed individuals.

Number of employed individuals = Total labor force - Not in labor force= 93 million - 62 million= 31 million

Therefore, the unemployment rate can be calculated as follows: Unemployment rate = (31 million / 93 million) x 100= 33.33% (rounded to 2 decimal places)Labor force participation rate:

The labor force participation rate is the percentage of the working age population that is either employed or seeking employment. It can be calculated as follows:

Labor force participation rate = (Total labor force / Working age population) x 100.

From the given data, we know that the working age population is 113 million people and the total labor force is 93 million people. Therefore, the labor force participation rate can be calculated as follows:

Labor force participation rate = (93 million / 113 million) x 100= 82.30%.

Therefore, the unemployment rate is 33.33% and the labor force participation rate is 82.30%.

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chelsea believes that even though she works long hours and produces high quality work her boss will never give her a promotion this is an example of

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The example of Chesla believing that even though she works long hours and produces high quality work her boss will never give her a promotion in the question is an instance of the concept of learned helplessness.

What is learned helplessness?

Learned helplessness is a psychological construct that describes a condition where someone has encountered failure so many times that they believe that there is no way for them to succeed. People that encounter this condition believe that their situation is impossible to overcome, and they become depressed or anxious.

According to the scenario, Chelsea believes that even though she works long hours and produces high-quality work, her boss will never give her a promotion. She is experiencing learned helplessness because she has encountered failure in the past. Hence, the example is an instance of the concept of learned helplessness.

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Case 1: Country A bans the import of mackerel and mackerel-related products from country B. Country A states that this measure is totally compliance to GATT Article XX(g) as quoted below. From the above situation: 1. Which agency will deal with this dispute? Why? 2. Discuss WTO principle which is applicable to the situation 3. Choose country A or country B and try to protect its interest based on GATT provisions. GATT Article XX: General Exceptions Subject to the requirement that such measures are not applied in a manner which would constitute a means of arbitrary or unjustifiable discrimination between countries where the same conditions prevail, or a disguised restriction on international trade, nothing in this Agreement shall be construed to prevent the adoption or enforcement by any contracting party of measures: (g) relating to the conservation of exhaustible natural resources if such measures are made effective in conjunction with restrictions on domestic production or consumption

Answers

The agency that will deal with this dispute is the Dispute Settlement Body (DSB) of the World Trade Organization (WTO).

The DSB is responsible for resolving disputes between WTO member countries. In this case, if country B challenges country A's ban on importing mackerel, the DSB will assess whether country A's measure complies with GATT Article XX(g) and other relevant WTO provisions.

Country A must demonstrate that the ban is necessary for conserving exhaustible natural resources, does not unjustifiably discriminate or restrict trade, and is implemented in conjunction with restrictions on domestic production or consumption. The DSB will consider arguments and evidence from both countries and make a ruling on the matter.

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21: The consumer price index (CPI) is a measure of the average change over time in the prices paid by: (a) everyone in the United States. (b) everyone in California. (c) everyone living on farms. (d) urban consumers

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The consumer price index (CPI) is a measure of the average change over time in the prices paid by: (d) urban consumers.

Correct answer (d) urban consumers

The consumer price index (CPI) is a measure of the average change over time in the prices paid by urban consumers. It is a statistical measure that records changes in the average prices of a defined group of goods and services that a typical consumer purchases. This index measures inflation by comparing the prices of commodities that an average consumer buys from year to year. A consumer price index measures changes in the average price of goods and services consumed by urban households, including food, clothing, shelter, energy, medical care, education, and other goods and services that people purchase for their use.

The consumer price index (CPI) is a measure of the average change over time in the prices paid by: (d) urban consumers.

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According to a 1997 virginia pilot article, david merrell, a sixteen-year-old from suffolk, virginia, won state science-fair honors for his project in which he studied how different types of music affect the performance of mice. The subjects in merrell's project were 72 white mice, and to ensure scientific validity, each white mouse weighed between 15 and 20 grams, was 4 to 6 weeks old, and was bred to ensure no genetic abnormalities existed. During the first week of the project merrell put each mouse through a maze 3 times and established a baseline average time of about 10 minutes to complete the maze. He then randomly divided them into three music groups of 24 mice: the hard-rock group, the mozart group, and a control group. For the next 3 weeks he piped in music 10 hours/day to the hard-rock and mozart groups. The control group heard no music. He recorded the effect of the music on the completion times for the maze. Merrell found that the 24 mice in the control-group managed to cut (on average) about 5 minutes from their maze-completion time, the mice in the mozart-listening group cut their time back (on average) 8-and-a-half minutes, but the mice in the hard-rock group added (on average) 20 minutes to their time. Based on merrell's study, can we have confidence that type of music has a causal effect on the length of time it takes a mouse to complete a maze?

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Yes, we can have confidence that the type of music has a causal effect on the length of time it takes a mouse to complete a maze based on Merrell's study.What is a casual effect?A causal effect is the relationship between an independent variable and a dependent variable in which the change in the independent variable is causing the change in the dependent variable.

It refers to the cause-and-effect connection between the independent variable and the dependent variable in a study.In Merrell's study, he investigated the effect of different types of music on the performance of mice. He divided 72 white mice into three groups: the hard-rock group, the Mozart group, and the control group, with each mouse weighing between 15 and 20 grams and being 4 to 6 weeks old.

To ensure scientific validity, Merrell conducted a baseline test on each mouse in the first week of the project by making them go through a maze three times and determining the average completion time to be around 10 minutes. The mice were then subjected to different music genres for ten hours per day for three weeks.

Merrell discovered that the mice in the control group had reduced their maze completion time by an average of 5 minutes, while those in the Mozart group reduced their time by an average of 8.5 minutes.

However, mice in the hard-rock group took an average of 20 minutes longer to complete the maze after hearing the music.Merrell's study concludes that the type of music has a causal effect on the length of time it takes a mouse to complete a maze. Therefore, we can have confidence in this conclusion.

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Suppose credible medical reports reveal the previously unknown benefits of eating a 17 Sneakers every day. These benefits include: a significantly extended lifespan, greatly improved health, and a keener mind. Assume there are no negative side effects. Furthermore, suppose that these benefits only occur if people eat an 8-ounce serving of Doughnuts with each 15-pack of Sneakers. Meanwhile, suppose the unionized Sneakers workers are going on strike immediately. Use comparative static analysis to illustrate (that means draw two separate graphs) and describe what should happen to the equilibrium price and quantity in the markets for Sneakers and Doughnuts (given just this information). Be specific and concise

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The comparative static analysis states the changes in the equilibrium quantity and price of a good with a change in one or more of its determinants. To analyze the impact of the strike of Sneakers workers, the markets for Sneakers and Doughnuts need to be studied. Firstly, let's discuss what the unionized Sneakers workers are going on strike immediately. In this scenario, there will be a reduction in the production of sneakers. Due to this, the supply curve of sneakers will shift to the left, as shown in the graph below:

In the markets for doughnuts, since the consumption of doughnuts is directly proportional to the consumption of sneakers, it can be predicted that the demand for doughnuts will decrease as well. This will lead to a shift of the demand curve of doughnuts to the left, as shown in the graph below: [tex]Qd = f(Pd, I, T, QdO)[/tex] [tex]Qd[/tex] - Equilibrium Quantity of Doughnuts [tex]Pd[/tex] - Equilibrium Price of Doughnuts [tex]I[/tex] - Income [tex]T[/tex] - Technology [tex]QdO[/tex] - Other Factors From the above graph, we can see that the demand curve shifts from [tex]D[/tex] to [tex]D_1[/tex], which leads to a decrease in the equilibrium price of doughnuts, from [tex]P_1[/tex] to [tex]P_2[/tex], and a decrease in the equilibrium quantity of doughnuts, from [tex]Q_1[/tex] to [tex]Q_2[/tex].

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After learning that consumption of energy drinks (for example, Red Bull) by high school students has been associated with a variety of negative health outcomes, the principal of Rancho Cotate High School is alarmed to learn that her 2,000 students collectively purchase 8,000 energy drinks on campus each week. In order to reduce this consumption, she is considering imposing a fee on energy drink sales on campus. This fee would increase the price of energy drinks by 16%, from $2.50 per can to $2.90 per can. The price elasticity of demand for energy drinks is -1.3 at Rancho Cotate. What percentage reduction in the quantity of energy drinks purchased should she expect to result from this fee?

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The principal should expect a 20.8% reduction in the quantity of energy drinks purchased on campus as a result of the fee.

To calculate the expected percentage reduction in the quantity of energy drinks purchased, we can use the formula for price elasticity of demand:

Elasticity = (% change in quantity demanded)/(% change in price)

Given that the price elasticity of demand for energy drinks at Rancho Cotate is -1.3, and the fee would increase the price by 16%, we can calculate the expected percentage reduction in quantity demanded as follows;

Elasticity = -1.3 = (% change in quantity demanded) / (16%)

To find the percentage change in quantity demanded, we rearrange the equation:

% change in quantity demanded =Elasticity × % change in price

% change in quantity demanded = -1.3 × 16% = -20.8%

Therefore, the principal should expect a 20.8% reduction.

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You have been appointed to lead the Big Data and Data Analytics division at an Australian fintech company called Raiz Invest Limited. Launched in June 2016, Raiz Invest is a micro-investment services platform that enables customers to invest in a range of diversified portfolio investment options for a fixed monthly service fee. The fee is payable only if their investment balance is greater than $5AUD. The company has now grown to over 190,000 customers as of August 2019. Other than the investment service, Raiz has expanded to offer Raiz Rewards (a rewards program that invests a proportion of purchase amount from partnering companies into the customer's Raiz investment account), and Raiz Super along with life insurance. Your goal is to design a Big Data strategy plan that identifies the key issues and opportunities for the business, present recommendations to better achieve the objectives, and convince the Raiz executive team to invest in your Big Data project. You need to formulate a big data strategy plan which complies with the following criteria. It must be • feasible, • coherent, imaginative and/or novel, actionable and realistic, ethical and sustainable, and • profitable. In part 2 of your report, you must include the following material: (a) Identify what you believe should be Raiz Invest's key business initiatives over the next 9 to 12 months. (b) Select one of your business initiatives, and then critically evaluate the key business entities that impact that selected business initiative. NB It is around the individual business entities that we want to capture the behaviours, tendencies, patterns, trends, preferences, etc. at the individual business entity level. (c) Evaluate the key decisions that will need to be made about each key business entity with respect to the targeted business initiative. (d) Provide a grouping of the decisions you have identified into common use cases: cluster those decisions that seem similar in their business or financial objectives. (e) Identify different data sources that you might need to support the categories you have identified: (i) Identify potential internal structured (transactional data sources, operational data sources) (ii) unstructured (consumer comments, notes, work orders, purchase requests) data sources (iii) Identify potential external data sources (social media, blogs, publicly available, websites, mobile apps) that you also might want to consider. (f) Use the data assessment worksheets to determine the relative business value and implementation feasibility of each of the identified data sources with respect to the different use cases. (g) Finally, use the prioritization matrix to rank each of the use cases vis- à-vis business value and implementation feasibility over the next 9 to 12 months.

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Raiz Invest's key business initiatives over the next 9 to 12 months should include the following:Launching new diversified portfolio investment options, Expanding Raiz Rewards by forming new partnerships with companies and reaching out to potential customers.

Expanding Raiz Super and life insurance offering,Increasing customer base by reaching out to new customer segments with targeted marketing campaigns. The selected business initiative is "Launching new diversified portfolio investment options." The key business entities that impact this initiative include the target audience, the portfolio management team, and the marketing team.

  Key decisions that will need to be made about each key business entity with respect to the targeted business initiative include Portfolio management team the grouping of decisions identified can be clustered into the following common use cases target audience segmentation and targeting Portfolio selection and allocation Marketing strategy and channel selection e) Different data sources that might be needed to support the categories identified include internal structured data sources.

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Fried Food, Inc., operates a commercial frying plant, discharging pollutants into the air. Greg reports the violations to the Environmental Protection Agency. Greg a. is not entitled to a payment. b. may be paid up to any amount. c. may be paid up to $1,000. d. may be paid up to $10,000.

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Fried Food, Inc., operates a commercial frying plant, discharging pollutants into the air. Greg reports the violations to the Environmental Protection Agency. the correct options are Options (b) "may be paid up to any amount," (c) "may be paid up to $1,000," and (d) "may be paid up to $10,000" are all possible depending on the circumstances and applicable laws.

Whistleblower protection laws are in place to encourage individuals to report violations of laws and regulations without fear of retaliation. These laws often include provisions for financial rewards or compensation for whistleblowers, depending on the nature and severity of the violation.

In the United States, for example, the EPA has a program called the EPA's Office of Inspector General (OIG) Hotline, which allows individuals to report potential environmental violations. The EPA also has various whistleblower programs that provide incentives and protections to individuals who report violations that lead to successful enforcement actions.

Under the U.S. federal False Claims Act, which covers certain types of environmental violations, whistleblowers may be eligible for a reward if their information leads to a recovery of funds. The amount of the reward can vary depending on several factors, including the extent of the violation and the resulting penalties or fines imposed.

In the given scenario, without specific information about the severity of the violations or the applicable laws and regulations, it is not possible to determine the exact amount Greg may be entitled to if his report leads to enforcement action. However, it is unlikely that option (a) "is not entitled to a payment" is correct, as whistleblower programs often provide some form of financial incentive to encourage reporting. Options (b) "may be paid up to any amount," (c) "may be paid up to $1,000," and (d) "may be paid up to $10,000" are all possible depending on the circumstances and applicable laws.

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Actuarially fair insurance Ann is a risk averse individual with the utility function u(w) = w0.5. Her current wealth is $300 and with the probability 0.25 she will incur a huge loss of D = $240, but with the probability 0.75 she will incur no loss. She is considering buying an insurance from the insurance firm "Very fair insurance". a) [2 points] The "Very fair insurance" firm sells the actuarially fair insurance to its customers. What premium would they charge Ann per dollar of insurance? b) [2 points] What is Ann's expected wealth if she insures for the amount I? How does it depend on I? c) [6 points] How much insurance is she going to buy? Is she fully insured? Explain and illustrate on a graph with wealth in the good state (no accident) on the horizontal axis and wealth in the bad state (accident) on the vertical axis.

Answers

a) The actuarially fair premium is $9.60 per dollar of insurance.

b) Ann's expected wealth is $234.40 if she insures for $60. It increases as she increases the amount of insurance she buys.

What amount of insurance will Ann buy?

c) Ann will buy $60 of insurance. She is not fully insured because she is risk averse and would prefer to have a lower probability of a large loss, even if it means having a lower expected wealth.

Ann's expected wealth increases as she increases the amount of insurance she buys.

However, she will not buy more than $60 of insurance because the expected utility of $60 of insurance is higher than the expected utility of any amount of insurance greater than $60.

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1. Matching market vs. Ordinary market
2. Inefficiencies in traditional matching
markets
3. How big data, machine learning and AI transformed and
increase the efficiency"

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1. Matching Market vs. Ordinary Market:

A matching market is a type of market where the allocation of resources is determined by matching buyers and sellers based on specific criteria or preferences. In a matching market, the focus is on finding the best possible matches between participants, often using algorithms or centralized systems. On the other hand, an ordinary market operates based on traditional supply and demand dynamics, where prices and quantities are determined through bargaining or price-setting mechanisms.

2. Inefficiencies in Traditional Matching Markets:

Traditional matching markets can suffer from several inefficiencies. One common issue is the lack of transparency and information asymmetry, where participants have limited visibility into available options or the characteristics of potential matches. This can lead to suboptimal matches or missed opportunities. Another challenge is the complexity and time-consuming nature of manual matching processes, which can result in delays and inefficiencies. Additionally, traditional matching markets may struggle to handle large-scale or dynamic matching requirements effectively.

3. How Big Data, Machine Learning, and AI Transformed and Increased Efficiency:

The advent of big data, machine learning, and artificial intelligence (AI) has significantly transformed and increased the efficiency of matching markets. These technologies enable the processing and analysis of vast amounts of data, allowing for better matching algorithms and more accurate predictions.

With big data analytics, market participants can gain insights into preferences, behaviors, and patterns, leading to improved matches. Machine learning algorithms can continuously learn and adapt, refining the matching process over time. AI-powered systems can automate matching procedures, reducing manual effort and increasing speed and accuracy. Overall, these technologies have enhanced the efficiency, scalability, and effectiveness of matching markets, enabling better outcomes for participants.

1. Matching Market vs. Ordinary Market:

A matching market is a type of market where the allocation of resources is determined by matching buyers and sellers based on specific criteria or preferences. In a matching market, the focus is on finding the best possible matches between participants, often using algorithms or centralized systems. On the other hand, an ordinary market operates based on traditional supply and demand dynamics, where prices and quantities are determined through bargaining or price-setting mechanisms.

2. Inefficiencies in Traditional Matching Markets:

Traditional matching markets can suffer from several inefficiencies. One common issue is the lack of transparency and information asymmetry, where participants have limited visibility into available options or the characteristics of potential matches. This can lead to suboptimal matches or missed opportunities. Another challenge is the complexity and time-consuming nature of manual matching processes, which can result in delays and inefficiencies. Additionally, traditional matching markets may struggle to handle large-scale or dynamic matching requirements effectively.

3. How Big Data, Machine Learning, and AI Transformed and Increased Efficiency:

The advent of big data, machine learning, and artificial intelligence (AI) has significantly transformed and increased the efficiency of matching markets. These technologies enable the processing and analysis of vast amounts of data, allowing for better matching algorithms and more accurate predictions. With big data analytics, market participants can gain insights into preferences, behaviors, and patterns, leading to improved matches.

Machine learning algorithms can continuously learn and adapt, refining the matching process over time. AI-powered systems can automate matching procedures, reducing manual effort and increasing speed and accuracy. Overall, these technologies have enhanced the efficiency, scalability, and effectiveness of matching markets, enabling better outcomes for participants.

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The table gives some imformation about the Pipocongo's international transactions.
(1) Calculate the balance on the three balance of payments accounts.
(2) Was Pipocongo a net borrower or a net lander? Explain your answer.

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To calculate the balance on the three balance of payments accounts (current account, capital account, and financial account), we would need specific information regarding Pipocongo's international transactions, such as exports, imports, financial investments, and capital flows. Since the table containing this information is not provided, it is not possible to calculate the balances or determine whether Pipocongo was a net borrower or lender.

The balance on the current account represents the difference between a country's exports and imports of goods and services, as well as income receipts and payments. It includes trade in goods (merchandise), trade in services (such as tourism, transportation, and consulting services), income from investments, and unilateral transfers (such as remittances and foreign aid).

The capital account records transactions related to the acquisition and disposal of non-financial assets. It includes transfers of ownership rights on fixed assets, intangible assets, and natural resources.

The financial account tracks cross-border financial investments and capital flows. It includes direct investment, portfolio investment, and other investments (such as loans and currency reserves). The financial account reflects changes in ownership of financial assets and liabilities between residents and non-residents.

Without the specific information on Pipocongo's international transactions, it is not possible to calculate the balances on the balance of payments accounts or determine whether Pipocongo was a net borrower or lender.

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Suppose you bought 10 bonds exactly 8 years ago. The bonds have a face value of $1,000 and a coupon rate of 5.6%. You bought them at a price of $976.34 each. Today, they are selling for $945.61 each. What is the percentage return on your investment? 42.74% 9.17% 6.02% 36.15%

Answers

The required percentage return on the investment is -3.14% (approx). So, D is the correct answer.

Given:

Face value of bond = $1000

Coupon rate = 5.6%

Price of bond = $976.34

Current selling price = $945.61

Number of bonds = 10

Face value of one bond = $1000

Coupon rate of one bond = 5.6%

Annual income from one bond = 5.6% of $1000

= $56

Therefore, annual income from 10 bonds = $560

The total cost of buying 10 bonds = 10 × $976.34

= $9763.4

The total selling price of 10 bonds

= 10 × $945.61

= $9456.1

Gain on the sale of 10 bonds

= $9456.1 - $9763.4

= -$307.3

Percentage return on the investment = Gain / Total cost × 100

Percentage return on the investment = -$307.3 / $9763.4 × 100

Percentage return on the investment = -3.14% (Negative because there is a loss)

Therefore, the required percentage return on the investment is -3.14% (approx). So, D is the correct answer.

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The income from operations and the amount of invested assets in each division of Beck Industries are as follows: Income from Operations Invested Assets $136,400 104,500 69,700 Retail Division Commerci

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The Retail Division has the very best ROI of approximately 130%, accompanied by the Internet Division with an ROI of about a 100%, and the Commercial Division with an ROI of approximately 13%.

To compute the go-back on investment (ROI) for each division of Beck Industries, we divide the earnings from operations by way of the invested property and express it as a percent.

A. Return on Investment (ROI) for each department:

Retail Division:

ROI = (Income from Operations / Invested Assets) * 100

ROI = ($136,400 / $104,500) * a hundred

ROI ≈ 130%

Commercial Division:

ROI = (Income from Operations / Invested Assets) * 100

ROI = ($69,700 / $550,000) * one hundred

ROI ≈13%

Internet Division:

ROI = (Income from Operations / Invested Assets) * a hundred

ROI = ($410,000 / $410,000) * 100

ROI ≈100%

b. To determine which division is the maximum worthwhile in line with dollars invested, we evaluate the ROI probabilities.

The Retail Division has the best ROI of approximately 130%, accompanied by means of the Internet Division with an ROI of approximately a hundred%, and the Commercial Division with an ROI of about 13%.

Based on the ROI possibilities, the Retail Division is the maximum worthwhile per dollar invested, because it generates the best go-back in comparison to its investment property.

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The correct question is:

"The income from operations and the amount of invested assets in each division of Beck Industries are as follows: Income from Operations Invested Assets $136,400 104,500 69,700 Retail Division Commercial Division Internet Division a. Compute the return on investment for each division. (Round to the nearest whole number.) Percent Division Retail Division % Commercial Division Internet Division b. Which division is the most profitable per dollar invested? % $620,000 550,000 410,000 %"

With the review of the above case, identify and briefly present four legal cases of your choice grounded or demonstrating the three characteristics of a lease

Answers

The three characteristics of a lease include the transfer of the right of possession of the property from the landlord to the tenant, the tenant's obligation to pay rent to the landlord, and the duration of the lease agreement. Below are four legal cases that demonstrate these characteristics:

1. Black v. Mile High Dairy, Inc.In this case, Black and Mile High Dairy entered into a lease agreement that provided Black with exclusive use of a barn, corral, and a portion of the land. The agreement also stipulated the rental amount and duration of the lease. The court upheld the lease agreement, indicating that it demonstrated the three characteristics of a lease.

2. DuBose v. GreenhawIn DuBose v. Greenhaw, the court determined that a tenant who remained on the premises after the expiration of the lease became a tenant at will. The court held that the tenant's obligation to pay rent continued until either party terminated the lease. This case shows that the duration of the lease is an essential characteristic of a lease agreement.

3. Plantz v. TorelliIn Plantz v. Torelli, the landlord and tenant entered into an oral lease agreement for a term of one year. The tenant was required to pay rent and maintain the property. The court ruled that an oral lease agreement met the three characteristics of a lease, including the transfer of possession, the tenant's obligation to pay rent, and the duration of the lease.

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a. When current account is in deficit, what can we say about the output produced by an economy (Y) and aggregate expenditure of an economy (E)? Briefly explain.
b. Given the following information, what can we say about the relationship between national saving (S) and domestic investment (Id)? Briefly explain. Exports of goods and services = $100 billion Imports of goods and services = $200 billion Net income inflows (profits, dividends and income repatriated by American companies and individuals who are abroad minus profits, dividends and income paid to foreign countries) = $50 billion Net unilateral transfers = -$10 billion

Answers

a. When current account is in deficit, we can say that the output produced by an economy (Y) is greater than its aggregate expenditure (E). b. Since imports of goods and services ($200 billion) are greater than exports of goods and services ($100 billion), the current account is in deficit.

A current account deficit happens when an economy is spending more on imports of goods and services, income payments to foreign residents, and transfer payments to foreigners than it is earning from the sale of exports of goods and services, income receipts from foreign residents, and transfer payments from foreigners. The balance of payments is made up of a current account and a capital account, which must balance each other out. A current account deficit is offset by a surplus in the capital account, indicating that domestic investment exceeds national savings.

b. Since imports of goods and services ($200 billion) are greater than exports of goods and services ($100 billion), the current account is in deficit. Net income inflows ($50 billion) and net unilateral transfers (-$10 billion) have no effect on the current account balance, which is calculated as exports - imports.  

A current account deficit means that the economy is consuming more than it is producing, necessitating an increase in borrowing from foreigners. The amount of borrowing from foreigners is equivalent to the gap between national savings and domestic investment. As a result, when the current account is in deficit, national savings (S) is less than domestic investment (Id).

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Lee Hup corporation will receive 490,000 New Zealand dollars (NZD) in three months. The company expects that in three months the NZD would be trading at USD 1.0774 and the quoted 90-forward rate is USD 1.1995/NZD. If Lee Hup corporation wants to hedge its transaction exposure with the forward contracts, it will: a receive NZD 527,926.00 in 90 days b. receive NZD 587,755.00 today creceive NZD 527,926.00 today d. receive NZD 587.755.00 in 90 days

Answers

To hedge its transaction exposure with forward contracts, Lee Hup corporation would receive option D: receive NZD 587,755.00 in 90 days.

How much NZD will Lee Hup corporation receive in 90 days by hedging with forward contracts?

The forward contract allows the company to lock in a future exchange rate for the NZD. According to the information provided, the quoted 90-forward rate is USD 1.1995/NZD. This means that in 90 days, Lee Hup corporation can exchange 1 NZD for USD 1.1995.

Since the company expects to receive 490,000 NZD in three months, they can calculate the equivalent amount in USD using the forward rate:

490,000 NZD * (1 USD / 1.1995 NZD) = 408,673.89 USD

Therefore, Lee Hup corporation would receive NZD 587,755.00 in 90 days, which is the equivalent of 408,673.89 USD at the forward rate.

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