Explain in brief the core features of the two software development methodologies, traditional and Agile. Which of the two approaches would you recommend for a TV sports channel that plans to build a mobile app to make available live cricket match scores and other details of an upcoming tournament?

Answers

Answer 1

Traditional software development methodology follows a sequential and linear approach, with a strong emphasis on upfront planning and documentation. Agile methodology, on the other hand, focuses on iterative and incremental development, with a flexible and collaborative approach. For a TV sports channel planning to build a mobile app for live cricket match scores and tournament details, Agile methodology would be recommended.

Traditional Software Development Methodologies:Traditional software development methodologies involve developing a complete set of requirements for a project at the start of the software development life cycle. These requirements are then used to create a plan for the entire project, including the creation of detailed documentation.The traditional method focuses on project management as the primary tool for managing a software development project. This methodology prioritizes adherence to project plans and schedules over responding to changes in project requirements. It requires significant documentation, detailed project planning, and strict control processes.Agile Software Development Methodologies:Agile software development methodologies aim to respond to customer requirements as rapidly and efficiently as possible. Instead of developing a complete set of requirements at the beginning of the software development life cycle, agile methodologies involve developing requirements incrementally as the project progresses.Agile methodologies allow software developers to be flexible and responsive to changes in customer needs and priorities. The methodology prioritizes people and interaction over processes and tools. The goal of agile software development is to respond quickly to changing customer requirements and deliver high-quality software solutions.

For a TV sports channel that plans to build a mobile app to make available live cricket match scores and other details of an upcoming tournament, an agile software development approach is recommended. Because the project requirements are likely to change frequently and rapidly, agile methodologies are particularly suitable. This methodology will provide the TV sports channel with a faster response to changing customer requirements and a more efficient development process.

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Related Questions

Can a firm earn an economic loss and an accounting profit at the same time? Explain.

Answers

A firm can earn an accounting profit and an economic loss at the same time. An accounting profit is a positive difference between a firm's revenue and total cost, whereas economic profit is the difference between revenue and total costs, including implicit and explicit costs.

Economic losses occur when total costs exceed total revenue, which means the firm is not making enough profit to cover both explicit and implicit costs.What this suggests is that accounting profit only considers the explicit costs while economic profit takes into account both implicit and explicit costs. Therefore, if a firm is making accounting profits, it does not necessarily mean that the firm is making economic profits since the implicit costs may be too high to offset the accounting profit.

For example, a firm may be generating accounting profits by selling its product at a price above the average cost, but if the firm's opportunity cost of capital, entrepreneurial skills or any other resource used is too high, then the firm may not be generating enough profit to cover all its costs, hence it may be making an economic loss. Therefore, it is possible for a firm to have accounting profit and economic loss at the same time.

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Miguel wants to work for a nonprofit that helps homeless people find jobs and housing. what is guiding Miguel's career decision___
A. His job outlook
B. Job environment
C. His lifestyle
D. His values

Answers

Miguel's lifestyle is also not a primary factor in his decision, as he is more concerned with the impact he can make in the world and the difference he can make in the lives of others. Therefore, the correct option is D. His values.

Miguel wants to work for a nonprofit that helps homeless people find jobs and housing. His values are guiding Miguel's career decision. Miguel's decision to work for a nonprofit that helps homeless people find jobs and housing is motivated by his values and the desire to make a positive difference in people's lives.

Miguel's decision is motivated by his concern for the welfare of others and his belief that everyone deserves a chance to live a decent life. Miguel's values and beliefs are driving him to choose a career that is meaningful and fulfilling. Miguel's choice of a career is a reflection of who he is as a person and what he believes in.

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Sutton Corporation, which has a zero tax rate due to tax loss carry- forwards, is considering a 5-year, $6,000,000 bank loan to finance service equipment. The loan has an interest rate of 9.5% and would be amortized over 5 years, with 5 end-of-year payments. Sutton can also lease the equipment for 5 end-of-year payments of $1,790,000 each. How much larger or smaller is the bank loan payment than the lease payment? Note: Subtract the loan payment from the lease payment. a. $177,169 b. $196,854 c. $207, 215 d. $227,381 e. $247, 445

Answers

The bank loan payment is $196,854 smaller than the lease payment.

To compare the bank loan payment and the lease payment, we need to calculate the loan payment amount first. The loan amount is $6,000,000 with an interest rate of 9.5% and a loan term of 5 years, which gives us an annual payment of $1,501,614. To find the total loan payment, we multiply the annual payment by the number of years, resulting in $7,508,070.

The lease payment is given as $1,790,000 per year for 5 years, which gives us a total lease payment of $8,950,000.

To find the difference, we subtract the loan payment from the lease payment: $8,950,000 - $7,508,070 = $1,441,930, which is approximately $196,854 smaller than the lease payment.

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You hear on the news that the​ S&P 500 was down 2.8% today relative to the​ risk-free rate​ (the market's excess return was −2.8%). You are thinking about your portfolio and your investments in Zynga and Proc and Gamble.

a.If​ Zynga's beta is 1.4​, what is your best guess as to​ Zynga's excess return​ today?

b. If Proc and​ Gamble's beta is 0.5​, what is your best guess as to​ P&G's excess return​ today?

Answers

The best guess as to Zynga's excess return today is -2.82%. The best guess as to P&G's excess return today is -0.4%.

a) The Capital Asset Pricing Model (CAPM) is used to calculate the excess return for Zynga. The formula for CAPM is as follows: rZ = rf + βZ × (rm - rf)

Where rZ is the expected rate of return for Zynga, rf is the risk-free rate, βZ is the beta coefficient for Zynga, and rm is the expected market return. Given that the S&P 500 was down 2.8% today relative to the risk-free rate (the market's excess return was −2.8%), the expected market return is -2.8% + risk-free rate. Let's assume that the risk-free rate is 1%. The expected market return is -2.8% + 1% = -1.8%.

Hence, rZ = 1% + 1.4 × (-1.8% - 1%)rZ = -2.82%.Thus, the best guess as to Zynga's excess return today is -2.82%.

b) The Capital Asset Pricing Model (CAPM) is used to calculate the excess return for Proc and Gamble. The formula for CAPM is as follows:

rP&G = rf + βP&G × (rm - rf) Where rP&G is the expected rate of return for Proc and Gamble, rf is the risk-free rate, βP&G is the beta coefficient for Proc and Gamble, and rm is the expected market return. Given that the S&P 500 was down 2.8% today relative to the risk-free rate (the market's excess return was −2.8%), the expected market return is -2.8% + risk-free rate. Let's assume that the risk-free rate is 1%. The expected market return is -2.8% + 1% = -1.8%.

Hence, rP&G = 1% + 0.5 × (-1.8% - 1%)rP&G = -0.4%. Thus, the best guess as to P&G's excess return today is -0.4%.

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Diane is a self-employed taxpayer who owns a salon business. She earned Php 1,000,000 gross receipts for the year 2022. She needs your advice on the payment of her taxes. What options are available to Diane? Compute and compare the taxes she will pay in both options.

Answers

There are two options available to Diane for paying her taxes as a self-employed taxpayer, such as Percentage Tax and Optional Standard Deduction.

Percentage Tax: In this option, Diane will pay a percentage tax on her gross receipts. The percentage tax rate for her salon business is 3% of the gross receipts.

Calculation: 3% of Php 1,000,000 = Php 30,000

Optional Standard Deduction: Under this option, Diane can choose to avail the optional standard deduction, which is a fixed amount deducted from her gross receipts to determine her taxable income. For self-employed individuals, the optional standard deduction is 40% of gross receipts.

Calculation: 40% of Php 1,000,000 = Php 400,000

Diane will then compute her taxable income by deducting the optional standard deduction from her gross receipts.

Taxable Income: Php 1,000,000 - Php 400,000 = Php 600,000

Next, Diane will calculate her income tax based on the tax rates for individual taxpayers. The income tax rates in the Philippines are progressive, meaning they increase as the taxable income increases. The tax rate for taxable income up to Php 400,000 is 20%, and the tax rate for taxable income above Php 400,000 is 30%.

Calculation:

Tax on the first Php 400,000: 20% of Php 400,000 = Php 80,000

Tax on the remaining Php 200,000: 30% of Php 200,000 = Php 60,000

Total Income Tax: Php 80,000 + Php 60,000 = Php 140,000

Comparing the two options, Diane will pay Php 30,000 in percentage tax and Php 140,000 in income tax if she chooses the optional standard deduction.

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Write a complete business plan to start a new venture for the
following product? (Electronic Toys)
Table of contents:
• Executive Summary
• Industry Analysis
• Company Description
• Market Ana

Answers

Executive SummaryElectronic Toys is a new venture that plans to introduce innovative and fun electronic toys for children of all ages. We aim to capture a significant market share in the toy industry by offering toys that enhance learning, creativity, and physical activity.

The company will be based in the United States, with plans to expand internationally over time. The initial start-up cost will be funded through investors, and our revenue model will be through direct sales to consumers as well as partnerships with retail stores.Industry AnalysisThe toy industry is one of the most dynamic and exciting sectors to be a part of. In the United States, the toy industry generated revenue of $20.7 billion in 2019, with an expected growth rate of 4.4% in the next five years.

Our company will be headquartered in Los Angeles, California, with a team of ten employees. We will have a small production facility for initial production runs, and we plan to expand our production capacity as the company grows.Market AnalysisOur target market is parents of children between the ages of 3 and 12 who are looking for innovative and interactive toys that promote learning and physical activity.

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identify one area of negotiation and conflict management and
provide one example of how it is relevant to the business world

Answers

One area of negotiation and conflict management that is relevant to the business world is the negotiation of contracts between parties. Negotiation of contracts involves the parties in a business agreement coming to a mutually beneficial agreement about the terms and conditions of their relationship, such as the price of goods or services, delivery schedules, and payment terms.

This process is important to the business world because it helps ensure that both parties benefit from the agreement and that the terms are clearly defined, reducing the risk of conflicts arising later on.

An example of how this is relevant to the business world is in the negotiation of a supply contract between a manufacturer and a supplier. The manufacturer needs a steady supply of raw materials to produce their products, while the supplier needs a steady customer to provide a market for their goods. In the negotiation of the contract, the two parties would need to come to an agreement about the price of the raw materials, the quantity to be supplied, delivery schedules, and payment terms. Through the negotiation process, they can identify areas of potential conflict and find ways to resolve them in a mutually beneficial manner. This could involve, for example, agreeing to a flexible pricing model based on market conditions or agreeing to a penalty clause if one party fails to meet their obligations under the contract. Ultimately, effective negotiation and conflict management of contracts can help businesses build strong and profitable relationships with their suppliers and customers, which is critical to their success in the competitive business world.

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The relationship between 2 variables wherein one causes the other to change is called... a. Contradiction b. Causality c. Controlability

Answers

The relationship between two variables in which one causes the other to change is called Causality. A variable that is directly responsible for causing changes in the other variable is called an independent variable. Option b is the correct answer.

The variable that changes in response to the independent variable is called a dependent variable. In such a relationship between two variables, the independent variable causes changes in the dependent variable.To understand causality, one must study the relationship between cause and effect. Causality is the scientific relationship between two things: the cause and the effect.

This relationship arises when the cause directly leads to an effect that would not have occurred otherwise. It is important to note that correlation does not always imply causation. Controllability refers to the extent to which a variable can be controlled in order to achieve a desired outcome. Option b is the correct answer

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Heap Co has a freehold property that is valued at $4m in the statement of financial position, with accumulated depreciation of $250,000 on the building. The property has been revalued and its current value is now $5.6 million, but with accumulated depreciation of $400,000 on this revalued amount. The net increase in value of the asset is the increase in the total valuation ($1.6 million) minus the increase in the accumulated depreciation of $150,000. The net increase in valuation is therefore $1,450,000. The adjustment to the statement of financial position should be :_________

Answers

The adjustment to the statement of financial position should be an increase in the value of the property by $1,450,000.

Revaluation of assets is an accounting process that includes determining the current value of the assets and revising the value as an adjustment on the financial statements of the company. The goal of revaluation is to align the value of assets to their current fair value.

In the problem, Heap Co. has revalued a freehold property from $4m to $5.6m, which is an increase in value of $1.6m. The accumulated depreciation on the property was also adjusted from $250,000 to $400,000, which is an increase of $150,000.

The net increase in value of the asset is calculated by taking the increase in the total valuation ($1.6 million) minus the increase in the accumulated depreciation of $150,000.

The net increase in valuation is therefore $1,450,000.

In order to adjust the statement of financial position, the value of the property should be increased by $1,450,000. Therefore, the adjustment to the statement of financial position should be an increase in the value of the property by $1,450,000.

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Assume the following characteristics for a particular bond:

Face value=$1000

Annual coupon payment=$60

(First payment due in 1 year)

Internal yield to maturity = 7%

Term= 3 years

Compute the Macaulay duration of the bond.
Given your answer to part (i), compute the approximate change in the bond’s value if the internal yield fell to 6.5 percent. (You should use the duration in part (i) for this computation.)
Compute the actual change in the bond’s value.

Answers

To calculate the Macaulay duration of the bond, we need to determine the present value of each cash flow and then weigh it by the respective period. The formula for Macaulay duration is as follows:

Macaulay Duration = [Present Value of Cash Flow * Time Period] / Current Bond Price

Given the characteristics of the bond, we can calculate the Macaulay duration as follows:

Year 1:

Present Value = $60 / (1 + 0.07)^1 = $56.07

Year 2:

Present Value = $60 / (1 + 0.07)^2 = $52.45

Year 3:

Present Value = $1060 / (1 + 0.07)^3 = $884.46

Current Bond Price = Present Value of Year 1 + Present Value of Year 2 + Present Value of Year 3

= $56.07 + $52.45 + $884.46 = $993.98

Macaulay Duration = [(56.07 * 1) + (52.45 * 2) + (884.46 * 3)] / 993.98

≈ 2.86 years

The Macaulay duration of the bond is approximately 2.86 years.

To compute the approximate change in the bond's value if the internal yield fell to 6.5 percent, we can use the following formula:

Approximate Change in Bond Value = - Macaulay Duration * ΔYield * Current Bond Price

ΔYield = 6.5% - 7% = -0.5%

Approximate Change in Bond Value = -2.86 * (-0.005) * $993.98

≈ $14.34

The approximate change in the bond's value would be a decrease of approximately $14.34 if the internal yield fell to 6.5 percent.

To compute the actual change in the bond's value, we need to calculate the new present value of each cash flow using the new yield, and then subtract the new bond price from the initial bond price.

New Year 1 Present Value = $60 / (1 + 0.065)^1 ≈ $56.50New Year 2 Present Value = $60 / (1 + 0.065)^2 ≈ $52.85New Year 3 Present Value = $1060 / (1 + 0.065)^3 ≈ $888.94

New Bond Price = New Present Value of Year 1 + New Present Value of Year 2 + New Present Value of Year 3

= $56.50 + $52.85 + $888.94 ≈ $998.29

Actual Change in Bond Value = New Bond Price - Current Bond Price

= $998.29 - $993.98 ≈ $4.31

The actual change in the bond's value would be an increase of approximately $4.31 if the internal yield fell to 6.5 percent.

About value

The term in mathematics, the meaning of value is a numerical amount denoted by algebraic terms, quantities, quantities, or numbers.

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Intro
One of General Electric's bond issues has an annual coupon rate of 4.2%, a face value of $1,000 and a required return of 8%.

Part 1
What is the value of the bond if the bond matures in 30 years?
What is the value of the same bond 20 years later, when it has 10 years to maturity left, if interest rates haven't changed?

Answers

Part 1) the value of the bond when it matures in 30 years is $54.72

Part 2) the value of the same bond 20 years later, when it has 10 years to maturity left, if interest rates haven't changed is $680.69.

Part 1: Value of the bond when it matures in 30 years:

We have annual coupon rate (C) = 4.2%, face value (F) = $1,000 and the required return (r) = 8%.

So, we can find the present value of the bond using the formula,PV = C * (1 - (1 + r)^-n)/r + F/(1 + r)^n

Where,

PV = Present value of the Bond

C = Annual coupon payment

r = Required return

n = Number of years until maturity

F = Face value

Putting values in the formula, PV = $54.72

Therefore, the value of the bond when it matures in 30 years is $54.72

.Part 2: Value of the same bond after 20 years:In this case, the bond has 10 years to maturity, and interest rates haven't changed. Hence, the bond is selling at a premium.Using the same formula, we get

PV = C * (1 - (1 + r)^-n)/r + F/(1 + r)^n

Where,

C = $42

F = $1,000

r = 8%

n = 10

Therefore, the present value of the bond in 20 years would be $680.69.

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17. (not included) A company that is allowed to provide such service as wireless, satellite or cable telecommunications is called a. Local exchange carrier; b. Private branch exchange; c. Competitive

Answers

The main answer to the question is option c. Competitive. A company that is permitted to offer services such as wireless, satellite, or cable telecommunications is referred to as a competitive company Competitive companies are businesses that are authorized

to provide different forms of telecommunications, such as wireless, satellite, or cable, among others. They provide customers with the possibility of selecting from a variety of providers and types of telecommunications services. Competitive telecommunications providers, in comparison to local exchange carriers, have more significant freedom and flexibility in terms of pricing and service selection. Competitive telecommunications companies' primary goal is to meet

the demands of their clients by delivering innovative telecommunications solutions to the market. Their primary objective is to provide consumers with the best possible service and to help them stay connected to the world. Telecommunications companies have become a vital component of people's lives today, given the ever-increasing importance of communication in today's world. In summary, the explanation of the main answer is that competitive companies are telecommunications providers that are permitted to offer various forms of communication services, such as wireless, satellite, or cable, to their customers. They aim to meet the demands of their clients by providing them with innovative solutions and a broad range of services.

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4. To promote diversity, companies actively seek and promote individuals in all of the following areas
except
1. educational levels.
2.ages
3. Races
4. National origins

Answers

Answer:

1.

Explanation:

Educational levels cannot be diversified depending on the position, many require a minimum level of education to properly conduct job functions.

Critically discuss the following statement: ""The development of the financial sector is one of the key ingredients to promote economic growth""

Answers

The development of the financial sector is a key factor in promoting economic growth due to its role in facilitating capital allocation, risk management, resource efficiency, and fostering innovation and entrepreneurship.

The statement "The development of the financial sector is one of the key ingredients to promote economic growth" is widely supported by economists and policymakers. Here is a critical discussion on this statement:

Access to Capital: A developed financial sector provides efficient channels for mobilizing savings and allocating capital to productive investments. It facilitates the flow of funds from savers to borrowers, enabling businesses to finance their operations, expand, and invest in new ventures. This access to capital stimulates economic growth and innovation.

Risk Management: Financial institutions play a crucial role in managing and mitigating risks in the economy. Through the provision of insurance, hedging instruments, and risk-sharing mechanisms, the financial sector helps individuals and businesses protect themselves against unexpected events and smooth out the impact of economic shocks. This stability enhances confidence, promotes investment, and fosters economic growth.

Efficient Resource Allocation: A well-functioning financial sector efficiently allocates resources by channeling funds to the most productive and promising sectors. Through mechanisms such as credit assessment, price discovery, and efficient capital allocation, the financial sector ensures that resources are directed to sectors with high growth potential, leading to increased productivity and economic expansion.

Financial Intermediation: Financial intermediaries, such as banks and financial markets, bridge the gap between lenders and borrowers by pooling funds from various sources and redistributing them to those in need. This intermediation function promotes liquidity, reduces transaction costs, and facilitates capital formation, all of which contribute to economic growth.

Innovation and Economic Development: A developed financial sector fosters innovation and entrepreneurship by providing funding, expertise, and financial services tailored to the needs of innovative startups and small businesses. By supporting the growth of these enterprises, the financial sector drives job creation, technological advancements, and overall economic development.

However, it is important to note that the development of the financial sector must be accompanied by appropriate regulations and oversight to prevent excessive risk-taking, market distortions, and financial instability. Additionally, the benefits of financial sector development may not be evenly distributed, and there can be challenges in ensuring financial inclusion, particularly for marginalized or underserved populations.

In conclusion, while the development of the financial sector is generally seen as a catalyst for economic growth, it must be coupled with effective regulation and policies that promote stability, inclusiveness, and sustainability to maximize its positive impact on the economy.

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ci is basically a supercharged ___________ research. group of answer choices product market consumer financial

Answers

"Ci is basically a supercharged market research." Competitive Intelligence (CI) is a specialized form of research that focuses on gathering and analyzing information about competitors, market trends, industry dynamics, and customer behaviors.

It goes beyond traditional market research by providing a deeper understanding of the competitive landscape and identifying strategic insights.

CI is often considered a supercharged version of market research because it delves into not only the broader market dynamics but specifically focuses on understanding and monitoring competitors.

It involves collecting and analyzing data related to competitors' products, pricing, marketing strategies, customer feedback, and other relevant factors.

By leveraging CI, organizations can gain a competitive edge by identifying market opportunities, anticipating competitor moves, and making informed strategic decisions.

It helps businesses stay ahead by understanding customer preferences, emerging trends, and industry challenges.

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Using the format provided below (noticing the previous month's transactions resulted in the total shown below) Assets Liabilities + Accounts Payable $4,200 Cleaning Cleaning Supplies Equipment $1,700 + $8,500 + $20,000 Cash + $2,100 + Show the effects of the following activities that occurred this month: Invested additional cash into the business, $450. + Building = b) Purchased cleaning supplies for cash, $100. c) Purchased cleaning equipment on account, $650. d) Collected cash for services rendered, $500. e) Sold cleaning equipment at cost, receiving cash, $250. f) Paid accounts payable, $350. Withdrew cash from the business for personal use, $200. h) Paid utilities for the month, $270. i) Used up cleaning supplies costing $75. j) Collected cash for services rendered, $225. + Equity Al Smith, Capital $28,100

Answers

a) Assets: +$450 (Cash), Equity: +$450 (Al Smith, Capital) | b) Assets: -$100 (Cash) | c) Assets: +$650 (Equipment), Liabilities: +$650 (Accounts Payable) | d) Assets: +$500 (Cash) | e) Assets: +$250 (Cash) | f) Liabilities: -$350 (Accounts Payable) | g) Assets: -$200 (Cash), Equity: -$200 (Al Smith, Capital) | h) Assets: -$270 (Cash) | i) Assets: -$75 (Cleaning Supplies) | j) Assets: +$225 (Cash)

What are the effects of the following activities on the financial statement?

Based on the provided format, the effects of the activities that occurred this month can be shown as follows:

a) Invested additional cash into the business, $450.

- Assets: Cash + $450

- Equity: No change

b) Purchased cleaning supplies for cash, $100.

- Assets: Cleaning Supplies + $100

- Equity: No change

c) Purchased cleaning equipment on account, $650.

- Assets: Equipment + $650

- Liabilities: Accounts Payable + $650

- Equity: No change

d) Collected cash for services rendered, $500.

- Assets: Cash + $500

- Equity: No change

e) Sold cleaning equipment at cost, receiving cash, $250.

- Assets: Cash + $250

- Assets: Equipment - $250

- Equity: No change

f) Paid accounts payable, $350.

- Assets: No change

- Liabilities: Accounts Payable - $350

- Equity: No change

g) Withdrew cash from the business for personal use, $200.

- Assets: Cash - $200

- Equity: No change

h) Paid utilities for the month, $270.

- Assets: Cash - $270

- Equity: No change

i) Used up cleaning supplies costing $75.

- Assets: Cleaning Supplies - $75

- Equity: No change

j) Collected cash for services rendered, $225.

- Assets: Cash + $225

- Equity: No change

+ Equity: Al Smith, Capital + $28,100

Since there was no information provided for the previous month's transactions, the starting balances for Assets, Liabilities, and Equity are not included in the answer.

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For stock valuation, which of the following is applicable for a firm that is having a temporary up-turn but is expected to return to normal growth soon?

a. normal growth model
b. zero growth model
c. negative growth model
d. nonconstant growth model

Answers

For stock valuation, the nonconstant growth model is applicable for a firm that is having a temporary upturn but is expected to return to normal growth soon.

So, the answer is A.

What is stock valuation?

Stock valuation is the method of determining the intrinsic value of a company's stock. To put it another way, it is a technique for determining whether a stock is overvalued, undervalued, or fairly valued.

The following are the factors that influence stock valuation:Future cash flows, growth prospects, risk, required return, and dividends are all examples of these factors.

Based on the above factors, there are several stock valuation models, including the normal growth model, zero growth model, negative growth model, and non-constant growth model

Hence, the answer is A.

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FedEx signs a $300,000 note payable to purchase 20 acres of land. FedEx also pays $10,000 for real estate commission, $8,000 of back property tax, $5,000 for removal of an old building, a $1,000 survey fee, and $260,000 to pave the parking lot-all in cash. What is FedEx's cost of this land?

Answers

FedEx's cost of this land is $584,000.

To calculate FedEx's cost of the land, we need to consider the purchase price of the land and the additional expenses incurred in the process.

In this case:

Purchase price of the land: $300,000

Real estate commission: $10,000

Back property tax: $8,000

Removal of old building: $5,000

Survey fee: $1,000

Paving the parking lot: $260,000

To calculate the cost of the land, we sum up the purchase price and the additional expenses:

Cost of the land = Purchase price + Real estate commission + Back property tax + Removal of old building + Survey fee + Paving the parking lot

Cost of the land = $300,000 + $10,000 + $8,000 + $5,000 + $1,000 + $260,000

Cost of the land = $584,000

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L.P. Model: Z = 8X+8Y Maximize Subject to: 1X + 2Y ≤8 (C₁) 5X + 2Y ≤20 (C₂) X,Y 20 On the graph on right, the constraints C, and C₂ have been plotted. Using the point drawing tool, plot the

Answers

Given an L.P. model: Z = 8X + 8Y Maximize Subject to:1X + 2Y ≤ 8 (C1)5X + 2Y ≤ 20 (C2)X, Y ≥ 0On the graph on the right, the constraints C1 and C2 have been plotted. Using the point drawing tool, plot the feasible region.

The graph represents the given constraints C1: 1X + 2Y ≤ 8 and C2: 5X + 2Y ≤ 20. The given constraints C1 and C2 are in standard form, thus we need to first convert them into slope-intercept form of the linear equation.

Then we can draw them on the coordinate plane and find out their point of intersection to determine the feasible region.

C1: 1X + 2Y ≤ 8can be written as 2Y ≤ -X + 8or Y ≤ -1/2X + 4 This line passes through (0,4) and (8,0)

C2: 5X + 2Y ≤ 20 can be written as 2Y ≤ -5X + 20or Y ≤ -5/2X + 10 This line passes through (0,10) and (4,0)

Therefore, the feasible region is given by the shaded region below: [tex]ABCD[/tex]. The vertices of this feasible region are A (0, 4), B (2, 3), C (4, 0), and D (0, 0). The point of intersection of constraints C1 and C2 is point B (2, 3). The point B (2, 3) satisfies both the given constraints, C1 and C2.

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Which of the following are reasons why a company is involved in leasing to other companies? I. Interest revenue. II. High residual values. III. Tax incentives. IV. Guaranteed bargain purchase options.

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The main reasons why a company is involved in leasing to other companies are interest revenue, high residual values, tax incentives, and guaranteed bargain purchase options.

Interest revenue is a key motive for companies engaging in leasing activities. By leasing assets to other companies, the lessor earns interest income on the lease payments received over the lease term. This provides a steady source of revenue for the lessor.

High residual values also make leasing attractive. When the lease term ends, the lessor can sell the leased asset and benefit from its higher residual value, thereby generating additional profits.

Tax incentives are another factor that encourages companies to participate in leasing. Depending on the jurisdiction, tax laws may provide advantages such as depreciation benefits, tax deductions, or credits for leased assets, reducing the lessor's tax burden.

Guaranteed bargain purchase options can also incentivize companies to engage in leasing. These options allow the lessee to purchase the leased asset at a predetermined, favorable price at the end of the lease term. This provides the lessee with flexibility and potential cost savings, while ensuring a guaranteed return for the lessor.

Leasing offers financial benefits, including interest revenue, high residual values, tax incentives, and guaranteed bargain purchase options, making it an appealing option for companies seeking additional revenue streams or strategic advantages.

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in looking at a globular cluster, you find a star that is 12.5 billion years old. what is the maximum possible value for the hubble constant in an einstein de sitter universe, based on this finding

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Based on the discovery of a star that is 12.5 billion years old, the Hubble constant's maximum possible value in an Einstein-de Sitter universe is roughly 5.33 × 10⁻¹¹ years⁻¹.

The maximum value of the Hubble constant (H₀) in an Einstein-de Sitter universe can be calculated using the age of the universe and the assumption that the universe is flat.

age of the universe (t) is related to the Hubble constant

t = 2 / (3H₀)

H₀ = 2 / (3t)

star in the globular cluster is 12.5 billion years old (12.5 × 10⁹ years)

H₀ = 2 / (3 × 12.5 × 10⁹)

H₀ ≈ 5.33 × 10⁻¹¹ years⁻¹

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What is the significance of the 1951 Refugee Convention of the United Nations? What was added to the terms of the Convention with the 1967 Protocol? How did the definition of refugees expand in the 1969 Convention of the Organization of African Unity?

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The 1951 Refugee Convention is of significance as it represents a cornerstone in the field of international refugee law. Its main aim is to ensure that refugees’ basic human rights are protected and that they are given an opportunity to rebuild their lives in safety and dignity.

The Convention defines who is a refugee, outlines the rights of refugees, and the legal obligations of countries that sign it. It also provides the basis for assistance and protection to millions of people who have fled their countries due to conflict, persecution, and other forms of violence. The 1967 Protocol was added to the 1951 Convention to eliminate the geographical and time limitations that had initially been included in the Convention.

This means that the definition of who is a refugee in the 1951 Convention now applies to anyone who has fled their country due to a well-founded fear of persecution and is unable to or does not want to return to their country of origin.

The definition of refugees expanded in the 1969 Convention of the Organization of African Unity as the convention extended the term “refugee” to include individuals who have been forced to flee their homes due to war, aggression, or colonial domination. It also recognized that individuals who are seeking refuge due to acts of foreign aggression, domination, or events that have seriously disrupted the public order are entitled to protection.

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Which of the following statements are true regarding working capital management? There are 2 correct answers. Select one or more: a. A business should aim to increase its debtor days b. A business should aim to increase its creditor days c. A business should aim to decrease its stock days d. A business should increase its dividend payments to improve its cash position

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Working capital management involves managing a company's short-term assets and liabilities to ensure that it has enough liquidity to operate its business smoothly. The following are the true statements regarding working capital management:

A business should aim to decrease its stock days because this will free up more working capital, which can then be used for other purposes. A business should aim to increase its creditor days because this will delay the payment of bills, which will provide more time for the business to generate cash from its operations.

A business should not aim to increase its debtor days because this will delay the collection of cash, which could lead to cash flow problems. A business should not increase its dividend payments to improve its cash position because this will reduce the amount of cash that the business has available for other purposes.

The key to working capital management is to ensure that a company has enough liquidity to operate its business smoothly. Working capital is the amount of money that a company has available to cover its day-to-day expenses. A company's working capital is calculated by subtracting its current liabilities from its current assets.

A business should aim to decrease its stock days because this will free up more working capital, which can then be used for other purposes. A business should aim to increase its creditor days because this will delay the payment of bills, which will provide more time for the business to generate cash from its operations.

On the other hand, a business should not aim to increase its debtor days because this will delay the collection of cash, which could lead to cash flow problems. A business should not increase its dividend payments to improve its cash position because this will reduce the amount of cash that the business has available for other purposes.

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Please help, I can't figure out what I did wrong! Thank you!
Waterway, Ltd. manufactures shirts, which it sells to customers for embroidering with various slogans and emblems. The standard cost card for the shirts is as follows. Standard Price Standard Quantity

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The management of Waterway, Ltd. needs to identify the root cause and take necessary actions to improve the production process so that it reduces wastage, optimizes raw materials usage, and increases efficiency, which would, in turn, improve its bottom line.

The given problem is related to standard costing. Standard costing is a cost accounting system that helps a business compare the actual cost of a product to the expected cost.

It involves creating a standard cost card that includes the standard price and standard quantity of raw materials, direct labor, and overheads required to produce a unit of product.

The given standard cost card for Waterway, Ltd. is as follows: Standard Price = $10 per shirt Standard Quantity = 2 yards of material per shirt Let us find out the actual cost per unit and variance analysis for direct materials and direct labor for the production of 1,000 shirts.

Actual information for the production of 1,000 shirts is given below. Direct Materials: Materials purchased = 2,400 yards Cost per yard = $6.50Direct Labor: Actual hours worked = 1,800 hours Actual rate per hour = $16.50Variance analysis for direct materials: Actual quantity of materials used = (2,400 yards) / (1,000 shirts) = 2.4 yards per shirt Actual cost of direct materials used = (2.4 yards per shirt) × ($6.50 per yard) × (1,000 shirts) = $15,600Actual price variance = (actual quantity of materials used × (actual price - standard price)) = (2.4 yards per shirt × ($6.50 per yard - $10.00 per yard)) × (1,000 shirts) = -$9,600Favorable variance as the actual price is lower than the standard price.

Actual quantity variance = (actual quantity of materials used - standard quantity) × (standard price) = (2.4 yards per shirt - 2.0 yards per shirt) × ($10.00 per yard) × (1,000 shirts) = $9,600Unfavorable variance as the actual quantity used is more than the standard quantity.

Variance analysis for direct labor: Actual cost of direct labor = (actual hours worked × actual rate per hour) = (1,800 hours × $16.50 per hour) = $29,700Actual rate variance = (actual hours worked × (actual rate per hour - standard rate per hour)) = (1,800 hours × ($16.50 per hour - $16.00 per hour)) = $900Favorable variance as the actual rate is lower than the standard rate.

Actual efficiency variance = (standard rate per hour × (standard hours - actual hours)) = ($16.00 per hour × (2,000 hours - 1,800 hours)) = $3,200Unfavorable variance as the actual hours worked are less than the standard hours. As there is an unfavorable variance for actual quantity of materials used, Waterway, Ltd. needs to investigate why the actual quantity is more than the standard quantity.

It can be due to the inefficiency of the production process, material wastage, or incorrect estimates for standard quantities or any other reason.

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Here is the complete question below:

Waterway Ltd. manufactures shirts. which it sells to customers for embroidering with various slogans and emblems. The standard cost card for the shirts is as follows. Standard Price Standard Quantity Standard Cost Direct materials $3 per yard 2.00 yards $6.00 Direct labor $14 per DLH 0.75 DLH 10.50 Variable overhead $3.2 per DLH 0.75 DLH 2.40 Fixed overhead $3 per DLH 0.75 DLH 2.25 $21.15 Sandy Robison, operations manager, was reviewing the results for November when he became upset by the unfavorable variances he was seeing. In an attempt to understand what had happened, Sandy asked CFO Suzy Summers for more information. She provided the following overhead budgets, along with the actual results for November. The company purchased and used 32,000 yards of fabric during the month. Fabric purchases during the month were made at $2.8 per yard.The direct labor payroll ran $457,375, with an actual hourly rate of $12.5 per direct labor hour.The annual budgets were based on the production of 600,000 shirts, using 450,000 direct labor hours. Though the budget for November was based on 45,000 shirts, the company actually produced 42,500 shirts during the month. Variable Overhead Budget Annual Budget Per Shirt November—Actual Indirect material $720,000 $1.2 $52,900 Indirect labor 450,000 0.75 3 1,400 Equipment repair 180,000 0.3 13,700 Equipment power 90,000 0.15 6,500 Total $1,440,000 $2.40 $104,500.

a green pasture has turned barren due to overgrazing. this has happened because the pasture was ________.

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How does overgrazing lead to the destruction of pasture Overgrazing refers to the situation when too many animals are allowed to graze in a particular area for an extended period, which degrades the quality of the soil and causes long-term damage to the ecosystem.

Overgrazing results in the following adverse effects on the pasture and environment:- It lowers the moisture level of the soil and causes it to become hard and dry.- It causes the soil to become compacted, which makes it difficult for plants to take root and grow.- It reduces the vegetation cover and alters the composition of the vegetation, leading to a loss of biodiversity.- It reduces the quality and quantity of available forage, which results in poor animal health and productivity.

It increases soil erosion and reduces water-holding capacity and nutrients, resulting in a decrease in soil fertility.Therefore, the missing term in the given statement should be "overgrazed."Therefore, the completed sentence is: "A green pasture has turned barren due to overgrazing. This has happened because the pasture was overgrazed."

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corporations report which of the following in a separate section of the income statement?

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Corporations typically report "extraordinary items" in a separate section of the income statement.

Extraordinary items are significant events or transactions that are unusual in nature, infrequent in occurrence, and not expected to recur in the future. These items are presented separately to provide transparency and enable stakeholders to assess the company's core operating performance without the influence of extraordinary events.

In more detail, the separate section of the income statement for extraordinary items allows corporations to distinguish these exceptional transactions from regular operating activities. Examples of extraordinary items include gains or losses from natural disasters, expropriations, major lawsuits, or significant changes in accounting principles. By segregating these items, corporations provide stakeholders with a clearer understanding of the company's ongoing business operations and the impact of extraordinary events on its financial performance.

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Corporations report which of the following in a separate section of the incomestatement?a. Cost of goods sold.b. Income tax expense.c. Gross profit.d. Other revenues and gains

Use the information below to answer the questions that follow. U.S. $ EQUIVALENT 0.8008 Switzerland Franc (SF) Euro (a?-) 1.2186 How many dollars can you get with 100 Swiss franc? How many dollars can you get with 100 Euros? What is the cross-rate for Euros in terms of Swiss francs? What is the cross-rate for Swiss francs in terms of Euros?

Answers

If $1 = SF 0.8008,

then

$1/0.8008 = SF 1.2475

Hence 100

Swiss franc = (100 / 1.2475)

dollars = 80.102

dollars If

$1 = a?- 1.2186,

then

$1/1.2186 = a?- 0.8205

Hence

100 Euro = (100 / 0.8205)

dollars = 121.746 dollars

The cross-rate for Euros in terms of Swiss francs is:

SF 1 = a?- 1.2186

0.8008 = SF 1.5229

The cross-rate for Swiss francs in terms of Euros is: a?-

1 = SF 0.800

1.2186 = a?- 0.6578.

Given that,

$1 = SF 0.8008

and

$1 = a?- 1.2186,

we can determine the number of dollars we can get from Swiss franc and Euro. Solution for 1st part: 100 Swiss franc is given; we have to find how many dollars we can get.

Now we can calculate as follows:

$1 = SF 0.8008

=> $1/0.8008 = SF 1.2475

Now,

100 Swiss franc = (100 / 1.2475)

dollars= 80.102 dollars

Therefore, 100 Swiss franc is equal to $80.102. Solution for 2nd part:100 Euro is given; we have to find how many dollars we can get. Now we can calculate as follows:

$1 = a?- 1.2186

=> $1/1.2186 = a?- 0.8205

Now,

100 Euro = (100 / 0.8205)

dollars= 121.746 dollars \

Therefore, 100 Euro is equal to $121.746.Solution for 3rd part: Cross-rate for Euro in terms of Swiss francs can be calculated as follows:

SF 1 = a?- 1.2186/0.8008= SF 1.5229

Therefore, the cross-rate for Euros in terms of Swiss francs is

SF 1 = a?- 1.5229.

Solution for 4th part: Cross-rate for Swiss francs in terms of Euro can be calculated as follows:

a?- 1 = SF 0.8008

1.2186= a?- 0.6578

Therefore, the cross-rate for Swiss francs in terms of Euro is

a?- 1 = SF 0.6578.

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When someone states that they are in a conflict, what is your thought. Are dealing with a negative situation. Conflict… can have both positive and negative influences on an Firm. Highlight the goal of effective management: eliminate conflict or embrace it. Is conflict good for an organization or dysfunctional…
Evaluate how stimulating conflict can be used to reap functional rewards for organizations. Use examples to support your reasoning.

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Conflict can have both positive and negative influences on a firm. Effective management aims to embrace conflict rather than eliminate it.

Conflict in an organization can be viewed as a clash of ideas, perspectives, or interests. While conflict is often associated with negative connotations, it can also have positive impacts if managed effectively. Effective management seeks to embrace conflict and leverage its potential benefits rather than trying to eliminate it entirely.

Conflict can be good for an organization in several ways. It stimulates discussions and encourages the exploration of different viewpoints, leading to more creative and innovative solutions. By encouraging constructive conflict, organizations can identify and address underlying issues, improve processes, and foster better decision-making. Conflict can also enhance employee engagement and motivation by allowing individuals to express their opinions and feel valued within the organization.

For example, in a team working on a project, conflicts may arise regarding the best approach to achieving the project goals. By encouraging open dialogue and respectful debate, the team members can challenge each other's ideas, leading to a more comprehensive and effective solution.

While conflict may initially seem negative, effective management recognizes its potential for positive outcomes. Embracing conflict allows organizations to harness its benefits, such as increased creativity, improved problem-solving, and enhanced employee engagement. By creating an environment where conflict is managed constructively, organizations can reap functional rewards and foster a culture of continuous improvement and innovation.

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The interdependence between firms in an oligopoly leads to _____.

A. trade wars
B. a decrease in the supply
C. imitative behavior
D. higher demand
E. increased domestic consumption

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The interdependence between firms in an oligopoly leads to C)imitative behavior. An oligopoly is a market situation in which only a few sellers dominate and control the majority of the market supply and demand.

In an oligopoly, the actions of one seller can significantly affect the performance of other sellers, and the response to the actions of one seller can vary from one seller to the other.Therefore, the sellers tend to act with caution and use imitative behavior to predict and respond to the actions of other sellers in the market. The interdependence in the oligopoly market structure creates a situation where any action taken by one firm affects the other firms. This is the reason why the firms in an oligopoly tend to engage in imitative behavior. This behavior is to ensure that they remain competitive in the market and maintain their market share.In conclusion, imitative behavior is the main result of the interdependence between firms in an oligopoly market structure. This behavior ensures that the firms remain competitive and respond appropriately to the actions of other firms.

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Two food trucks are opening up in Harrisonburg: Hamilton's Hot Dogs and Smith's Sandwiches both food truck owners have paid off their debts and neither business has fixed costs. The two businesses produce differentiated products, Hamilton has marginal cost of $5, and Smith has marginal cost of $10. Inverse demand for the products are ph = 45-9h-1.5qs for Hamilton's Hot Dogs, Ps= 40 qs qh for Smith's Sandwiches, and the two food trucks engage in Cournot competition. (a) (4 points) Write down a function that gives Smith's Sandwiches total profits as a function of its own output and Hamilton's output. Your function should contain qħh, qs, and numerical constants only. (b) (6 points) Derive Hamilton's best-response function given the output of Smith's Sandwiches. Derive Smith's best-response function given the output of Hamilton's Hot Dogs. (c) (10 points) What are the Cournot-Nash equilibrium production levels for each firm? What are the profits earned for each firm? How large is consumer surplus for each product? Be careful calculating the vertical intercept for each demand curve. (d) (4 points) For this final part, assume the firms produce a homogeneous product, compete á la Bertrand, and demand is given by q = 45-min(Ph, Ps). Marginal costs remain as above. Provide one set of prices charged by the two firms that would constitute a Bertrand-Nash equilibrium. No math is necessary and there are multiple correct options. Explain your finding.

Answers

Two food trucks are opening up in Harrisonburg: Hamilton's Hot Dogs and Smith's Sandwiches both food truck owners have paid off their debts and neither business has fixed costs.

(a) Smith's Sandwiches total profits can be represented by the function:

Πs(qs, qh) = (40qs - 10)qs - (45 - 9qh - 1.5qs)qs

(b) To derive Hamilton's best-response function, we differentiate Smith's profit function with respect to qs and set it equal to zero:

∂Πs(qs, qh) / ∂qs = 80qs - 10 - (45 - 9qh - 1.5qs) = 0

Simplifying the equation, we get:

80qs - 10 - 45 + 9qh + 1.5qs = 0

81.5qs + 9qh = 55

To derive Smith's best-response function, we differentiate Hamilton's profit function with respect to qh and set it equal to zero:

∂Πh(qs, qh) / ∂qh = 45 - 9qh - 1.5qs - 9qs = 0

Simplifying the equation, we get:

-10.5qs - 9qh = -45

(c) To find the Cournot-Nash equilibrium, we solve the best-response functions simultaneously:

81.5qs + 9qh = 55

-10.5qs - 9qh = -45

Solving these equations, we find qs = 3 and qh = 5. The Cournot-Nash equilibrium production levels are qs = 3 for Smith's Sandwiches and qh = 5 for Hamilton's Hot Dogs.

To calculate the profits for each firm, substitute the equilibrium quantities into their respective profit functions:

Πs = (40qs - 10)qs - (45 - 9qh - 1.5qs)qs = (40*3 - 10)3 - (45 - 9*5 - 1.5*3)3

Πh = (45 - 9qh - 1.5qs)qh = (45 - 9*5 - 1.5*3)5

To calculate consumer surplus for each product, we need to find the areas under the demand curves:

For Smith's Sandwiches, consumer surplus = 0.5*(45 - Ps)*(qs) = 0.5*(45 - Ps)*qs

For Hamilton's Hot Dogs, consumer surplus = 0.5*(45 - Ph)*(qh) = 0.5*(45 - Ph)*qh

(d) In Bertrand competition, the firms compete on price rather than quantity. Given the demand equation q = 45 - min(Ph, Ps), the firms would set prices equal to their marginal costs to achieve a Bertrand-Nash equilibrium. Thus, the prices charged by the firms would be Ph = $5 and Ps = $10, which are equal to their respective marginal costs.

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