required information skip to question [the following information applies to the questions displayed below.] required: 1. create a new column in the purchase orders table for state sales tax. use the vlookup function to match supplier st to the state in the sales tax table. 2. create a new column in the purchase orders table that provides the calculation for the amount of state sales tax owed on each line item. ask the question: how can we incorporate sales tax into each transaction line item without having to do so manually? master the data: the 4-2 alt data is purchasing data rather than sales, so instead of working with store location, you will work with supplier st. keep in mind there are different columns available in this dataset, so your vlookup and calculation columns will be in columns j and k and will reference different sections of the spreadsheet. software needed excel screen capture tool (windows: snipping tool; mac: cmd shift 4) data: lab 4-2 alt data.xlsx. perform the analysis: refer to lab 4-2 alternate in the text for instructions and lab 4-2 steps for each the of lab parts. share the story: you have now worked with connecting data in excel stored in two different tables and retrieving the data from one table into another to add descriptive attributes to your transaction table. required: 1. what is the total state tax owed for each line item in the purchase order table? multiple choice 1 $8.41 $687.21 $841.67 $5446.16 2. what is the state tax owed on purchase order id 20510? multiple choice 2 $95.00 $14.29 $42.25 $21.80 3. what is the state sales tax owed on purchase order id 20525? (note- there are multiple line items on this invoice. round if necessary.) multiple choice 3 $31.78 $19.50 $0.20 $14.62 4. what is the state sales tax rate for minnesota? multiple choice 4 0.065 0.04 0.0725 0.06875 5. for the second argument in a vlookup function, do you typically select one cell, a full column, or an entire table array? multiple choice 5 full column it depends one cell entire table array p

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Answer 1

The questions are related to a data analysis task that involves using the VLOOKUP function in Excel to match and retrieve data from one table to another.

Specifically, the task involves adding state sales tax information to a purchase orders table by matching the supplier's state with the state in the sales tax table and calculating the amount of state sales tax owed for each line item.

The state sales tax owed for each line item in the purchase order table is $8.41.

The state tax owed on purchase order id 20510 is $14.29.

The state sales tax owed on purchase order id 20525 is $31.78.

The state sales tax rate for Minnesota is 0.0725.

For the second argument in a vlookup function, you typically select either one cell or a full column.

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Related Questions

how materials are received how desbirs are disposed of and how everyday works and visitors circulate throuhg the job site

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The given statement, "How materials are received, how debris are disposed of, and how everyday work and visitors circulate through the job site," is true (T) because it pertains to the logistics and organization of a job site in terms of receiving materials, disposing of debris, and managing the flow of workers and visitors.

In any job site, there are multiple logistics that must be taken into account to ensure that the project runs smoothly. One of these is the management of incoming materials, which may involve coordinating with suppliers, checking inventory, and organizing storage. Another important consideration is the disposal of waste and debris, which must be handled in a safe and environmentally responsible manner.

Finally, there is the matter of managing the flow of workers and visitors throughout the job site, which can involve creating clear pathways and ensuring that all individuals are following appropriate safety protocols. Effective management of these logistics is crucial for ensuring that the project is completed on time, within budget, and with the highest possible level of quality.

This question should be provided as:

TRUE/FALSE: How materials are received, how debris are disposed of, and how everyday work and visitors circulate through the job site.

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clear agreements about authority, risks and sharing profits are needed when a business is organized as a(n)

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When a business is organized as a partnership, clear agreements about authority, risks and sharing profits are crucial for a smooth operation.

Partnerships rely on trust and cooperation between the parties involved, and having clear agreements in place can help prevent misunderstandings and conflicts. Authority should be clearly defined to avoid disputes over decision-making and management responsibilities.

Risks should also be identified and agreed upon to ensure each partner understands their liability and responsibilities in case of any losses. Lastly, sharing profits should be agreed upon to ensure each partner receives a fair share of the business's success.

These agreements should be formalized in a partnership agreement, which should be reviewed and updated regularly.

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collins manufacturing has the following information: common stock is 2.5 million shares with a current price of $42 per share; the beta of the stock is 1.5; the standard deviation of the stock is 10.5%. market: the us treasury bill is yielding 2.8% and the expected return on the market is 10.8%. the corporate tax rate is 38%. what is the firm's expected return on equity?

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The Collins Manufacturing's expected return on equity is 14.8%.

To find the expected return on equity for Collins Manufacturing, we'll use the Capital Asset Pricing Model (CAPM). The information given is as follows:

1. Common stock: 2.5 million shares at $42 per share
2. Beta of the stock: 1.5
3. Standard deviation of the stock: 10.5%
4. US Treasury Bill yield: 2.8%
5. Expected return on the market: 10.8%
6. Corporate tax rate: 38%

Now, let's apply the CAPM formula:

Expected return on equity = Risk-free rate + (Beta × (Expected market return - Risk-free rate))

In order to calculate the expected return on equity, follow these steps:

1: Identify the risk-free rate, which is the US Treasury Bill yield: 2.8%

2: Subtract the risk-free rate from the expected market return: 10.8% - 2.8% = 8%

3: Multiply the result by the stock's beta: 1.5 × 8% = 12%

4: Add the risk-free rate to the result from step 3: 2.8% + 12% = 14.8%

The firm's expected return on equity is 14.8%.

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davie inc. has a pre-tax cost of debt of 8.6 percent, a cost of equity of 13.4 percent, and a cost of preferred stock of 8.5 percent. the firm has 240,000 shares of common stock outstanding at a market price of $27 a share. there are 25,000 shares of preferred stock outstanding at a market price of $33 a share. the bond issue has a face value of $540,000 and a market price of 102.1 percent of face value. the company's tax rate is 34 percent. what is the firm's weighted average cost of capital?

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The firm's weighted average cost of capital is approximately 10.98%.

How to calculate the value of WACC

Davie Inc.'s weighted average cost of capital (WACC) can be calculated using the following formula:

WACC = (E/V * Re) + (P/V * Rp) + ((D/V * Rd) * (1 - T))

where E, P, and D represent the market value of equity, preferred stock, and debt respectively;

Re, Rp, and Rd represent the cost of equity, preferred stock, and debt respectively; V is the total market value of the firm (E + P + D); and T is the tax rate.

First, we calculate the market values:

Equity (E) = 240,000 shares * $27/share = $6,480,000

Preferred Stock (P) = 25,000 shares * $33/share = $825,000

Debt (D) = $540,000 * 102.1% = $551,340 Next, we find the total market value (V):

V = E + P + D = $6,480,000 + $825,000 + $551,340 = $7,856,340

Now, we can calculate the WACC:

WACC = (($6,480,000/$7,856,340) * 13.4%) + (($825,000/$7,856,340) * 8.5%) + ((($551,340/$7,856,340) * 8.6%) * (1 - 34%))

WACC = (0.8247 * 13.4%) + (0.1050 * 8.5%) + (0.0702 * 8.6% * 0.66)

WACC ≈ 10.98%

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fixed-price contracts are considered which of the following? very flexible very rigid always cheaper than any other option useless when considering a systems design always the best option for any project

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Fixed-price contracts are considered a strangle includes holding both a put and a call on the same underlying asset. The correct answer is a. very flexible very rigid always.

Holding a call and a put on the same underlying asset is a typical option strategy known as a strangle. A strangle protects investors who anticipate a swift move in an asset but are unsure of the direction. A strangle is profitable only when the price of the underlying asset swings sharply.

You take a considerable price risk if you write short strangles on particular stocks. On an index, selling strangles is significantly safer. The worst scenario for traders may be a short strangle on Infosys or Reliance before the quarterly results.It is untrue that it is always preferable to enter into long-term contracts because they are normally less expensive and to avoid using any flexible capacity since it is more expensive because the choice depends on the type of industry and the situation. There are various market segments and industries, and each one has unique traits and elements that influence how decisions are made.

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a teacher who is culturally curious and responsive recognizes that all people are influenced by their ________, and that variations within cultures are as significant as variations across cultures.]

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A teacher who is culturally curious and responsive recognizes that all people are influenced by their cultures, and that variations within cultures are as significant as variations across cultures.]

Culture may be described as all of the methods of lifestyles which include arts, ideals and establishments of a populace which might be surpassed down from technology to technology. Culture has been called "the manner of lifestyles for a whole society." As such, it consists of codes of manners, dress, language, religion, rituals, art. The trainer apprehend the styles of information that culturally numerous college students convey to gaining knowledge of conditions and to alter the curriculum to their sociocultural strengths.

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A teacher who is culturally curious and responsive recognizes that all people are influenced by their backgrounds, and that variations within cultures are as significant as variations across cultures.

This means that they understand that an individual's cultural background, including their ethnicity, language, religion, and customs, plays a significant role in shaping their beliefs, values, behaviors, and perspectives. They also acknowledge that there is great diversity within cultures, and that people from the same culture may have different experiences, beliefs, and behaviors based on factors such as their gender, age, socio-economic status, and regional differences.
Being culturally curious and responsive means that a teacher is willing to learn about and respect the diversity of their students' backgrounds. They strive to create a culturally responsive learning environment that celebrates diversity, promotes inclusivity, and supports the academic and social-emotional growth of all students.

This may involve incorporating diverse perspectives and materials into their curriculum, using inclusive language, and creating opportunities for students to share their cultures and experiences with each other.
By being culturally curious and responsive, teachers can help their students feel valued, respected, and understood, which can improve their academic performance, increase their engagement in learning, and foster a sense of belonging in the classroom. It also helps to prepare students for success in a diverse and interconnected world by developing their cultural competency and empathy skills.

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The price of a commercial paper offering a payoff of
$10,000 is $9,460. If the annualized investment rate is 7.8%, when
does the paper mature?

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The paper matures in about 1.943 years, or approximately 23 months. To solve this problem, we can use the formula for present value of a future payment: Present value = Future value / [tex](1+r)^{n}[/tex], where r is the annualized investment rate and n is the number of years until the payment is received.

In this case, we know that the present value is $9,460 and the future value is $10,000. We also know that r is 7.8% or 0.078 as a decimal. We can plug these values into the formula and solve for n: 9,460 = 10,000 / [tex](1+0.078)^{n}[/tex], 9,460 / 10,000 = [tex](1+0.078)^{n}[/tex], 0.946 = [tex]1.078^{n}[/tex]

Taking the natural logarithm of both sides: ln(0.946) = n ln(1.078), n = ln(0.946) / ln(1.078), n ≈ 1.943 years

Therefore, the paper matures in about 1.943 years, or approximately 23 months.

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Nana Ekua opened a savings account this morning. Her money will earn 5 percent interest, compounded annually. After five years, her savings account will be worth GHS5,600. Assume she will not make any withdrawals. Given this, which one of the following statements is true? A. Nana Ekua deposited more than GHS5,600 this morning. B. The present value of Nana Ekua's account is GHS5,600. C. Nana Ekua could have deposited less money and still had GHS5,600 in five years if she could have earned 5.5 percent interest. D. Nana Ekua would have had to deposit more money to have GHS5,600 in five years if she could have earned 6 percent interest. E. Nana Ekua will earn an equal amount of interest every year for the next five years.

Answers

Nana Ekua opened a savings account to earn 5% interest rate. The statement is true: Nana Ekua could have deposited less money and still had GHS5,600 in five years if she could have earned 5.5% interest.

To explain this, we can use the formula for compound interest: [tex]A = P / (1 + r/n)^{nt}[/tex], where A is the final amount, P is the initial principal, r is the annual interest rate, n is the number of times interest is compounded per year, and t is the number of years.

In this case, A = GHS5,600, r = 0.05, n = 1 (since it's compounded annually), and t = 5 years. We can rearrange the formula to solve for P, the initial deposit:

[tex]P = A / (1 + r/n)^{nt}[/tex]

[tex]= GHS\;5,600 / (1 + 0.05/1)^{1\times5} \approx GHS\;4,364.63[/tex]

Now, if Nana Ekua could have earned 5.5 percent interest instead:
[tex]P = GHS\;5,600 / (1 + 0.055/1)^{1\times5} \approx GHS\; 4,291.42[/tex]

Since GHS4,291.42 is less than the initial deposit of GHS4,364.63, statement C is true. If Nana Ekua could have earned 5.5% interest rate, she could have deposited less money and still had GHS5,600 in five years.

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An entrepreneur has two projects to choose between. Both require an investment of $1 which must be borrowed. The projects produce gross returns in one year as follows
Project Risky Safe
payoff if failure ($) 0 0
payoff if success ($) 10 6
probability of success 2/10 6/10
Suppose there are 100 such entrepreneurs.. A bank cannot observe the project choice of an entrepreneur. Call the gross repayment the loan requires when the project succeeds R: i. What is the relationship between the R the bank charges and the project chosen by the entrepreneur? Explain in detail ii. Over what ranges of R will the safe and risky projects, respectively, be chosen? What is the maximum R banks can charge consistent with the entrepreneur choosing the safe project? Explain. iii. What R will banks charge and why?

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The project chosen by an entrepreneur determines the level of risk associated with the investment, which in turn determines the gross repayment (R) the bank charges. The safe project will be chosen if the R charged by the bank is below a certain threshold, while the risky project will be chosen if the R exceeds that threshold.

i. The gross repayment (R) charged by the bank will depend on the level of risk associated with the project chosen by the entrepreneur. The riskier the project, the higher the R charged by the bank to compensate for the higher probability of default.

Conversely, the safer the project, the lower the R charged by the bank. However, since the bank cannot observe the project choice of an entrepreneur, it must charge an average R that is somewhere in between the R for the safe and risky projects.

ii. The safe project will be chosen if the R charged by the bank is below the expected gross return of the risky project, which is (0.2 x 10) + (0.8 x 6) = 6.8. The risky project will be chosen if the R charged by the bank exceeds 6.8.

The maximum R banks can charge consistent with the entrepreneur choosing the safe project is 6, which is the gross return of the safe project.

iii. The bank will charge an R somewhere in between the R for the safe and risky projects, based on its assessment of the average level of riskiness of the projects chosen by the entrepreneurs.

If the bank believes that the majority of the entrepreneurs will choose the safe project, it will charge a lower R to attract borrowers. Conversely, if the bank believes that the majority of the entrepreneurs will choose the risky project, it will charge a higher R to compensate for the higher risk of default.

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which of the following is not an adjusting entry involving a liability account? a. recognizing depreciation expense for machinery purchased last year. b. recognizing tax expense even though taxes won't be paid until a later date. c. recognizing wage expense that will be paid in a future period. d. recognizing revenue for services that the customer paid for in advance.

Answers

Recognizing revenue for services that the customer paid for in advance does not involve a liability account, but rather an unearned revenue account. The correct answer is D.

Adjusting entries involving liability accounts typically involve recognizing expenses that have been incurred but not yet paid, such as wage expenses, tax expenses, or interest expenses. Adjusting entries may also involve recognizing changes in the value of liabilities, such as recognizing the depreciation expense for a liability related to equipment or recognizing an adjustment to the liability for a warranty obligation.

Option D, recognizing revenue for services that the customer paid for in advance, is an example of an adjusting entry involving an asset account (unearned revenue) rather than a liability account. This adjustment is made to recognize the revenue that has been earned over time, as the services are provided, rather than recognizing all of the revenue at the time of payment.

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2. An individual with zero initial wealth and the utility function U(Y) = Y.4 is confronted with the gamble Li (16,4;.40). Answer the following: (a) What is the certainty equivalent for the gamble? (b) What is the maximum he would pay for an insurance policy that guarantees the expected payoff of the gamble? (c) What is the probability premium? The probability premium is the increase in the probability of good state that matches the U(E(L1)). (d) Now assume the individual is confronted with the gamble L2 = (36, 16;.50). What is the certainty equivalent, maximum insurance payment, and probability premium for L2?

Answers

For the gamble L1 with outcomes (16,4; 0.4), the certainty equivalent is $11.42, the maximum insurance payment is $6.57, and the probability premium is 0.07. For the gamble L2 with outcomes (36, 16; 0.5), the certainty equivalent is $22.68, the maximum insurance payment is $13.32, and the probability premium is 0.05.

(a) To find the certainty equivalent for the gamble L1(16,4;.40), we need to find the amount of certain money that gives the same level of utility as the expected utility of the gamble. The expected utility of the gamble is:

EU(L1) = (.40)×(16)^.4 + (.60)×(4)^.4 = 6.73

To find the certainty equivalent, we set U(CE) = EU(L1) and solve for CE:

CE^.4 = 6.73

CE = (6.73)^2.5 = $27.22

Therefore, the certainty equivalent for the gamble is $27.22.

(b) The maximum amount the individual would pay for an insurance policy that guarantees the expected payoff of the gamble is the expected value of the gamble minus the certainty equivalent:

Max insurance payment = E(L1) - CE = (.40)×16 + (.60)×4 - 27.22 = $2.78

(c) The probability premium is the increase in the probability of the good state that matches the certainty equivalent of the gamble. Since the certainty equivalent is $27.22, we need to find the probability of the good state that gives a utility of $27.22:

(16)^.4 × (p) + (4)^.4 × (1-p) = 27.22

Solving for p, we get:

p = 0.787

Therefore, the probability premium is 0.787 - 0.40 = 0.387 or 38.7%.

(d) For the gamble L2 = (36, 16;.50), the expected utility is:

EU(L2) = (.50)×(36)^.4 + (.50)×(16)^.4 = 13.32

To find the certainty equivalent, we solve U(CE) = EU(L2) for CE:

CE^.4 = 13.32

CE = (13.32)^2.5 = $48.72

Therefore, the certainty equivalent for the gamble L2 is $48.72.

The maximum amount the individual would pay for an insurance policy that guarantees the expected payoff of the gamble is:

Max insurance payment = E(L2) - CE = (.50)×36 + (.50)×16 - 48.72 = $1.28

The probability premium is:

(36)^.4 × (p) + (16)^.4 × (1-p) = 48.72

Solving for p, we get:p = 0.943

Therefore, the probability premium is 0.943 - 0.50 = 0.443 or 44.3%.

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Dantzler Corporation is a fast-growing supplier of office products. Analysts project the following free cash flows (FCFs) during the next 3 years, after which FCF is expected to grow at a constant 5% rate. Dantzler's WACC is 16%.a) Year 0 FCF N/Ab) Year 1 FCF -$15 millionc) Year 2 FCF $28 milliond) Year 3 FCF $46 milliona. What is Dantzler's horizon, or continuing value? (Hint: Find the value of all free cash flows beyond Year 3 discounted back to Year 3.) Round your answer to 2 decimal places. Enter your answers in millions.b. What is the firm's value today? Round your answer to 2 decimal places. Enter your answers in millions. Do not round intermediate calculations.c. Suppose Dantzler has $141 million of debt and 7 million shares of stock outstanding. What is your estimate of the current price per share? Round your answer to 2 decimal places.

Answers

Dantzler's horizon value is $511.11 million whereas the firm's value today is $319.96 million and the current price per share for Dantzler Corporation is $25.85.

a) To calculate Dantzler's horizon value, we need to find the present value of all free cash flows beyond Year 3 discounted back to Year 3. Using the constant growth model, we can calculate the horizon value as follows:

Horizon Value = (FCF Year 4 / (WACC - g))

where FCF Year 4 is the free cash flow in Year 4, g is the constant growth rate, and WACC is the weighted average cost of capital.

Using the given values, we get:

Horizon Value = (46 / (0.16 - 0.05)) = $511.11 million

b) To find the firm's value today, we need to calculate the present value of all free cash flows, including the horizon value. Using the discounted cash flow (DCF) method, we get:

PV of FCF Year 1-3 = (-15 / (1 + 0.16)^1) + (28 / (1 + 0.16)^2) + (46 / (1 + 0.16)^3) = $55.47 million

PV of Horizon Value = (511.11 / (1 + 0.16)^3) = $264.49 million

Therefore, the firm's value today is:

Value Today = PV of FCF Year 1-3 + PV of Horizon Value = $319.96 million

c) To estimate the current price per share, we need to divide the total firm value by the number of shares outstanding and subtract the value of debt. Using the given values, we get:

Price per share = (Value Today - Debt) / Number of shares = ($319.96 - $141) / 7 million = $25.85

Therefore, our estimate of the current price per share for Dantzler Corporation is $25.85.

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At the start of 1996, the annual interest rate was 8 percent in the United States and 4.8 percent in Japan. The exchange rate was 108 yen per dollar at the time. Mr. Jorus, who is the manager of a Bermuda-based hedge fund, thought that the substantial interest advantage associated with investing in the United States relative to investing in Japan was not likely to be offset by the decline of the dollar against the yen. He thus concluded that it might be a good idea to borrow in Japan and invest in the United States. At the start of 1996, in fact, he borrowed \1,000 million for one year and invested in the United States. At the end of 1996, the exchange rate became 118 yen per dollar. How much profit did Mr. Jorus make in dollar terms? Answer is complete but not entirely correct. Profit $ 143,576,944

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Mr. Jorus made a profit of $143,576,944. At the start of 1996, Mr. Jorus, the manager of a Bermuda-based hedge fund, realized that the substantial interest advantage associated with investing in the United States relative to investing in Japan was not likely to be offset by the decline of the dollar against the yen.

He thus decided to borrow \1,000 million for one year and invest in the United States. At the time, the annual interest rate in the United States was 8 percent and the exchange rate was 108 yen per dollar. At the end of 1996, the exchange rate became 118 yen per dollar.

By taking advantage of the interest rate difference and the exchange rate change, Mr. Jorus made a profit of $143,576,944. He was able to take advantage of the interest rate difference and the exchange rate change in order to maximize his profits.

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44.19 and 4.20 is the wronganswerBefore and after-tax cost of debt For the following $1,000-par-value bond paying semi-annual interest payments, calculate the before and after-tax cost of debt. Use the 21% corporate tax rate. Issuer Name Walt Disney Co. Coupon Rate 5.30% Years to Maturity 30 Price $989.67 .. The before-tax cost of debt for Walt Disney Co. is 5.37 %. (Round to two decimal places.) The after-tax cost of debt for Walt Disney Co. is 4.19 %. (Round to two decimal places.)

Answers

The before-tax cost of debt for Walt Disney Co. is 5.37%, and the after-tax cost of debt is 4.19%.

Before-tax cost of debt = Annual coupon payment / Bond price

The annual coupon payment can be calculated as:

Annual coupon payment = Coupon rate x Par value = 5.30% x $1,000 = $53

The bond price given is $989.67.

Plugging in these values, we get:

Before-tax cost of debt = $53 / $989.67 = 0.0537 or 5.37%

To calculate the after-tax cost of debt, we need to first calculate the tax shield:

Tax shield = Tax rate x Annual coupon payment = 0.21 x $53 = $11.13

The after-tax cost of debt can be calculated as:

After-tax cost of debt = Before-tax cost of debt x (1 - Tax rate)

Plugging in the values, we get:

After-tax cost of debt = 0.0537 x (1 - 0.21) = 0.0419 or 4.19%

Therefore, the before-tax cost of debt for Walt Disney Co. is 5.37%, and the after-tax cost of debt is 4.19%.

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under the equipment breakdown protection coverage form, what condition will apply if the covered equipment is subject to a dangerous exposure?

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If the covered equipment is subject to a dangerous exposure, the condition of the equipment breakdown protection coverage form is that the damage must be caused by a sudden and accidental physical event.

This means that the event must be sudden and unexpected, and the damage must be caused by a physical force. Examples of such events include explosions, short circuits, electrical arcing, steam explosions, and mechanical breakdowns.

The coverage form also states that the event must not be due to the intentional acts of any insured person, and the event must occur during the policy period. This type of coverage is beneficial for businesses, as it can help to cover the cost of repairs or replacement of the damaged equipment.

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the political-economic context in which international financial institutions pressure states to adopt neoliberal economic policies has caused a flourishing of

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The political-economic context in which international financial institutions pressure states to adopt neoliberal economic policies has caused a flourishing of: market-driven economies, global trade, and private sector involvement.

This occurs as countries are encouraged to deregulate, privatize, and liberalize their markets to promote competition and efficiency.

Step 1: International financial institutions, such as the International Monetary Fund (IMF) and the World Bank, advocate for neoliberal economic policies that prioritize free-market principles and minimal government intervention.

Step 2: Under pressure from these institutions, states begin to deregulate their economies by removing trade barriers, implementing tax reforms, and easing restrictions on capital flows.

Step 3: Privatization of state-owned enterprises takes place as governments sell their assets to private investors, transferring the responsibility of providing goods and services from the public to the private sector.

Step 4: Liberalization of markets allows for increased competition, as domestic and foreign businesses can more easily enter and participate in the economy.

Step 5: The flourishing of market-driven economies leads to increased global trade and private sector involvement, as businesses take advantage of the new opportunities and competitive environment created by neoliberal policies.

In summary, the pressure from international financial institutions on states to adopt neoliberal economic policies has contributed to the growth of market-driven economies, global trade, and an expansion of private sector involvement.

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discount mart has $876,400 in sales with a profit margin of 3.8 percent. there are 32,500 shares of stock outstanding at a market price per share of $21.60. what is the price-earnings ratio? group of answer choices 21.08 23.40 22.60 18.47 19.21

Answers

Discount Mart has $876,400 in sales with a profit margin of 3.8 percent. There are 32,500 shares of stock outstanding at a market price per share of $21.60. the price-earnings ratio is D. 21.08

To calculate the price-earnings ratio, we first need to find the earnings per share (EPS). Here's the step-by-step process:

1. Calculate the profit: Profit = Sales * Profit Margin = $876,400 * 3.8% = $33,303.20


2. Calculate the earnings per share (EPS): EPS = Profit / Outstanding Shares = $33,303.20 / 32,500 = $1.0241


3. Calculate the price-earnings ratio (P/E): P/E = Market Price per Share / EPS = $21.60 / $1.0241 ≈ 21.08

The price-earnings ratio for Discount Mart is approximately 21.08, which corresponds to option D) 21.08. The P/E ratio is a valuation metric that helps investors compare the market value of a company's stock to its earnings, providing insights into its growth potential and investment risks. Therefore the correct option is D

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Discount Mart has $876,400 in sales with a profit margin of 3.8 percent.There are 32,500 shares of stock outstanding at a market price per share of $21.60.What is the price-earnings ratio?

A)23.40

B)22.60

C)19.21

D)21.08

E)18.47

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you buy an seven-year bond that has a 5.00% current yield and a 5.00% coupon (paid annually). in one year, promised yields to maturity have risen to 6.00%. what is your holding-period return?

Answers

Your holding-period return would be 8.33%

How to calculate the holding-period return

The holding-period return of your seven-year bond would be calculated as follows:

- First, calculate the purchase price of the bond. Assuming a face value of $1,000, the bond's price would have been $1,000 * 5.00% = $50 (the annual coupon payment) / 5.00% (the current yield) = $1,000.

- After one year, the promised yield to maturity has risen to 6.00%. This means that if you were to sell the bond at that point, its price would have decreased.

Using the bond pricing formula, we can estimate that the new price of the bond would be $50 / 6.00% + $1,000 = $1,083.33.

- Therefore, your holding-period return would be ($1,083.33 - $1,000) / $1,000 = 8.33%, or the percentage increase in the bond's price over the one-year period.

However, it's important to note that this calculation doesn't take into account any reinvestment of the coupon payments or the effect of taxes or fees bond's.

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burke's corner currently sells blue jeans and t-shirts. management is considering adding fleece tops to its inventory to provide a cooler weather option. the tops would sell for $46 each with expected sales of 4,650 tops annually. by adding the fleece tops, management feels the firm will sell an additional 320 pairs of jeans at $58 a pair and 455 fewer t-shirts at $19 each. the variable cost per unit is $29 on the jeans, $9 on the t-shirts, and $24 on the fleece tops. with the new item, the depreciation expense is $26,000 a year and the fixed costs are $79,500 annually. the tax rate is 24 percent. what is the project's operating cash flow?

Answers

Burke's corner currently sells blue jeans and t-shirts and the project's operating cash flow is $27,010.80.

How to find the project's operating cash flow

To calculate the project's operating cash flow, we need to find the net income and add back the depreciation expense.

First, let's calculate the revenues and variable costs for each item:

Fleece tops revenue: 4,650 tops * $46 = $213,700

Fleece tops variable cost: 4,650 tops * $24 = $111,600

Additional jeans revenue: 320 pairs * $58 = $18,560

Additional jeans variable cost: 320 pairs * $29 = $9,280

Reduced t-shirts revenue: 455 shirts * $19 = $8,645

Reduced t-shirts variable cost: 455 shirts * $9 = $4,095

Now, let's find the net income:

Total revenue: $213,700 (fleece tops) + $18,560 (jeans) - $8,645 (t-shirts) = $223,615

Total variable cost: $111,600 (fleece tops) + $9,280 (jeans) - $4,095 (t-shirts) = $116,785

Total fixed cost: $79,500

Depreciation expense: $26,000

Operating income (before taxes): $223,615 - $116,785 - $79,500 - $26,000 = $1,330

Taxes: $1,330 * 24% = $319.20

Net income: $1,330 - $319.20 = $1,010.80

Operating cash flow:

Net income + Depreciation expense = $1,010.80 + $26,000 = $27,010.80

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Use the work you completed for Parts, I, II, and III with your CLC group to inform your analysis for this assignment. Write a 500-750-word analysis of the significance of the three Matrices regarding their relevance for strategic planning. Describe the key information for each of the three matrices and how information from each will influence recommendations for strategic plans to improve the position of the company. Without prematurely determining and formalizing strategic goals and objectives, begin thinking about possible strategies to capitalize and add value to the organization based on the analysis of this information.
Under Armour

Answers

The three matrices (SWOT, SPACE, and BCG) play a crucial role in Under Armour's strategic planning, providing key insights to improve the company's position and capitalize on opportunities, while adding value to the organization.

The significance of the three matrices (SWOT, SPACE, and BCG) in Under Armour's strategic planning lies in their ability to provide essential information for decision-making.

The SWOT matrix identifies the company's strengths, weaknesses, opportunities, and threats, allowing for a comprehensive internal and external analysis.

The SPACE matrix examines the competitive position and market growth of the company, revealing areas for improvement and potential expansion. Lastly, the BCG matrix categorizes the company's products into different growth categories, highlighting which product lines to invest in or divest from.

By analyzing information from these matrices, Under Armour can develop well-informed recommendations for strategic plans to improve its market position. This process will involve considering various strategies to capitalize on identified opportunities and add value to the organization, all without finalizing specific goals and objectives at this stage.

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You bought 1,000 shares of Altona Ltd 5 years ago. Over the years you have attended the annual general meetings and carefully read through Altona Ltd’s financial statements. While you have been generally satisfied with the amount of annual dividends, recently you have become a little concerned with declining share prices. You became particularly alarmed when media published several photos showing Altona management’s Hawaiian management retreats. Taking into consideration the management behaviour critically discuss the relationship between a corporation’s shareholders and management. Analyse the problems and costs related to this relationship and explain with example how a company may structure management compensation to mitigate such costs.

Answers

Problems and costs related to this relationship include conflicts of interest and impact on the company's reputation. Companies may design management compensation in a way that aligns it with shareholders' interests in order to reduce these costs. They might, for instance, link executive compensation to performance measures.

The relationship between a corporation's shareholders and management is an important one that can significantly impact the performance and success of the company. In this case, the declining share prices and management's behaviour at Hawaiian retreats are cause for concern.
Shareholders entrust management with their investment and expect them to act in the best interest of the company and its shareholders. However, when management engages in lavish spending and fails to prioritize shareholder value, it can lead to a breakdown in trust and a decline in share prices.
One problem related to this relationship is the potential for conflicts of interest. For example, management may prioritize their own compensation and benefits over the needs of shareholders. This can lead to a misalignment of interests and a lack of focus on long-term company performance.
Another cost related to this relationship is the impact on the company's reputation. When management engages in behaviour that is perceived as excessive or inappropriate, it can damage the company's brand and make it less attractive to investors and customers.
To mitigate these costs, companies may structure management compensation in a way that aligns their interests with those of shareholders. For example, they may tie executive compensation to performance metrics such as earnings per share or return on investment. This incentivizes management to focus on long-term growth and profitability rather than short-term gains.
In addition, companies can establish strong governance practices, including independent board oversight and regular reporting and disclosure, to ensure that management is accountable to shareholders and acting in their best interest.

Overall, the relationship between a corporation's shareholders and management is critical to the success of the company. By prioritizing transparency, accountability, and alignment of interests, companies can foster a positive and productive relationship that benefits both shareholders and management.

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Investors can enhance benefits from international
diversification by using:
industry funds.
factor funds.
style funds.
all of the options.

Answers

Investors can enhance benefits from international diversification by using 4.) all of the options, including industry funds, factor funds, and style funds.

What are these different funds useful for?

These different types of funds allow investors to diversify their investments across different sectors, investment factors, investment styles, and geographic regions, which can potentially reduce risk and enhance returns.

1.) Industry funds: These funds focus on specific industries or sectors, such as technology, healthcare, finance, or energy. By investing in industry funds, investors can gain exposure to specific sectors that may perform differently under different market conditions, helping to diversify their portfolio and potentially enhance returns.

2.) Factor funds: These funds invest in stocks or other securities based on specific investment factors, such as value, growth, momentum, or quality. Each factor has its own historical performance characteristics, and by diversifying across different factors, investors can potentially reduce risk and enhance returns.

3.) Style funds: These funds focus on specific investment styles, such as large-cap, small-cap, or value-oriented stocks. By investing in different investment styles, investors can diversify their portfolio and potentially benefit from different market conditions or economic cycles.

Using a combination of industry funds, factor funds, style funds, and other types of funds, investors can create a well-diversified international investment portfolio that can potentially enhance benefits from international diversification. However, it's important to carefully evaluate each fund's risks, performance, fees, and other factors before making investment decisions, and consult with a qualified financial professional for personalized investment advice.

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Problem 9-34 Risk, Return, and Their Relationship (LG9-3, LG9-4) Consider the following annual returns of Molson Coors and International Paper: Year 1 Year 2 Year 3 Year 4 Molson Coors 17.88 - 8.7 38.0 International Paper 4.8% -17.8 -0.5 26.9 -11.4 - 7.5 Year 5 16.5 Compute each stock's average return, standard deviation, and coefficient of variation. (Round your answers to 2 decimal places.) Molson Coors 11.22 % Average return Standard deviation International Paper 0.40% % % Coefficient of variation Which stock appears better? O International Paper O Molson Coors

Answers

Molson Coors has an average annual return of 11.22% and a standard deviation of 19.43%.

The coefficient of variation for Molson Coors is 1.73. International Paper has an average annual return of 0.40% and a standard deviation of 15.69%. The coefficient of variation for International Paper is 39.17.

Based on these calculations, Molson Coors appears to be the better investment option as it has a higher average return and a lower coefficient of variation, indicating a lower risk compared to International Paper.

However, it is important to note that other factors such as market trends and company performance should also be considered when making investment decisions.

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which of the following are relative measures of sales and profits? (choose every correct answer.) multiple select question. a firm's net profit from lowered prices a firm's growth as compared to other companies a firm's total global sales a firm's increase in sales over the prior year

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The relative measures of sales and profits are B. a firm's growth as compared to other companies and D. a firm's increase in sales over the prior year.

Relative measures of sales and profits compare a company's performance to a benchmark, such as industry standards or the performance of other companies. Option B, a firm's growth as compared to other companies, is a relative measure as it involves comparing a company's growth to the growth of its competitors or industry peers. This helps to evaluate a company's performance within its market and industry context.

Option D, a firm's increase in sales over the prior year, is also a relative measure as it compares a company's current sales to its own past performance. This enables the assessment of the company's growth trajectory and can help identify trends or changes in its business performance over time.

Options A and C are not relative measures. Option A, a firm's net profit from lowered prices, is an absolute measure as it indicates a specific amount of profit and does not involve any comparison to other companies or benchmarks. Option C, a firm's total global sales, is also an absolute measure, as it represents the total sales generated by the company without any comparison to other entities or benchmarks. Therefore, the correct option is B. and D.

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which of the following are relative measures of sales and profits? (choose every correct answer.) multiple select question.

A. a firm's net profit from lowered prices

B. a firm's growth as compared to other companies

C. a firm's total global sales

D. a firm's increase in sales over the prior year

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managers can reduce the need for organizational rules and regulations by hiring the right people, providing training, developing management role models, and creating blank systems. multiple choice question. reward rule-based control corporate governance

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Hiring the proper people, offering training, generating role models for management, and developing blank systems can all help to eliminate the need for organizational rules and regulations.

Companies can lessen the need for stringent rules and regulations by focusing on employing the right people who share the company's values and views. Employees can benefit from good training and development opportunities if they understand their roles and responsibilities and can make educated decisions.

Creating managerial role models can motivate employees to embrace the company's culture and principles. This strategy has the potential to result in a more adaptable and flexible organizational culture that prioritizes trust, empowerment, and collaboration over rigorous rule-based control and corporate governance.

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a. What is the future value of a 6%, 5-year ordinary annuity that pays $550 each year? Do not round intermediate calculations. Round your answer to the nearest cent.
b. If this were an annuity due, what would its future value be? Do not round intermediate calculations. Round your answer to the nearest cent.

Answers

A) The future value of the ordinary annuity is $3,239.09.

B) The future value of the annuity due is $3,449.98.

a. To find the future value of a 6%, 5-year ordinary annuity that pays $550 each year, we can use the formula:

FV = PMT x [(1 + r)^n - 1]/r

Where:

PMT = $550 (the annuity payment)

r = 6%/year = 0.06 (the annual interest rate)

n = 5 (the number of years)

b. If this were an annuity due, the future value would be different. An annuity due is an annuity where the payments are made at the beginning of each period, instead of at the end like in an ordinary annuity. To find the future value of an annuity due, we can use the formula:

FV = PMT x [(1 + r)^n - 1]/r x (1 + r)

Where the additional factor (1 + r) represents the interest earned on the first payment for an extra year.

Using the same values as in part (a), we get:

FV = $550 x [(1 + 0.06)^5 - 1]/0.06 x (1 + 0.06)

FV = $3,449.98

Plugging in these values, we get:

FV = $550 x [(1 + 0.06)^5 - 1]/0.06

FV = $3,239.09

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A French investor buys 240 shares of Teck for $16,800 ($70 per share). Over the course of a year, Teck goes up by $8.65. a. If there is a 10 percent gain in the value of the dollar versus the euro, wh

Answers

The French investor gains $2,076 in terms of euros after a 10% gain in the value of the dollar versus the euro.


1. Calculate the initial investment in dollars: 240 shares * $70/share = $16,800


2. Determine the increase in stock value: $8.65 * 240 shares = $2,076


3. Calculate the new total investment value: $16,800 + $2,076 = $18,876


4. Factor in the 10% gain in the value of the dollar versus the euro: $18,876 * 0.9 = €16,988.40


5. Determine the initial investment in euros: $16,800 * 0.9 = €15,120


6. Calculate the gain in terms of euros: €16,988.40 - €15,120 = €1,868.40

The French investor gains €1,868.40 after a 10% gain in the value of the dollar versus the euro.

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mckensie, inc., has outstanding 10,000 shares of $25 par value, 6% nonparticipating, cumulative preferred stock and 16,000 shares of $5 par value common stock. the dividend on preferred stock is two years in arrears, and the total cash dividend declared this year is $85,000. the total amounts distributed to preferred and common stockholders, respectively, are:

Answers

To calculate the amounts distributed to preferred and common stockholders, we need to follow a specific process. Total amounts distributed to preferred and common stockholders, respectively, are $75,000 and $10,000.

First, we need to determine the total amount of dividends that should be paid to preferred stockholders. Since the preferred stock has a cumulative feature, any unpaid dividends accumulate and must be paid before any dividends can be paid to common stockholders.

In this case, the dividend on preferred stock is two years in arrears, which means that $60,000 ($30,000 x 2 years) of unpaid dividends must be paid before any dividends can be paid to common stockholders.

Next, we need to calculate the total amount of dividends that can be paid to preferred stockholders this year. The preferred stock has a fixed dividend rate of 6% of its $25 par value, which is $1.50 per share. The total number of preferred shares outstanding is 10,000, so the total amount of dividends that should be paid to preferred stockholders is $15,000 ($1.50 x 10,000 shares).

However, since $60,000 of unpaid dividends must be paid this year, the total amount of dividends that should be paid to preferred stockholders this year is $75,000 ($60,000 + $15,000).

Finally, we can calculate the total amount of dividends that can be paid to common stockholders. The total cash dividend declared this year is $85,000, and $75,000 of this amount is allocated to preferred stockholders.

Therefore, the total amount of dividends that can be paid to common stockholders is $10,000 ($85,000 - $75,000).

In summary, the total amounts distributed to preferred and common stockholders, respectively, are $75,000 and $10,000. This is because the preferred stock has a cumulative feature, and any unpaid dividends must be paid before dividends can be paid to common stockholders.

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Two years ago, Blue Ltd sold of$1000par value that had an original maturity of 15 years and a coupon rate of Today these bonds are selling for$1,120. Determine the yield-to-maturity.
a. 9.77%
b. 7.92%
c. 8.44%
d. 10.29%
e. 8.55%

Answers

The yield-to-maturity (YTM) is the rate of return anticipated on a bond if it is held until it matures. To determine the YTM, we need to use the current market price of the bond, its par value, coupon rate, and time to maturity.

First, we need to calculate the annual coupon payment. The coupon rate is not given in the question, so we cannot calculate it directly. However, we know that the bond has a par value of $1000 and that it sold for $1120, which is a premium. This means that the coupon rate must be lower than the current market interest rate. Let's assume that the current market interest rate is 8%.

We can then calculate the coupon rate using the present value of the bond's cash flows:PV = C/(1+i)^1 + C/(1+i)^2 + ... + C/(1+i)^15 + FV/(1+i)^15 Where PV is the present value of the bond, C is the annual coupon payment, i is the market interest rate (8%), and FV is the par value ($1000). Solving for C, we get:
PV = $1120
FV = $1000
i = 8%
n = 15
C = (PV - FV/(1+i)^n)/(1/i*((1+i)^n - 1)) = $56.66
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(Cost of preferred stock​) The preferred stock of Texas Southern Power Company sells for ​$41 and pays ​$7 in dividends. The net price of the security after issuance costs is ​$36.08 . What is the cost of capital for the preferred​ stock?

Answers

The cost of capital for Texas Southern Power Company's preferred stock is approximately 29.07%.

To determine the cost of capital for Texas Southern Power Company's preferred stock, we need to consider the dividend paid, the selling price, and the net price after issuance costs. Let's follow these steps:

1. First, we need to calculate the dividend yield, which is the annual dividend divided by the stock's selling price. In this case, the dividend is $7, and the selling price is $41:

Dividend Yield = Dividend / Selling Price = $7 / $41 ≈ 0.1707 or 17.07%

2. Next, we need to account for the issuance costs. To do this, we'll calculate the difference between the selling price and the net price after issuance costs, then divide by the selling price:

Issuance Cost Percentage = (Selling Price - Net Price) / Selling Price = ($41 - $36.08) / $41 ≈ 0.1200 or 12%

3. Finally, we'll adjust the dividend yield to account for the issuance costs. This will give us the cost of capital for the preferred stock:

Cost of Capital = Dividend Yield + Issuance Cost Percentage = 17.07% + 12% = 29.07%

Therefore, the cost of capital for Texas Southern Power Company's preferred stock is approximately 29.07%. This value represents the required return on investment for investors who purchase the preferred stock, taking into consideration the dividend payments and the costs associated with issuing the stock.

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