When demonstrating 2022 kicks’ efficient performance, during full-throttle acceleration, you should point out the instant response.
What is 2022 kicks?The Nissan Kicks is a subcompact crossover SUV produced by Nissan. Nissan debuted it in May 2016 and began selling it in July 2016 as a 2017 model year in Brazil, followed by other South American countries.
The Kicks made its North American debut at the Los Angeles Auto Show in November 2017, and it went on sale in the United States in June 2018 as a 2018 model year vehicle.
When you are pointing out the efficient performance of the 2022 kicks during full-throttle acceleration, it is best to highlight the immediate response. When you press the accelerator of the 2022 kicks, the automobile should respond instantly without any lagging delay.
The 2022 Kicks comes equipped with a 1.6-liter 4-cylinder engine that produces 122 horsepower and 114 lb-ft of torque, and it is mated to a continuously variable automatic transmission (CVT) with front-wheel drive (FWD) as standard.
It has a fuel efficiency rating of 31/36/33 mpg city/highway/combined.
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During full-throttle acceleration in 2022 kicks, notable points for efficient performance are quick and smooth acceleration, quiet engine sound, and vehicle stability.
Explanation:When demonstrating efficient performance of 2022 kicks during full-throttle acceleration, it is crucial to note three main points: acceleration rate, engine sound, and vehicle stability. Starting with acceleration rate, how quickly a car can go from 0 to 60 mph quantifies acceleration. Notice if the 2022 kicks achieve this smoothly and rapidly. Next thing to look for is the engine sound. A quiet, smooth engine sound at full throttle is indicative of efficient performance. Finally, observe vehicle stability. Even at full acceleration, the vehicle should remain stable and easy to control, with no excessive vibrations or veering.
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True or false: management must maintain evidential matter, including documentation, to provide reasonable support that it has established adequate internal control structures and procedures.
True. Management must maintain evidential matter, including documentation, to provide reasonable support that it has established adequate internal control structures and procedures.
Documentation serves as evidence of the design and implementation of internal controls, and it helps in assessing the effectiveness of those controls. It also provides a basis for evaluating compliance with policies and procedures, detecting errors or irregularities, and facilitating internal and external audits.
Documentation is crucial for demonstrating accountability, transparency, and the ability to mitigate risks within an organization's internal control framework.
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Dawson is the head of an internet service company and is studying areas where there is limited service so he can determine how best to meet the needs of these regions. What entrepreneurial trait is Dawson demonstrating?
resilience
strategic thinking
coordination
management
Entrepreneurial trait is Dawson demonstrating is strategic thinking. Option B is correct.
What is strategic thinking?
Planning for the future requires the ability to think strategically. Strategic thinking the ability to plan plans and come up with concepts that will take into account the numerous obstacles that lie ahead while also coping with changing situations.
Further Strategic thinking can also imply creating a plan to deal with potential obstacles in the future. This can help you foresee issues and effectively handle them, enabling you to overcome obstacles and succeed.
Thus Dawson studying the potential problems that could be arise in limited internet services in a particular region that would be a strategic thinking model.
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Heavy Metal Corporation is expected to generate the following free cash flows over the next five years: LOADING.... Thereafter, the free cash flows are expected to grow at the industry average of per year. Using the discounted free cash flow model and a weighted average cost of capital of : a. Estimate the enterprise value of Heavy Metal. b. If Heavy Metal has no excess cash, debt of million, and million shares outstanding, estimate its share price.
Answer:
Heavy Metal Corporation is expected to generate the following free cash flows over the next five years: (Click on the following icon in order to copy its contents into a spreadsheet.) 2 3 Year FCF (5 million) 53. 6 66.2 78. 6 4 75. 3 . 5 82.5 After that, the free cash flows are expected to grow at the industry average of 4.4% per year. Using the discounted free cash flow model and a weighted average cost of capital of 13.6% a. Estimate the enterprise value of Heavy Metal. b. If Heavy Metal has no excess cash, debt of $288 million, and 42 million shares outstanding, estimate its share price. a. Estimate the enterprise value of Heavy Metal The enterprise value will be $ million. (Round to two decimal places.) b. If Heavy Metal has no excess cash, debt of $288 million, and 42 million shares outstanding, estimate its share price. price. The stock price per share will be $ (Round to two decimal places.)
Explanation:
According to public choice economists, the federal government has expanded because
A. the federal government is efficient in its spending.
B. deficit spending has reduced the perceived cost of current government operations.
C. taxpayers pay the full cost of current government operations.
D. the public likes to pay higher taxes to finance more programs.
Economists believe that the federal government has expanded because B. deficit spending has reduced the perceived cost of current government operations.
What do economists think of the federal expenditure?They believe that because the government can finance more expenditure with debt, they have engaged in more expenses than they can actually afford.
This means that the government no longer views the cost of government operations as high because they can engage in deficit spending.
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you are required to brief your Hr practitioner in your compony on the recruitment process
1.write notes on the recruitment process that can be used in the briefing
2.Ensure that mention legal aspects in your discussion
Briefing Notes: Recruitment Process Introduction:The recruitment process is a crucial aspect of human resource management that involves attracting, selecting, and hiring qualified candidates to fill job vacancies within the company. It is essential to follow a systematic and legal approach to ensure fairness, compliance, and the acquisition of the best talent for the organization.
Key Steps in the Recruitment Process:
1. Job Analysis and Position Description:
.Conduct a thorough job analysis to identify the skills, qualifications, and experience required for the position.
.Create a comprehensive position description that outlines the responsibilities, requirements, and expectations of the role.
2.Candidate Sourcing:
Utilize various recruitment channels to attract potential candidates, such as job boards, social media platforms, employee referrals, and professional networks.
Consider engaging recruitment agencies or headhunters for specialized positions or hard-to-fill roles.
3. Interviewing and Selection:
Conduct interviews to assess the candidates' skills, knowledge, experience, and cultural fit.
Use a structured interview process with predetermined questions to ensure consistency and fairness.
4. Background Checks and References:
Verify the information provided by the shortlisted candidates, such as employment history, educational qualifications, and professional certifications.
Contact references provided by the candidates to gain insights into their past performance and work ethics.
Legal Aspects in the Recruitment Process:
Equal Employment Opportunity (EEO) Compliance:
Ensure compliance with anti-discrimination laws and regulations, such as the Civil Rights Act, Equal Employment Opportunity Commission (EEOC) guidelines, and local employment laws.
Avoid any form of discrimination based on race, gender, age, disability, religion, or other protected characteristics.
Job Advertisements and Descriptions:
Use inclusive language and avoid discriminatory terms in job advertisements and descriptions.
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How can you find the lenders and servicers for your federal loans?
a.Call your school’s financial aid department
b.Call your bank
c.Visit the NSLDS website
d.Visit the MLB website
write a sample audit question from the following process
criteria purchasing process (procedure 3.2) states: "all purchases
must be made from an approved supplier"
1. Is there a list of approved suppliers available for reference during the purchasing process?
2. Have any purchases been made from a non-approved supplier? If so, what was the justification for doing so?
3. Is there a process in place for updating the list of approved suppliers?
4. Are there formal reviews for assessing supplier performance?
With so many products for customers to choose from, Lina feels that:
Group of answer choices
a. thorough product knowledge adds value.
b. practicing communication-style flexing determines the sale.
c. being customer-oriented wins the sale.
d. selling the extended warranty is useful in customer satisfaction.
e. price is the most important factor in the decision process.
Option (c), Lina feels that being customer-oriented wins the sale because it directly addresses her perspective on the matter.
Lina believes that being customer-oriented is crucial in winning the sale. One possible explanation is that customers appreciate personalized attention and care. By understanding their needs, preferences, and concerns, Lina can tailor her approach and offer solutions that align with their interests. This can create a positive customer experience and build trust, increasing the likelihood of making a sale.
Another factor to consider is that customers often value the relationship and experience they have with a seller. If Lina focuses on providing excellent customer service, going above and beyond to meet their expectations, she can establish long-term relationships with her customers. This can lead to repeat business and positive word-of-mouth recommendations, ultimately contributing to her success as a salesperson.
In summary, Lina believes that being customer-oriented is crucial in winning the sale. By understanding and addressing customers' needs, preferences, and concerns, she can provide a personalized experience that builds trust and establishes long-term relationships. This can lead to increased sales and positive customer satisfaction.
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Hans Racing Equipment bought much of its inventory from Standard Auto Wholesalers, Inc., which always took a PMSI in the goods sold to Hans and which filed a financing statement on the same day. Hans also borrowed money from the Matching Dishes National Bank (MDNB) to finance the purchase of inventory from wholesalers, part of which was used to pay off Standard Auto. MDNB filed a financing statement, claiming a SI in Han's inventory. On March 28, Hans contracted to buy $3,000 in goods from Standard, making a down payment of $1,500 and giving Standard a PMSI in the goods for the rest. On that same day, he borrowed the $1,500 down payment from MDNB and also gave a PMSI in the same goods. Both creditors knew of the other, so they both sent written notice to each other. The goods were delivered to Hans on April 2. Which creditor has priority
The MDNB has priority over Standard Auto Wholesalers, Inc. MDNB has priority because they had a prior perfected security interest in Hans' inventory, which includes the goods purchased from Standard Auto Wholesalers.
Even though Standard Auto Wholesalers took a PMSI in the goods sold to Hans and filed a financing statement on the same day, MDNB had a prior security interest in Hans' inventory. The fact that both creditors knew of the other and sent written notice to each other does not change the fact that MDNB has priority.
The situation involves two types of security interests: Purchase Money Security Interest (PMSI) and Security Interest (SI). A PMSI has priority over a SI in the same collateral if it is perfected before or within 20 days after the debtor receives possession of the collateral. In this case, Standard Auto Wholesalers has a PMSI in the goods sold to Hans, and they filed a financing statement on the same day, which perfects their PMSI. MDNB also has a PMSI in the same goods, but since Standard Auto Wholesalers perfected their PMSI first, they have priority over MDNB.
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other things constant, the quantity theory of money suggests that any increase in the money supply
Other things constant, the quantity theory of money suggests that any increase in the money supply will lead to a proportional increase in the overall price level in the economy.
This theory is based on the equation of exchange, which states that the total spending in an economy (MV) is equal to the price level (P) multiplied by the quantity of goods and services produced (Q). In this equation, M represents the money supply and V represents the velocity of money.
According to the quantity theory of money, if the money supply (M) increases while the velocity of money (V) and the quantity of goods and services (Q) remain constant, there will be an increase in the total spending (MV) in the economy. As a result, prices (P) will rise to accommodate the increased money supply.
It's important to note that the quantity theory of money assumes that the velocity of money and the quantity of goods and services are relatively stable in the short run, and that any changes in the money supply have a direct and proportional impact on prices. However, in reality, other factors such as changes in production, consumption, and velocity of money can influence the relationship between money supply and price levels.
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TRUE OR FALSE
Some employees enjoy working for an autocratic leader because they welcome the structured environment.
Answer:
The Answer is gonna be True
This is the right Answer :3
I hope you are having a great day ❤️❤️❤️
Answer:
true
Explanation:
promise its true
HOPE IT HELPS
As described in the module and by Brookfield and Padoch in their article, Agrodiversity as a concept could include, broadly (check all that apply):
All the set of crop and soil management methods in use by different farming communities in a region or globally.
The range of income levels in a community that explains people's ability to engage in market-based agriculture.
Creating diverse environments for food-growing that complement the diversity of cultivated plants.
Innovations that result in the ability to survive a dramatic change in the climate or other aspect of growing conditions for food.
It emphasizes innovations that lead to the ability to withstand dramatic changes in the climate or other aspects of growing conditions for food. The correct option is A, C and D.
As described in the module and by Brookfield and Padoch in their article, Agrodiversity as a concept could include, broadly all the set of crop and soil management methods in use by different farming communities in a region or globally, creating diverse environments for food-growing that complement the diversity of cultivated plants and innovations that result in the ability to survive a dramatic change in the climate or other aspect of growing conditions for food. Therefore, the correct options are: A. All the set of crop and soil management methods in use by different farming communities in a region or globally.C. Creating diverse environments for food-growing that complement the diversity of cultivated plants.D. Innovations that result in the ability to survive a dramatic change in the climate or other aspect of growing conditions for food.
Agrodiversity, as a concept, describes all of the crop and soil management practices used by different farming communities in a region or globally. Additionally, it also refers to the creation of varied environments for food cultivation, which complements the diversity of cultivated plants. Lastly, it emphasizes innovations that lead to the ability to withstand dramatic changes in the climate or other aspects of growing conditions for food.
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analyse the impact of an enterprise using break even analysis to make business decisions
Answer:
Using break-even analysis in your feed and grain business can help you understand and examine the profit drivers of your business. It is a very useful tool that can help you understand how much you need to sell to cover your costs and how pricing, cost, and volume changes impact these needed sales.
Assume you are evaluating whether to sell product a or product b. through your analysis, you determine there is a higher probability that product a will not succeed in the marketplace. given that, which product will you require a higher return on?
Product B will t will you require a higher return on product.
The survey found that returns of online purchases of clothes were most common, with 88 percent of American customers reporting doing so. A customer returning a goods to a retailer in the retail industry results in one of three outcomes.
A refund in the original method of payment, an exchange for a new item. Customers feel more secure knowing that what they are buying is guaranteed to be what it is described to be thanks to a clear and explicit return policy. If a store doesn't provide this assurance, customers grow untrusting and decide not to purchase the product.
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Internal Rate of Return Analysis. Architect Services, Inc., would like to purchase a blueprint machine for $50,000. The machine is expected to have a life of 4 years, and a salvage value of $10,000. Annual maintenance costs will total $14,000. Annual savings are predicted to be $30,000. The company’s required rate of return is 11 percent (this is the same data as the previous exercise).
Required:
Use trial and error to approximate the internal rate of return for this investment proposal. Round to the nearest dollar.
Should the company purchase the blueprint machine? Explain.
Yes, the company should purchase the blueprint machine as the approximate internal rate of return (IRR) of 18% exceeds the required rate of return (11%), indicating potential profitability.
To approximate the internal rate of return (IRR) for the investment proposal of purchasing a blueprint machine, we need to calculate the net cash flows for each year and find the discount rate at which the net present value (NPV) of these cash flows becomes zero. We can use trial and error to approximate the IRR.
Given:
Initial investment (Year 0): -$50,000
Annual maintenance costs: -$14,000
Annual savings: $30,000
Salvage value (Year 4): $10,000
Required rate of return: 11%
Using these values, we can calculate the net cash flows for each year:
Year 0: -$50,000 (Initial investment)
Year 1: $30,000 - $14,000 = $16,000
Year 2: $30,000 - $14,000 = $16,000
Year 3: $30,000 - $14,000 = $16,000
Year 4: $30,000 - $14,000 + $10,000 = $26,000 (including salvage value)
Now, we can calculate the NPV for different discount rates until we find the rate that yields an NPV close to zero. Using trial and error, we can calculate the NPV for a discount rate of 11%:
NPV = (-$50,000) + ($16,000 / (1 + 0.11)^1) + ($16,000 / (1 + 0.11)^2) + ($16,000 / (1 + 0.11)^3) + ($26,000 / (1 + 0.11)^4)
Calculating the NPV, we find that it is not zero. We need to adjust the discount rate and repeat the calculation until the NPV approaches zero.
After several iterations, it is determined that the approximate internal rate of return (IRR) for this investment is approximately 18%. This is the discount rate at which the NPV is close to zero.
Should the company purchase the blueprint machine?
Since the IRR (approximately 18%) is higher than the required rate of return (11%), it indicates that the investment is potentially profitable. Therefore, the company should consider purchasing the blueprint machine as it is expected to generate positive returns and meet the company's required rate of return.
In summary:
The approximate internal rate of return (IRR) for the investment proposal is approximately 18%. Since the IRR is higher than the required rate of return (11%), the company should purchase the blueprint machine as it is expected to be a profitable investment.
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How do the elements of the marketing mix work together to help create a
marketing strategy?
Answer:
The marketing mix refers to the actions a company takes to market its product(s) and/or service(s). Typically, it acts as a framework for breaking down the four key components of marketing — product, price, place, and promotion.
Explanation:
Which statement best defines tuition?
Tuition is federal money awarded to a student.
Tuition is aid given to a student by an institution.
Tuition is money borrowed to pay for an education.
Tuition is the price of attending classes at a school.
Answer:
D
Explanation:
Edge 2021
The statement that best describes tuition is the price of attending classes at a school.
What is tuition?Tuition is the payment made by a student for instruction or lessons received at a college or university. The tuition payed by a student depends on:
the complexity of the course: the more complex the course is, the higher tuition would be.the duration of the course: the longer the course is, the higher tuition would be.To learn more about tuition, please check: https://brainly.com/question/16882987
The basic goal of integrated marketing communications is to communicate the value proposition to the target market. outspend competitors. manipulate consumers. tell the world about your company. create desire.
The basic goal of integrated marketing communications (IMC) is to communicate the value proposition to the target market. This means that the main objective is to effectively convey the unique benefits and advantages of a product or service to the intended audience.
IMC aims to create a consistent and cohesive message across various marketing channels, such as advertising, public relations, direct marketing, and digital media. Unlike the other options mentioned in the question, IMC is not about outspending competitors, manipulating consumers, or simply telling the world about your company. While these may be part of a broader marketing strategy, the primary focus of IMC is on delivering a compelling value proposition and creating desire among the target market.
For example, a company that uses IMC might create a TV commercial that showcases the benefits of their product, support it with social media ads that highlight customer testimonials, and reinforce the message through public relations efforts that generate positive media coverage. In summary, the basic goal of integrated marketing communications is to effectively communicate the value proposition to the target market, creating desire and driving customer engagement. It is a strategic approach that involves coordinating various marketing channels to deliver a consistent message.
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Integrated marketing communications seeks to communicate the value proposition to the target market, primarily differentiating one's products from competitors. Successful advertising can impact a firm's perceived demand curve, enabling them to increase quantity sold, price, or both, resulting in increased profits.
Explanation:The primary goal of integrated marketing communications is to effectively communicate the value proposition of a product or service to the target market. This involves effectively explaining and differentiating one's products or services from that of a competitor's. In the context of monopolistic competition, successful advertising can either make a firm's perceived demand curve more inelastic (steeper), or increase the demand for the firm's product (shift the perceived demand curve to the right). Consequently, a successful campaign can enable a firm to sell a higher quantity, charge a higher price, or both, thereby increasing its profits.
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Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).
It can be seen from the solutions given that Cain's net income is $24,000.
Here is the solution:Net income = Net cash provided by operating activities - Adjustments
= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000
= $24,000
Therefore, Cain's net income is $24,000.
Here is a breakdown of the adjustments:
To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.
A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.
The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.
A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.
A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.
A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.
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Burning of candle is which change?(chemical change or physical change)
Answer:
physical as it is getting smaller, but I would also say chemical as it's changing into melted wax? more of a physical change for me. hope this gelps
1. What are the purposes of a checking account?
2. Ownership of the resources used to create wealth is in the hands of the individuals is known as what?
a. private property right
b freedom of choice
c. profits
d. competition
how do you feel about testing?
If an auditor believes the chance of financial failure is low and there a compon (Complete using one of the following terms: increased, decreased or remain the For the toolbar, press ALT+F10 (PC) or A
If an auditor believes the chance of financial failure is low and there are no significant changes in the financial condition or operations of the company, the auditor's assessment would likely be that the going concern assumption remains valid.
This means that the auditor expects the company to continue operating in the future without the need for liquidation or cessation of business activities. The auditor's belief in a low risk of financial failure indicates that the company's financial health is stable and sustainable.
This assessment provides assurance to stakeholders and investors that the company's financial position is unlikely to deteriorate significantly in the near term.
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Any object that you can used to pay for goods or services can be classified as money.
True
False
Answer:
True
Explanation:
Charlotte, a manager for Everyday Beauty Company, has just been given a report showing sales in her region are lower than anticipated for the third quarter. Her next task is to determine the reason for the disappointing results and find a way to get sales up to their desired level. Charlotte's efforts are part of the __________ function of management.
Considering the situation described above, Charlotte's efforts are part of the Planning function of management.
This is because the Planning function of management involves various processes, including planning or making the mission and vision of the firm.
It also includes determining the systems and means by which a desired goal or results of the company or business is achieved.
Thus, in this case, as Charlotte's next task is to determine the reason for the disappointing results and find a way to get sales up to their desired level, this is an example of the Planning function of management.
Hence, in this case, it is concluded that the correct answer is "Planning."
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Graphically show the effects of the following scenarios on the aggregate economy. Label all relevant points clearly. For each scenario, describe the effects on the Price Level, Real GDP, Unemployment Rates, and Interest Rates:
O a.) Assume the economy is experiencing a Recessionary Gap. Show the effects of the Fed SELLING bonds through Open Market Operations.
O b.) Assume the economy is at Full Employment. Show the effects of the Fed BUYING bonds through Open Market Operations.
O c.) Assume the economy is experiencing an Inflationary Gap. Show the effects of an increase in the price of oil.
O d.) Assume the economy is at Full Employment. Show the effects an increase in our populations level of education.
Graphically illustrating the effects on the aggregate economy for different scenarios:
a) Selling bonds during a recessionary gap.
b) Buying bonds at full employment.
c) Increase in the price of oil during an inflationary gap.
d) Increase in the population's level of education at full employment.
a) In a recessionary gap, the Fed selling bonds through open market operations would result in a decrease in the money supply. This action reduces investment and consumption, leading to a decrease in aggregate demand. As a result, the price level decreases, unemployment rates may rise, and interest rates may decline due to reduced borrowing demand.
b) At full employment, if the Fed buys bonds through open market operations, it increases the money supply. This stimulates investment and consumption, leading to an increase in aggregate demand. Consequently, the price level may rise, unemployment rates may decrease further, and interest rates may increase due to increased borrowing demand.
c) During an inflationary gap, an increase in the price of oil can cause production costs to rise. This leads to a decrease in aggregate supply. As a result, the price level increases, real GDP may decrease, unemployment rates may rise, and interest rates may fluctuate depending on the overall impact on the economy.
d) At full employment, an increase in the population's level of education can enhance labor productivity and skills. This positively impacts potential output and aggregate supply. Consequently, the price level may remain stable or experience mild inflation, real GDP may increase, unemployment rates may decline further, and interest rates may remain relatively stable.
These graphical illustrations help understand the potential effects of different economic scenarios on key indicators such as the price level, real GDP, unemployment rates, and interest rates.
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Which type of attention getting strategy runs the risk of being offensive or distracting from your credibility?
a - Ask a question
b - Telling a joke
c - Share a famous quote
d - Share a narrative
a) The solar installation generates electric power from sunlight and incurs operating costs for cleaning
the solar modules (sometimes called solar panels) and replacing solar modules that have failed. The
annual revenue from the electric power is variable due to variable cloudiness and solar module failure
and has a mean of $2.78m and a standard deviation of $0.32m. The annual operating costs have a mean
of $0.51 and a standard deviation of $0.12m.
calculate the mean and standard deviation of the annual profit
Answer:
The mean of the annual profit is $2.27 m.
The standard deviation of the annual profit is $0.3418 m.
Explanation:
Let X represent the annual operating costs for cleaning the solar modules and replacing solar modules that have failed.
And let Y represent the annual revenue from the electric power.
It is provided that:
\(E(X)=\$0.51\ m\\E(Y)=\$2.78\ m\\SD(X)=\$0.12\ m\\SD(Y)=\$0.32\ m\)
It is known that:
Annual Profit (Z) = Annual Revenue (Y) - Annual Operating Costs (X)
Compute the mean of the annual profit as follows:
\(E(Z)=E(Y-X)\)
\(=E(Y)-E(X)\\=2.78-0.51\\=2.27\)
The mean of the annual profit is $2.27 m.
Compute the standard deviation of the annual profit as follows:
\(SD(Z)=\sqrt{V(Y-X)}\)
\(=\sqrt{V(Y)+V(X)-2Cov(X,Y)}\\=\sqrt{V(Y)+V(X)}\\=\sqrt{(0.32)^{2}+(0.12)^{2}}\\=0.3418\)
The standard deviation of the annual profit is $0.3418 m.
a company issues $500,000 of 6%, 10-year bonds dated january 1, 2017 that mature on december 31, 2026. the bonds pay interest semiannually on june 30 and december 31 each year. if bonds are sold at par value, the issuer records the sale with which of the following entries? multiple choice question. debit to cash $500,000; and credit to bond payable $500,000. debit to bond payable $500,000; and credit to cash $500,000. debit to cash $500,000; debit to interest expense $300,000; and credit to bond payable $800,000.
A company issues $500,000 of 6%, 10-year bonds dated January 1, 2017 that mature on December 31, 2026. If bonds are sold the entries are: Debit to Cash $500,000; and credit to Bond Payable $500,000.
Option A is correct.
Bond payable:Bond payable are form of debt securities are a type of debt financing issued by corporations, governments, and other entities to raise capital. As part of the financing, the issuer of the bond is obligated to make periodic interest payments over the term of the loan and to repay the principal when due.
Where will the bond be paid?As the bond issuer, the company is the borrower. Therefore, issuing a bond creates a liability. Liabilities therefore appear on the liability side of the company's balance sheet. Fixed Income liabilities are generally classified in the long-term liability class.
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