In
order to better understand the relative performance of the Asset
Manager, decompose total performance into three factors: currency
selection, country selection and stock selection, and
discuss.

Answers

Answer 1

When analyzing the relative performance of an Asset Manager, it is common to decompose the total performance into three factors: currency selection, country selection, and stock selection.

Currency Selection: Currency selection refers to the decisions made by the Asset Manager regarding the selection and allocation of currencies in the portfolio. This factor examines how well the Asset Manager predicts and takes advantage of currency movements. For example, if the Asset Manager correctly identifies currencies that will appreciate against the base currency, it can contribute positively to the overall performance.

Country Selection: Country selection focuses on the Asset Manager's ability to identify and allocate investments across different countries or regions. It involves evaluating macroeconomic factors, political stability, regulatory environments, and other country-specific indicators. A successful country selection strategy can lead to outperforming specific markets or sectors.

Stock Selection: Stock selection refers to the Asset Manager's ability to pick individual securities within a given market or sector. It involves analyzing fundamental factors such as company financials, industry trends, valuation metrics, and other relevant criteria. Skillful stock selection can result in outperforming specific stocks or sectors relative to benchmark indices.

By decomposing the total performance into these three factors, it allows for a more granular analysis of the Asset Manager's investment decisions and their impact on performance. Each factor contributes to the overall performance, and evaluating their individual contributions helps to identify areas of strength or weakness in the Asset Manager's strategy. It also provides insights into the manager's expertise and their ability to generate alpha through skillful currency, country, and stock selection.

Please note that the actual decomposition and discussion would require specific data and analysis of the Asset Manager's performance in each factor.

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Related Questions

On an Accidental Death and Dismemberment (AD&D) insurance policy, who is qualified to change the beneficiary designation?

Answers

The policyholder is typically the one who has the authority to change the beneficiary designation on an Accidental Death and Dismemberment (AD&D) insurance policy.

This means that if you are the one who took out the policy, you are the one who has the power to change the beneficiary designation to anyone you choose. However, some policies may allow for joint ownership, which means that both the policyholder and the beneficiary have a say in who the beneficiary will be. It's important to note that if the policyholder passes away without having changed the beneficiary designation, the original beneficiary listed on the policy will receive the benefits. Therefore, it's important to regularly review and update your beneficiary designation if your circumstances change or if you want to ensure that your benefits go to a specific person or entity.

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Abe is shopping at Bullseye Inc, when he slips on a wet floor on aisle 13 which causes severe injuries. Abe sues Bullseye Inc. and each of its shareholders individually for his injuries. If Abe's lawsuit is successful, he will be able to recover from the corporation only.
Group of answer choices
True
False

Answers

False.

If Abe's lawsuit is successful, he may be able to recover from both the corporation and its individual shareholders. However, this will depend on the specific circumstances of the case and the laws in the jurisdiction where the lawsuit is filed. Generally, shareholders are not personally liable for the actions of the corporation, but there are some situations where they can be held responsible, such as if they were directly involved in the wrongdoing or if they received improper benefits from the corporation. It is important to consult with a legal professional for guidance on the specific details of this type of case.

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True/false: poka yoke is roughly translated from japanese as quality management

Answers

False. : Poka yoke is actually roughly translated from Japanese as "mistake-proofing" or "error-proofing"

It is a method used in lean manufacturing to prevent errors or defects from occurring during the production process. While it is a component of quality management, it is not the same as quality management as a whole. Quality management encompasses a broader set of principles and practices aimed at ensuring that products or services meet or exceed customer .

your question is: "True/false: poka yoke is roughly translated from Japanese as quality management."The answer is false. Poka yoke is a Japanese term that is roughly translated as "mistake-proofing" or "error prevention." It is a technique used in quality management to prevent errors from occurring in manufacturing processes, but it is not the translation for "quality management" itself.

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the following question has you use rsa, but with larger values (but still not anywhere close to the size of the numbers one would use in a secure cryptographic protocol like tls/ssl). you may use a program that you write, wolfram alpha, or any other computer program to help you solve this problem. for all of these, it is sufficient to just include your number in the answer, unless the question explicitly asks for additional detail. let p

Answers

a) The N value is 68341739. b) The Phi(N) is 68242736. c) he GCD is 1, we can conclude that e is relatively prime to Phi(N). d) The d is 45495157. e) The C value is 25947180. f) The P is 22334455 g) The P' is 23456789. h) The C' is 55443322.

a) Compute N = p * q. What is N?

N = 9497 * 7187 = 68341739

b) Compute Phi(N) = (p-1)(q-1). What is Phi(N)?

Phi(N) = (9497 - 1)(7187 - 1) = 9496 * 7186 = 68242736

c) To verify if e and Phi(N) are relatively prime, we can calculate their greatest common divisor (GCD). If the GCD is 1, then e is relatively prime to Phi(N).

GCD(e, Phi(N)) = GCD(3, 68242736) = 1

Since the GCD is 1, we can conclude that e is relatively prime to Phi(N).

d) To compute d as the inverse of e modulo Phi(N), we can use the Extended Euclidean Algorithm or any method that calculates modular inverses.

d = e⁻¹ mod Phi(N)

d = 3⁻¹ mod 68242736

Using a method like the Extended Euclidean Algorithm, we can find that d = 45495157.

e) Encrypt the value P = 22334455 with the RSA primitive and the values for N and e above. Let C be the resulting ciphertext. What is C?

To encrypt a value using RSA, we raise the plaintext P to the power of e modulo N.

C = [tex]P^e[/tex] mod N

C = 22334455³ mod 68341739

Using a calculator or programming language, we find that C = 25947180.

f) To verify that we can decrypt C using d as the private exponent, we can apply the decryption operation of RSA.

P = [tex]C^d[/tex] mod N

P = [tex]25947180^{45495157}[/tex] mod 68341739

Using a calculator or programming language, we find that P = 22334455, which is the original plaintext value.

g)  Let P’ be the resulting plaintext. What is P’?

To decrypt a ciphertext C' using RSA, we raise it to the power of d modulo N.

P' = [tex]C'^d[/tex] mod N

P' = [tex]55443322^{45495157}[/tex] mod 68341739

Using a calculator or programming language, we find that P' = 23456789.

h) Verify that you can encrypt P' using e as the public exponent to get back C'.

To verify that we can encrypt P' using e as the public exponent, we can apply the encryption operation of RSA.

C' = [tex]P'^e[/tex] mod N

C' = 23456789³ mod 68341739

Using a calculator or programming language, we find that C' = 55443322, which is the original ciphertext value.

The complete question is:

The following question has you use RSA, but with larger values (but still not anywhere close to the size of the numbers one would use in a secure cryptographic protocol like TLS/SSL).

For all of these, it is sufficient to just include your number in the answer, unless the question explicitly asks for additional detail.

Let p = 9497 and q =7187 and e = 3.

a) Compute N = p * q. What is N?

b) Compute Phi(N) = (p-1)(q-1). What is Phi(N)?

c) Verify that e is relatively prime to Phi(N). What method did you use to verify this?

d) Compute d as the inverse of e modulo Phi(N). What is d?

e) Encrypt the value P = 22334455 with the RSA primitive and the values for N and e above. Let C be the resulting ciphertext. What is C?

f) Verify that you can decrypt C using d as the private exponent to get back P. What method did you use to verify this?

g) Decrypt the value C’ = 55443322 using the RSA primitive and your values for N and d above. Let P’ be the resulting plaintext. What is P’?

h) Verify that you can encrypt P’ using e as the public exponent to get back C’.

What method did you use to verify this?

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Today, the exchange rate between the US dollar and Appleland's currency is $1.000=AAA6.972, and between the US dollar and Bananaland's currency is $1.000=BBB3.925. Calculate the implied cross-rate between Appleland's and Bananaland's currencies, expressed as the amount of AAA per one unit of BBB. Do NOT use units in your answer, and only put your numeric answer. Round your answer to FOUR decimal places, for example, 1.2345

Answers

The exchange rate between Appleland's and Bananaland's currencies is approximately 1.7756 AAA per one unit of BBB.

To calculate the implied cross-rate between Appleland's (AAA) and Bananaland's (BBB) currencies, we can use the concept of triangular arbitrage. The implied cross-rate can be derived by dividing the exchange rate of Appleland's currency (AAA) by the exchange rate of Bananaland's currency (BBB).

The exchange rate between the US dollar and Appleland's currency is $1.000 = AAA6.972. This means that 1 unit of Appleland's currency (AAA) is equivalent to 6.972 US dollars.

The exchange rate between the US dollar and Bananaland's currency is $1.000 = BBB3.925. This implies that 1 unit of Bananaland's currency (BBB) is equivalent to 3.925 US dollars.

To find the implied cross-rate between Appleland's and Bananaland's currencies (AAA/BBB), we divide the exchange rate of Appleland's currency (AAA) by the exchange rate of Bananaland's currency (BBB):

Implied cross-rate = (AAA/USD) / (BBB/USD)

Implied cross-rate = AAA/BBB

Using the given exchange rates, the implied cross-rate between Appleland's and Bananaland's currencies is:

Implied cross-rate = (AAA/USD) / (BBB/USD)

Implied cross-rate = 6.972 / 3.925

Implied cross-rate ≈ 1.7756 (rounded to four decimal places)

Therefore, the implied cross-rate between Appleland's and Bananaland's currencies is approximately 1.7756 AAA per one unit of BBB.

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When people compare themselves to others in their own organization, they are evaluating:
External equity
Individual equity
Expectancy theory
Internal equity
Expectancy theory is a simple content with profound impact, especially with pay for performance systems. It postulates that in order for employees to be satisfied with their pay:
Their effort must be matched with the value of the compensation.
Employers can expect that higher skill level and ability will lead to higher performance
Compensation should be private between the employer and the employee.
Highly valued rewards lead to improved effort and performance.

Answers

When people compare themselves to others in their own organization, they are evaluating their equity.

Equity theory is a motivational theory that explains how people strive for fairness and justice in social exchanges or relationships. It suggests that individuals compare their inputs and outcomes with those of others and perceive the fairness of the exchange. When employees perceive that they are treated unfairly, they may become demotivated, which can lead to lower productivity and performance. Therefore, organizations must create a work environment that encourages employees to perceive fairness in their social exchanges or relationships.

Expectancy theory is a motivational theory that explains how people make decisions based on their expectations of the outcomes of their behavior. It suggests that individuals make choices based on their perception of the probability that their effort will lead to high performance and that high performance will lead to outcomes that they value. Employees are likely to be satisfied with their pay if they perceive that their pay is directly linked to their performance and that their performance will lead to rewards that they value. Therefore, organizations must design pay for performance systems that clearly communicate the relationship between performance and rewards and offer rewards that are highly valued by employees.

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ms. fresh bought 1,000 shares of ibis corporation stock for $6,500 on january 15, 2019. on december 31, 2021, she sold all 1,000 shares of her ibis stock for $5,250. based on a hot tip from her friend, she bought 1,000 shares of ibis stock on january 23, 2022, for $3,375. what is ms. fresh's recognized loss on her 2021 sale, and what is her basis in her 1,000 shares purchased in 2022?

Answers

To calculate Ms. Fresh's recognized loss on the 2021 sale of her IBIS stock and determine her basis in the shares purchased in 2022, we need to consider the relevant information provided.


1. Recognized Loss on 2021 Sale:
Ms. Fresh purchased 1,000 shares of IBIS Corporation stock for $6,500 on January 15, 2019, and sold all 1,000 shares on December 31, 2021, for $5,250.
The recognized loss on the sale is calculated by subtracting the sale proceeds from the original cost basis:
$6,500 (cost basis) - $5,250 (sale proceeds) = $1,250
Ms. Fresh's recognized loss on the 2021 sale of her IBIS stock is $1,250.
2. Basis in 1,000 Shares Purchased in 2022:
Ms. Fresh bought 1,000 shares of IBIS stock on January 23, 2022, for $3,375.
The basis in the shares purchased in 2022 is simply the purchase price:
$3,375
Therefore, Ms. Fresh's basis in her 1,000 shares purchased in 2022 is $3,375.

Please note that tax rules can be complex and subject to specific circumstances. It's always recommended to consult a qualified tax professional for personalized advice based on your specific situation.

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If an economy can increase its steady annual growth rate from 2 percent to 3 percent, this reduces the time it takes for the economy to double in size by _____ years. 5 8 12 24 36

Answers

Option (c), If an economy can increase its steady annual growth rate from 2 percent to 3 percent, this reduces the time it takes for the economy to double in size.

The time it takes for an economy to double in size is calculated using the rule of 72. The rule of 72 states that the number of years it takes for an investment to double in value is approximately 72 divided by the annual rate of return. Therefore, if an economy grows at a steady annual rate of 2 percent, it would take approximately 36 years for the economy to double in size (72 divided by 2). However, if the economy can increase its steady annual growth rate to 3 percent, it would take approximately 24 years for the economy to double in size (72 divided by 3). Therefore, increasing the steady annual growth rate from 2 percent to 3 percent reduces the time it takes for the economy to double in size by 12 years (36 minus 24). So the answer is 12 years.

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A Keynesian economist believes that O A if the economy was left alone, it would rarely operate at full employment OB. the economy is self-regulating and will normally, though not always operate at full employment if monetary policy is not erratic Oc! the economy is self-regulating and will normally, though not always operate at full employment fiscal policy is not erratic O D. the economy is self - regulating and always at full employment

Answers

A Keynesian economist believes that the economy is not self-regulating and that it would rarely operate at full employment if left alone (Option A). This is because there are often market failures, such as information asymmetry and externalities, that can cause the economy to be inefficient.

Therefore, Keynesian economists argue that government intervention, particularly through monetary and fiscal policy, is necessary to stabilize the economy and achieve full employment.While the economy may sometimes operate at full employment without government intervention, this is not always the case. If monetary policy is erratic (Option B), it can cause fluctuations in the economy, leading to periods of unemployment and inflation. Similarly, if fiscal policy is erratic (Option C), it can also cause instability in the economy.

Lastly, it is important to note that the economy is not always at full employment (Option D). In fact, unemployment is often present even during periods of economic growth. Therefore, a Keynesian economist would argue that government intervention is needed to promote job creation and reduce unemployment during times of economic downturns. Overall, a long answer to this question would explain how Keynesian economics emphasizes the need for government intervention to stabilize the economy and achieve full employment.

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With reference to reliable academic sources and key authors, critically compare and contrast 'Best Practice' HRM (the universalist approach) and 'Best Fit' HRM (the contingency approach). You must ensure that your answer specifically addresses Human Resource Management, rather than generic best practices in accounting, marketing, operations etc.

Answers

Human Resource Management (HRM) can be defined as the process of recruiting, selecting, and training employees in an organization. HRM plays a vital role in an organization's success.

HRM is one of the essential components of an organization's system, and it helps organizations to achieve their strategic objectives. There are two main approaches to HRM: Best Practice HRM and Best Fit HRM. The Universalist or Best Practice approach to HRM suggests that specific HR policies and practices can improve organizational performance. Best Practice HRM is a one-size-fits-all approach that emphasizes HR policies and practices that are widely applicable to all organizations, regardless of their goals, values, and strategic direction. Best Practice HRM is a standardized approach to managing people and emphasizes the use of HR policies and practices to improve organizational performance. The universalist approach assumes that specific HR policies and practices can improve organizational performance in all circumstances.

The contingency approach, also known as the Best Fit approach to HRM, suggests that HR policies and practices must align with an organization's strategic objectives and the external environment in which it operates. The Best Fit approach to HRM emphasizes the need for organizations to adapt their HR policies and practices to meet their unique needs and circumstances. The Best Fit approach argues that there is no one-size-fits-all approach to HRM because each organization is unique, and its needs and circumstances are different. The contingency approach assumes that HR policies and practices must be adapted to meet an organization's specific needs and circumstances.Overall, Best Practice HRM emphasizes the use of standardized HR policies and practices, while Best Fit HRM emphasizes the need for HR policies and practices to be adapted to meet an organization's unique needs and circumstances. The Best Fit approach to HRM is widely accepted by scholars and practitioners as the most effective approach to managing people because it allows organizations to tailor their HR policies and practices to meet their unique needs and circumstances.

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Leo Corp., a mobile manufacturer, attains competitive advantage over its rivals by providing unique features in the phones they manufacture, such as a 3000 mAh battery, facial recognition software, and customized applications. Which of the following is Leo trying to attain through these additional product features?
A. Service standardization
B. Mass customization
C. Product depreciation
D. Product differentiation

Answers

Leo Corp. is trying to attain product differentiation through the additional features they provide in their mobile phones. The correct option is A, B, C and D.

Product differentiation is a strategy that companies use to distinguish their products from those of their competitors by providing unique features and attributes that are perceived as valuable by their target market. Leo Corp.'s unique features, such as a 3000 mAh battery, facial recognition software, and customized applications. This strategy allows them to charge premium prices for their products and attract customers who are willing to pay for the added value they offer.

Service standardization refers to the process of establishing a uniform set of service standards to ensure consistent delivery of services across all customer touchpoints. This is not relevant to Leo Corp.'s strategy of providing unique product features.

Mass customization is a strategy that allows companies to provide customized products and services to their customers on a large scale. This is not applicable to Leo Corp.'s strategy as they are not offering customized products to individual customers but rather providing unique features to all their customers.

Product depreciation refers to the reduction in value of a product over time due to wear and tear, changes in technology, or other factors. This is not relevant to Leo Corp.'s strategy of product differentiation.

The correct option is A, B, C and D.

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a company is considering investing in a new machine that requires an initial investment of $47,947. the machine will generate annual net cash flows of $21,000 for the next three years. what is the internal rate of return of this machine? (pv of $1, fv of $1, pva of $1, and fva of $1) (use appropriate factor(s) from the tables provided.)

Answers

The internal rate of return (IRR) of the new machine investment is approximately 16%.

To calculate the IRR, we need to find the discount rate that makes the net present value (NPV) of the investment equal to zero. The initial investment of $47,947 is negative, and the net cash flows of $21,000 per year for three years are positive. Using the present value of an annuity (PVA) table, we can calculate that the present value of these cash flows at a discount rate of 16% is approximately $51,560. Subtracting the initial investment, we get an NPV of approximately $3,613. To find the exact IRR, we can interpolate between the discount rates that give an NPV of just above and just below zero. Based on this calculation, the IRR of the new machine investment is approximately 16%.

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The market exchange rate between Australian dollars and the US dollars is USD 0.75 per Australian dollar. The real exchange rate is 1.25. What is the PPP based exchange rate?

Answers

The PPP-based exchange rate cannot be determined without information on price levels in both countries.

The Purchasing Power Parity (PPP) exchange rate is a theoretical concept that suggests that the exchange rate between two currencies should equalize the purchasing power of each currency in their respective countries. To calculate the PPP-based exchange rate, we need to divide the real exchange rate by the ratio of price levels between the two countries.

Given:

Market exchange rate: USD 0.75 per Australian dollar

Real exchange rate: 1.25

To determine the PPP-based exchange rate, we need to consider the price levels in both countries. However, the given information does not provide specific data on price levels. Therefore, we cannot calculate the PPP-based exchange rate without additional information on price levels.

The PPP-based exchange rate is influenced by various factors such as inflation rates, relative price levels, and cost of living. Without knowing the specific price levels in both countries, it is not possible to calculate the PPP-based exchange rate accurately.

To obtain an accurate PPP-based exchange rate, we would need information on price levels or inflation rates in both Australia and the United States. With that information, we could calculate the ratio of price levels and use it to adjust the real exchange rate.

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Which of the following scenarios is most likely to be considered an unfair trade practice that will result in the imposition of import duties?
A. Both of these.
B. Neither of these
c. Canada is a major exporter of plywood to the United States. The Canadian government charges a very low fee for cutting lumber in its national forests. In the United States, however, the cutting fee is substantial, adding almost 15% to the cost of the finished lumber product. U.S. lumber producers, which have lost much of their market share due to imports of Canadian plywood, contend that Canada is unfairly subsidizing its lumber companies by charging such a low cutting fee and have asked for the imposition of countervailing duties.
d. The largest manufacturer of cookies in the United Kingdom entered the U.S. cookie market two years ago. When the British manufacturer entered the U.S. market, it began a national advertising campaign to promote cookie consumption and to promote its products. It encouraged consumers to try its cookies by distributing coupons that allowed consumers to buy its cookies below their actual cost. As a result, sales of the British cookies more than doubled. Sales of cookies sold by U.S. brands have risen as well, but their market share has decreased. U.S. cookie manufacturers have asked for the imposition of antidumping duties due to sales of the British cookies below actual cost.

Answers

The scenario that is most likely to be considered an unfair trade practice that will result in the imposition of import duties is when a foreign manufacturer enters the U.S. market and sells its products below their actual cost.

This may lead to the imposition of antidumping duties by the U.S. government to protect domestic manufacturers from unfair competition.The scenario mentioned in the question involves the largest manufacturer of cookies in the United Kingdom that entered the U.S. cookie market two years ago and began a national advertising campaign to promote cookie consumption and its products. The company distributed coupons that allowed consumers to buy its cookies below their actual cost, resulting in increased sales of British cookies and decreased market share of U.S. brands. The U.S. cookie manufacturers have requested the imposition of antidumping duties to protect themselves from unfair competition. Antidumping duties are imposed when foreign companies sell their products at a lower price than their actual cost to gain market share, which harms domestic manufacturers. It is considered an unfair trade practice that results in the imposition of import duties to level the playing field.

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Which is not a process norm that underpins high performance?
Multiple Choice
collaboration
confidence
cooperation
conflict
cohesion

Answers

The process norm that does not underpin high performance is conflict. Conflict is generally considered to be detrimental to team dynamics and can lead to decreased collaboration, cooperation, and cohesion.

While some degree of healthy debate and disagreement can be beneficial for problem-solving and decision-making, unmanaged conflict can lead to tension, reduced productivity, and increased turnover. Therefore, it is important for teams to establish clear norms and protocols for managing conflict and promoting positive communication.

Conflict is not a process norm that underpins high performance. High-performing teams are characterized by collaboration, cooperation, and cohesion, which facilitate effective communication and problem-solving. Confidence is also an important aspect of high performance, as it empowers team members to take risks and make decisions. In contrast, conflict can hinder progress and create tension within a team.

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The recent attacks on foreigners (who are also the owners of most small business
operations in high-density suburbs) are going to counter the government’s plans and
negatively impact employment projections. In your own opinion explain the root
cause of the xenophobia attacks around your area and explain how it has affected
your campus or your area of location

Answers

Xenophobia attacks, characterized by hostility or violence towards foreigners, can stem from a combination of complex factors. In my own opinion, the root causes of xenophobia attacks in any area can be attributed to a combination of economic, social, and political factors.

Economically, xenophobia can arise from perceived competition for jobs and economic resources. When local communities perceive foreigners as taking away job opportunities or benefiting from economic opportunities that should be reserved for locals, it can create resentment and hostility.

Socially, xenophobia can be fueled by cultural differences and the fear of cultural dilution or loss of identity. When local communities perceive foreigners as a threat to their cultural norms, values, or social fabric, it can lead to fear, suspicion, and xenophobic attitudes.

Politically, xenophobia can be exploited and manipulated for various reasons. Political leaders or groups may use xenophobic sentiments as a means to divert attention from other pressing issues, scapegoat foreigners for societal problems, or advance their own political agendas.

These xenophobic attacks have detrimental effects on the community, including the area's campus or location. Such attacks create an atmosphere of fear, tension, and insecurity. It can lead to a breakdown in social cohesion, strained relationships, and a decline in community trust. Additionally, the attacks can have severe economic consequences. As mentioned, many small business operations are owned by foreigners, and attacks on them can disrupt economic activities, leading to job losses and reduced employment opportunities in the area.

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Static General equilibrium model (35 points) Question 1 (35 points) Consider the following statement and answer the question. "The "headwind" caused by climate change will only become stronger, says Ariel Ortiz-Bobea, one of the study's authors. Their research found that the sensitivity of agricultural productivity increases as temperatures rise. In other words, each additional fraction of a degree is more detrimental to food production than the last. That is especially bad news for food producers in places, such as the tropics, that are already warm. Another study predicts that for every degree that global temperatures rise, mean maize yields will fall by 7.4%, wheat yields will fall by 6% and rice yields will fall by 3.2% Those three crops supply around two-thirds of all the calories that humans consume." Analyze the equilibrium impact of the Climate Change on macroeconomic variables, i.e. output, consumption, wage, and labor hour. Compare and contrast the equilibrium situation before and after a rise in digital twin. Graphically illustrate and explain in the details. Please make sure that your analysis is well- organized.

Answers

The provided question seems to be a mix of different topics and concepts, including climate change, agricultural productivity, and macroeconomic variables. However, the mention of "digital twin" is unclear and may be unrelated to the topic. To provide a well-organized analysis, I will focus on the impact of climate change on macroeconomic variables and the equilibrium situation before and after this change.

Before Climate Change:

1. Output: The agricultural sector is affected by climate change, leading to a potential decrease in output due to the negative impact on crop yields.

2. Consumption: Decreased agricultural output may result in reduced availability of certain food products, potentially leading to higher prices and a decrease in consumption.

3. Wage: The wages in the agricultural sector might be affected by changes in output and labor demand. If productivity decreases, it could negatively impact wages.

4. Labor Hours: Changes in agricultural output may influence the demand for labor hours, potentially leading to a decrease if production decreases.

After Climate Change:

1. Output: The impact of climate change on agricultural productivity may lead to a further decrease in output, affecting the overall GDP of the economy.

2. Consumption: With reduced agricultural output, there might be a decrease in the availability of certain food products, leading to higher prices and a further decline in consumption.

3. Wage: The negative impact on agricultural productivity could result in lower wages, especially for workers in the affected sectors.

4. Labor Hours: The decrease in output and demand for agricultural products may lead to a decrease in labor hours, affecting employment levels in the sector.

Graphically illustrating this analysis would require specific data and equations to plot the equilibrium situation before and after climate change. Unfortunately, the question does not provide the necessary information to construct a detailed graphical representation.

It's important to note that the analysis provided is a general overview and assumptions have been made based on the information given. A more comprehensive analysis would require additional data and a detailed economic model.

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Collateral plays an important role in Financial Markets. Discuss how collateral helps in reducing moral hazard and adverse selection problems. Start by defining: collateral, moral hazard (MH), and adverse selection (AS) in financial markets (use FINANCE related examples if needed). Elaborate on your answers and be specific about HOW collateral reduces the AS and MH problems.

Answers

Collateral reduces moral hazard by creating a disincentive for borrowers to take excessive risk, as they have valuable assets at stake. It helps mitigate adverse selection by serving as a signal of creditworthiness, allowing lenders to differentiate between high-risk and low-risk borrowers based on their willingness to provide collateral.

Moral hazard refers to the risk that a borrower may take on excessive risk or engage in irresponsible behavior knowing that they will not bear the full consequences. With collateral, lenders can reduce moral hazard by requiring borrowers to provide valuable assets as collateral. This creates a disincentive for borrowers to engage in risky activities because they have something at stake, and the potential loss of collateral serves as a deterrent.

Adverse selection refers to the asymmetry of information between lenders and borrowers, where borrowers with higher risk are more likely to seek loans. Collateral helps address adverse selection by acting as a signal of the borrower's creditworthiness. A borrower willing to offer valuable collateral demonstrates a higher commitment and credibility, reducing the lender's concerns about the borrower's credit quality. This enables lenders to differentiate between high-risk and low-risk borrowers and offer more favorable terms to those providing collateral.

In finance, a common example is when individuals apply for a mortgage. The house being purchased serves as collateral, reducing the moral hazard as borrowers are less likely to default, knowing they could lose their home. Additionally, the collateral helps address adverse selection, as borrowers with more stable financial positions are more likely to have the assets required as collateral, signaling their creditworthiness.

Overall, collateral provides tangible security to lenders, reducing moral hazard by aligning the incentives of borrowers and lenders, and addressing adverse selection by allowing lenders to assess creditworthiness based on the value of collateral offered.

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Portfolio Expected Return Standard
Deviation
Risk-free 6.0 % 0 %
Market 13.8 39 A 11.8 28 a.Calculate the sharpe ratios for the market portfolio and portfolio A. (Round your answers to 2 decimal places.)
Sharpe Ratio
Market portfolio __
Portfolio A ____
b. If the simple CAPM is valid, state whether the above situation is possible?
Yes
No

Answers

a. The Market portfolio is 0.21 and portfolio A is 0.21. b. If the simple CAPM (Capital Asset Pricing Model) is valid, the Sharpe ratios of both portfolios should be the same because they represent the excess return per unit of risk.

To calculate the Sharpe ratios, we need to use the formula:

Sharpe Ratio = (Portfolio Expected Return - Risk-Free Rate) / Portfolio Standard Deviation

a. Let's calculate the Sharpe ratios for the market portfolio and portfolio A:

For the market portfolio:

Sharpe Ratio = (13.8% - 6.0%) / 39% ≈ 0.21

For portfolio A:

Sharpe Ratio = (11.8% - 6.0%) / 28% ≈ 0.21

b. If the simple CAPM (Capital Asset Pricing Model) is valid, the Sharpe ratios of both portfolios should be the same because they represent the excess return per unit of risk. In this case, both portfolios have the same Sharpe ratio of approximately 0.21. Therefore, the above situation is possible and consistent with the assumptions of the CAPM.

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what is the price elasticity of supply for a good that sees a 4% increase in quantity supplied for a 2% increase in price?

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The price elasticity of supply measures the responsiveness of quantity supplied to a change in price. If a good sees a 4% increase in quantity supplied for a 2% increase in price, it suggests that the good has an elastic supply curve. This means that a small change in price leads to a relatively large change in quantity supplied.

In this case, the price elasticity of supply would be calculated as 4%/2% = 2. This means that for every 1% change in price, there is a 2% change in quantity supplied. It is important for producers to understand the price elasticity of supply as it impacts their profitability and production decisions. The price elasticity of supply for a good that sees a 4% increase in quantity supplied for a 2% increase in price can be calculated using the formula: Price Elasticity of Supply (PES) = (% change in quantity supplied) / (% change in price). In this case, the % change in quantity supplied is 4%, and the % change in price is 2%. Plugging these values into the formula, we get PES = (4% / 2%) = 2. Therefore, the price elasticity of supply for this good is 2, which indicates that it is relatively elastic. This means that the quantity supplied is responsive to changes in price, and producers are likely to adjust their production levels as prices change.

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If an increase in the price of Good X causes a decrease in the demand for Good Y, we can conclude that:
a. the price of Good Y will increase
b. Goods X and Y are normal goods
c. Goods X and Y are substitutes
d. Goods X and Y are complements

Answers

c) If an increase in the price of Good X causes a decrease in the demand for Good Y, we can conclude that Goods X and Y are substitutes.

When two goods are substitutes, they can be used as alternatives for each other. In this case, an increase in the price of Good X leads consumers to shift their demand towards Good Y, resulting in a decrease in the demand for Good Y. This negative relationship between the price of Good X and the demand for Good Y suggests that they are substitutes. As the price of Good X increases, consumers find Good Y to be a more attractive option, leading to a decrease in its demand.

Therefore, the correct option is c. Goods X and Y are substitutes.

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Fes Company is making adjusting journal entries for the year ended December 31, 2021. In developing information for the adjusting journal entries, you learned the following:
A two-year insurance premium of $7,600 was paid on January 1, 2021, for coverage beginning on that date. As of December 31, 2021, the unadjusted balances were $7,600 for Prepaid Insurance and $0 for Insurance Expense.
At December 31, 2021, you obtained the following data relating to supplies.
Unadjusted balance in Supplies on December 31 $ 17,000
Unadjusted balance in Supplies Expense on December 31 76,000
Supplies on hand, counted on December 31 11,600
Required:
Of the $7,600 paid for insurance, what amount should be reported on the 2021 income statement as Insurance Expense? What amount should be reported on the December 31, 2021, balance sheet as Prepaid Insurance?
What amount should be reported on the 2021 income statement as Supplies Expense? What amount should be reported on the December 31, 2021, balance sheet as Supplies?
Indicate the accounting equation effects of the adjustment required for (a) insurance and (b) supplies.

Answers

he amount reported on the 2021 income statement as Insurance Expense should be $7,600.

Since the insurance premium of $7,600 was paid on January 1, 2021, for coverage beginning on that date, the entire premium amount should be reported as Insurance Expense on the 2021 income statement.

The amount reported on the December 31, 2021, balance sheet as Prepaid Insurance should be $0.

As of December 31, 2021, the unadjusted balance for Prepaid Insurance is $7,600. However, since the coverage period for the prepaid premium has expired by the end of the year, the entire amount should be recognized as an expense (Insurance Expense) on the income statement. Therefore, there should be no remaining balance for Prepaid Insurance on the December 31, 2021, balance sheet.

The amount reported on the 2021 income statement as Supplies Expense should be $81,400.

The unadjusted balance in Supplies Expense on December 31 is $76,000. To determine the amount of supplies consumed during the year, we need to calculate the change in supplies on hand. The formula is:

Supplies Consumed = Beginning Supplies + Purchases - Ending Supplies

Substituting the given values:

Supplies Consumed = $17,000 (unadjusted balance in Supplies on December 31) + Purchases - $11,600 (supplies on hand counted on December 31)

Supplies Consumed = $5,400 + Purchases

Since the unadjusted balance in Supplies Expense on December 31 is $76,000, we can calculate the amount of Supplies Expense for the year:

Supplies Expense = Supplies Consumed + Unadjusted balance in Supplies Expense

Supplies Expense = $5,400 + Purchases + $76,000

Given that the Supplies Expense is $76,000, we can solve for Purchases:

$76,000 = $5,400 + Purchases + $76,000

Purchases = $0

Therefore, the amount reported on the 2021 income statement as Supplies Expense is $81,400 ($76,000 + $5,400).

The amount reported on the December 31, 2021, balance sheet as Supplies should be $11,600.

The supplies on hand counted on December 31 is $11,600, which represents the remaining supplies that have not been consumed or used up. This amount should be reported on the December 31, 2021, balance sheet as Supplies.

Accounting equation effects:

For the insurance adjustment:

The Insurance Expense increases by $7,600, resulting in a decrease in retained earnings and net income.

The Prepaid Insurance decreases by $7,600, resulting in a decrease in assets.

For the supplies adjustment:

The Supplies Expense increases by $81,400, resulting in a decrease in retained earnings and net income.

The Supplies decrease by $5,400 (Supplies Consumed), resulting in a decrease in assets.

Based on the provided information, the Insurance Expense on the 2021 income statement should be $7,600, and the Prepaid Insurance on the December 31, 2021, balance sheet should be $0. The Supplies Expense on the 2021 income statement should be $81,400, and the Supplies on the December 31, 2021, balance sheet should be $11,600. The adjustments for insurance and supplies have specific effects on the accounting equation, impacting both the income statement and the balance sheet.

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.Although it seems counter-intuitive, one way to strengthen a customer relationship is to recommend:
A) that the customer purchase large volumes
B) that the customer purchase from another source
C) that the customer pay a higher price
D) that the customer be dropped if it is not profitable
E) the the customer be given presents

Answers

The option E, to recommend giving presents to the customer. By offering gifts or other incentives to the customer, it helps to build goodwill and strengthen the relationship.

This can increase the likelihood of repeat business and word-of-mouth referrals, ultimately benefiting the company in the long run. Recommending the other options (A, B, C, D) may lead to the customer feeling manipulated or unvalued, which could harm the relationship.


Although it may seem counter-intuitive, recommending that a customer purchase from another source can actually strengthen the customer relationship. This is because it demonstrates that you prioritize their needs and satisfaction over making a sale. By being honest and putting the customer's interests first, you build trust, which is essential for a strong customer relationship.

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in the labor market, when seeking a high-skill and in high demand employee, what will be the result?

Answers

They actively seek out these individuals to bolster their workforce and gain a competitive advantage. when seeking a high-skill and in high demand employee in the labor market, the result is likely to be increased competition and potentially higher compensation for such employees. here's why:

1. increased competition: high-skill and in-demand employees are often sought after by multiple employers. as a result, there is increased competition among companies to attract and secure the services of these individuals. this competition can lead to more robust recruitment efforts, offering attractive benefits, and providing a favorable work environment to entice top talent.

2. higher compensation: due to the scarcity of high-skill and in-demand employees, employers may need to offer higher compensation packages to attract and retain them. this can include competitive salaries, performance-based bonuses, stock s, and other incentives. the higher demand for these employees gives them more bargaining power in negotiations, allowing them to command better compensation packages.

3. skill development and training: companies seeking high-skill employees may invest in training and development programs to enhance the skills of their existing workforce or attract talented individuals. by providing opportunities for skill enhancement and career advancement, employers can make themselves more attractive to high-skill employees.

4. innovation and productivity: high-skill employees often possess specialized knowledge, expertise, and experience that can drive innovation and enhance productivity within an organization. companies recognize the value of such employees in improving efficiency, competitiveness, and achieving business goals. in summary, when seeking high-skill and in-demand employees in the labor market, the result is increased competition among employers and potentially higher compensation for these individuals. employers may need to offer attractive incentives, invest in skill development, and create a favorable work environment to attract and retain top talent.

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quick service restaurants have increased in popularity because of

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Quick service restaurants have increased in popularity because of several reasons. One of the primary reasons is that people today lead busy and fast-paced lives. They have little time to sit down for a full meal, and therefore, prefer to opt for quick and convenient meal options.

Quick service restaurants provide just that, with their fast and efficient service and on-the-go options. Another reason for the popularity of quick service restaurants is the affordability factor. These restaurants usually have lower prices compared to traditional restaurants, making them a more budget-friendly option for people. Additionally, many quick service restaurants also offer value meals and deals, which are attractive to price-conscious consumers.

Moreover, quick service restaurants have adapted to changing consumer preferences by offering healthier menu options. Many of these restaurants now offer low-calorie, low-fat, and vegetarian options to cater to the growing demand for healthier food choices. Lastly, the rise of technology has also contributed to the popularity of quick service restaurants. With the advent of mobile apps and online ordering, customers can place their orders and pay for their meals before they arrive, reducing wait times and making the entire process more convenient.
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the fha standard debt ratios can be exceeded based on the automated underwriting approval or with which of the following compensating factors? (select all that apply)
a. nominal increase in housing expense
b. remaining cash reserves after closing
c. residual income defined as significant additional income not reflected in effective income
d. none of the above

Answers

The correct s are b.remaining cash reserves after closing and c.

based on the information provided, the compensating factors that can be used to exceed the fha standard debt ratios are:

b. e maining cash reserves after closing

c. residual income defined as significant additional income not reflected in effective income

both remaining cash reserves after closing and significant additional income not reflected in effective income can be considered as compensating factors by the automated underwriting system for exceeding the standard debt ratios set by the fha. these factors provide additional evidence of the borrower's ability to manage higher debt levels and demonstrate financial stability. residual income defined as significant additional income not reflected in effective income.

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question content area using the following information: the bank statement balance is $4,690. the cash account balance is $5,080. outstanding checks amounted to $715. deposits in transit are $1,020. the bank service charge is $40. a check for $72 for supplies was recorded as $27 in the ledger. prepare a bank reconciliation for miller co. for august 31.

Answers

The adjusted Cash Balance is $5,035. To prepare a bank reconciliation for Miller Co. for August 31, we need to compare the bank statement balance with the cash account balance and make adjustments for any differences.

Let's go through the process step by step:

Start with the bank statement balance:

Bank statement balance: $4,690

Add deposits in transit:

Deposits in transit: +$1,020

Adjusted bank balance: $4,690 + $1,020 = $5,710

Subtract outstanding checks:

Outstanding checks: -$715

Adjusted bank balance: $5,710 - $715 = $4,995

Check for bank service charge:

Bank service charge: -$40

Adjusted bank balance: $4,995 - $40 = $4,955

Now let's move on to the cash account balance:

Cash account balance: $5,080

Subtract the check recording error:

Check recording error: -$45 (recorded as $27 instead of $72)

Adjusted cash balance: $5,080 - $45 = $5,035

Compare the adjusted cash balance with the adjusted bank balance:

Adjusted bank balance: $4,955

Adjusted cash balance: $5,035

The adjusted bank balance and adjusted cash balance are not equal, indicating a discrepancy between the two. This difference needs to be investigated and resolved.

In summary, the bank reconciliation for Miller Co. as of August 31 is as follows:

Bank Statement Balance: $4,690

Add: Deposits in Transit: $1,020

Adjusted Bank Balance: $5,710

Less: Outstanding Checks: $715

Adjusted Bank Balance: $4,995

Less: Bank Service Charge: $40

Adjusted Bank Balance: $4,955

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given the following information, calculate ebt
pretax income $1,250,000
interest expense $250,000 depreciation expense $150,000 tax rate 40%

Answers

To calculate EBT (Earnings Before Taxes), we need to subtract the interest expense and depreciation expense from the pretax income.

EBT = Pretax income - Interest expense - Depreciation expense
EBT = $1,250,000 - $250,000 - $150,000
EBT = $850,000

However, we also need to take into account the tax rate of 40%. To calculate the net income, we need to multiply the EBT by (1 - tax rate).

Net Income = EBT x (1 - tax rate)
Net Income = $850,000 x (1 - 0.40)
Net Income = $510,000

So, the EBT for this scenario is $850,000.

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what is a good method for an assistant to keep track of the various types of files a real estate broker must have?

Answers

As an assistant for a real estate broker, it's important to have a good system in place for organizing and tracking the various types of files that are necessary for the job.

One effective method is to create a digital file management system, using software such as Dropbox or Gogle Drive. This will allow you to create folders for different types of files, such as client contracts, property listings, and financial documents. You can then use naming conventions to make it easy to identify and locate specific files. Another helpful tool is to use a spreadsheet or database to keep track of important information, such as client contact details, property addresses, and transaction dates. By using a combination of these methods, you can ensure that all necessary files are easily accessible and that you stay organized and on top of your tasks as a real estate broker's assistant.

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a lump sum of $1500 is invested at 4.4ompounded continuously. (c) how much is the investment worth after 5 years? (round your answer to two decimal places.)

Answers

An investment of $1500 compounded continuously at a rate of 4.4% will be worth approximately $1811.69 after 5 years.

To calculate the future value of the investment compounded continuously, we use the formula: A = P * e^(rt), where A is the future value, P is the principal amount, e is Euler's number (approximately 2.71828), r is the interest rate, and t is the time period.

In this case, the principal amount (P) is $1500, the interest rate (r) is 4.4% (or 0.044 as a decimal), and the time period (t) is 5 years. Plugging these values into the formula, we have:

A = 1500 * e^(0.044 * 5)

Using a calculator or a math tool, we can calculate the value of e^(0.044 * 5) as approximately 1.81228. Multiplying this value by the principal amount, we get:

A = 1500 * 1.81228 ≈ 2718.42

Rounding the answer to two decimal places, the investment will be worth approximately $1811.69 after 5 years when compounded continuously at a rate of 4.4%.

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