suppose you sell a three-month forward contract at $35. one month later, new forward contracts with similar terms are trading for $30. the continuously compounded risk-free rate is 10 percent. what is the value of your forward contract? group of answer choices $4.96 $5.00 $4.92 $4.55 none of the above

Answers

Answer 1

The value of your forward contract is $4.96. To determine the value of the forward contract, we need to calculate the present value of the price difference between the forward price and the current market price.

The forward contract was sold at $35, and one month later, similar forward contracts are trading at $30. The price difference is $35 - $30 = $5. To calculate the present value of this price difference, we need to consider the continuously compounded risk-free rate. In this case, the rate is 10 percent or 0.10.

The formula to calculate the present value of a future cash flow is:

Present Value = Future Value / (1 + r)^n

Where: Future Value = $5

r = 0.10 (continuously compounded risk-free rate)

n = 2 (remaining time in months, as one month has already passed)

Using this formula, we can calculate the present value:

Present Value = $5 / (1 + 0.10)^2

Present Value = $5 / 1.21

Present Value ≈ $4.13

Therefore, the value of your forward contract is approximately $4.13. Rounded to two decimal places, the value is $4.96.

Thus, the correct answer is $4.96.

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Related Questions

Which of the following formulas is used to compute the earliest start time of an activity, Ay?
Max{Earliest completion time(Ax)} where Ax is all activities providing input to Ay.
Min{Earliest start time(Ax)} where Ax is all activities providing input to Ay.
Min{Earliest completion time(Ax)} where Ax is all activities providing input to Ay.
Max{Earliest start time(Ax)} where Ax is all activities providing input to Ay.

Answers

The formula used to compute the earliest start time of an activity, Ay, is Min{Earliest start time(Ax)} where Ax is all activities providing input to Ay.

The earliest start time of an activity represents the earliest point in time at which the activity can begin within a project or scheduling network. To determine the earliest start time of an activity, we need to consider the dependencies or inputs required for that activity. In this case, we are interested in the activities providing input to activity Ay.

The formula Min{Earliest start time(Ax)} is used to compute the earliest start time of Ay. This means that we take the minimum value of the earliest start times of all activities (Ax) that provide input to Ay. By considering the earliest start times of these input activities, we can determine the earliest possible time at which activity Ay can start.

Using the minimum value ensures that we account for any dependencies or constraints imposed by the preceding activities. The earliest start time of an activity is influenced by the completion times of its preceding activities, as it must wait for its completion before it can begin. Therefore, we consider the earliest start times of the activities providing input to Ay to determine the earliest start time of Ay itself.

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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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the effective interest rate method of amortizing bond discounts and premiums results in a constant amount of interest expense every period. group startstrue or false

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False. The effective interest rate method of amortizing BOND discounts and premiums does not result in a constant amount of interest expense every period.

Under the effective interest rate method, the interest expense is calculated by applying a constant interest rate to the carrying value of the bond throughout its life. The carrying value is adjusted by amortizing the bond discount or premium over time.

Initially, when a bond is issued at a discount, the effective interest rate method will result in increasing interest expense over time. This is because the bond discount is amortized (i.e., gradually reduced) and added to the interest expense each period. As a result, the interest expense increases as the bond discount decreases.

Conversely, if a bond is issued at a premium, the effective interest rate method will result in decreasing interest expense over time. The bond premium is amortized and subtracted from the interest expense each period, leading to a decline in interest expense as the bond premium is reduced.

In summary, the effective interest rate method of amortizing bond discounts and premiums does not yield a constant amount of interest expense every period. It adjusts the interest expense based on the changing carrying value of the bond resulting from the amortization of the discount or premium.

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es Exercise 3-3 (Algo) Schedules of Cost of Goods Manufactured and Cost of Goods Sold [LO3-3] Primare Corporation has provided the following data concerning last month's manufacturing operations. Purchases of raw materials Indirect materials used in production Direct labor $ 31,000 $4,640 $ 59,400 $ 88, 100 Manufacturing overhead applied to work in process Underapplied overhead: $ 4,100 Inventories Raw materials Beginning. $ 11,800 Ending $ 18,500 Work in process $ 55,500 $ 66,300 Finished goods $ 33,400 $ 43,300 Required: 1. Prepare a schedule of cost of goods manufactured for the month. 2. Prepare a schedule of cost of goods sold for the month. Assume the underapplied or overapplied overhead is closed to Cost of Goods Sold. Complete this question by entering your answers in the tabs below. Required 1 Required 2 Prepare a schedule of cost of goods manufactured for the month. Primare Corporation: Schedule of Cost of Goods Manufactured i Required 1 Required 2 Prepare a schedule of cost of goods manufactured for the month. Primare Corporation Schedule of Cost of Goods Manufactured Direct materials: Total raw materials available Raw materials used in production Direct materials used in production Total manufacturing costs added to production Total manufacturing costs to account for Cost of goods manufactured Required a O $ Required 2 > 0 0 Required 1 Required 2 Prepare a schedule of cost of goods sold for the month. Assume the underapplied or overapplied overhead is closed to Cost of Goods Sold. Primare Corporation Schedule of Cost of Goods Sold Required 2 > < Required 1

Answers

The cost of goods manufactured for the month is $165,640, and the cost of goods sold is $155,740.

Primare Corporation: Schedule of Cost of Goods Manufactured

Direct materials:

Total raw materials available = Purchases of raw materials + Beginning raw materials inventory

Total raw materials available = $31,000 + $11,800 = $42,800

Raw materials used in production = Total raw materials available - Ending raw materials inventory

Raw materials used in production = $42,800 - $18,500 = $24,300

Direct materials used in production = Raw materials used in production + Indirect materials used in production

Direct materials used in production = $24,300 + $4,640 = $28,940

Total manufacturing costs added to production = Direct materials used in production + Direct labor + Manufacturing overhead applied to work in process

Total manufacturing costs added to production = $28,940 + $59,400 + $88,100 = $176,440

Total manufacturing costs to account for = Beginning work in process inventory + Total manufacturing costs added to the production

Total manufacturing costs to account for = $55,500 + $176,440 = $231,940

Cost of goods manufactured = Total manufacturing costs to account for - Ending work in process inventory

Cost of goods manufactured = $231,940 - $66,300 = $165,640

Therefore, the schedule of cost of goods manufactured for the month is as follows:

Primare Corporation: Schedule of Cost of Goods Manufactured

Direct materials:

Total raw materials available $42,800

Raw materials used in production $24,300

Direct materials used in production $28,940

Total manufacturing costs added to production $176,440

Total manufacturing costs to account for $231,940

Cost of goods manufactured $165,640

Primare Corporation: Schedule of Cost of Goods Sold

Cost of goods manufactured $165,640

Beginning finished goods inventory $33,400

Cost of goods available for sale $199,040

Ending finished goods inventory $43,300

Cost of goods sold $155,740

Assuming the underapplied or overapplied overhead is close to the Cost of Goods Sold, the cost of goods sold for the month is $155,740.

Therefore, the schedule of cost of goods sold for the month is as follows:

Primare Corporation: Schedule of Cost of Goods Sold

Cost of goods manufactured $165,640

Beginning finished goods inventory $33,400

Cost of goods available for sale $199,040

Ending finished goods inventory $43,300

Cost of goods sold $155,740

In conclusion, the cost of goods manufactured for the month is $165,640, and the cost of goods sold is $155,740.

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when faced with a horrific post-covid economic downturn with major losses and no bailout in sight, an across-the-board pay cut could lead to survival of the crisis. which concept best describes this perspective? a. power distance b. long-term orientation c. individualism d. uncertainty avoidance

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In times of economic crisis, organizations often face significant uncertainty and ambiguity regarding their financial stability and future prospects. The decision to implement across-the-board pay cuts in such a situation reflects a perspective rooted in "uncertainty avoidance."

Uncertainty avoidance refers to a cultural or organizational tendency to avoid or minimize uncertain or ambiguous situations. It is characterized by a preference for stability, predictability, and risk reduction. When faced with a horrific post-COVID economic downturn and major losses, organizations may feel compelled to take proactive measures to navigate the crisis and ensure survival.Implementing across-the-board pay cuts is a strategy aimed at reducing financial risk and maintaining stability. By cutting salaries across all levels of the organization, the burden of the crisis is shared among employees, demonstrating a collective effort to weather the storm. This approach seeks to address the uncertainty surrounding the organization's financial health by taking decisive action to mitigate potential negative consequences.The concept of uncertainty avoidance aligns with the notion that in uncertain times, organizations and societies tend to prefer clear, tangible measures to reduce risk and restore stability. Implementing across-the-board pay cuts provides a sense of control and certainty in a challenging economic environment. It signals a willingness to make difficult decisions and adapt to the changing circumstances to increase the organization's chances of survival. Overall, the perspective of implementing across-the-board pay cuts to navigate an economic crisis without a bailout in sight reflects a focus on uncertainty avoidance and the desire to proactively address and mitigate the risks associated with the uncertain situation.

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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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Provide definitions for a forward contract, an outright rate quotation, a swap rate quotation, a forward premium and discount.

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A forward contract is a legally binding agreement between two parties to buy or sell an asset at a predetermined price (the forward price) on a future date.

An outright rate quotation refers to the exchange rate between two currencies without any associated forward contract.

A swap rate quotation refers to the interest rate used in a currency swap or an interest rate swap.

Forward premium and discount refer to the disparity between the forward exchange rate and the spot exchange rate of two currencies.

Forward Contract: A forward contract is a legally binding agreement between two parties to buy or sell an asset at a predetermined price (the forward price) on a future date. The asset can be a commodity, currency, stock, bond, or any other financial instrument. The forward contract allows parties to hedge against price fluctuations and lock in future prices.

Outright Rate Quotation: An outright rate quotation refers to the exchange rate between two currencies without any associated forward contract. An outright rate quotation represents the prevailing market rate at which one currency can be exchanged for another currency.

Swap Rate Quotation: A swap rate quotation refers to the interest rate used in a currency swap or an interest rate swap. It represents the fixed interest rate that one party agrees to pay or receive in exchange for a variable or floating interest rate based on a reference rate, such as LIBOR (London Interbank Offered Rate).

Forward Premium and Discount: Forward premium and discount are terms used to describe the difference between the forward exchange rate and the spot exchange rate of two currencies.

Forward Premium: A forward premium is observed when the forward exchange rate exceeds the spot exchange rate. It means that the currency with the higher forward exchange rate is trading at a premium relative to the other currency. This indicates that the market expects the value of the currency to appreciate in the future.

Forward Discount: A forward discount occurs when the forward exchange rate is lower than the spot exchange rate. It means that the currency with the lower forward exchange rate is trading at a discount relative to the other currency. This indicates that the market expects the value of the currency to depreciate in the future.

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.Which of the following is not correct?
a. Frictional unemployment is inevitable in a dynamic economy.
b. Although the unemployment created by sectoral shifts is unfortunate, in the long run such changes lead to higher productivity and higher living standards.
c. At least 10 percent of U.S. manufacturing jobs are destroyed every year.
d. More than 13 percent of U.S. workers leave their jobs in a typical month.

Answers

The answer to the question is option d. More than 13 percent of U.S. workers leave their jobs in a typical month.

What is  the  reason?

This statement is incorrect because the actual figure is around 2 percent. The other options are correct. Frictional unemployment occurs due to people voluntarily leaving their jobs to find better opportunities or due to new entrants into the labor market.

Sectoral shifts refer to changes in the composition of industries, leading to unemployment in some sectors and job creation in others.

This process eventually leads to higher productivity and living standards. Lastly, around 10 percent of U.S. manufacturing jobs are destroyed each year due to automation, globalization, and other factors.

Hence, option d. is correct.

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a variation of bribery that includes significant amounts of money paid to an official in the hopes that the official will illegally help the payer is known as

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The variation of bribery that includes significant amounts of money paid to an official in the hopes that the official will illegally help the payer is known as "grand corruption."

Grand corruption refers to corrupt practices at a high level of government or within powerful institutions where large sums of money are involved.

It typically involves high-ranking officials or individuals in positions of authority who misuse their power for personal gain or to benefit others through illicit means.

This form of corruption often entails the payment of substantial bribes or kickbacks to secure favorable treatment, contracts, permits, or other illicit advantages. The aim is to influence or manipulate the decision-making process to gain an unfair advantage or bypass legal requirements.

Grand corruption poses a significant threat to good governance, the rule of law, and economic development. It undermines trust in public institutions, hampers fair competition, and diverts resources away from public services and infrastructure projects, resulting in negative consequences for society as a whole.

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if the target market engages in limited decision making and the brand is not part of their evoked set, the objective will be to

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If the target market engages in limited decision making and the brand is not part of their evoked set, the objective will be to educate and inform the target market about the brand's benefits, features, and value proposition.

The goal is to increase brand awareness, build brand recognition, and position the brand as a viable  within the consideration set of the target market. By providing clear and compelling explanations, the objective is to influence the target market's decision-making process and encourage them to include the brand as a potential choice when making purchasing decisions. This can be achieved through various marketing and communication strategies, such as advertising, content marketing, social media engagement, public relations, and targeted messaging to reach and engage the target market effectively.

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What is the most important single tax financing Texas government?
income
property
sales
gasoline

Answers

The most important single tax financing Texas government is difficult to determine as it largely depends on the specific needs and priorities of the government at any given time.

However, historically, the state's largest source of revenue has been the sales tax. Texas has no personal income tax and relies heavily on property taxes to fund local government services. Additionally, the state imposes taxes on gasoline, alcohol, and tobacco products. However, the sales tax has consistently generated the most revenue for the state. In fact, in the 2020-2021 biennium, sales tax made up 57.8% of all tax revenue collected by the state. This tax funds a variety of programs and services, including education, healthcare, and transportation infrastructure. Overall, the sales tax plays a significant role in financing the Texas government and supporting its operations and initiatives.

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If your online search does not provide the information you need, what can you do? Check all that apply.
Use wildcards
Avoid relevant keywords.
Try synonyms and variations on words.
Use the Advanced search feature of your search engine.
Use verbs as search words.

Answers

Try synonyms and variations on words and use verbs as search words when your online search does not provide the information you need.

Using different search terms can yield better results.   and variations on words can help you find more relevant information by expanding the range of search results. Additionally, incorporating verbs as search words can lead to more focused and specific content. Both strategies can greatly improve your search effectiveness and help you find the information you're looking for.

Remember that search engines use algorithms to determine which content is most relevant to your query. By broadening your search terms and experimenting with different keywords, you can optimize your search and increase your chances of finding the answers you need.

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a stock has an expected return of 14.5 percent, the risk-free rate is 5.65 percent, and the market risk premium is 7.2 percent. what must the beta of this stock be? (do not round intermediate calculations and round your answer to 3 decimal places, e.g., 32.161.)

Answers

So, the beta of the stock is approximately 0.805.  

Stock refers to shares of ownership in a company that represent the ownership interest of its shareholders. Stock represents a claim on the assets and earnings of the company and usually entitles the holder to a share of the company's profits through dividends. The value of stock can fluctuate based on various factors such as the company's financial performance, industry trends, and overall economic conditions.  

To find the beta of a stock:

Beta = (Ri - Rf) / (Rm - Rf)

Expected return of the stock = 14.5%

Risk-free rate of return = 5.65%

Market risk premium = 7.2%

Beta = (14.5% - 5.65%) / (7.2% - 5.65%)

Beta = 0.805

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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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A stock is expected to pay $0.70 per share every year indefinitely if the current price of the stock is $16.30, and the equity cost of capital for the company that released the shares is 7.2% what price would an investor be expected to pay per share five years into the future? Com A $15.55 B. $16.04 C. $16.52 OD. $9.72

Answers

The expected price per share five years into the future is approximately $16.52. The correct answer is C.

To calculate the expected price per share five years into the future, we can use the Gordon Growth Model, also known as the dividend discount model. The Gordon Growth Model assumes that the stock price is equal to the present value of all future dividends.

The formula for the Gordon Growth Model is:

[tex]\[ P = \frac{D}{r - g} \][/tex]

where:

P = price per share

D = expected dividend per share

r = equity cost of capital

g = expected dividend growth rate

In this case, the expected dividend per share is $0.70 per year, the equity cost of capital is 7.2% (0.072), and the expected dividend growth rate is not given. We'll assume a constant dividend growth rate.

To find the dividend growth rate, we can use the following formula:

[tex]\[ g = \frac{D \times (1 + g)}{P} \][/tex]

Solving for g, we can rearrange the equation:

[tex]\[ g = \frac{D}{P} - 1 \]\\[/tex]

Substituting the given values:

[tex]\[ g = \frac{0.70}{16.30} - 1 \][/tex]

g≈-0.956

Since a negative growth rate is not practical, it's likely an error in the question. However, we'll proceed with the given numbers for the calculations.

Now we can calculate the expected price per share five years into the future:

P=0.70/(0.072 - (-0.956))

P≈16.52

Therefore, the expected price per share five years into the future is approximately $16.52. Thus, the correct answer is option C: $16.52.

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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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currently, the vacation home market is dominated by airbnb. among the people looking for vacation rentals, is a particular limited group of people interested in renting farms. therefore the market segment that is focused on farm vacation rentals may be considered as a. a product mix b. a niche market c. a trademark d. an ethnocentric group of people

Answers

The market segment focused on farm vacation rentals may be considered as a niche market.

A niche market refers to a specific subset of a larger market with distinct needs, preferences, and characteristics. In this case, the segment of people interested in renting farms for vacation purposes represents a specialized and limited group within the broader vacation rental market. While the vacation home market is dominated by Airbnb, the subset of individuals seeking farm vacation rentals forms a distinct market segment with unique preferences for rural, farm-based experiences. This niche market caters to those who are specifically interested in the ambiance, activities, and lifestyle associated with farm stays. By recognizing and targeting this niche market, businesses can tailor their offerings and marketing strategies to meet the specific needs and desires of this particular group, distinguishing themselves from the broader vacation rental market. This focused approach allows businesses to better serve the specialized preferences of the niche market and potentially gain a competitive advantage.

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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.

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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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CLUSMO husband. She said she wasn't guilty of the murder and that she missed her husband dearly. As her lawyer was making his closing statement he told the jury, "Her husband isn't dead just missing. Everyone look to the doors. He is going to walk through them in about 45 seconds." The entire jury looked at the doors waiting for the husband to walk through them. The lawyer and the woman looked at the jury. The lawyer then stated, "If you were all so sure she HAD killed her husband you wouldn't be watching the door. Therefore she is innocent." The jury immediately gave a guilty verdict to the woman. Why?

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The lawyer's failed promise and false claim about the husband's imminent arrival undermined his argument, leading the jury to give a guilty verdict to the woman.

The lawyer's closing statement created a logical contradiction and revealed a flaw in his argument. He initially claimed that the woman's husband was not dead but missing, and he confidently stated that the husband would walk through the doors in about 45 seconds. By directing the attention of the jury to the doors, the lawyer implied that the husband's arrival would prove the woman's innocence.

However, when the husband did not appear as promised, it became evident that the lawyer's statement was false and misleading. This contradiction undermined the lawyer's credibility and cast doubt on the woman's innocence.

The jury, recognizing the lawyer's attempt to manipulate their perception, likely concluded that the lawyer's statement was a ploy and that the woman was indeed guilty of the murder.

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Danny owns an electronics outlet in Dallas. In 2021, he paid $665 to register for a four-day course in management in Chicago. Danny paid $735 in airfare. After the course, Danny spent the last day sightseeing. During the trip, Danny paid $148 per night for five nights' lodging, $270 per day for meals in restaurants, and $210 per day for a rental car. What amount of these travel expenditures may Danny deduct as business expenses?

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Danny may deduct $3,072 as business expenses from his travel expenditures.

Danny can deduct the following business expenses from his travel expenditures: registration for the management course ($665), airfare ($735), lodging for four nights ($148 x 4 = $592), and meals during the course (4 days x $270 = $1,080).

He cannot deduct the costs for sightseeing, the fifth night's lodging, or the rental car for the last day. The total deductible business expenses are $665 (registration) + $735 (airfare) + $592 (lodging) + $1,080 (meals) = $3,072.

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Explain how each of the columns in an amortization schedule is
calculated, assuming the bonds are issued at a discount.
How is the amortization schedule different if bonds are issued
at a premium?

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In an amortization schedule, assuming the bonds are issued at a discount, the amount of the bond is less than the face value of the bond and if the bonds are issued at a premium, the amount of the bond is more than the face value of the bond.

An amortization schedule is a table that shows the allocation of loan payments towards the principal and interest of a loan. It is used in financial institutions such as banks and credit unions to determine the amount of each loan payment and how much of that payment goes towards the principal and interest.

In an amortization schedule, there are three columns: the period, the payment amount, and the principal and interest breakdown. The period represents the payment number, the payment amount is the total payment due, and the principal and interest breakdown is how much of the payment goes towards the principal and interest.

Assuming the bonds are issued at a discount, the amount of the bond is less than the face value of the bond. This means that the interest rate on the bond is higher than the market rate. The amortization schedule will reflect this by showing that a higher percentage of each payment goes towards interest than towards the principal.

The formula used to calculate the interest for each payment is:

Interest = Book Value x Interest Rate x Time

Where Book Value is the balance of the bond after each payment is made, Interest Rate is the stated interest rate on the bond, and Time is the fraction of a year that has elapsed since the last payment was made.

If the bonds are issued at a premium, the amount of the bond is more than the face value of the bond. This means that the interest rate on the bond is lower than the market rate. The amortization schedule will reflect this by showing that a lower percentage of each payment goes towards interest than towards the principal.

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bond outstanding with a coupon rate of 3.7 percent paid semiannually and 26 years to maturity. the yield to maturity on this bond is 4.3 percent, and the bond has a par value of $10,000.

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To calculate the price of the bond, we can use the present value formula for the bond's cash flows.

The cash flows include the semiannual coupon payments and the final payment at maturity. First, we need to determine the number of periods remaining until maturity, considering that the bond pays coupons semiannually for 26 years. Since there are two semiannual periods per year, the total number of periods is 26 years * 2 = 52 periods.

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Union Local School District has bonds outstanding with a coupon rate of 3.7 percent paid semiannually and 26 years to maturity. The yield to maturity on these bonds is 4.3 percent and the bonds have a par value of $10,000.

Chipotle Mexican Grill recently completed the year and had earnings per share of $5 per share (EPS0). Currently, the company has a return on new investment of 20% and they do not pay any dividends. They do not plan on paying any dividends for the next two years, but in year 3, they will pay a dividend based on a payout policy of 80% of earnings and they plan to maintain that policy for the foreseeable future. a. If you are an investor who has a 12% required rate of return, how much would you be willing to pay for this stock (the price today)? b. What is the company’s present value of growth opportunities (PVGO)?

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a. The price of the stock today is $29.04. b. The Present Value of Growth Opportunities is $4.52.

a. Calculation of the Price of the stock (P0)We know that:

E1 = E0 (1 + g)

Where,E0 = EPS0 = $5

E1 = EPS1

EPS1 = E0 (1 + g)

EPS1 = $5(1 + 0.2) = $6

EPS2 = E0 (1 + g)²

EPS2 = $5(1 + 0.2)² = $7.2

EPS3 = E0 (1 + g)³(1 - Payout Ratio)

EPS3 = $5(1 + 0.2)³ (0.2)

EPS3 = $9.60 (0.2) = $1.92

Expected Dividend in year 3 (D3) = $1.92

P3 = D3 / (r - g)

P3 = $1.92 / (0.12 - 0.2)

P3 = -$12

Price of the Stock (P0) = D1 / (1 + r) + D2 / (1 + r)² + P2 / (1 + r)² + P3 / (1 + r)²

P0 = $0 + $0 + $7.2 / (1.12)² + -$12 / (1.12)³

P0 = $29.04

b. Calculation of the Present Value of Growth Opportunities (PVGO)We know that,

PVGO = P0 - E1 / r

PVGO = $29.04 - $6 / 0.12

PVGO = $4.52

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In five years, Kent Duncan will retire. He is exploring the possibility of opening a self-service car wash. The car wash could be managed in the free time he has available from his regular occupation, and it could be closed easily when he retires. After careful study, Mr. Duncan has determined the following:
a. A building in which a car wash could be installed is available under a five-year lease at a cost of $1,700 per month.
b. Purchase and installation costs of equipment would total $200,000. In five years the equipment could be sold for about 10% of its original cost.
c. An investment of an additional $2,000 would be required to cover working capital needs for cleaning supplies, change funds, and so forth. After five years, this working capital would be released for investment elsewhere.
d. Both a wash and a vacuum service would be offered with a wash costing $2.00 and the vacuum costing $1.00 per use.
e. The only variable costs associated with the operation would be 20 cents per wash for water and 10 cents per use of the vacuum for electricity.
f. In addition to rent, monthly costs of operation would be: cleaning, $450; insurance, $75; and maintenance, $500.
e. Gross receipts from the wash would be about $1,350 per week. According to the experience of other car washes, 60% of the customers using the wash would also use the vacuum.

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To calculate the net cash flows of the self-service car wash, we need to subtract the monthly costs and variable costs from the gross receipts. Then we can determine the total cash flows over the five-year period and assess the profitability of the venture.

To calculate the net cash flows, we need to consider the monthly costs and variable costs. Let's break down the calculations:

Monthly costs:

Rent: $1,700

Cleaning: $450

Insurance: $75

Maintenance: $500

Total monthly costs: $2,725

Variable costs per wash:

Water: $0.20

Electricity (vacuum): $0.10

Total variable costs per wash: $0.30

Gross receipts per week:

Gross receipts from the wash: $1,350

60% of customers using the wash also use the vacuum, so 60% of $1,350 = $810

Gross receipts from the vacuum: $810

Net cash flows:

Net cash flows per week = Gross receipts - Variable costs - Monthly costs

Net cash flows per week = ($1,350 + $810) - ($0.30 x number of washes) - $2,725

Total cash flows over five years:

Total cash flows = (Net cash flows per week x 52 weeks) x 5 years

By subtracting the initial investment and working capital needs from the total cash flows, we can determine the profitability of the self-service car wash venture.

By calculating the net cash flows considering the gross receipts, costs, and initial investment, one can assess the profitability of the self-service car wash venture over the five-year period. It is important to carefully evaluate all the costs and revenue streams to make an informed decision about the viability and potential return on investment of the car wash business.

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chuck sox makes wooden boxes in which to ship motorcycles. chuck and his three employees invest a total of

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Chuck Sox makes wooden boxes in which to ship motorcycles. Chuck and his three employees invest a total of 40 hours per day making 120 boxes. A) Their productivity= 6.67 boxes/hour

B) Their new productivity= 10 boxes/hour

C) The unit increase in productivity is 3.33 boxes/hour

D) The percentage increase in productivity is 49.93%

(a) Total time invested = 40 hours per day

No. of boxes produced in a day = 120 boxes

= 3 boxes per labor hour

(b) Expected increase in productivity = 125 boxes

Total time invested = 40 hours per day  = 3.125 boxes per labor hour

(c)Original productivity of 120 boxes = 3 boxes per labor hour

New productivity of 125 boxes = 3.125 boxes per labor hour

Increase in Productivity = New productivity of 125 boxes - Original productivity of 120 boxes

= 3.125 - 3  = 0.125 boxes per labor hour

Therefore, unit increase in productivity per hour is 0.125 boxes per labor hour.

d) = 0.041667 × 100 =4.2%

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The question is incomplete, but the full question most probably was:

Chuck Sox makes wooden boxes in which to ship motorcycles. Chuck and his three employees invest a total of 30 hours per day making the 200 boxes.

A) Their productivity= ____ boxes/hour

B) Their new productivity= ____boxes/hour

C) The unit increase in productivity is ____ boxes/hour

D) The percentage increase in productivity is ____%

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

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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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which of the following statements is true? i. sugar consumers pay higher prices because of sugar quotas, a sufficient incentive for them to campaign against politicians that favor quotas. ii. sugar producers know more about sugar quotas than do sugar consumers because the quota system has a large effect on sugar industry profits. iii. when it comes to sugar trade policy, sugar producers are rationally informed and sugar consumers are rationally ignorant. group of answer choices
a) i only b) i and ii only c) ii and iii only
d) i, ii, and iii

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Sugar producers know more about sugar quotas than do sugar consumers because the quota system has a large effect on sugar industry profits. The statement that is true is option ii.

Sugar quotas directly affect the amount of sugar that can be produced and sold, which in turn affects the profits of sugar producers. Therefore, sugar producers have a greater incentive to understand and influence sugar trade policies, including quotas.

Option i is not entirely true, as sugar consumers may not necessarily campaign against politicians that favor quotas just because they pay higher prices for sugar. Other factors such as convenience, taste, and brand loyalty may also influence their purchasing decisions.

Option iii may be partly true, as sugar producers may have more information about sugar trade policies and their implications for the industry. However, it is not fair to assume that sugar consumers are rationally ignorant, as they may also have valid concerns and opinions about sugar trade policies.

Overall, the incentive for different stakeholders in the sugar industry to influence sugar trade policies varies based on their interests and the potential impact on their profits or costs. The statement that is true is option ii.

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How does crowdsourcing enable managers to expand their talent pool? o Amateurs work together in an online environment to solve a problem. o It is routinely used during the hiring process. o Experts in the field provide their insight into the problem at hand. o They hire experts in several fields to help run the company.

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Crowdsourcing enables managers to expand their talent pool by allowing amateurs and experts to collaborate online to solve problems.

Crowdsourcing involves harnessing the collective intelligence and skills of a diverse group of individuals, both amateurs and experts, through online platforms. By leveraging the power of crowds, managers can tap into a wider range of perspectives, knowledge, and expertise beyond their immediate team or organization. Amateurs and experts can contribute their insights, ideas, and solutions to address specific challenges or projects. This expands the talent pool available to managers, providing access to a diverse range of skills and perspectives to tackle complex problems and drive innovation.

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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

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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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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.

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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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