Jack claims that Pluto has five moons: Charon, Nix, and Hydra, Kerberos, and Styx. Jill disagrees with Jack’s claim, insisting that Nix, Hydra, Kerberos, and Styx are actually moons of both Pluto and Charon. From an objective perspective, which claim makes more sense based upon our external view of the Pluto-Charon system?

Answers

Answer 1

Final answer:

Both Jack's and Jill's claims are valid depending on the perspective: Jack views Pluto's moons individually, while Jill considers the unique binary system Pluto forms with Charon.

Explanation:

Jack's claim that Pluto has five moons: Charon, Nix, Hydra, Kerberos, and Styx is factually accurate when considering the celestial bodies as individual entities orbiting Pluto. However, Jill's perspective that Nix, Hydra, Kerberos, and Styx are moons of both Pluto and Charon is also valid given the unique relationship between Pluto and its largest moon, Charon. This is due to the fact that Pluto and Charon are in a double tidal lock with each other, constantly facing one another as they orbit a common center of gravity, which could be perceived as them forming a sort of binary or double world system. Therefore, from an objective perspective, both claims make sense depending on whether one defines moons strictly by their direct orbital relationship with Pluto or includes the consideration of the binary system.

Answer 2

Final answer:

Nix, Hydra, Kerberos, and Styx are considered moons of Pluto, not shared with Charon, even though Charon's large size in relation to Pluto makes their system unique, resulting in a double tidal lock. This view is supported by scientific literature and the New Horizons mission findings, which affirm Pluto as the primary gravitational center for these moons.

Explanation:

From an objective perspective, based on our external view of the Pluto-Charon system, it makes more sense to consider Nix, Hydra, Kerberos, and Styx as moons of Pluto rather than as moons of both Pluto and Charon. While Charon is unique due to its large size relative to Pluto, causing some to consider them a double dwarf planet or a binary system, the four smaller moons orbit Pluto as the primary center of gravity. This is evident from astronomical observations and the fact that these moons are referred to as belonging to Pluto in most scientific literature and discussions.

Charon is indeed a significant moon, having a diameter of about 1200 kilometers, making it more than half the size of Pluto itself. The size and relative position of Charon and Pluto result in a special double tidal lock where each keeps the same face toward the other, likened to two dancers facing one another. Despite this, Nix, Hydra, Kerberos, and Styx are still regarded as satellites of Pluto rather than being shared moons with Charon.

The New Horizons spacecraft has provided many insights into the Pluto-Charon system, showing both to be dynamic and geologically active. Yet, in discussions of moons and satellites, the standard naming convention places these four moons as orbiting Pluto, reinforcing the viewpoint that Jack's claim aligns more closely with the accepted astronomical perspective.


Related Questions

A good with a supply generates no deadweight loss when taxed. D a. somewhat inelastc O b. somewhat elastic O c. slowly increasing O d. perfectly elastic e perfecty inelastic QUESTION 11 A local merchant raises the price of his good and finds that his total revenues increase. The demand for this good is D a. unitary elastic O b. inelastic. O c. relatively price sensitive. O d. elastic O e. perfectly elastic. QUESTION 12 Because a product's demand for an input to its production depends on the decision to produce this product, i is called demand. O b. input O c. dependent o d. production O e. derived

Answers

Answer:

e perfecty inelastic

b. inelastic

e. derived

Explanation:

Deadweight loss is inefficiency that occurs as a result of taxation.

Deadweight loss is the difference between the quantity demanded/ supplied when there's no tax and the quantity demanded / supplied as a result of tax.

When a good has a perfectly inelastic supply, the quantity supplied doesn't change when there's a change in price.

A good with perfectly inelastic supply has zero deadweight loss.

A good has an inelastic demand when a change in price has a little effect on the quantity demanded. If a good has an inelastic demand, if price is increased, there's little or no change in quantity demanded and therefore total revenue increases.

Derived demand is when the demand for a good or a factor of production is as a result of the demand for another good. For example, if there's no demand for bread, there would be no demand for bakers.

I hope my answer helps you.

Final answer:

Tax imposition on goods with perfectly inelastic supply does not change the quantity produced, and the burden falls on the producer, while perfectly elastic supply places the burden on consumers. Price increases in inelastic demand do not greatly reduce quantity demanded, leading to higher revenue. Derived demand is when the input demand depends on the output's production level.

Explanation:

The elasticity of supply and demand affects how a tax on a good impacts the market price and quantity, as well as who bears the burden of the tax. When a tax is imposed on a good with perfectly inelastic supply, the quantity produced remains unchanged because the supplier is unable to adjust the quantity in response to price changes. As a result, the producer bears the burden of the tax. In contrast, with a perfectly elastic supply, any tax imposed would result in an increase in market price, but the quantity supplied would not change; the burden falls on consumers. If the demand is inelastic, an increase in price due to the tax does not significantly reduce the quantity demanded, leading to a higher tax revenue.

For example, if a local merchant raises the price of his good and total revenues increase, it indicates that the demand for the good is inelastic. Consumers continue buying nearly the same quantity despite the price hike. Conversely, with elastic demand, an increase in price would lead to a large decrease in quantity demanded, thus decreasing total revenue. Similarly, the concept of derived demand denotes that the demand for an input is dependent on the production level of the final good; the input's demand is not based on the input's own price or features but on the demand for the product it helps to produce.

Based upon acquiring equity or wealth, purchasing a car is to purchasing a home as leasing a car is to a. improving a house. b. repairing a house. c. buying a condominium. d. joining a cooperative. e. renting an apartment.

Answers

Answer:

Option ( E ) is the right answer.

Explanation:

According to the scenario, the most appropriate answer is option (E) because of the following reasons :

Purchasing a car means to buy a car so that the owner of the car is the purchaser. Leasing a car means to give a car to another person on lease for a fixed time duration in return of which he will pay you but the owner of the car is still purchaser.

Similarly purchasing a house is to own the house by making full payment of it but renting an apartment means to take home on rent by giving rent every month or at a fixed period but the owner of the house still remains the purchaser.

While the options are wrong because of the following reasons:

Improving a house can be defined as to make a home more luxurious. Repairing a house can be defined as renovation work in the house. Buying of condominium tells the concept to buy another property. Joining a cooperative has no connection with buying a house.

Gabriella Sax believes that customers in her dress shop find certain prices very appealing.

Between these price levels, all prices are seen as roughly the same—and price cuts in these ranges generally do not increase the quantity sold (i.e., the demand curve tends to drop vertically within these price ranges).

Therefore, Sax prices her items as close as possible to the top of each such price range.


This is:


A. bait pricing.

B. prestige pricing.

C. leader pricing.

D. psychological pricing.

E. odd-even pricing.

Answers

Answer:

Letter D is correct. Psychological pricing.

Explanation:

Psychological pricing is a marketing and pricing strategy whose fundamental principle is to have a favorable psychological impact on the consumer.

A consumer buying decision process takes into account the characteristics of the product in association with price, so that there is a favorable balance between a product that meets its needs and the price determined for it.

Because of this psychological pricing emerges as a strategy to impact the consumer and influence the purchase, an example of this strategy is the use of broken and non-round values, for example a product that costs $ 99.99 has a greater impact on consumer perception than a product. product costing $ 100.00.

Although it is an inviting strategy for influencing the purchasing decision process, a company should combine this strategy with others that emphasize the characteristics and value of the product or service so that the essentials that determine the purchase are balanced, and thus there is balance and positive results.

Northwest Paperboard Company, a paper and allied products manufacturer, was seeking to gain a foothold in Canada. Toward that end, the company bought 40% of the outstanding common shares of Vancouver Timber and Milling, Inc., on January 2, 2021, for $410 million. At the date of purchase, the book value of Vancouver's net assets was $780 million. The book values and fair values for all balance sheet items were the same except for inventory and plant facilities. The fair value exceeded book value by $10 million for the inventory and by $15 million for the plant facilities. The estimated useful life of the plant facilities is 15 years. All inventory acquired was sold during 2021. Vancouver reported net income of $150 million for the year ended December 31, 2021. Vancouver paid a cash dividend of $20 million.Required: 1. Prepare all appropriate journal entries related to the investment during 2021. 2. What amount should Northwest report as its income from its investment in Vancouver for the year ended December 31, 2021? 3. What amount should Northwest report in its balance sheet as its investment in Vancouver? 4. What should Northwest report in its statement of cash flows regarding its investment in Vancouver?

Answers

Final answer:

Northwest should record journal entries for the purchase, adjustment for fair values, share of net income, and dividends received. It should report $60 million as its income from the investment, $377 million on the balance sheet as its investment in Vancouver, and detail cash flows for the purchase and dividend received.

Explanation:Journal Entries for 2021

To record the purchase of Vancouver Timber and Milling, Inc. shares:


 Investment in Vancouver $410 million
 Cash $410 million

To adjust the purchase price allocation for excess of fair value over book value:


 Inventory $10 million
 Plant facilities $15 million
 Investment in Vancouver $25 million (the $10 million + $15 million)

For the excess amount in inventory sold during the year:


 Cost of goods sold $10 million
 Inventory $10 million

To recognize the share of net income from Vancouver:


 Investment Income $60 million (40% of $150 million Vancouver's net income)
 Investment in Vancouver $60 million

To record the dividend received:


 Cash $8 million (40% of $20 million dividend)
 Investment in Vancouver $8 million

Income from Investment

Northwest should report $60 million as income from its investment in Vancouver for the year, which represents 40% of Vancouver's net income.

Investment in Balance Sheet

On the balance sheet at year-end, Northwest should report an investment amount of $377 million. This is calculated as the initial investment amount ($410 million) plus the share of net income ($60 million), less the dividend received ($8 million), and less the excess fair value over book value charged to expense ($10 million) for inventory that was sold.

Statement of Cash Flows

In the statement of cash flows, Northwest should report the outflow of $410 million for the purchase of shares and inflow of $8 million for the dividend received.

Learn more about Accounting for Investments here:

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Alternative explanations of wage disparities

Suppose that a labor economist claims that recipients of economics PhDs gain little in terms of acquired productive skills from their graduate studies but that, instead, the degree simply reflects a high level of inherent mathematical ability.

Which one of the following characterizes the labor economist's perspective on the link between education and wages?

A. Human capital
B. The superstar phenomenon
C. Compensating differentials
D. Signaling

Answers

Answer:

D. Signaling

Explanation:

According to the signaling theory in education, productivity does not dependent on education, but higher education acts as a "signal" for an individual's greater ability. The labor economist believes that having a PhD in economics reflects a high level of inherent mathematical ability, although it does not change much in acquired productive skills. This view is clearly characterized by signaling.

You deposited​ ($1,000) in a savings account that pays 8 percent​ interest, compounded​ quarterly, planning to use it to finish your last year in college. Eighteen months​ later, you decide to go to the Roshy Mountains to become a ski instructor rather than continue in​ school, so you close out your account. How much money will you​ receive? (Round to the nearest whole​ dollar

Answers

Answer:

Present value (PV) = $1,000

Interest rate (r) =8% = 0.08

Number of years (n) = 18 months = 1.5 years

No of compounding periods in a year = 4

Future value (FV) = ?

FV = PV(1 + r/m)nm

FV = $1,000(1 + 0.08/4)1.5x4

FV = $1,000(1 + 0.02)6

FV = $1,000 x 1.1262

FV = $1,126

Explanation:

The amount to be received in 18 months is $1,126. This is obtained by compounding the present value at 8% compounded quarterly for 18 months. The formula to be applied is the formula for future value of a lump sum(single investment).

Secret Prizes Inc. is planning to sell 200 buckets and produce 190 buckets during March. Each bucket requires 500 grams of plastic and one-half hour of direct labor. Plastic costs $10 per 500 grams and employees of the company are paid $15.00 per hour. Manufacturing overhead is applied at a rate of 110% of direct labor costs. Secret Prizes has 300 kilos of plastic in beginning inventory and wants to have 200 kilos in ending inventory. How much is the total amount of budgeted direct labor for March? $1,425 $3,000 $2,850 $1,500

Answers

Answer:

Budgeted direct labour hours

= 0.5 hour x 200 buckets

= 100 hours

Budgeted amount of direct labour

= 100 hours x $15

=  $1,500

Explanation:

There is need to calculate direct labour hour, which is 0.5 hour multiplied by number of buckets budgeted. then, we will determine the budgeted amount of direct labour, which is budgeted direct labour hours multiplied by hourly rate.

(a) If the demand equation is pq=k for a positive constant k, compute the elasticity of demand.
(b) What does your answer to part (a) mean in terms of the revenue function?
Choose all that apply.
1. All prices are critical points of the revenue function.
2. Revenue is increased by lowering the price.
3. Revenue is increased by raising the price.
4. Revenue does not change with changes in the price.

Answers

Answer:

a.Elasticity of demand is p = k/q (an inverse relationship between the price and quantity)

b.My answer in part (a) means that an increase in the price of the item will lead to a decrease in its demand, hence the following applies

1.All prices are critical points of the revenue function.

2.Revenue is increased by lowering the price

Banner Publications was organized early in 2012 with authorization to issue 10,000 shares of $100 par value preferred stock and 1 million shares of $1 par value common stock. All of the preferred stock was issued at par, and 400,000 shares of common stock were sold for $15 per share. The preferred stock pays a 10 percent cumulative dividend. During the first five years of operations (2010 through 2014) the corporation earned a total of $4,100,000 and paid dividends of $.80 per share each year on the common stock. In 2015, however, the corporation reported a net loss of $1,250,000 and paid no dividends.Prepare the stockholder’s equity section of balance sheet at December 31, 2012.

Answers

Answer:10,000

Explanation:

The organizational process of changing over from the current information system to a new one best defines: a. reorganization. b. replacement. c. system alteration. d. installation. e. physical design.

Answers

The organizational process of changing over from the current information system to a new one best defines installation.

Option D

Explanation:

Corporate change takes place when a company moves from its current state to a planned future state. Corporate change management is the practice of initiating and executing behavioral improvements so that staff opposition to change is reduced and the business benefits maximized at the same time.

In today's business climate, businesses must continuously experience transition if they are to remain competitive. In order to survive, companies react to factors like market globalization and rapidly developing technology. These improvements may be quite minor— as in the case where a new software system is set up— or quite large— as when the overall marketing strategy is re-focused, a hostile takeover is combatted, or a company is changed in the face of increasing foreign competition.

Rajan Company's most recent balance sheet reported total assets of $1.76 million, total liabilities of $0.87 million, and total equity of $0.89 million. Its Debt to equity ratio is:

a) 0.494
b) 0.506
c) 1.02
d) 1.00
e) 0.978

Answers

Answer:

Debt to equity = 0.978

so correct option is e) 0.978

Explanation:

given data

total assets = $1.76 million

total liabilities = $0.87 million

total equity = $0.89 million

solution

we get here Debt to equity that is express here as

Debt to equity = Total liabilities ÷ Total equity    ......................1

put here value we get debt to equity that is

Debt to equity = [tex]\frac{0.87million}{0.89million}[/tex]

Debt to equity = 0.978

so correct option is e) 0.978

eaver Chocolate Co. expects to earn $3.50 per share during the current year, its expecteddividend payout ratio is 65%, its expected constant dividend growth rate is 6.0%, and its common stock currently sellsfor $32.50 per share. New stock can be sold to the public at the current price, but a flotation cost of 5% would be incurred. What would be the cost of equity from new common stock

Answers

Answer:

cost of equity  = 13.36  %

Explanation:

given data

earn = $3.50

ratio = 65%

growth rate = 6.0%

common stock currently sells = $32.50

flotation cost = 5%

to find out

cost of equity from new common stock

solution

we get here cost of equity from new common stock that is express as

cost of equity  = [tex]\frac{D1}{Po-(1-f)}[/tex] + g   ...................1

here D1 is expected dividend  and Po is current price  and g is growth rate and f is flotation cost and

D1 = 3.50 × 0.65

so from equation 1 we get

cost of equity  = [tex]\frac{3.50*0.65}{32.50(1-0.05)}[/tex] + 6%

cost of equity  = 0.1336

cost of equity  = 13.36  %

Under what circumstances is it advantageous for a taxpayer to make a nondeductible contribution to a traditional IRA rather than a contribution to a Roth IRA? Tax Payer Status Maximum AGI limit Starting phase out limit a. Married filing joint b. Single/Head of household

Answers

Answer and Explanation:

In the year 2018, ROTH IRA contribution limit is $5500 for people less than 50 years of age and $6500 if people are above 50 years of age.

These are the circumstances in the year 2018:

(a) ROTH IRA income limits for married filing jointly: Phase out starts at $189000 and ineligible at $199000.

(b) ROTH IRA income limits for Single filers: phase out starts at $120000 and ineligible at $135000.

A site is improved with a single-family residence. If vacant, the value of the site for a residential use would be $100,000. However, the site is zoned so that a commercial use is allowed, and if vacant, it would sell as commercial property for $160,000. The cost of demolishing the existing structure is $20,000. What is the value of the property as improved for commercial use?

Answers

Answer:

Value of property= $140,000

Explanation:

If there were no commercial use of the site, it would have a value of $100000. But due to the site being zoned which allows it to be used for commercial purposes will have a value of $160000. But in order to make it available for commercial use, the existing structure has to be demolished which will cost $20000. Therefore, the value of property as improved for commercial use would be the net of  sale value and costs incurred to make it available for sale. Calculation is as follows:

Sale value =     $160,000

Costs to sell = (-$20,000)

Net value=        $140,000

If your firm buys $1,000 worth of supplies on credit with terms 3/15 n60 and pays the bill on the 60thday after the purchase:

a. What is the approximate, or "nominal," cost of trade credit as an annual rate?
b. What is the exactcost of trade credit as an annual rate?

Answers

Answer:

Nominal Cost of Trade Credit = 25.09%

Exact Cost of Trade Credit  = 28.03%

Explanation:

given data

buys worth =  $1,000

terms = 3/15 n60

pays the bill = 60th day

to find out

Nominal Cost of Trade Credit and Exact Cost of Trade Credit

solution

we know here Discount % and time 60 day and discount period that is

Discount % = 3%

time for Payment = 60 days

and Discount Period = 15 days

so Nominal Cost of Trade Credit will be as

Nominal Cost of Trade Credit = Discount % ÷ (100 - Discount % ) × [ 365 ÷ (time for Payment - Discount Period) ]    ..................1

put here value we get

Nominal Cost of Trade Credit = [tex]\frac{0.03}{1-0.03}[/tex] × [tex]\frac{365}{60-15}[/tex]

Nominal Cost of Trade Credit = 25.09%

and

Exact Cost of Trade Credit will be here as

Exact Cost of Trade Credit = (1+Discount % ÷ (100%-Discount %))^(365/(time for Payment - Discount Period) - 1    ..................2

put here value we get

Exact Cost of Trade Credit  = [tex](\frac{1+0.03}{1-0.03})^{\frac{365}{60-15}} - 1[/tex]

Exact Cost of Trade Credit  = 28.03%

Brad's Robotics Incorporated will earn $60 in one year if it does well. The debtholders are promised payments of $40 in one year if the firm does well. If the firm does poorly, expected earnings in one year will be $10 and the repayment will be $5 because of the dead weight cost of bankruptcy. The probability of the firm performing poorly or well is 40%. If bondholders are fully aware of these costs what will they pay for the debt?

Answers

Answer:

pay for the debt = $17.76

Explanation:

given data

earn = $60

debt holders payments = $40

earnings = $10

repayment = $5

probability = 40%

to find out

what will they pay for the debt

solution

we consider here interest rate on the bonds = 7%

so we now get here pay for the debt that is express as

pay for the debt = ( debt holders payments × probability + earn × repayment ) ÷ ( 1 + interest rate )    ..........................1

put here value we get

pay for the debt = [tex]\frac{0.4*40+0.6*5}{(1+0.7)}[/tex]

pay for the debt = $17.76

The value of a dollar variesQuestion 1 options:A) inversely with the price of gold.B) directly with the price level.C) inversely with the price level.D) directly with the purchasing power of other major currencies.

Answers

Answer:

Option (D) is correct.

Explanation:

There is a change in the value of the dollar with the change in the value or purchasing power of the other nation's currency. This means that there is a direct or positive relationship between the value of the dollar and the value of the other nation's currency. It is known as the exchange rate. Exchange rate is the rate at which goods are being traded between the nations.

Each of the following should trigger a review of the emergency plan, EXCEPT FOR:
A. Changes in operational resources or jurisdiction demographics.
B. Plan activation during an incident or exercise.
C. Hiring of new emergency management agency support staff.
D. Changes in laws, ordinances, or elected or appointed officials

Answers

Answer:

The correct answer is letter "C": Hiring of new emergency management agency support staff.

Explanation:

The hiring of new emergency management support staff is not an action that implies the review of the emergency plan since that can take place when there is no major activity in the nation that requires the stand of the authorities to face the problem. It could be done at any time with no hurry.

The Green Tomato purchased a parcel of land six years ago for $389,900. At that time, the firm invested $128,000 grading the site so that it would be usable. Since the firm wasn't ready to use the site itself at that time, it decided to lease the land for $48,000 a year. The Green Tomato is now considering building a hotel on the site as the rental lease is expiring. The current value of the land is $415,000. The firm has no loans or mortgages secured by the property. What value should be included in the initial cost of the hotel project for the use of this land?

Answers

Answer:

$415,000

Explanation:

Since the current value of the land is $415,000 which represents the opportunity cost whereas the purchase of land six years ago represents the sunk cost which is not relevant for the decision making the purpose and the grading cost is also not relevant.  

So, in this case, the historical cost is ignored

All other information which is given is not relevant. Hence, ignored it

A quota-bonus plan is applicable when __________-.

A. employee performance exceeds the quota.

B. performance management is outsourced.

C.an employee has a salary plan based solely upon performance.

D. there are no other incentives.

Answers

Answer:A. Employee performance exceeds the qouta

Explanation:

A quota bonus plan is an incentive method where the employees are promised bonus payments on the agreement that certain conditions are surpassed.

Outsourcing is when a firm transferred some of it's functions to another firm e.g human resources functions.

Salary is incentive to be paid to an employee in the ordinary course of the performance of his assigned duties.

There various incentives that are available to an employee such overtime performance, outstation bonus etc.

As the chief marketing officer at Chevrolet, you'd like to determine how much the engineering team's redesigned dashboards are going to influence your sales forecasts. You've decided to use the Delphi technique, but you're not sure who to include in your research. Of the following groups who might provide useful insights, which group are you least likely to turn to for feedback?Academic researchers in automotive engineeringAudio/hearing specialistsExperts in efficient environmental designVision and visual processing scientists

Answers

Answer:

Vision and visual processing scientists

Explanation:

The vision and visual processing scientists can give a better feedback on how the new dashboards will be received by the customer. This is a user experience approach which supports their study in techniques like Delphi.

Aaron is being introduced to his new workplace and coworkers. His boss tells him the names of people and departments, but she says very little about each person's rank or the relationship between departments. She also does not speak much about the culture of the workplace. However, at the end of the introduction she says, "Hopefully now you have a better understanding of who we are, what we stand for, and how things work here." Aaron's boss's communication style seems to be best described as what?

Answers

Answer: An Intuitive communication style

Explanation: Those that use the intuitive communication style prefer a more casual, common-sense based approach to communicating ideas. They want to understand the big-picture concepts and aren’t interested in getting too bogged down in the details of the idea. In many ways, intuitive communicators are the opposite of analytical communicators, who prefer to have all of the relevant details on hand when making a decision.

A company is considering two projects.

Project I Project II
Initial investment $120,000 $120,000
Cash inflow Year 1 $40,000 $20,000
Cash inflow Year 2 $40,000 $20,000
Cash inflow Year 3 $40,000 $32,000
Cash inflow Year 4 $40,000 $48,000
Cash inflow Year 5 $40,000 $50,000

What is the payback period for Project I?

(A) 2.5 years
(B) 3 years
(C) 3.5 years
(D)1 year
(E) 5 years

Answers

Answer:

Option (B) is correct.

Explanation:

Given that,

Project 1:

Initial investment = $120,000

Cash inflow Year 1, Year 2, Year 3, Year 4, Year 5 = $40,000

Hence,

Annual cash flow = $40,000

Payback period:

= Initial investment ÷ annual cash inflow

= $120,000 ÷ $40,000

= 3 years

Therefore, the payback period for Project I is 3 years.

Qualcomm, a high-tech company headquartered in San Diego, owns the rights to several of the key components that permit cell phones to work. Instead of selling cell phones itself, Qualcomm grants permission to many companies to use specific forms of its intellectual property in exchange for monetary compensation. Qualcomm in engaging in an external growth strategy referred to as_______________.

Answers

Qualcomm in engaging in an external growth strategy referred to as licensing.

Explanation:

External development (or inorganic growth) approaches include growing the output or scope of companies through capital and capabilities that the organisation itself does not build internally. Instead, the merger with / acquiring or partnership with other companies generates these resources.

These assets are then purchased by merging/acquiring or partnering with other businesses. Therefore, external expansion approaches can be divided up between the M&A (M&A) and Strategic Alliance (e.g. partnerships) strategies.

Qualcomm is engaging in an external growth strategy referred to Licensing. Qualcomm uses a strategy called licensing by allowing other companies to use its intellectual property for monetary compensation. This approach helps Qualcomm expand its reach without directly selling products.

Qualcomm, a high-tech company headquartered in San Diego, engages in an external growth strategy referred to as licensing. By granting permission to other companies to use specific forms of its intellectual property in exchange for monetary compensation, Qualcomm utilizes this strategy to expand its influence and revenue without directly selling cell phones.Licensing allows Qualcomm to capitalize on its technological advancements and patents while leveraging other companies' manufacturing and distribution capabilities. This strategic move not only provides a steady income stream from royalties but also maintains Qualcomm's presence and importance in the cell phone industry.

Using 2010 U.S. dollars, in 2000 annual real per capita gross domestic product (GDP) in the United States was around ________, whereas in China, it was around ________.

Answers

Answer:

$44,000; $5,200

Explanation:

Please see attachment.

Suppose a new sandwich restaurant is opening on your street. On the opening day, you order a sandwich for $15. While you are eating it, you realize that the sandwich is not very good. On the next day, you decide to make the $15 sandwich by yourself. You get all ingredients from the local supermarket for $5. How much does GDP increase by over both days together?

a. $5
b. $15
c. $20
d. $30

Answers

Answer:

c. $20

Explanation:

GDP (Gross Domestic Product) is the total monetary value of goods and services produced within the borders of the United States, regardless of who owns the assets or the nationality of the labor used in the production of that product.

GDP = C + I + G + (X - M)

The first day:

Consumption $ 10

Investment  $ 5

Second day:

Expenses: $ 5

GDP = $20

Explain why paying each bill individually (paying transaction by transaction) is detrimental to one’s financial stability?

Answers

Answer:

Paying bills individually is more expensive

Explanation:

Paying bills by transaction is more expensive and a damaging to a person's financial health. Bill payment should be organized and planned to avoid unnecessary cost that comes with paying each bill individually.

Suppose that you enter into a short futures contract to sell July silver for $17.20 per ounce. The size of the contract is 5,000 ounces. The initial margin is $4,000, and the maintenance margin is $3,000. What change in the futures price will lead to a margin call? What happens if you do not meet the margin call?

Answers

Answer:

$0.20

Explanation:

For computing the change in future price, first we have to determine the loss which is shown below:

Loss = Initial Margin - Maintenance Margin

        = $4,000 - $3,000

        = $1,000

Now the change in future price would be

= Loss ÷ size of the contract

= $1,000 ÷ 5,000 ounces

= $0.20

The future price is increased by $0.20

And, if the margin call is not meet than the broker will stop at best price so that he cannot suffer more loss

What is the conclusion of the test that determines the regression parameters ????_1 is equal to zero at a 0.01 level of significance? (Assume that the conditions necessary for proper inference are satisfied.) Select one: a) National income is a significant indicator of the company sales. b) National income is not a significant indicator of the company sales. c) Intercept is a significant indicator of the company sales. d) Intercept is not a significant indicator of the company sales.

Answers

Answer:

It implies that national income is not a significant indicator of the company's sales. The correct answer is B.

Explanation:

The reason is that regression coefficients are expected to be compared with table value. since the regression coefficients are zero at 0.01 level of significance, it means that the results are not statistically significant. Thus, we can conclude that national income is not a significant indicator of the company's sales.

The test that determines the regression parameter 1 equals zero at a 0.01 level of significance concludes that national income is not a significant indicator of company sales. Thus, option B is correct.

What is the regression parameter?

The parameter (the regression coefficient) represents the amount by which a change in x must be multiplied to obtain the corresponding average change in y, or the amount y changes for every unit increase in x. It represents the degree to which the line slopes upwards or downwards in this manner.

The reason for this is that regression parameter should be compared to table values. The results are not statistically significant because the regression coefficients are 0 at the 0.01 level of significance.

Therefore, option B is correct, that we can conclude that national income is not a significant predictor of company sales.

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Exodus Limousine Company has $1,000 par value bonds outstanding at 17 percent interest. The bonds will mature in 40 years. Use Appendix B and Appendix D for an approximate answer but calculate your final answer using the formula and financial calculator methods. Compute the current price of the bonds if the percent yield to maturity is: (Do not round intermediate calculations. Round your final answers to 2 decimal places. Assume interest payments are annual.)

Answers

Answer:

Consider the following calculation

Explanation:

Yield to maturity is not given here. So we assume that Yield to maturity is 10%.

Present value of interest payment :

PV = A*PVIFA (n= 40,i =10%)

= 170*9.7791

= 1662.45

Present value of principal payment at maturity

PV = FV*PVIF (n= 40,i =10%)

= 1000 * .0221

= 22.10

Current price of bond = 1662.45+22.10

= $ 1684.55

Final answer:

The current price of the bonds can be calculated using the formula for present value of a bond. The formula is PV = C/(1 + r)^n. Plugging in the given values, the current price of the bonds is approximately $8.34.

Explanation:

The current price of the bonds can be calculated using the formula for present value of a bond. The formula is:



PV = C/(1 + r)^n



Where:

PV is the present value of the bondC is the annual interest paymentr is the percent yield to maturityn is the number of years until maturity



In this case, the annual interest payment is $170 (17% of $1000) and the number of years until maturity is 40. Let's assume the percent yield to maturity is 15%. Plugging these values into the formula:



PV = 170/(1 + 0.15)^40 = $8.34



So the current price of the bonds is approximately $8.34.

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