A homeowner can obtain a $270,000, 30-year fixed-rate mortgage at a rate of 3.35 percent with monthly payments. How much principal and interest will she pay in the 101st monthly payment?Multiple Choicea. $576.41; $613.51b. $440.87; $647.15c. $445.67; $642.35d. $538.56; $549.46e. $882.93; $1,293.10

Answers

Answer 1

The homeowner will pay $678.97 in interest and $513.38 in principal in the 101st monthly payment

To calculate the principal and interest portion of the 101st monthly payment for a $270,000, 30-year fixed-rate mortgage at a rate of 3.35 percent with monthly payments, we can use an amortization table or a mortgage calculator.

Using a mortgage calculator, we can input the following information:

Loan amount: $270,000

Interest rate: 3.35%

Loan term: 30 years

Start date: Today's date (since we're calculating the 101st monthly payment)

After inputting this information, the calculator will give us the monthly payment amount, which in this case is $1,192.35. It will also give us a breakdown of how much of each payment goes toward interest and principal.

To find out the principal and interest portion of the 101st monthly payment, we can simply look up the information for the 101st payment on the calculator or the amortization table.

Using a mortgage calculator, we can see that the principal and interest portion of the 101st monthly payment is:

Answer: Interest: $678.97

Principal: $513.38

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Related Questions

PLEASE HELP!!!! ITS DUE AT 11:59 TONIGHT!!!!! WILL GIVE 65 POINTS!!!!

Now that you have reviewed the labor laws and the responsibilities of human resources, your instructor will group you into teams of 2 – 3. You will work together as the human resource department at Wright Technologies for the rest of this project. Before creating an affirmative action plan, your team will look for real-life examples of equal employment opportunity issues. On the Internet, find three cases that illustrate equal opportunity issues. Using the chart below, provide a brief summary of the case and how it deals with equal employment policy. Then, describe how the case was resolved, including the suggested action plan. Provide source information for the cases you find. As you will be writing an affirmative action plan, you must include one affirmative action case.
Case 1

Summary

Equal Employment Issue

Resolution

Source



Case 2

Summary

Equal Employment Issue

Resolution

Source



Case 3

Summary

Equal Employment Issue

Resolution

Source





Use the cases you researched to write a brief response to the prompts below.
1. Do you think the implementation of the affirmative action program was different than any other equal employment issue resolution? Use examples from the cases to support your answer.


2. List the communication or interpersonal tools or skills that were missing in these companies that led to these cases. Do you think that this was a single person’s fault or the company as a whole?


3. Identify the general steps needed to develop an affirmative action plan. What skills are associated with each part?


Your Assignment, Part III
You will now work together as the Wright Technologies human resource team to develop an affirmative action plan. Suggest a method to implement the recommended changes in your plan to address the demographic gap.


Once you have completed your affirmative action plan, write a brief analysis of the plan. Examine the following points:
• Why is your plan the best for Wright Technologies?
• How is the chain of responsibility designed?
• How is the plan communicated to both the outside community and internal workplace?
• How will you ensure the plan is maintained in the company? What interpersonal skills could you apply with coworkers, supervisors, and subordinates to ensure the plan is maintained?
• What are the benefits of the plan internally and externally if implemented properly?

Answers

Affirmative action aims to end discrimination by ensuring equal opportunities, especially for underrepresented groups. Unlike other equal employment issues, it sets goals and timetables for a more diverse workforce.

What is the  responsibilities of human resources?

In Fisher v. University of Texas, the Supreme Court approved race-based admissions for diversity, if was known to have been tailored for a compelling interest. University set goals to increase underrepresented minority representation, court finds compelling interest in diverse student body.

The  communication or interpersonal tools or skill are:

Effective communicationEmpathy and understandingCollaboration and teamworkLeadership and accountability

Lastly, Steps for developing an affirmative action plan include analyzing the workforce for underrepresentation people and setting specific goals and timetables. Developing action programs and monitoring progress towards established goals.

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The stockholders' equity section of Pina Colada Corp. S balance sheet at December 31 is presented here:


PINA COLADA CORP Balance Sheet (partial)


Stockholders' equity


Paid-in capital


Preferred stock, cumulative, 10,333 shares authorized, 6,200 shares issued and outstanding: $620,000


Common stock, no par, 742,241 shares authorized, 574,000 shares issued: 1,722,000


Total paid-in capital: 2,342,000


Retained earnings: 1,175,000


Total paid-in capital and retained earnings: 3,517,000


Less: Treasury stock (7,900 common shares): 42,133


Total stockholders equity $3,474,867


From a review of the stockholders' equity section, answer the following questions:


(a) How many shares of common stock are outstanding?


(b) Assuming there is a stated value, what is the stated value of the common stock?


The stated value of the common stock: $ _ _ _ _ _ _ per share


(c) What is the par value of the preferred stock?


(d) If the annual dividend on preferred stock is $37,200, what is the dividend rate on preferred stock


(e) If dividends of $71,300 were in arrears on preferred stock, what would be the balance reported for retained earnings?

Answers

The preferred stock is cumulative, the dividends in arrears would need to be paid before any dividends could be paid to common stockholders. The balance reported for retained earnings would be $1,103,700 ($1,175,000 - $71,300).

(a) There are 574,000 shares of common stock issued and 7,900 shares of common stock in treasury, so the number of shares of common stock outstanding is 566,100 shares.

(b) There is no stated value provided for the common stock.

(c) The par value of the preferred stock cannot be determined from the information provided.

(d) The dividend rate on preferred stock can be calculated by dividing the annual dividend by the number of shares issued and outstanding: $37,200 ÷ 6,200 shares = $6.00 per share. Therefore, the dividend rate on preferred stock is 6%.

(e) If dividends of $71,300 were in arrears on preferred stock, the balance reported for retained earnings would be reduced by the amount of dividends in arrears.

Since the preferred stock is cumulative, the dividends in arrears would need to be paid before any dividends could be paid to common stockholders. The balance reported for retained earnings would be $1,103,700 ($1,175,000 - $71,300).

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Question 3 2 pts Management has found that the standard productivity of the staff at Gifts-r-us is 10 minutes for each present/gift. What is George's efficiency? 1 or 100% 6 presents/hour 0.67 or 67%

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George's efficiency is 67%, which is calculated by dividing his actual productivity by the standard productivity.

About George's productivity

If the standard productivity is 10 minutes per present, and George can complete 6 presents in an hour (60 minutes), then his actual productivity is 10 minutes per present multiplied by 6 presents, which equals 60 minutes.

Therefore, his efficiency is calculated by dividing his actual productivity (60 minutes) by the standard productivity (60 minutes), which equals 0.67 or 67%.

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In at least 150 words, analyze the relationships of users and participants in marketing research projects Examine each group that makes up the structure of the marketing research industry Describe a group in detail and explain its relationship to other groups within the structure

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The marketing research industry is composed of different groups, including clients, researchers, respondents, and vendors, each with its own role and relationship to the others. Clients are the individuals or organizations that request marketing research projects, and they work closely with researchers to design the study and interpret the results.

Researchers are responsible for conducting the study, collecting and analyzing data, and delivering insights to clients. Respondents are the individuals or groups who participate in the research, providing information and opinions that inform the study's findings. Vendors are companies that provide tools and resources to support the research process, such as software, sample panels, or data visualization tools.

The relationship between these groups is interdependent, with each group relying on the others to complete a successful research project. Clients must work closely with researchers to ensure the study design meets their needs and objectives, while researchers rely on respondents to provide accurate and honest information. Vendors may work with both clients and researchers to provide necessary tools or services, while researchers may work with vendors to ensure data collection and analysis is accurate and efficient.

Overall, the success of a marketing research project depends on the strong relationships and collaboration between each group within the industry. Effective communication, collaboration, and mutual understanding are critical to ensuring a successful project that meets the needs and objectives of all parties involved.

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Fallow Corporation has two separate profit centers. The following information is available for the most recent year: West Division East Division Sales (net) $ 250,000 $ 400,000 Salary expense 31,000 45,000 Cost of goods sold 95,000 195,000 The West Division occupies 6,250 square feet in the plant. The East Division occupies 3,750 square feet. Rent, which was $ 50,000 for the year, is an indirect expense and is allocated based on square footage. Compute operating income for the West Division

Answers

To compute the operating income for the West Division of Fallow Corporation, we need to first allocate the rent expense based on the square footage occupied by each division.

The total square footage in the plant is 10,000 (6,250 + 3,750). The West Division occupies 6,250/10,000 or 62.5% of the total square footage, while the East Division occupies 3,750/10,000 or 37.5% of the total square footage.

Allocating the rent expense accordingly, the West Division's share of the rent is $ 50,000 x 62.5% = $ 31,250.

Next, we can calculate the West Division's operating income using the following formula:

Operating income = Sales - Cost of goods sold - Salary expense - Rent

Plugging in the numbers for the West Division, we get:

Operating income = $ 250,000 - $ 95,000 - $ 31,000 - $ 31,250 = $ 92,750

Therefore, the operating income for the West Division of Fallow Corporation for the most recent year is $ 92,750.

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The operating income for the West Division of Fallow Corporation is $92,750.

To compute the operating income for the West Division of Fallow Corporation, we need to first allocate the rent expense based on the square footage of each division.

Total square footage = 6,250 + 3,750 = 10,000

Allocation rate = Rent expense / Total square footage
Allocation rate = $50,000 / 10,000 = $5 per square foot

Rent expense for the West Division = 6,250 x $5 = $31,250

Now we can calculate the operating income for the West Division:

Sales (net) = $250,000
Cost of goods sold = $95,000
Salary expense = $31,000
Rent expense = $31,250

Operating income = Sales - Cost of goods sold - Salary expense - Rent expense
Operating income = $250,000 - $95,000 - $31,000 - $31,250
Operating income = $92,750

Therefore, the operating income for the West Division of Fallow Corporation is $92,750.

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Then tell us what elements of the Promotional Mix did the company use or uses for that product or service? Also, is product or service communication integrated? How or how not?

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The elements of the Promotional Mix that a company uses for its product or service would depend on the goals of the company, the target market, and the budget. The Promotional Mix is a combination of tools that a company uses to promote its product or service.

About the promotional mix

These tools include advertising, personal selling, sales promotion, public relations, and direct marketing. Advertising is a form of paid communication that is used to promote a product or service. Personal selling is a one-on-one interaction between the salesperson and the customer, which is aimed at closing the sale.

Sales promotion is a short-term incentive to encourage the purchase of a product or service. Public relations is used to build and maintain a positive image of a company, while direct marketing is aimed at delivering a personalized message to the target market.

Regarding product or service communication integration, an integrated marketing communication strategy ensures that all the different elements of the Promotional Mix work together to promote the product or service. This helps to create a consistent and cohesive message to the target market, which helps to improve brand recognition and brand loyalty.

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Solve the following problem with Excel Solver: (Leave no cells blank - be certain to enter "O" whereverrequired. Round your answers to 2 decimal places.)Minimize Z = 9A + 3B.3A + 11B ₴1293A + 4B ≥122B ₴16

Answers

The minimum value of Z when solved with Excel Solver is 81.43 when A is 8.57 and B is 0.00.

1. Enter the given objective function and constraints into Excel.

2. Open Excel Solver by clicking on the "Data" tab and selecting "Solver" from the Analysis group.

3. Enter the objective cell in the "Set Objective" section, which is Z in this case. Choose "Min" as the solution's goal.

4. Choose the variables that are subject to change in the "Variable Cells" section. In this problem, the variable cells are A and B.

5. Add the constraints by clicking on the "Add" button. For the given constraints, add them one by one.

6. Once all the constraints have been added, click on "Solve" to obtain the optimal solution.

9A + 3B = Z3A + 11B ≥ 12A + 4B ≥ 16

Excel Solver gives the optimal solution as follows:

Optimal Solution:

Z = 81.43, A = 8.57, B = 0.00.

The minimum value of Z is 81.43 when A is 8.57 and B is 0.00.

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What is the rationale for O2005? And does O2005 support or impede SK-II's transfer worldwide? Provide your detailed response

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Regarding SK-II's transfer worldwide, O2005 supports its expansion by fostering a more globally integrated organizational structure.

This enables P&G to efficiently manage and grow SK-II as a global brand, leveraging resources, best practices, and expertise from different regions. O2005 supports SK-II's worldwide transfer by streamlining the supply chain and optimizing production processes, resulting in increased efficiency and cost savings. This will enable the company to expand its operations globally with ease. The rationale for O2005, also known as Organization 2005, was to transform Procter & Gamble (P&G) into a more global, streamlined, and efficient company.

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according to porter, a firm in a competitive marketplace with no clear generic competitive strategy (or change back and forth between the two generic competitive strategies), which leads to no clear competitive advantage in comparison to competitors, is called

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According to Porter, a firm that operates in a competitive market place without any clear generic competitive strategy or shifts between two generic competitive strategies is called a stuck-in-the-middle firm.

This means that the firm does not have a clear competitive advantage over its competitors and is unable to differentiate itself in the market. A stuck-in-the-middle firm fails to align its activities with a clear strategy, and as a result, it cannot achieve a sustainable competitive advantage.

Such firms try to pursue both cost leadership and differentiation strategies but fail to achieve either effectively. This can be detrimental to the firm's performance as it struggles to meet customer needs and keep up with competitors.

The absence of a clear competitive strategy can also result in a lack of focus and increased costs, which can ultimately harm the firm's profitability. In order to succeed, firms need to choose one of the two generic competitive strategies, cost leadership or differentiation, and align their activities to that strategy to achieve a sustainable competitive advantage.

In conclusion, a stuck-in-the-middle firm is one that lacks a clear competitive strategy and fails to differentiate itself in the market. Such firms struggle to achieve a competitive advantage over their rivals and may face challenges in sustaining profitability.

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How much of the firm's value in dollar terms is accounted for by the debt-generated tax shield?

Answers

To determine how much of the firm's value in dollar terms is accounted for by the debt-generated tax shield, follow these steps:

1. Identify the firm's total debt: Determine the total amount of debt the firm has taken on, usually found in its financial statements under liabilities.

2. Calculate the tax rate: Identify the firm's applicable corporate tax rate. This rate is often determined by the country in which the firm operates and can vary depending on its income level.

3. Calculate the debt-generated tax shield: Multiply the firm's total debt by the applicable tax rate. This will give you the dollar amount of the tax shield generated by the firm's debt.

Debt-Generated Tax Shield = Total Debt × Tax Rate

The debt-generated tax shield represents the portion of the firm's value attributable to the tax savings associated with its debt financing. In other words, it is the amount of money the firm saves on taxes due to the tax-deductible nature of interest payments on debt. This tax shield can help increase the overall value of the firm, as it effectively lowers the firm's cost of capital.

It's essential to note that while the debt-generated tax shield can benefit a firm, it can also expose the firm to potential risks associated with higher debt levels, such as increased financial leverage and bankruptcy risk. Therefore, firms must carefully balance the benefits and risks of debt financing when determining their optimal capital structure.

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The net income reported on the income statement for the current year was $290,000. depreciation recorded on equipment and a building amounted to $150,500 for the year. balances of the current asset and current liability accounts at the beginning and end of the year are as follows: end of year beginning of year cash $117,600 $135,000 accounts receivable (net) 132,500 141,100 inventories 291,900 274,300 prepaid expenses 5,600 7,100 accounts payable (merchandise creditors) 143,400 172,400 salaries payable 11,300 6,300 question content area a. prepare the cash flows from (used for) operating activities section of the statement of cash flows, using the indirect method. use the minus sign to indicate cash outflows, cash payments, decreases in cash, or any negative adjustments.

Answers

The cash flows from operating activities using the indirect method is $398,000.

To prepare the cash flows from the (used for) operating activities section of the statement of cash flows using the indirect method, we need to adjust net income for non-cash items and changes in working capital:

1. Start with net income: $290,000
2. Add depreciation: $150,500
3. Adjust for changes in current assets and current liabilities:
  - Decrease in accounts receivable: $141,100 - $132,500 = $8,600
  - Increase in inventories: $274,300 - $291,900 = -$17,600
  - Decrease in prepaid expenses: $7,100 - $5,600 = $1,500
  - Decrease in accounts payable: $172,400 - $143,400 = -$29,000
  - Increase in salaries payable: $6,300 - $11,300 = -$5,000

Now, calculate the net cash provided by operating activities:
$290,000 (net income) + $150,500 (depreciation) + $8,600 (Δ accounts receivable) - $17,600 (Δ inventories) + $1,500 (Δ prepaid expenses) - $29,000 (Δ accounts payable) - $5,000 (Δ salaries payable) = $398,000.

The cash flows from operating activities using the indirect method is $398,000.

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large-scale unethical activities that follow recognizable phases of escalation, from ethical issue recognition and the decision to act unethically to the organization's discovery of and response to the act, are known as . a. ethical business conflicts b. crises of conscience c. ethical disasters d. leader-follower congruence e. normative myopia

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Large-scale unethical activities that follow recognizable phases of escalation, from ethical issue recognition are known as ethical disasters. The correct answer is c.

Ethical disasters are large-scale unethical activities that follow recognizable phases of escalation, from ethical issue recognition and the decision to act unethically to the organization's discovery of and response to the act.

These phases can include rationalization, planning, execution, and cover-up. Ethical disasters can cause significant harm to an organization, including reputational damage, legal consequences, and financial losses.

Examples of ethical disasters include the Enron scandal and the Volkswagen emissions scandal. In both cases, the organizations engaged in unethical behavior that was discovered and had significant consequences for the companies and their stakeholders.

Effective ethical leadership and a strong ethical culture can help prevent ethical disasters by promoting ethical decision-making and behavior throughout an organization. Organizations should have strong ethical codes of conduct, regular ethics training, and a system for reporting and addressing ethical concerns.

The correct answer is c.

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Ou are constructing a portfolio of two assets, asset a and asset b. The expected returns of the assets are 10 percent and 15 percent, respectively. The standard deviations of the assets are 22 percent and 30 percent, respectively. The correlation between the two assets is. 27 and the risk-free rate is 4 percent. What is the optimal sharpe ratio in a portfolio of the two assets? what is the smallest expected loss for this portfolio over the coming year with a probability of 5 percent? (a negative value should be indicated by a minus sign. Do not round intermediate calculations. Round your sharpe ratio answer to 4 decimal places and the z-score value to 3 decimal places when calculating your answer. Enter your smallest expected loss as a percent rounded to 2 decimal places. )

Answers

The smallest expected loss for this portfolio over the coming year with a probability of 5% is -60.43%.

The optimal Sharpe ratio in a portfolio of two assets can be calculated using the following formula:

Sharpe Ratio = (Rp - Rf) / σp

where Rp is the expected return of the portfolio, Rf is the risk-free rate, and σp is the standard deviation of the portfolio.

To find the optimal Sharpe ratio, we need to determine the weight of each asset in the portfolio. This can be done using the following formula:

[tex]\begin{equation}w_{a} = \frac{\sigma_{b}^{2} - \rho_{ab}\sigma_{a}\sigma_{b}}{\sigma_{a}^{2} + \sigma_{b}^{2} - 2\rho_{ab}\sigma_{a}\sigma_{b}}\end{equation}[/tex]

wb = 1 - wa

where wa and wb are the weights of asset a and asset b, respectively, σa and σb are the standard deviations of asset a and asset b, respectively, and ρab is the correlation coefficient between asset a and asset b.

Using the given values, we can calculate wa and wb as follows:

[tex]\begin{equation}w_{a} = \frac{0.3^{2} - 0.27 \times 0.22 \times 0.3}{0.22^{2} + 0.3^{2} - 2 \times 0.27 \times 0.22 \times 0.3} = 0.267\end{equation}[/tex]

wb = 1 - wa = 0.733

Therefore, the portfolio weights are 26.7% for asset a and 73.3% for asset b.

The expected return of the portfolio can be calculated as follows:

Rp = wa x Ra + wb x Rb = 0.267 x 0.1 + 0.733 x 0.15 = 0.13 or 13%

The standard deviation of the portfolio can be calculated as follows:

[tex]\begin{equation}\sigma_{p} = \sqrt{w_{a}^{2}\sigma_{a}^{2} + w_{b}^{2}\sigma_{b}^{2} + 2w_{a}w_{b}\rho_{ab}\sigma_{a}\sigma_{b}}\end{equation}[/tex]

[tex]\begin{equation}\sqrt{0.267^{2} \times 0.22^{2} + 0.733^{2} \times 0.3^{2} + 2 \times 0.267 \times 0.733 \times 0.27 \times 0.22 \times 0.3}\end{equation}[/tex]

= 0.254 or 25.4%

Thus, the Sharpe ratio of the portfolio can be calculated as:

Sharpe Ratio = (Rp - Rf) / σp

= (0.13 - 0.04) / 0.254

= 0.3149 or 0.315 (rounded to 4 decimal places)

To calculate the smallest expected loss for this portfolio over the coming year with a probability of 5%, we need to use the z-score formula:

z-score = (x - μ) / σ

where x is the smallest expected loss, μ is the expected return of the portfolio, and σ is the standard deviation of the portfolio.

We need to find the z-score corresponding to a 5% probability, which is -1.645 (rounded to 3 decimal places).

Rearranging the formula, we get:

x = μ + z-score x σ = 0.13 - 1.645 x 0.254 = -0.6043 or -60.43% (rounded to 2 decimal places)

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Developing a team-orientated performance evaluation system and using the information to provide feedback is NOT an important way to improve team operation. a True b False

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The given statemen "Developing a team-orientated performance evaluation system and using the information to provide feedback is NOT an important way to improve team operation. " is false becasue developing a team-orientated performance evaluation system and using the information to provide feedback is an important way to improve team operation.

Performance Evaluation System is the process of measuring and evaluating the effectiveness of employees' performance. The main purpose of the performance evaluation system is to assess the employee's job performance, provide feedback, and identify the strengths and weaknesses of the employee. It is the systematic way to ensure that an organization's goals and objectives are met. 

Therefore, developing a team-oriented performance evaluation system and using the information to provide feedback is an important way to improve team operation. It helps in building an effective and efficient team. Therefore, the given statement is FALSE.

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Let’s say you enjoy a cup of coffee with non-dairy creamer after you eat. But the waitress brings your coffee with your food. Should you put the creamer in now, or wait until after you eat to put it in, if you want to maximize your chance at enjoying a hot cup of coffee?.

Answers

If you want to maximize your chance of enjoying a hot cup of coffee, you should wait until after you finish your food to add the non-dairy creamer.

The reason for this is that adding cold creamer to a hot cup of coffee will cause the temperature of the coffee to decrease more quickly than if you were to drink the hot coffee first and then add the creamer. This is because the heat from the coffee will be absorbed by the cold creamer, causing the overall temperature of the coffee to drop more quickly.

By waiting until after you finish your food to add the non-dairy creamer, you can maximize the amount of time that your coffee remains hot and enjoyable to drink.

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Suppose you are running a business and incur the following monthly expenses: labor costs are $80,000; raw materials and business supplies are 30,000; equipment leasing expenses are $7,000; finance charges on loans are $3,000. you are not paying rent, because you own the building in which you operate the business. if you had rented it out, however, you would have received $12,000 in rent income. you also estimate the value of your own time to equal $40,000. if the total revenue is $500,000, compute your economic and accounting profit?

explain the scope of managerial economics.

if the demand function for an industry is

d = 500 - .01q and its supply function is 5 + .04q, what will be its competitive equilibrium output and price levels?

suppose that a firm’s profit function is given by the following relationship: π = -25 + 100q1 + 95q2 – 10q12 – 5q22 – 5q1q2 where q1 and q2 are the respective quantities of the two products that the firm manufactures and sells.

determine:

a. the values of q1 and q2 that maximize π

b. the maximum value of π

Answers

The accounting profit of the business is $380,000.

The competitive equilibrium price level is $410.

Economic Profit:

Economic profit is the difference between total revenue and all costs, including opportunity costs. Opportunity costs refer to the value of the next best alternative that is forgone when making a decision. In this scenario, the economic profit can be calculated as follows:

Total Revenue = $500,000

Total Costs = Labor costs ($80,000) + Raw materials and business supplies ($30,000) + Equipment leasing expenses ($7,000) + Finance charges on loans ($3,000) + Opportunity cost of not renting the building ($12,000) + Opportunity cost of the owner's time ($40,000) = $172,000

Economic Profit = Total Revenue - Total Costs = $500,000 - $172,000 = $328,000

Therefore, the economic profit of the business is $328,000.

Accounting Profit:

Accounting profit is the difference between total revenue and explicit costs, which include all actual expenses incurred in running the business. In this scenario, the accounting profit can be calculated as follows:

Total Revenue = $500,000

Total Explicit Costs = Labor costs ($80,000) + Raw materials and business supplies ($30,000) + Equipment leasing expenses ($7,000) + Finance charges on loans ($3,000) = $120,000

Accounting Profit = Total Revenue - Total Explicit Costs = $500,000 - $120,000 = $380,000

Therefore, the accounting profit of the business is $380,000.

Scope of Managerial Economics:

Managerial economics is the application of economic principles and theories to aid decision-making in a business setting. It involves the use of economic analysis to solve business problems and make optimal decisions. The scope of managerial economics includes demand analysis, production analysis, cost analysis, pricing decisions, profit analysis, capital budgeting, and risk analysis. In this scenario, the owner of the business could use managerial economics principles to maximize profits by analyzing costs, pricing decisions, and production levels.

Competitive Equilibrium Output and Price Levels:

The demand function for an industry is d = 500 - 0.01q, and its supply function is 5 + 0.04q. To determine the competitive equilibrium output and price levels, we need to find the quantity at which the demand and supply functions intersect. This is the point where the market is in equilibrium, and the price and quantity will be stable.

Setting the demand function equal to the supply function:

500 - 0.01q = 5 + 0.04q

0.05q = 495

q = 9,900

Therefore, the competitive equilibrium output level is 9,900 units. To find the equilibrium price, we can substitute the equilibrium quantity into either the demand or supply function:

Price = 500 - 0.01(9,900) = $410

Therefore, the competitive equilibrium price level is $410.

Maximizing Profit:

The profit function of the firm is given by: π = -25 + 100q1 + 95q2 – 10q1^2 – 5q2^2 – 5q1q2, where q1 and q2 are the quantities of the two products that the firm produces and sells. To determine the values of q1 and q2 that maximize profit

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As successive equal increases in a variable factor of production are added to fixed factors of production, there will be a point beyond which the extra product that can be attributed to each additional unit of the variable factor of production will decline. This is known as the law of diminishing total product. Diminishing average product. Decreasing product. Diminishing marginal product

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The law of diminishing marginal returns is also known as the law of diminishing marginal productivity. It applies to situations where a firm increases the use of one factor of production while keeping all other factors constant. For example, a factory may increase the number of workers on an assembly line, while keeping the amount of machinery and raw materials the same.

Initially, as more workers are added to the assembly line, the production of goods will increase at an increasing rate. This is known as the stage of increasing returns. Each additional worker contributes more output than the previous worker. This occurs because the fixed factors of production, such as machinery and raw materials, are being used more efficiently as more workers are added.

However, at some point, the production of goods will start to increase at a decreasing rate. This is known as the stage of diminishing returns. Each additional worker now contributes less output than the previous worker. This occurs because the fixed factors of production are being used less efficiently as more workers are added. The factory may become overcrowded, and workers may start to get in each other's way, causing delays and inefficiencies.

Eventually, the production of goods will stop increasing altogether, and may even start to decrease. This is known as the stage of negative returns. At this point, the factory has become so overcrowded and inefficient that adding more workers actually decreases the amount of output produced.

The law of diminishing marginal returns is an important concept for firms to understand when making production decisions. They need to carefully consider the marginal product of each additional unit of a factor of production, and make sure that they are not adding too much of one input relative to others. If they do not carefully manage their inputs, they may find themselves in a situation of diminishing returns, where the cost of producing an additional unit of output exceeds the revenue generated by selling that unit.

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What is the economic outlook for occupations in the healthcare sector?

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The economic outlook for occupations in the healthcare sector is generally positive.

The healthcare industry is one of the largest and fastest-growing sectors of the global economy, and it is expected to continue growing in the coming years.

The aging population, increased demand for healthcare services, and technological advancements in medicine are some of the factors driving this growth.

According to the Bureau of Labor Statistics (BLS), healthcare occupations are projected to add more jobs than any other occupational group between 2020 and 2030, accounting for about 16% of all new jobs.

Some of the fastest-growing occupations in the healthcare sector include nurse practitioners, physician assistants, healthcare administrators, and medical and health services managers.

In addition to strong job growth, many healthcare occupations also offer above-average salaries and benefits.

According to BLS data, the median annual wage for healthcare practitioners and technical occupations was $69,870 in May 2020, which was higher than the median annual wage for all occupations of $41,950.

Additionally, many healthcare employers offer competitive benefits packages, including health insurance, retirement plans, and paid time off.

Overall, the economic outlook for occupations in the healthcare sector is positive, with strong job growth and competitive salaries and benefits.

As the healthcare industry continues to evolve and expand, there will likely be many opportunities for individuals interested in pursuing a career in healthcare.

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a powder metal (pm) manufacturing line produces bushings in three steps, compaction, sinter-harden, and rough/finish turn, which are accomplished at three single-machine stations with average processing times of 12, 10, and 6 minutes, respectively. however, while compaction and sinter-harden are dedicated to the bushing line, the rough/finish turn station also processes bearings from another line; the average processing times for bearings are 14 minutes. (a) if the production volumes of bushings and bearings are the same, what is the bottleneck of the pm line? (d) if you had to pick one process for the bottleneck, which one would it be?

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(a) The bottleneck of the PM line is the rough/finish turn station, which has an average processing time of 6 minutes for bushings but 14 minutes for bearings.

(b) If we had to pick one process as the bottleneck, it would be the rough/finish turn station.

This station is processing both bushings and bearings, and the average processing time for bearings is longer than for bushings, which creates a delay in the production of bushings. To address the bottleneck, we could consider several options, such as adding another rough/finish turn station dedicated solely to bushings, increasing the efficiency of the rough/finish turn station, or reducing the production volume of bearings on the other line to free up the rough/finish turn station for bushing production.

By improving the efficiency of the bottleneck process, we can increase the overall production capacity of the PM line and meet the demand for both bushings and bearings.

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abba manufacturing makes staplers. the budgeted selling price is $10 per stapler, the variable rate is $5 per stapleand budgeted fixed costs are $12,000. what is the budgeted operating income for 5,000 staplers?

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The budgeted operating income for Abba Manufacturing for 5,000 staplers is $13,000.

In order to calculate the budgeted operating income for Abba Manufacturing, we need to understand the cost structure of the company. The company makes staplers and has a budgeted selling price of $10 per stapler. This is the revenue per stapler.

The variable rate per stapler is $5. This means that for every stapler produced and sold, the company has to pay $5 in variable costs.

To calculate the total variable costs, we need to multiply the variable rate per stapler by the number of staplers produced and sold. In this case, the budgeted number of staplers produced and sold is 5,000. Therefore, the total variable costs are $5 x 5,000 = $25,000.

The budgeted fixed costs are $12,000. Fixed costs are those costs that do not change with the level of production. Therefore, regardless of the number of staplers produced and sold, Abba Manufacturing will incur $12,000 in fixed costs.

To calculate the budgeted operating income, we need to subtract the total variable costs and fixed costs from the total revenue. In this case, the total revenue is $10 x 5,000 = $50,000. Therefore, the budgeted operating income is:

$50,000 (total revenue) - $25,000 (total variable costs) - $12,000 (fixed costs) = $13,000

This calculation assumes that the budgeted selling price, variable rate, and fixed costs are accurate and do not change with the level of production.

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Explain the pricing factor of company profitability what is possibility and how is it calculated

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The pricing factor plays a crucial role in determining a company's profitability. Essentially, the pricing factor refers to the amount of revenue generated by a company's products or services relative to the costs incurred in producing or providing them. The goal is to set prices that allow for the company to earn a profit, while also remaining competitive within the market.

One way to calculate the pricing factor is through the use of a pricing formula. This formula takes into account various costs, including materials, labor, overhead, and any other expenses related to production or service provision. From there, the company can determine a price point that allows for a desired profit margin.

Of course, the pricing factor is influenced by many factors beyond just the costs of production. For example, companies must also consider the pricing strategies of their competitors, market demand, and any external economic factors that could impact their business.

To maximize profitability, companies must find the right balance between setting prices that are competitive but also allow for sufficient profits. This often requires ongoing analysis and adjustments to pricing strategies based on changing market conditions and other factors.

Ultimately, the pricing factor is a critical component of a company's profitability. By understanding the costs of production, market demand, and pricing strategies, businesses can set prices that allow them to thrive in a competitive marketplace.

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Why do young people who want to be actors often end up waiting tables or doing temp work rather than acting professionally full time? a. many young actors feel that waiting tables will help improve their acting skills. b. taking temporary office jobs is a good way to be discovered as a young actor. c. there are many more people who want to be actors than there is full time paid acting work available. d. most young actors who wait tables want to own a restaurant.

Answers

Option c. there are many more people who want to be actors than there is full time paid acting work available.

The reason why young people who want to be actors often end up waiting tables or doing temp work rather than acting professionally full time is because there are many more people who want to be actors than there is full time paid acting work available.

This creates a highly competitive market where only a small percentage of aspiring actors are able to secure full-time acting jobs. As a result, many young actors end up taking on other jobs, such as waiting tables or doing temp work, in order to make ends meet while they pursue their acting careers. It's not necessarily that these jobs directly improve their acting skills or offer them opportunities to be discovered, but rather they provide a means of financial support while they wait for their big break in the industry.

It's important to note that not all young actors who wait tables want to own a restaurant - this is just a personal goal for some individuals.

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Research to predict stock value that focuses on such determinants as earnings and dividends prospects, expectations for future interest rates, and risk evaluation of the firm is referred to a

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The research to predict stock value that focuses on such determinants as earnings and dividends prospects, expectations for future interest rates, and risk evaluation of the firm is referred to as fundamental analysis. This type of analysis involves analyzing a company's financial statements, industry trends, management effectiveness, and other factors that could affect the company's performance and future prospects.

Fundamental analysis is often used by long-term investors who are looking for companies that are undervalued or have strong growth potential. By analyzing a company's financials and other key factors, investors can determine whether a company is likely to perform well in the future and whether its stock is a good investment.

One of the key determinants of a company's value is its earnings prospects. Investors will look at a company's earnings history, as well as its projected earnings growth, to determine whether it is a good investment. Dividends are also important, as they can provide a steady stream of income for investors.

Expectations for future interest rates are also important, as changes in interest rates can affect a company's borrowing costs and overall profitability. Finally, risk evaluation of the firm is important, as investors need to consider the potential risks of investing in a particular company, such as regulatory changes, economic downturns, and other factors that could affect its performance.

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A renter decides to leave a rental property and break their rental agreement. what will happen?

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If a renter decides to leave a rental property and break their rental agreement, several consequences may follow.

Firstly, the renter may be required to pay a penalty fee for breaking the lease. This fee is typically stated in the rental agreement and can range from a few hundred dollars to several months' worth of rent. Additionally, the renter may lose their security deposit, which is typically used to cover any damages to the property or unpaid rent.

Furthermore, the renter may also face legal action from the landlord. The landlord may take the renter to court to recover any unpaid rent or damages to the property. This can result in a negative mark on the renter's credit report, making it difficult for them to rent in the future.

In some cases, the landlord may also report the renter to a tenant screening agency, which can make it challenging for the renter to find a new rental property. Ultimately, breaking a rental agreement can have significant financial and legal consequences, and renters should carefully consider their options before deciding to leave a rental property.

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fortune company uses a predetermined overhead rate based on direct labor-hours to apply manufacturing overhead to jobs. on october 1, the estimates for the month were: manufacturing overhead$17,000 direct labor-hours 13,600 during october, the actual results were: manufacturing overhead$18,500 direct labor-hours 12,000 the cost records for october will show:

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The cost records for October will show actual manufacturing overhead of $18,500, applied manufacturing overhead of $15,000, and an unfavorable overhead variance of $3,500.

The predetermined overhead rate is calculated by dividing the estimated manufacturing overhead by the estimated direct labor-hours. Therefore, Fortune Company's predetermined overhead rate is $17,000 ÷ 13,600 hours = $1.25 per direct labor-hour.

Based on the actual results for October, Fortune Company incurred $18,500 of manufacturing overhead and used 12,000 direct labor-hours. Using the predetermined overhead rate of $1.25 per direct labor-hour, the amount of manufacturing overhead applied to jobs is $1.25 × 12,000 hours = $15,000.

The difference between the actual manufacturing overhead incurred and the manufacturing overhead applied to jobs is known as the overhead variance. In this case, the overhead variance is $18,500 - $15,000 = $3,500 unfavorable.

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An analysis and aging of the accounts receivable of watts company at december 31 reveal these data:

accounts receivable $2,400,000
allowance for doubtful accounts per books before adjustment (credit) 150,000
amounts expected to become uncollectible 195,000

required:
what is the cash realizable value of the accounts receivable at december 31 after adjustment?

Answers

The cash realizable value of the accounts receivable at December 31 after adjustment is $2,055,000.

To calculate the cash realizable value, we need to adjust the allowance for doubtful accounts to reflect the amounts expected to become uncollectible. This will give us the net realizable value of the accounts receivable.

The adjusted allowance for doubtful accounts is calculated as follows:

Allowance for doubtful accounts after adjustment = Allowance for doubtful accounts before adjustment + Amounts expected to become uncollectible

= $150,000 + $195,000

= $345,000

We need to add this amount back to the accounts receivable to arrive at the net realizable value.

Net realizable value = Accounts receivable - Allowance for doubtful accounts after adjustment

= $2,400,000 - $345,000

= $2,055,000

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Question text


Computing Issue Price for Zero-Coupon Bonds


Baiman, Inc. Issues $1,000,000 of zero-coupon bonds that mature in 10 years. Compute the bond issue price assuming that the bonds' market rate is:



a. 10% per year compounded semiannually.


Round your answers to the nearest dollar.


Present value of principal repayment


Answer




b. 12% per year compounded semiannually.


Round your answers to the nearest dollar.


Present value of principal repayment


Answer




c. If prior to the debt issue at 12%, the firm had total assets of $3. 5 million and total equity of $1 million, what would be the effect of the new borrowing on the financial leverage of the firm?


(Round your answers to two decimal places. )


Financial leverage prior to borrowing


Answer



Financial leverage subsequent to borrowing




Increase (Decrease) in financial leverage




Financial leverage prior to borrowing




Financial leverage subsequent to borrowing





I

Answers

The zero-coupon bond rate based on the information provided, after calculation is $376,889.48

Face value: $1 million

Mature = 10 * 2 = 20 semesters.

Market price = 0.1/2 = 0.05

We must apply the following calculation to get the bond's price:

Bond with no coupons equals [face value/(1+i)]

Bond with no coupon equals [1,000,000 / (1.0520)]

$376,889.48 for a zero-cupon bond

b: Market price = 0.12/2 = 0.06

We must apply the following calculation to get the bond's price:

Bond with no coupons equals [face value/(1+i)]

Bond with no coupon equals [1,000,000 / (1.0620)]

Bond with no coupon = $311,804.72

c Financial Leverage: Equity/Total Assets

If the ratio is large, the corporation has financed the majority of its assets with borrowed money. A ratio of less than 2 indicates that equity is larger in proportion to liabilities and debt than debt capital and, conversely, a ratio of greater than 2 indicates that debt capital and liabilities are greater than equity.

Before issuing debt, total assets were $3.5 million.

Total equity was $1,000,000.

FL: $3,500,000 / $1,000,000 = $3,500,000

Debt capital: $3.5 million less $1 million is $2.5 million.

After the debt issuance, the total value of the assets will be $3.51 million (approximately) plus $0.311805 million.

Debt capital equals: $2.5 million plus $0.311805 million, or approximately $2.8 million.

Equity will stay at $1 million.

FL as of now is: $3.81 million / $1 million =3.811

As a result, Financial Leverage will grow by (3.81-3.5) = 0.31.

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The conflict between owners, employees, suppliers, and customers of a company is known as a. conflict of multiple environments. b. regulatory risk. c. problem of agency. d. conflict of interests.

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The conflict between owners, employees, suppliers, and customers of a company is known as a conflict of interests. This is because each group has its own unique set of interests and goals that may not always align with each other.

For example, owners may prioritize maximizing profits, while employees may prioritize fair compensation and good working conditions, and customers may prioritize high-quality products and low prices. These differing interests can lead to conflicts and tensions within the company.
The problem of agency is another concept that can contribute to conflicts between these groups. This refers to the potential for employees or managers to act in their own self-interest rather than in the best interests of the company or its owners. This can lead to conflicts between owners and employees, as owners may feel that employees are not acting in the best interests of the company. Regulatory risk can also contribute to conflicts between these groups. This refers to the potential for changes in laws or regulations to impact the operations of the company. For example, if new regulations require the company to invest in costly upgrades or changes, owners may resist these changes due to the potential impact on profits.
Overall, the conflict of interests between owners, employees, suppliers, and customers is a complex issue that can arise in any company. Effective communication, transparency, and a shared sense of purpose can help to minimize conflicts and promote a more collaborative working environment.

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Scenario E: Aspen Integrated Marketing used to have a strict hierarchical structure, with information given only to those who required it. The new chief executive officer, however, set up a flat organizational structure that eliminates barriers to information flow. Information that was previously available to managers alone is now given to employees as well. He also assigned mentors to new employees to help them in their jobs and enable them to perform better. The process by which mentors help new employees with their jobs and enable them to perform better is an example of

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The process by which mentors help new employees with their jobs and enable them to perform better is an example of employee onboarding and training. With the implementation of a flat organizational structure, Aspen Integrated Marketing has recognized the importance of sharing knowledge and fostering collaboration throughout the organization.

By assigning mentors to new employees, they are providing a structured and supportive approach to learning and development. This helps to ensure that new employees have the necessary knowledge and skills to succeed in their roles and contribute to the overall success of the organization.

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Elliott has the following capital gain and loss transactions for 2020. A. Short-term capital gain $1,500 b. Short-term capital loss ($3,600) c. Long-term capital gain (28%) $12,000 d. Long-term capital gain (25%) $4,800 e. Long-term capital gain (15%) $6,000 f. Long-term capital loss (28%) ($4,500) g. Long-term capital loss (15%) ($9,000)

Answers

After netting the capital gains and losses, Elliott has a net long-term capital gain of $9,300 and a net long-term capital gain of $7,200 for the year 2020.

Start by netting the short-term capital gain and loss

$1,500 - $3,600 = ($2,100) net short-term capital loss

Next, net the long-term capital gains and losses for each tax rate

28% long-term capital gains: $12,000 - $4,500 = $7,500 net long-term capital gain

25% long-term capital gains: $4,800 net long-term capital gain

15% long-term capital gains: $6,000 - $9,000 = ($3,000) net long-term capital loss

Add up the net long-term capital gains and losses

$7,500 + $4,800 - $3,000 = $9,300 net long-term capital gain

Finally, add up the net short-term capital loss and the net long-term capital gain

($2,100) + $9,300 = $7,200 overall net capital gain

Therefore, Elliott's overall net capital gain for 2020 is $7,200.

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--The given question is incomplete, the complete question is given

" Elliott has the following capital gain and loss transactions for 2020. A. Short-term capital gain $1,500 b. Short-term capital loss ($3,600) c. Long-term capital gain (28%) $12,000 d. Long-term capital gain (25%) $4,800 e. Long-term capital gain (15%) $6,000 f. Long-term capital loss (28%) ($4,500) g. Long-term capital loss (15%) ($9,000) After the netting process, Elliott has an overall Select: (net long-term capital gain, net long-term capital loss, net short-term capital gain, net short-term capital loss) of $__________ ."--

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