janet sells a share of harper short at $6.10 per share, and at some future date covers her short position (gets out of her short position) when harper is trading at $9.15. what is janet's profit or loss on the trade and what is the most janet can gain on the original short trade?

Answers

Answer 1

Janet's profit on the trade would be $3.05 per share ($9.15 selling price - $6.10 buying price). The most Janet can gain on the original short trade is $6.10 per share (the price at which she sold the share short).

However, it's important to note that short selling comes with unlimited risk, meaning that Janet's potential losses on the trade could also be unlimited if the price of Harper Short continued to rise instead of falling.
1. Janet sells a share of Harper short at $6.10 per share.
2. At a future date, she covers her short position when Harper is trading at $9.15 per share.
3. To find her profit or loss, subtract the price she covered the short position ($9.15) from the price she sold the share short ($6.10): $6.10 - $9.15 = -$3.05.
So, Janet has a loss of $3.05 on the trade. Therefore, the most Janet can gain on the original short trade is $6.10.

To know more about original short trade visit:

https://brainly.com/question/29802405#SPJ11

Related Questions

Which of these statements about a business plan is true?

A. Businesses do not need to document a business plan.
B. Established businesses do not create a business plan.
C. A business plan is a business’s roadmap for the future.
D. A business plan guarantees a business’s success.​

Answers

Answer:

The correct answer would be option C, A business plan is a business's road map for the future.

Explanation:

A business plan is basically a written document, in which the goals of the company are written down. The methods to achieve those goals are also written down and the time to achieve the goals are specified. Goals with timelines and deadline are written. This helps a business in setting up a road map to move towards the set goals of the company. Established businesses always create and follow business plans as business plans guarantee a business's success.

Answer: C. A business plan is a business’s roadmap for the future.

dash pattern similar to a phantom line, except thick

Answers

A thick dashed line is a line that is similar to a phantom line but thicker, used to highlight a specific boundary or area in technical drawing, engineering, and architecture

A dashed line that is similar to a phantom line but thicker is called a "thick dashed line." A phantom line is typically a thin, dashed line that is used to show a proposed or alternate position of an object or feature, whereas a thick dashed line is used to highlight a specific boundary or area.

Thick dashed lines are often used in technical drawing, engineering, and architecture to show the outline of an object or to differentiate between different types of lines. The thickness of the line can vary depending on the application and the desired effect.

To create a thick dashed line, you can use a drawing tool that allows you to adjust the line thickness and dash pattern. Alternatively, you can draw a regular dashed line and then increase the line thickness to make it thicker.

Learn more about dashed line here

brainly.com/question/29149427

#SPJ4

At the beginning of the month, daniel's business services had two incomplete consulting engagements (jobs) that had the following costs assigned from previous months. job numberassociate laborapplied overhead dbs-32$ 37,520? dbs-3527,480? during the month, jobs dbs-32 and dbs-35 were completed but not billed to customers. completion of dbs-32 required an additional $32,100 in associate labor. for dbs-35, an additional $96,000 in associate labor was incurred. during the month, the only new job, dbs-36, was started but not finished. total associate labor costs for all jobs amounted to $186,400 for the month. overhead in this company refers to the cost of work that is not directly traced to particular jobs, including supplies, copying, printing, and travel costs to meet with clients. overhead is applied at a rate of 75 percent of associate labor costs. this rate has not changed for many months. actual overhead for the month was $137,520. required: what are the costs of jobs dbs-32 and dbs-35 at (1) the beginning of the month and (2) when completed? what is the cost of job dbs-36 at the end of the month? how much was under- or overapplied service overhead for the month?

Answers

A). the costs of Jobs DBS-32 and DBS-35 at (1) the beginning of the month and (2) when completed is $216,090.

B). The cost of Job DBS-36 at the end of the month is $102,025.

C). Overapplied service overhead for the month was $2,280

1.

Costs of Jobs DBS-32 and DBS-35 at

(1) the beginning of the month

Job DBS-32:

Associate labor cost at the beginning = $37,520

It is given that, overhead is applied at a rate of 75 percent of associate labor costs.

Applied overhead at the beginning = $37,520 × 75% = $28,140

Cost of Job DBS-32 at the beginning of the month = Associate labor cost + Applied overhead = $37,520 + $28,140 = $65,660

Job DBS-35:

Associate labor cost at the beginning = $27,480

Applied overhead at the beginning = $27,480 × 75% = $20,610

Cost of Job DBS-35 at the beginning of the month = Associate labor cost + Applied overhead = $27,480 + $20,610 = $48,090

(2) when completed

Job DBS-32:

Total cost of the job at the beginning of the month = $65,660

Additional costs during the month:

Associate labor cost = $32,100

Applied overhead = $32,100 × 75% = $24,075

Total additional costs = $32,100 + $24,075 = $56,175

Cost of Job DBS-32 when completed = Cost at the beginning of the month + Additional costs during the month = $65,660 + $56,175 = $121,835

Job DBS-35:

Total cost of the job at the beginning of the month = $48,090

Additional costs during the month:

Associate labor cost = $96,000

Applied overhead = $96,000 × 75% = $72,000

Total additional costs = $96,000 + $72,000 = $168,000

Cost of Job DBS-35 when completed = Cost at the beginning of the month + Additional costs during the month = $48,090 + $168,000 = $216,090

2.

Cost of Job DBS-36 at the end of the month:

Associate labor cost for Job DBS-36 = Total associate labor cost for all jobs for the month - (Associate labor cost for Job DBS-32 during the month + Associate labor cost for Job DBS-35 during the month)

= $186,400 - ($32,100 + $96,000) = $58,300

Applied overhead = $58,300 × 75% = $43,725

Total cost of Job DBS-36 at the end of the month = $58,300 + $43,725 = $102,025

3.

Applied overhead for the month = Total associate labor cost for the month × Overhead applied rate = $186,400 × 75% = $139,800

Actual overhead for the month = $137,520

Actual overhead is lower than the applied overhead, therefore, the overhead is overapplied.

Overapplied overhead = Applied overhead - Actual overhead = $139,800 - $137,520 = $2,280

Overapplied service overhead for the month was $2,280.

Labor costs constitute the full expenditure incurred through employers for the employment of personnel. They represent the value of the salaried labor force, which is why they're on occasion known as salary costs. Labor charges are certainly one of 3 styles of charges that make up a producer's price of products sold (COGS).

Direct labor cost is a part of wage bills or payroll that can be specifically and continuously assigned to or associated with the manufacture of a product, a selected painting order, or the provision of a provider. Exertion charges also are labeled as constant expenses or variable expenses. for instance, the fee of exertion to run the machinery is a variable price, which varies with the company's stage of production. A company can without difficulty increase or lower variable labor value via growing or decreasing manufacturing.

To learn more about Labour costs visit here:

brainly.com/question/29767642

#SPJ4

The relative financial stability following the Great Depression was ended by: Multiple Choice stagflation. O the Great Recession. the Great Crash World War II.

Answers

The relative financial stability following the Great Depression was ended by World War II. The Great Depression was a period of economic hardship that lasted from 1929 to the late 1930s.

The end of financial stability following the Great Depression due to World War II can be explained by the following factors:

Increased government spending: World War II led to a massive increase in government spending as countries mobilized their economies for war. This increased spending created inflationary pressures and led to a rise in interest rates.Disruption of trade: World War II disrupted international trade, which led to shortages of goods and raw materials. This caused prices to rise, and many countries implemented price controls to try to combat inflation.Post-war reconstruction: After the war ended, many countries had to engage in post-war reconstruction efforts, which required significant investment. This led to further inflationary pressures and rising interest rates.

Overall, the relative financial stability following the Great Depression was ended by World War II, which led to increased government spending, disruption of trade, and post-war reconstruction efforts that created inflationary pressures and rising interest rates.

Learn More About financial stability

https://brainly.com/question/28839372

#SPJ11

One of the purposes of market segmentation is to determine the best customer for the service or product and then to target that group
through marketing.
True
False

Answers

Answer:

true

Explanation:

Maggie is a high school senior who just received her college financial aid
award packet in the mail. While her mom watches, Maggie excitedly opens the
envelope. She sees that she has received grants, scholarships and student loans.
The thought of taking on debt makes Maggie a little nervous. Her mom tells
her that student loans are normal and that she will have more time to focus on
studying rather than having to work a part-time job in college. Is her mom’s
advice the same as the advice you’d give her? Explain what your advice would be.

Answers

Answer:

I would definitely give the same advice. The income potential for a college graduate far exceeds those of a high school graduate. I would be determined to graduate from college, good get a great job and get the loans paid off.

Explanation:

With a great education and a great job it shouldn't take long to get the loans paid off

Why doesn't the Lorax do anything to stop the Once-ler (hint: he's a symbol)? What does this tell us
about the future of business decisions?

Answers

Answer:

The Lorax is a symbol of environmental consciousness and his inaction in stopping the Once-ler represents the failure of society to prioritize the environment over economic growth. This tells us that if we do not take steps to balance economic growth and environmental sustainability, it could lead to long-term negative consequences for the environment and future business decisions.

Explanation:

The Lorax is a children's book by Dr. Seuss that explores the environmental impact of economic growth and consumerism. In the story, the Once-ler begins cutting down Truffula trees to make a product called Thneeds, despite the warnings of the Lorax, who speaks for the trees and the animals that depend on them.

The Lorax represents environmental consciousness and his inaction in stopping the Once-ler represents the failure of society to prioritize the environment over economic growth. The Once-ler's actions are driven by his desire for profit, and he continues to cut down trees despite the negative impact it has on the environment. The Lorax, as a symbol of environmental awareness, is unable to stop the Once-ler from destroying the ecosystem, which ultimately leads to the disappearance of the Truffula trees and the animals that depend on them.

This lack of balance between economic growth and environmental sustainability is a lesson that has implications for future business decisions. If businesses prioritize profit over environmental sustainability, it could lead to long-term negative consequences for the environment, which could ultimately harm the economic viability of those businesses. It is important for businesses to consider the environmental impact of their decisions and take steps to balance economic growth and sustainability for the long-term health of the environment and economy.

Assume your company’s sales increased from $3 million last year to $10 million this year. However, your biggest competitor is still the market leader with a 40% share of the $200 million widget market. Your other four competitors had sales this year of $53 million, $38 million, $12 million, and $7 million, respectively. For this year, what is your company’s MARKET SHARE? Type only a number along with a $ or % (if appropriate). Dollar amounts should be rounded to the nearest cent; percentages to the nearest tenth. *

Answers

Answer: 5%

Explanation:

The market share for the company will be gotten using the formula:

= Sales generated by company / Total industry sales × 100

= 10/200 × 100.

= 5%

Therefore, the company's market share is 5%

Discuss Two characteristics of a mixed market economy​

Answers

A mixed market economy is an economic system that combines the elements of both capitalism and socialism.

What is a mixed market economy?

A mixed market economy is an economic system that combines elements of both free market capitalism and government intervention. In this type of economy, private individuals and businesses are allowed to own and operate their own enterprises and make decisions about production and distribution, but the government also plays a role in regulating the economy and providing public goods and services. This can include things like infrastructure, education, healthcare, and social welfare programs. The goal of a mixed market economy is to balance the benefits of free market competition and innovation with the need for social stability and equity. The exact balance between market forces and government intervention can vary depending on the specific country and political climate.

To learn more about mixed market economy, visit:

https://brainly.com/question/30197727

#SPJ1

in the highest-risk standard & poor’s rating category that is a ccc/c rating, more than half of the firms default within a year. t / f

Answers

True. In the highest-risk Standard & Poor's rating category, CCC/C, more than half of the firms typically default within a year.

Standard & Poor's (S&P) is a global credit rating agency that assigns ratings to companies based on their creditworthiness and risk of defaulting on their debt obligations. The CCC/C rating is considered a very high-risk category indicating a significant probability of default. In this rating category, more than half of the firms historically have defaulted within a year. This indicates a high level of financial distress and uncertainty regarding the ability of these firms to meet their debt obligations. Investors and creditors view the CCC/C rating as a strong warning sign of the company's financial instability and potential inability to repay its debts. It is crucial for investors and lenders to carefully assess the risks associated with investing in or lending to firms with such ratings, as the likelihood of default is significantly high.

Learn more about firms here:

https://brainly.com/question/31687318

#SPJ11

Identify three strengths of each human service delivery system?

Answers

Answer:

hope it helps

Explanation:

The Medical Model. is the oldest of the three models. Looks at symptoms, illness and sickness.

The Public Health Model. Looks at how illness affects population. Focus is on education, prevention and nutrition.

The Human Service Model. Looks at the client and their environment

Which of the following is an example of a B2B Internet service?

Answers

Answer:

ge or chain retailers' distributors, selling to organizations.

xplanation:business's audience, strengthen and develop brand affinity, and ultimately drive leads and sales by appealing to other businesses

No aspect of modern life is entirely free of contractual relationships. What are the functions of contract law? Choose two answers.
A) Contract law ensures that when contracts are broken, the person who has violated the contract will be prosecuted.
B) Contract law assures the parties to private agreements that the promises they make will be enforceable.
C) By allowing parties to enter into contracts freely, contract law also allows parties to end contracts without penalty.
D)By supplying procedures for enforcing private contractual agreements, contract law provides an essential condition for the existence of a market economy.

Answers

Contract law is an essential part of modern life. It provides the framework for the formation, enforcement and termination of contracts between two parties. The main functions of contract law are to ensure that when contracts are broken, the person who has violated the contract will be prosecuted.

Here, correct answer will be  A) Contract law ensures that when contracts are broken, the person who has violated the contract will be prosecuted.

Through its ability to allow parties to enter into contracts freely, contract law also allows parties to end contracts without penalty. This ensures that both parties are protected from any potential abuse of their agreement.

Additionally, by supplying procedures for enforcing private contractual agreements, contract law provides an essential condition for the existence of a market economy. The presence of enforceable contracts is necessary for a market economy to function properly, as it provides the assurance to both parties that their rights as specified in the contract will be respected.

know more about Contract law here

https://brainly.com/question/14316157#

#SPJ11

List 3 responsibilities that a consumer has when making a purchase.

Answers

Answer:

check receipt, know the return policy, read the fine print

Explanation:

Welcome

why is comparative value lead and value based organization?​

Answers

Answer:

The organizations with a common set of values that are practiced, in our experience, corporately develop a culture of accountability. The commitment to a value system serves to strengthen the firm’s culture, increases role clarity, retention, and productivity, and serves as a long-term benefit.

While it is important for a leader to understand the values expressed by all members of the team, there are times when an employee’s values are not in alignment with the organization’s. When an individual is new to the practice, it sometimes becomes clear when they aren’t in alignment with the firm’s values. In these cases, the individual has the choice to adapt or transition to another organization to which they more closely align. Neither the individual or the organization is served when values are not in alignment.

Explanation:

Another values-based leader I worked for inspired trust at all levels in the organization and he always did the right thing. He kept us aligned to our vision with the foundation being the firm’s core values. As a result, the work environment was filled with trust, clear communication and the drive to a common purpose. He motivated us to think beyond ourselves which fostered an environment of individual and corporate success.

Today’s successful organizations have a strong and well-defined culture.

A hair stylist receives $6,000 per month from her clients as payment for her services. Each month she buys $1,000 worth of supplies. These transactions contribute ________ to gross domestic product (GDP) each month.

Answers

$7,000

She is paid $6k and pays out $1k per month. GDP is a measure of money flowing through an economy.

Niat ny mau bikin dua akun tapi malah kesasar :(​

Answers

Answer:

I'm lost and I don't understand your language

Ratna is preparing q presentation titled "similarities between miceo-leval and marco-lecal orientation in sociology". Which explanation should she include

Answers

Answer:

Ratna is preparing q presentation titled "similarities between micro-level and marco-local ... - did not match any documents.

Suggestions:

Make sure that all words are spelled correctly.

Try different keywords.

Try more general keywords.

If I were to post your sales goals on the white-board at work, what strategy for fostering goal commitment would I be using?

Answers

If you were to post sales goals on the whiteboard at work, you would be using the strategy of public commitment to foster goal commitment among employees. Public commitment involves making goals visible to others, thereby increasing the sense of accountability and social pressure to achieve those goals.

By displaying sales goals on the whiteboard for everyone to see, you are creating a public and transparent environment where employees are aware of the set targets and their progress. This public display serves as a reminder of the expectations and can enhance motivation and commitment to reach the goals.

To learn more about  whiteboard   click on the link below:

brainly.com/question/29347197

#SPJ11

Which one does not describe the ways that players associations support players? A. Providing them with guidance in salary and labor arbitration. B. Providing them with equipment and instruction to enable them to perform at the highest possible level. C. Providing them with salary and contract data. D. Providing them with information to support negotiations.

Answers

Answer: Providing them with equipment and instruction to enable them to perform at the highest possible level.

Explanation:

Players association support players by providing them with guidance in salary and labor arbitration, providing them with salary and contract data and also by providing them with information to support negotiations.

It is not the function of the players association to provide players with equipment and instruction to enable them to perform at the highest possible level.

last year at this​ time, a mutual fund had an nav of​ $52.80 per share. over the past year the fund paid dividends of​ $2.80 per share and had a capital gains distribution of​ $2.40 per share. what is the holding period return assuming that the current nav is​ $57.68? question content area bottom part 1 a. ​23.6% b. ​17.5% c. ​19.1% d. ​14.5%

Answers

Therefore, the holding period return is approximately 9.85%. None of the provided options match the calculated holding period return.

To calculate the holding period return, we need to consider the changes in the net asset value (NAV), dividends, and capital gains distribution of the mutual fund.

The initial NAV of the fund was $52.80 per share, and the current NAV is $57.68 per share.

This means that the NAV has increased by $4.88 per share ($57.68 - $52.80).

Additionally, over the past year, the fund paid dividends of $2.80 per share and had a capital gains distribution of $2.40 per share.

These distributions represent a total return of $5.20 per share ($2.80 + $2.40).
To calculate the holding period return, we divide the total return by the initial NAV and express it as a percentage:
Holding Period Return = (Total Return / Initial NAV) * 100

Holding Period Return = ($5.20 / $52.80) * 100

Holding Period Return = 9.85%

to know more about holding period return visit:

https://brainly.com/question/31777661

#SPJ11

conflicts of interest between stockholders and bondholders are known as: question 2 options: trustee costs. financial distress costs. dealer costs. agency costs. underwriting costs.

Answers

The conflicts of interest are known as agency costs

Agency costs refer to the costs that arise from conflicts of interest between different stakeholders in a company, such as stockholders and bondholders. These conflicts can arise because the interests of different stakeholders are not always aligned, and each group may have different goals and when it comes to the management of the company. For example, stockholders may be interested in maximizing the company's profits, while bondholders may be more focused on ensuring that the company is able to meet its debt obligations.

These conflicting interests can lead to decision-making that is not in the best interests of the company as a whole, which can result in higher costs and reduced efficiency. To mitigate these agency costs, companies may implement a variety of measures, such as adopting clear and transparent corporate governance practices and implementing effective internal controls and oversight.

Read more about agency costs on:

https://brainly.com/question/29025161

#SPJ4

Apple is constantly striving to introduce new products into the marketplace. At the initial stage, Apple design teams are separated from the rest of the organization and housed in a separate facility to enhance the ability to develop new concepts. This approach has proven to enhance the ability to come up with new concepts in the _____ stage of the new-product development process.

Answers

Answer:

Idea generation.

Explanation:

The new product development process is a process of taking a product to the market. It is a part of product design. The process continues till the life cycle of product is over.

There are several stages of the new product development.

The stage in which the Apple company is, in the given scenario, is idea generation.

Idea generation is the first stage of the new product development. In this stage, the company seeks for ideas for creating or developing new products.

Therefore, idea generation is the correct answer.

In a risk breakdown structure, competitors, suppliers, and cash flow are categories that fall under ____ risk.

Answers

In a risk breakdown structure, competitors, suppliers, and cash flow are categories that fall under market risk.



Market risk refers to the potential losses that can occur due to factors affecting the overall market conditions, such as changes in competitors' strategies, supplier reliability, and fluctuations in cash flow.

Competitors can pose a risk to a business by offering similar products or services, potentially leading to a loss of market share. Changes in competitors' strategies, such as introducing new products or entering new markets, can impact a company's profitability and competitive position.

Suppliers also play a crucial role in a business's success. If a supplier fails to deliver goods or services on time or at the desired quality, it can disrupt operations, impact customer satisfaction, and result in financial losses.

Cash flow, on the other hand, is essential for any business to operate smoothly. Fluctuations in cash flow, such as delayed customer payments or unexpected expenses, can create liquidity problems and affect a company's ability to meet its financial obligations.

Competitors, suppliers, and cash flow are categories that fall under market risk in a risk breakdown structure. Understanding and managing these risks is crucial for businesses to maintain their competitive edge and ensure long-term success.

To learn more about cash flow visit:

brainly.com/question/27994727

#SPJ11

where in the universe did the big bang take place?

Answers

There's no exact spot that the Big Bang happened. In fact, the Big Bang happened everywhere in the Universe. The problem generally comes from the term "Big Bang". It brings to mind explosions, detonations, balloons being popped, and everything being blown out to chickenbasket hades.

Answer:

The dig dang happened everywhere in the universe

Explanation:

what can the organization use the porter five forces analysis to promote competitiveness in their industry?

Answers

Porter's 5 forces make up a study model of the competitive structure of an industry in which the following are analysed:

The bargaining power of customersThe bargaining power of suppliersThe threat from substitute productsThe threat from represent incoming products

Porter's 5 forces

These five elements are analyzed separately but interconnected, since each of them affects the organization's level of competition. By analyzing the threats of these competitive forces, we can determine our position in the market and understand why we have the current market share.

For more about Porter's 5 forces here https://brainly.com/question/12587672

#SPJ4

students in Mr. Jaspers fourth grade class have their special classes on different days. Use the clues below to discover which day they go which class.

-The students do not begin the week with P.E or Art.
-Spanish is later in the week than music.
-Library is later in the week than art, but earlier than P.E.
-P.E is the day after Spanish

P.E. Music. Library. Art. Spanish
Monday

Tuesday

Wednesday

Thursday

Friday

Answers

Answer:

music, art, library, Spanish, pe

Explanation:

music has to be first because it isnt mentioned after anything. then art because its before library, then library because its after art but before pe, then Spanish because its after music but the day before pe, then pe because it's the day after spanish

what are the advantages and disadvantages of common stocks​

Answers

Advantages:

You can invest in companies with limited liability. Common stocks offer a higher earning potential. You can easily purchase common stock on virtually any trading platform. Common stocks can provide dividends. You’ll get to take advantage of a growing economy.

Disadvantages:

You are the last person to get paid during a company liquidation. You don’t have much control over your investment. Companies are not required to pay dividends on common stocks. It can take time to generate significant gains. You will face high levels of professional competition when investing in common stocks.

Hopes this helps :)

Equity securities acquired by a corporation which are accounted for by recognizing unrealized holding gains or losses as other comprehensive income as other comprehensive income and as a separate component of stockholder's equity are:
A. Securities where a company has holdings of more than 50%.
B. Securities where a company has holdings of between 20% and 50%.
C. Trading securities where a company has holdings of less than 20%.
D. Available-for-sale securities where a company has holdings of less than 20%.

Answers

Equity securities acquired by a corporation, which are accounted for by recognizing unrealized holding gains or losses as other comprehensive income and as a separate component of stockholder's equity, are D. Available-for-sale securities where a company has holdings of less than 20%.

Available-for-sale (AFS) securities are a type of investment that can be easily sold if needed and are not intended for active trading purposes. When a company owns less than 20% of the equity securities of another company, it usually has no significant influence or control over the investee. Therefore, these securities are classified as available for sale.

Unrealized holding gains or losses refer to the fluctuations in the value of these securities due to market changes. These unrealized gains or losses are not recognized in the company's net income; instead, they are recorded as other comprehensive income, which is a separate component of stockholder's equity.

This accounting treatment helps to provide a clearer picture of the company's performance, as it separates temporary market fluctuations from the company's core operations. Hence, D is the correct option.

You can learn more about stockholder's equity at: brainly.com/question/13278063

#SPJ11

Derick wants to purchase an existing business in the service industry. However, he does not want to use the traditional sources of information that entrepreneurs generally use to make the purchase. Which of these statements refers to an alternative source that Derick can use to locate businesses up for sale?
A.
He could hire the services of a business brokerage company.
B.
He could refer to websites that provide such details.
C.
He could contact businesses through details provided in trade magazines.
D.
He could ask his accountants and lawyers if any of their other clients want to sell their businesses.
E.
He could refer to “business for sale” advertisements listed in the classified sections of newspapers.

Answers

The correct answer is B because there are websites that list businesses for sale along with contact information for dealing.

Answer:

The answer is D

Explanation:

I got it right on my quiz. :)

Other Questions
straight voting: a.is the normal method for shareholder voting on corporate matters.b.increases the voting power of minority shareholders.c.restricts each shareholder to one vote, regardless of the number of shares owned.d.must be available for preferred shares. From monday to the, depth of a snowdrift changed by -8 inches jen is an electrician and was recently diagnosed with degenerative arthritis, a condition that will likely affect her ability to effectively do her job. jens husband doesnt tell anyone so that her employers dont find out, just in case they will hold it against her. which function of family secrets is this upholding? What is the pressure in the arteries at the peak of ventricular contraction? You have been tasked to set up a 10GBASE-T standard Fast Ethernet for JJ Mills Corporation. While doing so, you have managed to follow all the specified standards, and the only thing left to do is to purchase and plug the twisted-cable pairs. Which of the following pairs of twisted cables will you use in this scenario? Cat 5e Cat 5 Cat 6 Cat 7 Which of the following lists represents the order of levels of strategy from the top of the organization downward?Multiple Choiceexecutive, functional, practicalbusiness, operational, corporatecorporate, practical, businesscorporate, business, functional a squirrel has x - and y - coordinates (1.3 m , 3.7 m ) at time t1=0 and coordinates (5.8 m , -0.10 m ) at time t2 = 3.0 s .s.(a) For this time interval, find the componentsof the average velocity.m/s (x-component)m/s (y-component)(b) For this time interval, find the magnitude and direction of theaverage velocity.m/s (counterclockwise from the positivex-axis)#2 describe the difference between rights and permissions on a windows os. X = 20 soo 201+ X=?? Q1-Part B.(8pts.):(a-4 pts) Describe, compare, and contrast ionic, covalent, and metallic bonding in solids; (b-2 pts.) State the structure-property relationships appertaining to melting temperature, modulus of elasticity and thermal expansion in reference to the potential energy curve between to atoms bonding chemically; on what does the modulus of elasticity depend?; (c-2 pts.)Why do solids (both brittle and ductile) exhibit very higher strength under compression than in tension? Which of the following could be a logical or realistic accounting period for a business that is creating financial statements? (Check all that apply.)Multiple select question.one-yearone-monthsix-monthfive-year many people in a community get flu shots, the whole community benefits, including those who did not get flu shots. therefore, not enough people may decide to get the shots. this is one illustration of multiple choice supply-side market failure. monopoly power due to lack of competition. demand-side market failure. the market allocating resources efficiently. Which of the following words is a pronoun? A of B more C the D your tha adams founded insurance specialists to process medical claims for physicians' practices. she plans to compete on the basis of cost, offering the lowest processing cost per claim in her market area. ms. adams' company sho select the two pieces of evidence from the text rhat most specifically support the idea that the economy or the management of resources depends on public works hich of the following ways to assign employees to activities will more likely lead to a higher labor utilization? assume demand is unlimited. multiple choice each employee takes care of all activities involved in the process. each employee specializes in one activity. each employee works on the bottleneck activity while nonbottleneck activities are removed from the process. one employee works on the bottleneck activity while the others work on nonbottleneck activities. Jeff has limited financial resources, but finds himself in a position where he needs a good deal of protection. a __________would probably best suit his needs at this time. 5. Write an equation for each line.!! please help !! Property InvestmentHomeownership can be very exciting, and it is a crucial step to your personal finance. Before purchasing a home in Canada, there are many concerns and risks we need to understand and assess. This assignment aims for students to exercise their knowledge and make financial decisions according to their circumstances. In this report, you have to list your criteria to assess your potential choices such as property type,neighbourhood, safety, school, amenity and travel distance to work. It isnt always easy to find a property to suit all your needs. Before you decide to finalize a property, you also need to consider the costs and your affordability carefully. More importantly, you need to understand the fair value of the property. During the negotiation, we need to consider psychological factors, such as who the seller is, how many comparable listings are in the same neighbourhood, and how long it has been listed. More importantly, you need to understand the fair market value range. Coming up with a reasonable offer is crucial to you. In this assignment, we can rely on a market comparable method.RequirementQualitative research: list and assess your criteria and choose three potential listing.Quantitative analysis: affordability, property valuation and price offer.Format:Single space and five pages maximum as the body of content.Citation Style, APA or MSupplemental information can be included in Appendix. Dr. quinton is looking for monetary gifts to help his organization continue to provide mentorship to young men and women in low-income neighborhoods. dr. quinton is looking for?