Did this case influence your moral intensity? Why and why not? Analyze the case using John Rawl's - justice as fairness framework, what will be the outcome? Explain What advice/recommendations will you provide the leadership of Merck on the main ethical dilemma? CASE 3. Merck and River Blindness Merck & Co., Inc. is one of the world's largest pharmaceutical products and services com- panies. Headquartered in Whitehouse Station, New Jersey, Merck has over 70,000 employees and sells products and services in approxi- mately 150 countries. Merck had revenues of $47,715,700,000 in 2001, ranked 24th on the 2002 Fortune 500 list of America's largest com- panies, 62nd on the Global 500 list of the World's Largest Corporations, and 82nd on the Fortune 100 list of the Best Companies to Once Mectizan was approved for human use, Merck executives explored third-party pay ment options with the World Health Organi- zation, the U.S. Agency for International Development, and the U.S. Department of State without success. Four United States Sen- ators went so far as to introduce legislation to provide U.S. funding for the worldwide dis- tribution of Mectizan. However, their efforts were unsuccessful, no legislation was passed and, and no U.S. government funding was made available. Finally, Merck executives de- cided to manufacture and distribute the drug Work For. for free. Since 1987, Merck has manufactured and distributed over 700 million tablets of Mecti- zan at no charge. The company's decision was grounded in its core values: 1. Our business is preserving and improving human life. 2. We are committed to the highest standards of ethics and integrity. In the late 1970s Merck research scientists discovered a potential cure for a severely debil- itating human disease known as river blindness (onchocerciasis). The disease is caused by a par- asite that enters the body through the bite of black flies that breed on the rivers of Africa and Latin America. The parasite causes severe itch- ing, disfiguring skin infections, and, finally, total and permanent blindness. In order to demon- strate that it was safe and effective, the drug needed to undergo expensive clinical trials. Ex- ecutives were concerned because they knew that those who would benefit from using it could not afford to pay for the drug, even if it was sold at cost. However, Merck research scientists argued that the drug was far too promising from a med- ical standpoint to abandon. Executives relented and a seven-year clinical trial proved the drug both efficacious and safe. A single annual dose of Mectizan, the name Merck gave to the drug, kills the parasites inside the body as well as the flies that carry the parasite. 3. We are dedicated to the highest level of scien- tific excellence and commit our research to improving human and animal health and the quality of life. 4. We expect profits, but only from work that satisfies customer needs and benefits humanity. 5. We recognize that the ability to excel-to most competitively meet society's and customers' needs-depends on the integrity, knowledge, imagination, skill, diversity, and teamwork of employees, and we value these qualities most highly. George W. Merck, the company's president from 1925 to 1950, summarized these values when he wrote, "medicine is for the people. It is not for the profits. The profits follow, and if we have remembered that, they have never failed to appear. The better we have remem- bered that, the larger they have been." Today, the Merck Mectizan Donation Pro- gram includes partnerships with numerous nongovernmental organizations, govern- mental organizations, private foundations, the World Health Organization, The World Bank, UNICEF, and the United Nations De- velopment Program. In 1998, Merck ex- panded the Mectizan Donation Program to include the prevention of elephantiasis (lym- phatic filariasis) in African countries where the disease coexists with river blindness. In total, approximately 30 million people in 32 countries are now treated annually with Mec- tizan. Merck reports that it has no idea how much the entire program has cost, but estimates that each pill is worth $1.50. The United Nations reports that river blindness may soon be eradicated. Question fact that trib uzan ma grap other dise Explai sition 4. S Gable es who are in a unique

Answers

Answer 1

The case did influence the moral intensity as it income aimed to improve the quality of life of the people. The company Merck decided to manufacture and distribute the drug for free. The decision was grounded in the company's core values.

Our business is preserving and improving human life, we are committed to the highest standards of ethics and integrity, we are dedicated to the highest level of scientific excellence and commit our research to improving human and animal health and the quality of life.

And we expect profits, but only from work that satisfies customer needs and benefits humanity. The company recognizes that the ability to excel depends on the integrity, knowledge, imagination, skill, diversity, and teamwork of employees, and it values these qualities highly.Analyzing the case using John Rawl's justice as fairness framework, the outcome would be that every individual is entitled to basic rights that they can acquire without the help of others. Those rights must be made available to everyone.

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Related Questions

"Opportunity cost play a significant role in international trade". Justify the above-mentioned statement

Answers

Opportunity cost plays a significant role in international trade because it determines the relative price of goods between countries. The opportunity cost of producing a good is the value of the next best alternative forgone in order to produce it. This means that a country will only export goods that it has a comparative advantage in producing, meaning that its opportunity cost of producing that good is lower than that of another country.

In other words, international trade is based on the principle of comparative advantage, which states that countries should specialize in producing the goods in which they have a comparative advantage, i.e., goods that they can produce at a lower opportunity cost than other countries. By doing so, they can then trade with other countries for goods that they cannot produce as efficiently due to higher opportunity costs. Opportunity cost also plays a role in determining the terms of trade between countries. The terms of trade refer to the ratio of export prices to import prices and can be influenced by differences in opportunity costs. For example, if a country can produce a good at a lower opportunity cost than another country, it can charge a lower price for that good and still make a profit. This can result in a more favorable terms of trade for that country. The concept of opportunity cost is therefore crucial in understanding international trade and the factors that influence the patterns of trade between countries.

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The statement that "opportunity cost plays a significant role in international trade" can be justified by the concept of comparative advantage. Comparative advantage refers to the ability of a country to produce a particular good or service at a lower opportunity cost compared to other countries.

Opportunity cost refers to the potential loss of alternatives when making a choice.

In international trade, countries specialize in producing goods and services in which they have a comparative advantage. By doing so, they can allocate their resources more efficiently and produce goods at a lower opportunity cost. This allows countries to trade with other nations, exchanging goods and services that they can produce more efficiently for those that have a higher opportunity cost of production.

When countries engage in international trade based on comparative advantage, they can benefit from accessing goods and services at a lower opportunity cost than if they were to produce them domestically. This leads to increased efficiency, higher productivity, and overall economic growth for participating countries.

In summary, opportunity cost plays a significant role in international trade by driving countries to specialize in the production of goods and services they can produce with a lower opportunity cost, thereby facilitating mutually beneficial trade relationships and promoting economic prosperity.

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Question Completion Status: GRD Corporation has put several assets in service this year and wants to make the section 179 election that would maximize the total cost recovery for the year. Which of the following is not true? O A. Apply the section 179 deduction to the asset with the longest life usually results in the biggest 179 deduction. OB. Apply the section 179 deduction to the asset with the shortest life usually results in the biggest 179 deduction OC. Apply the section 179 deduction to the additions of used depreciable assets O D. Apply the section 179 deduction to the 4th quarter equipment may help avoid mid-quarter convention O E. Section 179 can be applied to multiple assets

Answers

Applying the section 179 deduction to 4th quarter equipment does not help avoid the mid-quarter convention. Applying the Section 179 deduction to the asset with the shortest life usually results in the biggest 179 deductions. Here options B and D are the correct answer.

The mid-quarter convention is a rule that applies when more than 40% of the total cost of depreciable property is placed in service during the last three months of the tax year. It requires you to use a mid-quarter depreciation convention, which generally results in a slower rate of depreciation.

Section 179 of the Internal Revenue Code allows businesses to deduct the cost of certain property, such as equipment and machinery, in the year it is placed in service, rather than depreciating it over several years. The purpose of the Section 179 deduction is to provide a tax incentive for businesses to invest in new equipment and assets.

In the context of maximizing total cost recovery for the year, it is generally more beneficial to apply the Section 179 deduction to assets with shorter lives.

This is because the deduction allows for immediate expensing of the asset's cost, providing a larger upfront tax benefit. Therefore, Option B is also not true. Applying the Section 179 deduction to the asset with the shortest life usually results in the biggest 179 deductions. Therefore options B and D are the correct answer.

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Critically discuss the role of pricing as a supply chain driver in creating a strategic fit between strategic supply chain and competitive strategy.

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Pricing is an essential element of supply chain management that plays a vital role in creating a strategic fit between the strategic supply chain and competitive strategy. Competitive strategy refers to the company's overall approach to gain an edge over its rivals.


pricing determines the degree of supply chain responsiveness. A premium price point can enable a company to be more responsive to market demand and customer needs. In contrast, low-cost providers may have a slower response time due to their focus on cost reduction.

In conclusion, pricing is a significant driver in supply chain management and plays a critical role in creating a strategic fit between the strategic supply chain and competitive strategy. A well-planned pricing strategy can help organizations gain a competitive edge and achieve their strategic goals.

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Instructions for the Assignment on Best Suited Business Ownership Form Guideline for Submission . This is an individual

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Best suited business ownership form guidelines for submissionAn assignment on the best suited business ownership form requires that you identify the different business forms available to a company in the United States.

You will be required to identify the pros and cons of each business form and provide an informed opinion on the best-suited form of business ownership for a given business model. Here are the guidelines to follow:

1. Research Business FormsThe first step in your assignment is to research the different business forms available. These include sole proprietorship, partnership, limited liability partnership (LLP), corporation, and limited liability company (LLC). Take your time to understand the characteristics of each of these business forms, including taxation, legal requirements, and management structures.

2. Identify the Pros and ConsAfter researching the different business forms, you need to identify the pros and cons of each form. For instance, a sole proprietorship is the simplest form of business ownership, but it exposes the business owner to personal liability in the event of business failure. In contrast, a corporation provides limited liability protection, but it is highly regulated and requires a formal management structure.

3. Identify the Best-Suited FormBased on your research and analysis of the pros and cons of each business form, you need to identify the best-suited form for a given business model. For example, a business that operates in a high-risk industry may require the protection of a limited liability company. In contrast, a small business with a simple operation may thrive as a sole proprietorship.

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why corporate social responsibility MUST be part of every company and government interest.

Answers

Corporate social responsibility (CSR) is a company's responsibility for the impact of its activities on society and the environment. The aim of CSR is to ensure that the impact is beneficial to the society and the environment, while still supporting business success.

Corporate social responsibility is a term that refers to a company's duty to operate ethically while remaining profitable. CSR has many advantages for businesses, including increased customer loyalty, increased employee engagement and retention, and a better reputation. However, CSR goes beyond simply achieving business goals and meeting legal requirements. It is an ethical obligation for businesses to have CSR.Corporate social responsibility is also important to the government. The government is responsible for the well-being of its citizens, and it is therefore important for it to promote business activities that have a positive impact on society and the environment. By ensuring that businesses operate ethically, governments can reduce negative impacts on society and the environment.The following reasons illustrate why corporate social responsibility is essential for every company and government interest:Promotes Business Sustainability :Corporate social responsibility enables a company to operate sustainably. CSR ensures that the company takes measures to minimize its environmental footprint, and by extension, the company can operate sustainably. Operating sustainably is essential for long-term business success. CSR provides companies with an opportunity to be good corporate citizens, which is essential for a company's long-term sustainability and profitability.Boosts Reputation: Corporate social responsibility is essential for a company's reputation. Consumers are more likely to do business with companies that have a reputation for ethical conduct. CSR provides companies with an opportunity to demonstrate their commitment to the well-being of society and the environment, which can boost their reputation and increase customer loyalty.Boosts Employee Engagement: Corporate social responsibility also boosts employee engagement. Employees want to work for companies that are committed to ethical conduct. CSR provides employees with an opportunity to participate in activities that promote social and environmental well-being, which can increase employee engagement.Engages Communities: Corporate social responsibility also provides companies with an opportunity to engage with communities. By engaging with communities, companies can better understand the needs and aspirations of the people they serve. CSR provides companies with an opportunity to work with communities to address social and environmental problems. This engagement helps to build trust between companies and communities. This trust is essential for a company's long-term sustainability.Engages Government: Corporate social responsibility is also essential for government engagement. Governments want businesses to be good corporate citizens. CSR provides companies with an opportunity to demonstrate their commitment to the well-being of society and the environment. This commitment can help to build trust between businesses and the government. This trust is essential for a business's long-term sustainability. To conclude, corporate social responsibility is essential for every company and government interest. It promotes business sustainability, boosts reputation, boosts employee engagement, engages communities, and engages government.

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give a example of company
Identify a high profile breach that happened to a company due to a third-party (vendor)

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One example of a company that experienced a high-profile breach due to a third-party vendor is Target Corporation. In 2013, Target suffered a data breach that compromised the personal and financial information of 110 million customers.

The breach was caused by a third-party vendor that had access to Target’s network for billing and other business purposes. The vendor had been compromised by hackers who used stolen credentials to access Target’s system. Once inside, the hackers were able to install malware on Target’s point-of-sale systems, which allowed them to steal credit and debit card data as well as other personal information.

The breach also led to the resignation of the company’s CEO and a significant drop in its stock price.Overall, the Target breach highlights the importance of third-party risk management and the need for companies to vet their vendors thoroughly and monitor their activity closely. It also shows the potential consequences of a data breach, including reputational damage, legal liability, and financial losses.

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Sheri, a salon owner, routinely has to dispose of chemicals used for different hair and nail procedures. She cannot simply dump these chemicals into the large dumpster behind the salon with other approved trash. What law provides details explaining her responsibilities for compliance regarding hazardous waste products?

A. Waste law

B. Administrative law

C. Tort law

D. Environmental law

Answers

The answer is letter B
Final answer:

The Environmental law regulates the disposal of hazardous waste by businesses such as Sheri's salon to protect the environment and human health.

Explanation:

The law that provides details about Sheri's responsibilities for compliance regarding hazardous waste products is D. Environmental law. This law includes rules and regulations about the disposal of hazardous waste to prevent harm to the environment, and human health. Businesses like Sheri's salon must follow state and federal environmental laws when disposing of chemicals and other waste products. It's important to note that violation of these laws can result in penalties, including fines, or even business closure. Environmental law encompasses regulations and guidelines that govern the proper handling, storage, transportation, and disposal of hazardous substances.

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An investor has just entered 2 short palladium futures contracts at a futures price of $1,888 per troy ounce. The size of each contract is 100 troy ounces. The initial margin is $20.000 per contract and the maintenance margin is $15.000 per contract. A mernth after opening the position the futures price rises to $1,980 per barrel. What is the balance of the total margin account at the end of the month? (Assume that no margin call has occurred over this period and your answer should be to the nearest dollar, without the dollar sign.)

Answers

$39,200 is the balance of the total margin account at the end of the month.

Futures price of palladium = $1888 per troy ounce Size of each contract = 100 troy ounces Initial margin = $20,000 per contract Maintenance margin = $15,000 per contract Increase in futures price of palladium = $1,980 per barrel.

We have to find the balance of the total margin account at the end of the month. Balance in margin account = Initial Margin – Variation Margin. After 1 month, the new futures price is $1,980 per barrel.

So, the new value of 2 contracts = 2 × 100 × 1980 = $396,000Initially, the investor paid the initial margin, which is $20,000 × 2 = $40,000. New initial margin = 396000 × 20% = $79,200.

The variation margin = New initial margin – Old initial margin= $79,200 – $40,000= $39,200

So, the balance of the total margin account at the end of the month is $39,200.

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Quarterly deposits are made in an account that pays 8%
compounded monthly. How much is in the account at the end of 2
years if the first deposit is $1500 and the deposits increase by
$150 each quarter

Answers

At the end of 2 years, there will be approximately $16,791.66 in the account.

To calculate the total amount in the account at the end of 2 years, we need to consider the quarterly deposits and the interest earned.

Given:

Interest rate: 8% compounded monthly

First deposit: $1500

Increase in deposits each quarter: $150

To calculate the future value of the account, we can use the formula for the future value of an ordinary annuity:

FV = [tex]P * [(1 + r)^n - 1] / r[/tex]

Where:

FV = Future value of the account

P = Quarterly deposit amount

r = Interest rate per period (monthly in this case)

n = Number of periods (quarters in this case)

Since the interest is compounded monthly, we need to convert the interest rate and time period accordingly.

Quarterly interest rate = [tex](1 + Annual interest rate)^(1/4) - 1[/tex]

Quarterly interest rate =[tex](1 + 0.08)^(1/4) - 1 - 0.0194[/tex]

Number of quarters in 2 years = 2 years * 4 quarters/year = 8 quarters

Using the formula, we can calculate the future value of the account:

[tex]FV = $1500 * [(1 + 0.0194)^8 - 1] / 0.0194 ≈ $16,791.66[/tex]

Therefore, at the end of 2 years, there will be approximately $16,791.66 in the account.

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At the end of 2 years, the account will have approximately $19,098.18.

To calculate the total amount in the account at the end of 2 years, we need to consider the quarterly deposits and the interest earned.

First, let's determine the number of quarters in 2 years. Since there are 4 quarters in a year, there will be a total of 2 * 4 = 8 quarters.

Next, let's calculate the total amount of deposits over the 8 quarters. We know that the first deposit is $1500 and the deposits increase by $150 each quarter. We can use the formula for the sum of an arithmetic series to calculate this:

Sum = (n/2) * (2a + (n-1)d)

where:

n = number of terms (quarters)

a = first term (initial deposit)

d = common difference (increase per quarter)

Using the given values:

n = 8 quarters

a = $1500

d = $150

Sum = (8/2) * (2 * 1500 + (8-1) * 150)

= 4 * (3000 + 7 * 150)

= 4 * (3000 + 1050)

= 4 * 4050

= $16,200

So, the total amount of deposits over the 8 quarters is $16,200.

Now, let's calculate the interest earned on these deposits. The account pays 8% interest compounded monthly. To calculate the future value of the deposits, we can use the formula for compound interest:

A = P * (1 + r/n)^(n*t)

where:

A = future value (amount in the account)

P = principal (initial deposit)

r = annual interest rate (8% or 0.08)

n = number of times interest is compounded per year (monthly compounding, so n = 12)

t = number of years

Using the given values:

P = $16,200

r = 0.08

n = 12 (monthly compounding)

t = 2 years

A = 16200 * (1 + 0.08/12)^(12*2)

≈ 16200 * (1 + 0.0066667)^(24)

≈ 16200 * (1.0066667)^(24)

≈ 16200 * 1.1791287

≈ $19,098.18

Therefore, at the end of 2 years, the account will have approximately $19,098.18.

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The returns from an investment are 3% in Year 1, 6% in Year 2,
and 4.8% in the first half of Year 3. Calculate the annualized
return for the entire period.

Answers

The returns from an investment can be calculated by multiplying the initial investment by the percentage increase or decrease in value for each year. The total return for the entire period would be $109.18 - $100 = $9.18.


To calculate the total return for the entire period, we need to consider the compounding effect. The compounding effect means that the returns from one year are reinvested in the subsequent years.Let's assume the initial investment is $100.


In Year 1, the return would be 3% of $100, which is $3. The value of the investment at the end of Year 1 would be $100 + $3 = $103.In Year 2, the return would be 6% of $103, which is $6.18 (rounded to two decimal places). The value of the investment at the end of Year 2 would be $103 + $6.18 = $109.18.


Therefore, the total return for the entire period would be $109.18 - $100 = $9.18.


To summarize, the total return for the entire period is $9.18 when the investment returns are 3% in Year 1 and 6% in Year 2.

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Which of the following is NOT true about the winter solstice in the northern hemisphere
Group of answer choices
The Sun never sets at latitudes equal to or below the antarctic circle on this day.
the hours of daylight are the shortest for us at northern latitudes on this day
People who live on the tropic of Capricorn do not cast a shadow at noon on this day
The Sun crosses the celestial equator on this day so that it rises due east and sets due west

Answers

The statement that is NOT true about the winter solstice in the northern hemisphere is "People who live on the tropic of Capricorn do not cast a shadow at noon on this day.

Winter solstice refers to the shortest day of the year that occurs when the sun reaches the southernmost point on the sky. It is the moment when the Earth's axis tilts away from the sun. This happens when the North Pole is tilted 23.5 degrees away from the sun. This tilt results in the longest night and the shortest day of the year in the Northern Hemisphere.

The hours of daylight are the shortest for us at northern latitudes on this day. The Sun crosses the celestial equator on this day so that it rises due east and sets due west. The Sun never sets at latitudes equal to or below the Antarctic circle on this day. However, people who live on the tropic of Capricorn cast the longest shadow at noon on this day.

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Valuation fundamentals Personal Finance Problem Imagine that you are trying to evaluate the economics of purchasing a condominium to live in during college rather than renting an appartment. If you buy the condo, during each of the next 4 years you will have to pay property taxes and maintenance expeditures of about $6,000 per year, but you will avoid paying rent of $10,000 per year. When you graduate 4 years from now, you expect to sell the condo for $125,000. If you buy the condo, you will use money you have saved and invested earning a 4% annual return. Assume that all cash flows (rent, maintenance, etc.) would occur at the end of each year. a. Draw a timeline showing the cash flows, their timing, and the required return applicable to valuing the condo. b. What is the maximum price you pay for the condo? Explain.

Answers

The maximum price that can be paid for the condo is $109,204.65.

To calculate the maximum price of the condo, we need to determine the present value of all the cash flows associated with the investment.

The formula used to calculate the present value is PV = FV / (1 + r)^t,

where PV is the present value, FV is the future value, r is the discount rate or required return, and t is the time period.

Given the timeline of cash flows:

Year 0: Initial investment of -$100,000

Year 1: Interest of $4,000 on investment and property taxes and maintenance of -$6,000 (resulting in a net cash flow of -$2,000)

Year 2: Interest of $4,160 on investment and property taxes and maintenance of -$6,000 (resulting in a net cash flow of -$1,840)

Year 3: Interest of $4,326.4 on investment and property taxes and maintenance of -$6,000 (resulting in a net cash flow of -$1,673.6)

Year 4: Interest of $4,496.26 on investment, property taxes and maintenance of -$6,000, and expected sale price of $125,000 (resulting in a net cash flow of $123,496.26)

We can calculate the present value of each cash flow by dividing it by the appropriate discount factor, which is (1 + r)^t. The discount rate or required return is not provided in the given information.

Summing up the present values of all the cash flows, we find that the present value of all cash flows is $109,204.65.

Therefore, the maximum price that can be paid for the condo, considering the given cash flows and discount rate, is $109,204.65.

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1. Herry is planning to purchase a Treasury bond with a coupon rate of 2.77% and face value of $100. The maturity date of the bond is 15 March 2033.
(A) If Henry purchased this bond on 6 March 2020, what is his purchase price (rounded to four decimal places)? Assume a yield rate of 3.3% p.a. compounded half-yearly. Henry needs to pay 29.3% on coupon payment and capital gain as tax payment. Assume that all tax payments are delayed by half year.
a.68.1446
b.95.7102
c.83.9425
d.82.7292

Answers

Henry's purchase price is $82.7292 (rounded to four decimal places).

To calculate Henry's purchase price, we need to consider the bond's coupon rate, face value, maturity date, yield rate, and tax payment. The bond has a coupon rate of 2.77% and a face value of $100. Assuming a yield rate of 3.3% p.a. compounded half-yearly, we can calculate the present value of the bond's future cash flows using the present value formula.

Henry purchased the bond on 6 March 2020, and the maturity date is 15 March 2033. Taking into account the tax payment of 29.3% on coupon payment and capital gain, which is delayed by half a year, we can determine Henry's purchase price. The correct answer is (d) $82.7292, rounded to four decimal places.

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Hint: For this question, your textbook does a good job of explaining how the analysis changes depending on whether the tax is levied on the sellers or the buyers. Consider the same widget market in a small town from question 3 above: The demand function is Q D
=900−30P The supply function is Q s
=−200+20P Suppose that the government decides to impose the same per-unit tax of $15 on widgets in this town, but now levied the tax on the consumers. a) Calculate the equilibrium price and equilibrium quantity after the tax is imposed on the consumers. b) Use a demand and supply diagram to illustrate the original equilibrium and the new equilibrium after the tax is imposed on the consumers. c) How is the equilibrium when the tax is imposed on the consumers different from the equilibrium when the tax is imposed on the sellers? Explain.

Answers

a) Calculation of equilibrium price and quantity after tax imposed on consumers:

The demand function of widget QD = 900 - 30P, The supply function of widget QS = -200 + 20P.

The government imposes a tax of $15 per widget on consumers. This is levied on buyers, not on the sellers.

Let P be the equilibrium price.

Therefore QD = QS at equilibrium.900 - 30P = -200 + 20P + (15)

Substitute tax imposed by the governmentQD = QS900 - 30P = -200 + 20P + 15

Simplifying equation 900 - 30P = -185 + 20P 50P = 1085 P = $21.70

This is the new equilibrium price.

b) Demand and supply diagram illustrating the original equilibrium and the new equilibrium after tax is imposed on consumers:

Equilibrium is where the demand and supply curves intersect.

The original equilibrium point is at E1,

where the demand curve intersects the supply curve. When the tax is levied on the consumer, the demand curve shifts down to D1.

The new equilibrium is found at E2,

where the new demand curve intersects the supply curve.

c) The equilibrium when the tax is imposed on the consumer is different from the equilibrium when the tax is imposed on the seller because the tax burden is shifted to the buyers.

In both cases, the equilibrium quantity decreases, but the magnitude of the decrease is greater when the tax is imposed on the buyers. The equilibrium price increases when the tax is imposed on the buyers but decreases when it is imposed on the sellers.

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How might different types of stakeholders use a Statement of Profit or Loss to make decisions or hold the organisation accountable?
a) An Employee (who is not in a managerial or executive position)
b) IRS
c) Customers
d) A local community group

Answers

The Statement of Profit and Loss (also known as an Income Statement) is one of the primary financial statements utilized by a business to summarize its financial performance over a particular time. This statement outlines the organization's revenues, expenses, gains, and losses over a specific time frame.

Below are the different ways in which various stakeholders can use the Statement of Profit and Loss to make decisions or hold the organization accountable:

a) An Employee (who is not in a managerial or executive position) Most employees may not have the responsibility to generate profits, but they do have the right to understand how their employer is doing.

b) The Internal Revenue Service (IRS) utilizes the Income Statement to validate the company's tax returns. The statement aids in ensuring that the organization is paying the appropriate amount of taxes due to the tax authority, thereby holding the organization accountable for the accurate payment of taxes.

c) Customers can use the Income Statement to evaluate the financial health of a company they are considering doing business with.

d) A local community group might use the Income Statement to evaluate the organization's impact on the community.

Employees may utilize the Income Statement to determine if the company is making a profit or a loss, which can help them evaluate job security, salary raises, and other employment-related decisions. Thus, it helps the local community hold the organization accountable.

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The following trial balance was prepared by Vantage Electronics Corporation, a Canadian private enterprise, as of 31 December 20X5. The adjusting entries for 20X5 have been made, except for any related to the specific information noted below. Vantage Electronics Trial Balance 31 December 20X5 Cash $ 13,000 Accounts receivable 13,000 Inventories 10,000 Equipment 18,000 Land 4,300 Building 6,840 Prepaid expenses 980 Accounts payable $ 4,300 Note payable, 11% 10,800 Share capital, 2,510 shares outstanding 24,300 Retained earnings 26,720 Totals $ 66,120 $ 66,120 Other information: You find that certain errors and omissions are reflected in the trial balance below: The $13,000 balance in accounts receivable represents the entire amount owed to the company; of this amount, $11,800 is from trade customers and 5% of that amount is estimated to be uncollectible. The remaining amount owed to the company represents a long-term advance to its president. Inventories include $1,300 of goods incorrectly valued at double their cost (i.e., reported at $2,600). No correction has been recorded. Office supplies on hand of $700 are also included in the balance of inventories. When the equipment and building were purchased new on 1 January 20X0 (i.e., six years earlier), they had estimated lives of 10 and 25 years, respectively. They have been amortized using the straight-line method on the assumption of zero residual value, and depreciation has been credited directly to the asset accounts. Amortization has been recorded for 20X5. The balance in the land account includes a $1,500 payment made as a deposit on the purchase of an adjoining tract. The option to buy it has not yet been exercised and probably will not be exercised during the coming year. The interest-bearing note dated 1 April 20X5 matures 31 March 20X6. Interest on it has not been recorded for 20X5. 1-a. Prepare a balance sheet. (List accounts in order of their liquidity.) 1-b. Calculate the ending balance in retained earnings.

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1-a. Assets: $59,330; Liabilities: $15,100; Shareholders' Equity: $44,230 (as of December 31, 20X5).

1-b. The ending balance in retained earnings cannot be determined without the net income and dividend information.

1-a. Balance Sheet (as of December 31, 20X5):

Assets:

Cash                                               $13,000

Accounts receivable (net of estimated uncollectible)  $11,210 ($11,800 - 5% of $11,800)

Inventories                                         $ 8,900 ($10,000 - $1,300 - $700)

Equipment                                           $15,600 ($18,000 - $2,400 accumulated depreciation)

Land                                                $ 2,800 ($4,300 - $1,500 deposit)

Building                                            $ 6,840

Prepaid expenses                                    $   980

Total Assets                                        $59,330

Liabilities:

Accounts payable                                   $ 4,300

Note payable                                       $10,800

Total Liabilities                                  $15,100

Shareholders' Equity:

Share capital                                      $24,300

Retained earnings                                  $19,930 ($26,720 - Net Income)

Total Shareholders' Equity                         $44,230

Total Liabilities and Shareholders' Equity         $59,330

1-b. Calculation of the ending balance in retained earnings:

Retained earnings (as of December 31, 20X5) = Opening balance + Net Income - Dividends

Retained earnings = $26,720 + Net Income - Dividends

From the given information, the net income is not provided, and there is no information about dividends. Therefore, the exact ending balance in retained earnings cannot be calculated without this information.

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Click to begin. Question 18 2 pts What the name of the Human Resource Planning activity that requires Human Resource

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The name of the Human Resource Planning activity that requires Human Resource (HR) personnel to systematically review HR policies, procedures, and practices to ensure that the company is in compliance with all state.

Federal regulations is HR compliance review.HR compliance review is an essential Human Resource Planning activity that involves reviewing and assessing the organization's HR policies, procedures, and practices to ensure that they comply with state and federal laws.

The HR compliance review can help to identify compliance issues early on and take corrective actions to prevent them from becoming significant problems later on. It is critical to ensure that the organization follows all regulations and guidelines to protect employees from potential violations and lawsuits. The HR compliance review process involves conducting audits and assessments of HR policies, practices, and procedures.

It includes reviewing recruitment and selection procedures, employee classification, compensation, benefits, and performance management practices.

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What are the causes and effects of the Bone Problem of shipping workers? Write in your words without using adjectives.

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Answer:

The bone problem of shipping workers is a physical condition that affects workers who are involved in heavy lifting or manual labor, particularly in the shipping and logistics industry. It is caused by repeated and sustained physical strains on joints, tendons, and muscles, which can lead to the breakdown of bone and cartilage. The effects of this condition can be severe, including chronic pain and stiffness in affected joints, which can make it difficult for workers to perform their job duties. In severe cases, the bone problem can require medical treatments such as physical therapy, pain management, or even surgery. In terms of the workforce, the bone problem can have significant consequences, such as reduced productivity, higher absenteeism, and increased health care costs. It is important for employers to take steps to prevent the bone problem by providing safe working environments, ensuring proper lifting techniques, and providing training and education on healthy work practices.

6. Problem 5.07 (Present and Future Values of a Cash Flow Stream) annually, what is its present value? Its future value? Do not round intermediate calculations. Round your answers to the nearest Present value: $ Future value: $

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PV is $present value$ and FV is $future value$.

To calculate the present value and future value of a cash flow stream, we need to know the cash flows and the appropriate discount rate or interest rate. The present value (PV) represents the current worth of the cash flow stream, while the future value (FV) represents the accumulated value at the end of the cash flow stream period.

Without specific cash flow details and discount rates, we cannot provide precise calculations for PV and FV. However, if you provide the cash flow amounts and the annual interest rate, we can use formulas like the present value of a cash flow stream or the future value of a cash flow stream to calculate the PV and FV, rounding the answers to the nearest dollar as requested.

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Cindy Inc. purchased a machine for $25,000; the seller is holding the note. Cindy Inc. paid $3,500 for improvements to extend the life of the machine. Cindy Inc. has deducted depreciation on the machine for 3 years totaling $15,000. Cindy Inc. owes $10,000 to the seller. What is Cindy Inc.’s adjusted basis in the machine?
$28,500
$18,500
$10,000
$13,500

Answers

Cindy Inc.’s adjusted basis in the machine is $18,500.The term basis is utilized in accounting to describe the cost of a property or asset used for tax purposes.

The basis is used to calculate the profit that the owner has made from the sale of the asset. The cost of the asset plus any expenses incurred while acquiring or preparing the asset for use are included in the basis. The basis of the asset is then adjusted by subtracting depreciation expenses and adding any capital expenditures made after its acquisition.Cindy Inc.’s adjusted basis in the machine is calculated as follows:Adjusted basis = (Purchase price + Improvement) - Depreciation - Seller debtAdjusted basis = ($25,000 + $3,500) - $15,000 - $10,000Adjusted basis = $28,500 - $15,000 - $10,000Adjusted basis = $3,500Therefore, Cindy Inc.’s adjusted basis in the machine is $18,500. Answer: $18,500.

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What is the economic trade-off of avoidance? How about the other treatments: Passive retention, retention with management, transfer by non-insurance contract and transfer by insurance?

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In economics, trade-off avoidance is a critical idea. It refers to a scenario where one must choose between two options. By selecting one option, you will be forced to abandon the other. Avoidance, in this case, implies that you are foregoing the advantages of one alternative while taking the benefits of another.

Such an approach necessitates considerable cost in the short term, such as the implementation of workplace safety measures or the improvement of inventory management. However, by doing so, a company can save money in the long term by lowering the incidence of loss events, lowering insurance premiums, and maintaining a strong reputation.

Transfer by non-insurance contract entails a situation where risks are shifted to another entity through legal arrangements such as contracts. This form of transfer carries with it the disadvantage of requiring the provision of a considerable amount of collateral and a lack of flexibility. The high cost of obtaining collateral may make this transfer method unaffordable for many companies.

Finally, transfer by insurance involves the transfer of risk to an insurance provider. This approach enables a company to transfer its exposure to loss to an insurance provider who will then pay for any losses incurred. The disadvantage of this method is that it may result in higher premiums and a loss of control over the claims management process.

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For each of the following examples determine whether firms are engaged in horizontal differentiation or vertical differentiation. i. At a farmer's market Alex sells apples and Bob sells bananas. ii. Samsung sells different models of phones with the more expensive phones having faster processors and more features. iii. Andrew breeds and sells toy poodles, while Eric breeds and sells standard poodles. iv. Ferrari makes sports cars and BMW makes large SUVs.

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The horizontal differentiation is used in options (i) and (iii), while vertical differentiation is used in options (ii) and (iv).

Horizontal differentiation and vertical differentiation are the two types of product differentiation.

Horizontal differentiation refers to the difference in features or attributes of products in the same category or market. While, vertical differentiation is the difference in the quality of products between different categories or markets.Based on these definitions, the following are the answers to the given questions:

i. At a farmer's market, Alex sells apples and Bob sells bananas: Horizontal differentiationii. Samsung sells different models of phones with the more expensive phones having faster processors and more features: Vertical differentiation

iii. Andrew breeds and sells toy poodles, while Eric breeds and sells standard poodles: Horizontal differentiationiv. Ferrari makes sports cars and BMW makes large SUVs: Vertical differentiation

Therefore, horizontal differentiation is used in options (i) and (iii), while vertical differentiation is used in options (ii) and (iv).

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Explain why the Lexus dealer in your city might be a price-setting firm. Be sure to discuss the concept of market power

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The Lexus dealer in your city might be a price-setting firm because it has market power. This means that it has the ability to control the price of its products due to a lack of competition in the market. A price-setting firm can raise the prices of its products because consumers have no other choice but to purchase the products from that firm.

The market power of the Lexus dealer comes from its brand recognition and reputation. Lexus is known for its high-quality cars and excellent customer service, which makes it a desirable brand for consumers. Additionally, there may not be many other dealers selling Lexus cars in the same city, giving the dealer even more market power to set prices.

The dealer's market power also comes from the fact that Lexus cars are considered luxury goods. This means that consumers are willing to pay more for these cars due to the prestige and status associated with owning a luxury vehicle. As a result, the dealer can set higher prices for its cars because consumers are willing to pay more for them.

Overall, the Lexus dealer in your city might be a price-setting firm due to its market power, which allows it to control the price of its products. Its brand recognition, reputation, and the luxury status of its cars give the dealer the ability to set prices higher than competitors because consumers are willing to pay more for its products.

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In terms of quality control management, briefly discuss
Prevention versus Inspection.

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Prevention and inspection are two fundamental methods in quality control management. Prevention is focused on reducing or eliminating the occurrence of defects, whereas inspection is aimed at detecting and rectifying any existing defects. Quality control is a crucial aspect of any manufacturing or service-based business.

Prevention versus Inspection: Prevention focuses on eliminating defects or errors before they occur. It involves adopting a proactive approach that emphasizes continuous improvement, identifying the root cause of problems, and making necessary changes to prevent the recurrence of defects. By implementing quality control measures, the company can identify any potential issues that may arise and proactively address them. In contrast, inspection is focused on identifying and rectifying errors after they occur. It involves assessing the product or service to ensure that it meets the desired quality standards.

Inspection is generally a reactive approach that is undertaken after the product has been manufactured or service has been provided. However, it is essential to note that inspection is not an alternative to prevention. The prevention of defects is still the primary goal of quality control. However, inspection is a crucial component of the quality control process as it helps detect any defects that may have been missed during the prevention process.

In conclusion, prevention and inspection are both essential components of quality control management. The prevention of defects is still the primary goal of quality control, but inspection plays a crucial role in detecting any defects that may have been missed during the prevention process.

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Given the following sales response and profit functions, determine the optimal price and advertising levels. Show that the Dorfman-Steiner conditions hold at these levels: Q=K−aP+bAπ=(P−C)Q−A−F​ where Q= quantity demanded (in units) P= price A= advertising expenditure C= marginal cost (note: assumed constant) F= fixed costs K,a,b are constants

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Given sales response and profit functions as, Q=K−aP+bAπ=(P−C)Q−A−F​ where Q= quantity demanded (in units)P= price A= advertising expenditure

C= marginal cost (note: assumed constant)F= fixed costs

K, a, b are constants

We have to determine the optimal price and advertising levels such that the Dorfman-Steiner conditions hold at these levels.

Dorfman-Steiner Conditions

Dorfman-Steiner conditions are given as follows:δQδP=−PQδQδA=Qδ2QδPδA>0

Part 1: Optimal Price and Advertising Levels

Derive total revenue (R) from the sales response function:

R=PQ=P(K−aP+bA)

Put the value of Q from (1) in π(P, A)π(P,A)=P(K−aP+bA)−C(K−aP+bA)−A−Fπ(P,A)=KP−aP²+bAP−CK−aP+bA−FPut all variables (except A) as a constant. This is the marginal revenue function:MR=δRδP=K−2aP+bA…… (2)The necessary condition for a maximum isδπδA=0δπδA=K−aP+bA…… (3)From equation (2),

we have to determine the optimal values of price and advertising that maximize revenue. We can do this by taking the partial derivative of revenue with respect to P and A and set them equal to zero to obtain the optimal values

∂R∂P=−2aP+K+bA=0∂R∂A=bP=0

Solve equation (4) and (5) for the optimal values of P and A:Popt=K+2b2aAopt=bP

Optimal price is Popt = (K+2b/2a)Optimal advertising is Aopt=0The optimal values satisfy the necessary conditions for maximum profit.

Part 2: The Dorfman-Steiner Conditions

Check the Dorfman-Steiner conditions at the optimal values.δQδP=−a(K+2bP)²=−aK²<0δQδA=K+2bP=K>0δ2QδPδA=2abP>0The Dorfman-Steiner conditions hold true at the optimal values.

Hence, the optimal price and advertising levels are determined, and the Dorfman-Steiner conditions hold at these levels.

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When you are shopping, which channel of distribution do you choose - a wholesaler, a distributor and/or a retailer? What role does each play in a marketing distribution strategy?

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Wholesalers act as intermediaries between manufacturers and retailers, distributors provide specialized expertise and support, and retailers sell products directly to consumers, catering to their preferences and providing a convenient shopping experience.

When choosing a channel of distribution, it depends on various factors such as the type of product, target market, and overall marketing strategy. Here's a breakdown of the roles played by wholesalers, distributors, and retailers:

Wholesalers: Wholesalers act as intermediaries between manufacturers or producers and retailers. They purchase goods in large quantities from manufacturers and sell them in smaller quantities to retailers.

Wholesalers typically offer bulk discounts and handle functions like storage, inventory management, and transportation. They play a crucial role in bridging the gap between manufacturers and retailers, providing efficiency and cost savings through economies of scale.

Distributors: Distributors function similarly to wholesalers, but they often work with more specialized or exclusive products. They may have a narrower focus on specific industries or markets.

Distributors add value by providing expertise, market knowledge, and sales support to manufacturers and retailers. They may also provide additional services such as marketing, training, and after-sales support.

Retailers: Retailers are the final link in the distribution chain, selling products directly to consumers. They can be brick-and-mortar stores, e-commerce platforms, or a combination of both.

Retailers create the necessary infrastructure for consumers to access products conveniently. They handle tasks like merchandising, advertising, customer service, and fulfillment. Retailers play a vital role in understanding consumer preferences and providing a personalized shopping experience.

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A company produces and sells a product. The unit variable cost is $65.26 and the unit selling price is $141.05. The fixed cost associated with the product is $2,22,378 per year. The company has an income tax rate of 24.53 percent. The after-tax income is dollars per year if the company produces and sells 11,351 units per year.

Answers

To solve the question, we need to follow the given information regarding the unit variable cost, unit selling price, fixed cost, income tax rate, and units produced and sold to find the after-tax income of a company.

The given details are as follows:

Unit variable cost = $65.26

Unit selling price = $141.05

Fixed cost = $2,22,378

Income tax rate = 24.53%

Units produced and sold = 11,351

We can calculate the total cost as follows:

Total cost = (unit variable cost × units produced and sold) + fixed cost

Total cost = ($65.26 × 11,351) + $2,22,378

Total cost = $9,07,912.26

We can find the total revenue as follows:

Total revenue = unit selling price × units produced and sold

Total revenue = $141.05 × 11,351

Total revenue = $16,02,332.55

We can now calculate the pre-tax income by subtracting the total cost from the total revenue.

Pre-tax income = Total revenue – Total cost

Pre-tax income = $16,02,332.55 – $9,07,912.26

Pre-tax income = $6,94,420.29

Now, we can find the after-tax income by subtracting the income tax from the pre-tax income.

After-tax income = Pre-tax income – Income tax

Income tax = Income tax rate × Pre-tax income

Income tax = 24.53% × $6,94,420.29Income tax = $1,70,462.17

After-tax income = $6,94,420.29 – $1,70,462.17A

fter-tax income = $5,23,958.12

Therefore, the after-tax income of the company is $5,23,958.12 per year if the company produces and sells 11,351 units per year.

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Revenue is the term used to identify money that is. owed to others coming into the organization paid by patients to 3 rd parties a financial obligation Question 2 A health care facility may be structured as a non profit for profit public health organization all of the above.

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Revenue is the term used to identify money that is owed to others coming into the organization. It is the amount of money a company generates from its business operations before any expenses are deducted.

Revenue may come from the sale of goods or services, investments, or other sources. In a healthcare organization, revenue is generated from the provision of healthcare services to patients.

A healthcare facility may be structured as a nonprofit, for-profit, public, or private organization. Nonprofit healthcare facilities are organizations that provide healthcare services without the intention of making a profit. They reinvest their revenues back into the organization for the benefit of their patients. For-profit healthcare facilities, on the other hand, operate with the primary goal of making a profit.

Public health organizations are healthcare facilities that are funded by the government. They provide healthcare services to the public at little or no cost. Private healthcare facilities are organizations that are owned and operated by private individuals or corporations. They operate with the primary goal of making a profit and may or may not accept insurance payments. Answers (nonprofit, for-profit, public health organization, private) are correct responses for how a healthcare facility may be structured.

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Calculate the book value of a company using the following information:
- Number of shares outstanding 100,000
- Price per share h52
- Total assets h12,000,000
- Total liabilities h7,500,000
- Net Income h2,000,000
A €4,500,000.
B €5,200,000.
C €6,500,000.

Answers

To calculate the book value of a company, you need to subtract the total liabilities from the total assets. The book value represents the net worth of the company's shareholders.

In this case, the total assets are €12,000,000 and the total liabilities are €7,500,000.

Book value = Total assets - Total liabilities
Book value = €12,000,000 - €7,500,000
Book value = €4,500,000

So, the book value of the company is €4,500,000.

Therefore, the correct answer is A) €4,500,000.

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The bank promises a stated annual interest of 8%. You invest $100. Find the future value after four years from now using the following compounded interest rates:
a. compounded annually
b. compounded semiannually
c. compounded continuously

Answers

Compounded annually is $136.05.b) Compounded semiannually is $136.05.c) Compounded continuously is $137.71.

The bank promises a stated annual interest of 8%.

You invest $100.

a) Compounded Annually: Future Value= P × (1 + r/n)^(n × t)

FV = $100 × (1 + 0.08/1)^(1 × 4)FV = $100 × (1.08)^4

FV = $100 × 1.36049

FV = $136.05Therefore, the future value after four years from now, when the interest is compounded annually is $136.05.

(b) Compounded Semi-Annually:

FV = P(1 + r/n)^(nt),

FV = $100(1 + 0.08/2)^(2 × 4)

FV = $100 × (1.04)^8

FV = $100 × 1.36049

FV = $136.05

Therefore, the future value after four years from now, when the interest is compounded semi-annually is $136.05.

c) Compounded Continuously:

FV = P x e^(rt)

FV = $100 x e^(0.08 × 4)

FV = $100 x e^0.32

FV = $100 x 1.37713

FV = $137.71

Therefore, the future value after four years from now, when the interest is compounded continuously is $137.71.

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