Activity A B с D E F GH G Immediate predecessors A A B C, D D, E F, G Time (Days) a mb 1 36 1 1 2 3 3 1 2 223 2 2 4 3 4 4 10 4 5 4 7 4 5 ET 8²
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The following represents a project that should be
a. Complete the table
b. Draw the Network Diagram
c. What is the critical path?
d. What is the expected project completion time?'
e. What is the probability of completing this project within 16 days?
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- The following table shows quarterly sales (in thousand units) for a product over 4 years. The overall sales average for the entire 4 years is 126.0625 (thousand units).Fill in the missing values assuming there is no trend.Round seasonal indexes to 4 decimal places.Report Averages accurate to at most 2 decimal places.Report Actual sales ('000) accurate to the nearest integer. Year 1 Year 2 Year 3 Year 4 Average Seasonal Index Quarter 1 92 93 95 106 Quarter 2 105 106 105 101 Quarter 3 197 187 196 1.5211 Quarter 4 106 116 121 0.8865 PART BSuppose actual quarterly sales (in thousands) for Year 5 are 93, 123, 206, and 126 respectively. Assuming there is no trend, forecast sales for the four quarters of Year 5.Use seasonal indexes (rounded to 4 decimal places) from Part A.Report forecast answers as integers accurate to the nearest thousand.Quarter 1 forecast = thousandQuarter 2 forecast = thousandQuarter 3 forecast = thousandQuarter 4 forecast =…In 2020, a manufacturing company instituted a total quality management (TQM) program producingthe comparative report shown below:[LO 17-5]Summary COQ Report(in thousands)2019 2020 % ChangePrevention costs $ 200 $ 300 +50Appraisal costs 210 315 +50Internal failure costs 190 114 −40External failure costs 1,200 621 −48Total COQ $1,800 $1,350 −25On the basis of this report, which one of the following statements is most likely correct?a. An increase in conformance costs resulted in a higher-quality product and, therefore, a decreasein nonconformance costs.b. An increase in inspection costs was solely responsible for the decrease in quality costs.c. Quality costs such as scrap and rework decreased by 48%.d. Quality costs such as returns and repairs under warranty decreased by 40%.e. Nonconformance costs increased by 50% and conformance costs decreased by approximately 47%.Lefola Limited is the only manufacturer of product G_Easy in the Popa Land. It has provided documented levels of demand at certain selling prices for product G_Easy which are as follows:Price per unit 7 0006 000Demand Units 01Total costs 3 0005 000875 000 2 4 000 3 3 000 4 2 000 5 1 000 68 000 12 000 17 000 23 000 30 000Required:MGA40AT/POF117V – 2020 Instructional Teaching manual packUsing a tabular approach, calculate the marginal revenues and marginal costs for product G_Easy at the different levels of demand, and so determine the selling price at which Lefola Limited’s profits are maximized.
- Dropdowns (Above)1. Yes/No2. Less than/greater than3. 20,30,40,50,60,70,804. Are/Are Not5. May/May NotExperiment1: application of excel 2010 (if you have EXCEL installed on your computer) Requirement: create a pivot table and chart in excel 1. pivot table (1) basic data Please paste the table header and 1-2 rows of the data, and explain the meaning of the data. (2) pivot table Please paste the pivot table here. (3) function of this pivot table Please explain the pivot table that you have created, what is the function of the result. 2. chart (1) basic data As above (2) chart Please paste the chart here, and tell me which type of chart you have used. (3) function of this chart Please explain the chart that you have created, what is the function of the result. its management information system labMacomb Inc. used Excel to run a least-squares regression analysis on the production cost data resulting in the following output: Regression StatisticsMultiple R 0.9834 R Square 0.9596 Observations 30 Coefficients Standard Error T Stat P-ValueIntercept 174,980 61,580 2.84 0.021 Production units (X) 11.53 0.9265 12.44 0.000 What total cost would Macomb predict for a month in which production is 2,000 units? Multiple Choice $174,900 $63,433 $198,040 $23,037
- The file P13_19.xlsx contains the weekly sales of a particular brand of paper towels at a supermarket for a one-year period. a. Using a span of 3, forecast the sales of this product for the next 10 weeks with the moving averages method. How well does this method with span 3 forecast the known observations in this series? b. Repeat part a with a span of 10. c. Which of these two spans appears to be more appropriate? Justify your choice.The file P13_27.xlsx contains yearly data on the proportion of Americans under the age of 18 living below the poverty level. a. Create a time series chart of the data. Based on what you see, which of the exponential smoothing models do you think will provide the best forecasting model? Why? b. Use simple exponential smoothing to forecast these data, using a smoothing constant of 0.1. c. Repeat part b, but search for the smoothing constant that makes RMSE as small as possible. Create a chart of the series with the forecasts superimposed from this optimal smoothing constant. Does it make much of an improvement over the model in part b? d. Write a short report to summarize your results. Considering the chart in part c, would you say the forecasts are good?The file P13_26.xlsx contains the monthly number of airline tickets sold by the CareFree Travel Agency. a. Create a time series chart of the data. Based on what you see, which of the exponential smoothing models do you think will provide the best forecasting model? Why? b. Use simple exponential smoothing to forecast these data, using a smoothing constant of 0.1. c. Repeat part b, but search for the smoothing constant that makes RMSE as small as possible. Does it make much of an improvement over the model in part b?
- can anyone solve this ? statement 1 and 2, are they true or false ???? 1) Stratified sampling is a simplified way to control Active Risk by matching benchmark allocations to pre-defined segments of the stock market. II) To find out whether the Active Risk of my current portfolio is large compared to my Target Active Risk, I could calculate the standard deviation of the difference of weekly returns between my portfolio and my benchmark over the last year.SYSTEM IDENTIFICATION 15- The concept of "whether the parameters of a model set can be uniquely determined from the predictor filters or not" is called: A. identifiability B. stability C. prediction D. differentiability E. observability ANSWER and write the reason? aThe table below shows the sales figures for a brand of shoe over the last 12 months.Months SalesJanuary 69February 75March 86April 92May 95June 100July 108August 115September 125October 131November 140December 150a. Using the following, forecast the sales for the months up January the following yeariii. Exponential Smoothing when α= .6 and the forecast for March is 350.