FM 2 FLOW ALONG A VENTURI TUBE Summary The objectives of the experiment is to study the validity of the Bernoulli equation and to determine the coefficient of discharge‚ Cd‚ by calibrating the venturi tube as a flow meter. To investigate the validity of the Bernoulli equation‚ the static pressure is taken at each tapping and the total head is determined for the maximum difference setting. The velocity head is calculated using the Bernoulli equation. To calculate Cd‚ the volumetric flow rate
Premium Fluid dynamics
3 2.2 Methods 4 2.3 Procedure 4 3.0 Results & Discussion 5 3.1 Table of Results 5 3.2 Discussion 6 4.0 Conclusion 8 References 9 ABSTRACT The purpose of this experiment is to investigate the flow rate/discharge and the head loss of 3 particular flow measuring apparatus which are the Venturi Meter‚ Orifice Meter and Rota Meter in accordance to Bernoulli’s Equation. The time taken for the water to discharge as the diameter of Rota Meter increased was determined and tabulated
Premium Fluid dynamics
Cross Border Capital Flows Introduction The global crisis‚ in its evolving phases since 2007‚ has vividly demonstrated the extent to which cross border capital flows tie economies together. From the spread of the crisis from the United States to the global economy in 2008‚ to the jitters caused across the world‘s financial markets by recent tensions in the Euro Area‚ with surges of inflows into fast growing emerging markets‚ and more recently into ―safe haven‖ currencies‚ it is clear that the
Premium Economics Foreign exchange market Investment
Name: ******** Class: DME2 Title: Flow Measurement Date: 11/02/2013 Lecturer: Mr Higgins Summary: In this experiment many different meters were used to measure fluid flow rate; the orifice plate‚ the venture meter‚ the rota meter and the weigh tank. Each meter works by its ability to alter a certain physical property of the flowing fluid and then allows this alteration to be measured. The measured alterations are linked directly to the flow rate and these measurements are subbed in
Premium Fluid dynamics Mass flow rate
Personal Budget‚ Balance Sheet‚ and Cash Flow Statement Memo To: Mr. Christopher De Maline From: Date: 02/17/2014 Re: Personal Budget‚ Balance Sheet‚ and Cash Flow Statement Dear Mr. De Maline‚ Saving money is extremely important however; some people do not have healthy savings thus leading them to financial instability. Therefore‚ being a good steward over your finances should be consistent and begin at an early age and progress as you age. This will provide an effective growth
Premium Finance Investment Management
Chapter 12 Problems 1. Cash flow (LO2) Assume a corporation has earnings before depreciation and taxes of $100‚000‚ depreciation of $50‚000‚ and that it has a 30 percent tax bracket. Compute its cash flow using the format below. Earnings before depreciation and taxes _____ Depreciation _____ Earnings before taxes _____ Taxes @ 30% _____ Earnings after taxes _____ Depreciation _____
Premium Standard deviation Income statement Variance
Funds flow statement shows the changes in the financial position between two balance sheet dates. It represents the movement of funds and the movement can be inward called as income or receipts. In case of outward movement‚ it is represented by expenditure or payments. The term‚ "funds" has different meanings. In the context of funds flow statement "funds" means the net working capital. Flow of funds means changes in funds position of changes in working capital. Working capital refers to that
Premium Inventory Balance sheet Generally Accepted Accounting Principles
Meaning: Cash flow statement is a statement which reflects sources and uses of cash whereas fund flow statement is a statement that reflects changes in the working capital or fund. Scope: The scope of cash flow is limited and it is based on the narrow concept of fund. i.e. cash alone whereas funds flow statement is a broader term and it is a wider concept of fund. Component: Under cash flow statement‚ cash is an important factor and it is the part of working capital whereas funds flow statement
Premium
effective interest LO14–2 The Bradford Company issued 10% bonds‚ dated January 1‚ with a face amount of $80 million on January 1‚ 2013. The bonds mature on December 31‚ 2022 (10 years). For bonds of similar risk and maturity‚ the market yield is 12%. Interest is paid semiannually on June 30 and December 31. Required: • 1. Determine the price of the bonds at January 1‚ 2013. • 2. Prepare the journal entry to record their issuance by The Bradford Company on January 1‚ 2013 • 3. Prepare the journal
Premium Cash flow Financial statements 1986
thus requires cash. When considering the overall cash flow of the yacht business we can see that it is suffering from cash flow problems ever since the business started. Although the monthly deficit has been decreasing every month due to the increased sales‚ the overall balance carried forward is gradually going up. It would be advisable for the business to borrow a lump sum in order to offset the negative balances and increase cash flow in the business. The business can look into increasing
Premium Costs Marketing Cost