Answer:a
Explanation:
Answer:1.5 is the answer
Explanation:
select all that applywhich of these are liquidity ratios?multiple select question.average collection periodcurrent ratiofixed asset turnovernet profit margintimes interest earnedreceivables turnover
Average collection period, Current ratio and Receivables turnover are liquidity ratios. The right answers are a, b and f.
The capacity to quickly and affordably turn assets into cash is known as liquidity. Liquidity ratios are a gauge of a company's capacity to settle its short-term obligations. A company's ability to quickly convert its assets and use them to pay its obligations is determined by its liquidity ratios.
The ability to pay off debts and stay current on payments is easier the greater the ratio. The quick ratio, current ratio, and days sales outstanding are common liquidity ratios. While solvency ratios are focused on a longer-term ability to pay off ongoing debts, liquidity ratios assess a company's capacity to meet short-term obligations and cash flows.
The correct answers are options a, b and f.
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The question seems incomplete. The complete question is:
Select all that apply: which of these are liquidity ratios? multiple select question.
a. average collection period
b. current ratio
c. fixed asset turnover
d. net profit margin
e. times interest earned
f. receivables turnover
VI One Important reason for the Keynesian Cross model is Multiple Choice a. sed to find out where the economy crosses the 45-degree line b. to explore the make up of exports c. to analyze business cycles d. to determine autonomous spending
One important reason for the Keynesian Cross model is to find out where the economy crosses the 45-degree line. Option a is correct.
The Keynesian Cross model, also known as the 45-degree line model, is a simple representation of the relationship between aggregate demand and national income. This model helps to demonstrate the equilibrium level of income in an economy where the quantity of goods produced is equal to the quantity of goods demanded.
The 45-degree line represents a situation where the output level (national income) is equal to the aggregate demand. When the economy is at this equilibrium point, there is no tendency for output to either increase or decrease.
In this model, the intersection of the aggregate demand curve and the 45-degree line represents the equilibrium level of income. By determining where the economy crosses the 45-degree line, policymakers and economists can better understand the factors affecting aggregate demand, which can help them make informed decisions regarding fiscal and monetary policies.
To summarize, the Keynesian Cross model is important for finding out where the economy crosses the 45-degree line, as it allows for the analysis of the equilibrium level of income in an economy and helps inform economic policy decisions. Option a is correct.
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in a weakening economy, you might expect producers to: group of answer choices lower prices to increase quantity demand for their output. raise wages to hire more productive workers. increase prices to increase quantity demand for their output. lower wages to increase quantity demand for their output. lower prices to reduce quantity demand for their output.
In a weakening economy, producers are likely to face challenges such as reduced demand for their goods and services, lower revenue, and increased competition.
In such situations, producers might resort to various strategies to stay afloat and maintain profitability. One possible approach that producers may consider is to lower their prices to increase the quantity demanded for their output. By reducing their prices, producers can make their products more affordable and attractive to consumers, thereby increasing their market share and overall revenue.
Lowering prices can also help producers to maintain their competitiveness against rival companies that may also be lowering their prices to attract customers. However, it is important to note that reducing prices may not always be a viable option, especially if the cost of production is already high. In such cases, producers might consider other cost-cutting measures such as reducing wages or outsourcing some aspects of their operations.
Overall, in a weakening economy, producers need to be innovative, flexible, and responsive to changes in the market. By being proactive and adapting to the changing economic conditions, producers can not only survive but also thrive in challenging times.
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What costs are associated with transactions that can result in damage to the environment, human health, and property?
A) traditional market costs
B) internal costs
C) tangential costs
D) external costs
The costs associated with transactions that can result in damage to the environment, human health, and property are referred to as external costs.
External costs are costs that are not directly paid by the buyer or seller involved in the transaction but are instead borne by society as a whole.
External costs are not directly included in the price of goods or services but have negative consequences on society and the environment. It is a cost associated with but not borne by the manufacturers or producers of goods and services who create it. By internalizing external costs and making them a part of the transaction price, it is possible to incentivize more sustainable and socially responsible practices.
Examples of external costs include pollution, deforestation, and the depletion of natural resources. These costs can have serious implications for the environment, human health, and property, and it is important for businesses and policymakers to take them into account when making decisions.
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which statement is correct about salary negotiations?group of answer choicesthey are really the only factors to be considered when you are accepting a job.keep any ideas about salary expectations to yourself.realize the importance of the total dollar value when benefits are added to salary.focus on the dollars and not the hours you will be working or the working conditions.
The correct statement about salary negotiations is: "Realize the importance of the total dollar value when benefits are added to salary."
This means that you should consider not only the base salary but also the value of additional benefits like health insurance, retirement plans, and vacation days when discussing salary expectations during negotiations.
The statement "realize the importance of the total dollar value when benefits are added to salary" is correct about salary negotiations. While salary expectations are an important factor to consider, it is also important to take into account the benefits package being offered, as this can significantly impact the total value of the compensation package.
Additionally, it is important to keep in mind other factors such as working conditions and hours, as these can also affect your overall job satisfaction and quality of life.
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The right wage negotiation statement is: "Realise the importance of total dollar value when benefits are added to salary."
This implies that while discussing pay expectations during negotiations, you should evaluate not just the base income but also the worth of supplementary perks such as health insurance, retirement plans, and vacation days.
When it comes to pay negotiations, the remark "realise the importance of the total dollar value when benefits are added to salary" is valid. While pay expectations are crucial, it is also vital to analyse the benefits package being given, since this can have a considerable influence on the entire worth of the compensation package.
Additionally, it is important to keep in mind other factors such as working conditions and hours, as these can also affect your overall job satisfaction and quality of life.
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what type of drug-control strategy aims to deter drug sales by apprehending large-volume dealers and enforcing drug laws that carry harsh penalties?
The type of drug-control strategy that aims to deter drug sales by apprehending large-volume dealers and enforcing drug laws that carry harsh penalties is known as supply reduction.
Whta is supply reduction?
The supply reduction approach focuses on reducing the supply of drugs by targeting drug traffickers, distributors, and manufacturers through law enforcement efforts such as arrests, drug seizures, and drug interdiction operations. The aim is to disrupt the drug market and make it more difficult for drug dealers to operate.
This approach often involves strict drug laws that carry harsh penalties, such as mandatory minimum sentences for drug offenses, and emphasizes the importance of international cooperation to combat drug trafficking across borders.
While supply reduction strategies are an important part of drug control efforts, they are often criticized for being overly punitive and failing to address the root causes of drug use and addiction. Alternative approaches to drug control, such as demand reduction strategies that focus on prevention, treatment, and harm reduction, are also important in addressing the complex issue of drug use and addiction.
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Complete question is: supply reduction drug-control strategy aims to deter drug sales by apprehending large-volume dealers and enforcing drug laws that carry harsh penalties.
what conditions must be met by employee share purchase plans to allow for uncomplicated recognition of the share purchases and no compensation expense to be recognized? (select all that apply.)
Employee share purchase plans (ESPPs) are programs that allow employees to purchase shares of their employer's stock at a discounted price.
The conditions that must be met to allow for uncomplicated recognition of share purchases and no compensation expense to be recognized include:
The plan must be available to all employees: The ESPP must be offered to all employees on equal terms, with no discrimination based on position or compensation level.The discount must be reasonable: The discount offered to employees must be reasonable and not excessive. Typically, a discount of up to 15% is considered reasonable.The offering period must be at least 6 months: The offering period, during which employees can purchase shares, must be at least 6 months long to avoid triggering compensation expense recognition.The purchase price must be determined at the beginning or end of the offering period: The purchase price must be determined at the beginning or end of the offering period and must not be based on the stock price at the time of purchase.The plan must not have features that cause it to be considered a variable plan: ESPPs that have features that make them a variable plan, such as allowing employees to purchase shares at a discount based on the stock price at the time of purchase, can trigger compensation expense recognition.The plan must be non-compulsory: Employees must not be required to participate in the ESPP, and must have the option to opt out if they choose.for more such questions on stock
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A mortgage, in the amount of $120,090, is contracted for a period of 20 years, to finance the purchase of a building on a monthly basis. The nominal rate is 6%. The interest portion in the 30th payment will be?
To calculate interest portion of the 30th payment for a mortgage, we need to know the monthly payment amount and interest portion in 30th payment comes as $427.93.
We can use the formula for calculating the monthly payment of a mortgage to find the payment amount: [tex]P = L[c(1 + c)^n]/[(1 + c)^n - 1][/tex]Where P is the monthly payment, L is the loan amount, c is the monthly interest rate (which is the nominal annual interest rate divided by 12), and n is the total number of payments.
Plugging in the values given in the question, we get: P =[tex]120090[0.005(1+0.005)^240]/[(1+0.005)^240-1][/tex] = $855.85. This means that the borrower will make 360 payments of $855.85 each over the 20-year period.
To find the outstanding balance at the time of the 30th payment, we can use the formula for the present value of an annuity[tex]PV = C[(1 - (1 + r)^-n)/r][/tex], Where PV is the present value of the annuity, C is the periodic payment, r is the interest rate per period, and n is the number of periods.
Plugging in the values for the remaining 330 payments (since the 30th payment is the 30th out of 360 payments), we get PV = $84,785.63
This means that the outstanding balance on the mortgage at the time of the 30th payment is $84,785.63. Finally, to find the interest portion of the 30th payment, we can calculate the interest by subtracting the portion of the payment that goes towards the principal from the total payment amount.
The portion of the payment that goes towards the principal can be found by subtracting the interest from the total payment: Interest portion = Total payment - Principal portion, Interest portion = $855.85 - ($84,785.63 * 0.005) = $427.93
Therefore, the interest portion in the 30th payment is $427.93. In conclusion, the interest portion of the 30th payment for a mortgage of $120,090, with a nominal rate of 6%, and a 20-year term, is $427.93.
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information security policies would be ineffective without and . group of answer choices rigidity; adaptability accountability; flexibility compliance; subjectivity protocols; the backing of iso audit; enforcement
Information security policies would be ineffective without accountability and flexibility.
Accountability is necessary to ensure that individuals and groups are held responsible for their actions in relation to information security. It creates a culture of responsibility and can deter individuals from engaging in risky behaviors that could compromise information security. Accountability also helps to ensure that security policies are being followed and enforced.
Flexibility is necessary to ensure that information security policies can adapt to changing circumstances and emerging threats. Policies that are too rigid can become obsolete quickly and may not effectively address new security risks. By contrast, policies that are flexible can be updated and modified to reflect new security threats and to ensure that they remain relevant and effective over time.
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A hospital has three major inputs K, S, and U, the capital, skilled professionals, and unskilled labor, respectively. What are returns to scale for this hospital if the production function is estimated to be Q = 8K^0.3S^0.4U^0.2
The returns to scale for the hospital can be determined by examining the exponents of the inputs in the production function.
The production function is given as
Q = [tex]8K^0.3S^0.4U^0.2[/tex]
The exponent of each input represents the elasticity of output with respect to that input. If the sum of the exponents is greater than 1, the production function exhibits increasing returns to scale, meaning that a proportionate increase in all inputs will result in a more than proportionate increase in output. If the sum of the exponents is equal to 1, the production function exhibits constant returns to scale, meaning that a proportionate increase in all inputs will result in a proportionate increase in output. If the sum of the exponents is less than 1, the production function exhibits decreasing returns to scale, meaning that a proportionate increase in all inputs will result in a less than proportionate increase in output.
In this case, the sum of the exponents is:
0.3 + 0.4 + 0.2 = 0.9
Since the sum of the exponents is less than 1, the production function exhibits decreasing returns to scale for the hospital.
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a student bought a used car for $10,000 and resold it one year later for $6,500. insurance, license, and operating costs for the year were $1,500. what was his economic cost of owning and operating the car for the year if the market rate of interest was 10 percent? a. $3,500 b. $5,000 c. $6,000 d. $8,500'
Economic cost of owning and operating the car for the year if the market rate of interest was 10 percent market rate of interest was 10% is $ 6000. Option (c) is the correct answer.
The economic cost of owning and operating the car for the year can be calculated using the formula: economic cost = purchase price + operating costs - resale value + interest cost. In this case, the purchase price was $10,000, operating costs were $1,500, and the resale value was $6,500.
To calculate the interest cost, we need to find out how much the $10,000 would have earned in interest if it was invested instead of used to buy the car. Using the market rate of interest of 10%, the interest earned would be $1,000.
So, the economic cost of owning and operating the car for the year is:
$10,000 + $1,500 - $6,500 + $1,000 = $6,000. Option (c) is the correct answer.
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using the mini case information, write a 250-500-word recommendation of the financial decisions you propose for this company based on an analysis of its capital structure and capital budgeting techniques. explain why you chose this recommendation and how it will impact the performance of the firm.
Based on the mini case information provided, I recommend the following financial decisions for the company, taking into consideration its capital structure and capital budgeting techniques.
Firstly, the company should optimize its capital structure by finding an ideal mix of debt and equity financing. This will ensure that the cost of capital is minimized while maintaining a balanced risk profile. To achieve this, the company can use techniques such as the Weighted Average Cost of Capital (WACC) to evaluate the optimal capital structure.
Secondly, the company should implement robust capital budgeting techniques to evaluate and select profitable investment projects. Techniques such as Net Present Value (NPV), Internal Rate of Return (IRR), and Payback Period can be utilized to determine the viability of potential investments.
By selecting projects with a positive NPV and a high IRR, the company will ensure value creation for its shareholders.
I chose this recommendation because optimizing the capital structure and utilizing effective capital budgeting techniques are essential for making informed financial decisions. These decisions will lead to a more efficient allocation of resources and maximize shareholder value.
This, in turn, will positively impact the overall performance of the firm.
In conclusion, the proposed recommendation for the company is to optimize its capital structure and implement sound capital budgeting techniques. This will enable the company to make informed financial decisions that will ultimately improve its performance and create value for its shareholders.
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Several years ago, Caitlyn opened an ice cream parlour on Corydon Avenue. She operates the business from May through September every year, and spends winters at her condo in Arizona. Her annual lease is up for renewal on January 1, and her landlord has informed her that the rent will double. Which of the following business strategies would you recommend to Caitlyn? a. Extend the length of her operating season, so as to spread the fixed cost over a larger volume of ice cream. b. Increase her prices to cover the higher fixed cost. c. Reduce the hours of her staff, even if it means selling less ice cream, in order to save on costs. d. All of the above. e. None of the above.
Answer: (A) Extend the length of her operating season, so as to spread the fixed cost over a larger volume of ice cream.
This strategy allows Caitlyn to generate more revenue by increasing the time her business is open, thus helping to offset the higher fixed costs. By extending the length of operating season, she can spread fixed cost of her lease over the increased volume of ice cream, making it more manageable. This approach is more customer-friendly and will help to reduce the impact of the rent increase on her overall costs.
Increasing her prices may not be the best option, as it could lead to a decrease in demand for her ice cream. As far as cost cutting through staff layoff is concerned, it will lead to decreased efficiency on the part of parlor, inconvenience and dissatisfaction to the customer.
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The 2017 balance sheet of Kerber's Tennis Shop, Inc., showed long-term debt of $2.5 million, and the 2018 balance sheet showed long-term debt of $2.65 million. The 2018 income statement showed an interest expense of $100,000.
What was the firm's cash flow to creditors during 2018?
The cash flow to creditors during 2018 for Kerber's Tennis Shop, Inc. was $250,000. This indicates that the firm paid $250,000 in interest to its creditors during the year.
To calculate the cash flow to creditors during 2018, we need to determine the change in the long-term debt of Kerber's Tennis Shop, Inc. and add the interest expense.
The change in the long-term debt can be calculated by subtracting the 2017 long-term debt from the 2018 long-term debt, which gives us:
Change in long-term debt = $2.65 million - $2.5 million = $150,000
Next, we add the interest expense of $100,000 to the change in long-term debt to calculate the cash flow to creditors during 2018:
Cash flow to creditors = Change in long-term debt + Interest expense
= $150,000 + $100,000
= $250,000
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Suppose bad weather leads to lower future expected output. Holding current output constant, what would be the effect in the goods market and the IS curve?
A. National savings decreases leading to a higher interest rate that clears the good market. IS shifts up and to the right.
B. National savings increases leading to a lower interest rate that clears the goods market. IS shifts down and to the left.
C. National investment increases leading to a higher interest rate that clears the goods market. IS shifts up and to the right.
D. National investment decreases leading to a lower interest rate that clears the goods market. IS shifts down and to the left.
Suppose bad weather leads to lower future expected output. Holding current output constant, the effect in the goods market and the IS curve would be: D.
National investment decreases leading to a lower interest rate that clears the goods market. IS shifts down and to the left.
This occurs because lower future expected output discourages firms from investing in new projects, leading to a decrease in national investment.
With reduced investment, the demand for funds decreases, resulting in a lower interest rate that clears the goods market. Consequently, the IS curve, which shows the equilibrium points between the interest rate and the level of income in the goods market, shifts down and to the left.
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aspens is preparing a bond offering with a coupon rate of 5.5 percent. the bonds will be repaid in 10 years. the company plans to issue the bonds at par value and pay interest annually. which one of the following statements is correct? assume a face value of $1,000. group of answer choices at issuance, the bond's yield to maturity is 5.5 percent. the bonds will initially sell at a discount. the bonds will pay 19 interest payments and one principal payment. at maturity, the bonds will pay a final payment of $1,027.50. the bonds will pay twenty equal coupon payments.
Aspens is preparing a bond offering with a coupon rate of 5.5 percent, a face value of $1,000, and a repayment period of 10 years. The bonds will be issued at par value and pay interest annually. The correct statement among the given choices is: "At issuance, the bond's yield to maturity is 5.5 percent."
The coupon rate of 5.5 percent is the annual interest rate that the bond will pay based on its face value of $1,000. Since the bond will be issued at par value, or $1,000, the initial yield to maturity will be equal to the coupon rate of 5.5 percent. Yield to maturity is the total return anticipated on a bond if the bond is held until it matures, and it takes into account the bond's price, par value, coupon rate, and time to maturity.
The other statements in the answer choices are incorrect. If the bonds were issued at a discount, their yield to maturity would be higher than the coupon rate of 5.5 percent. The bonds will pay ten interest payments and one principal payment, not 19 or 20 payments. The final payment at maturity will be equal to the face value of the bond, or $1,000, not $1,027.50. And the bond will pay ten equal coupon payments, not twenty.
Hence, the correct statement is "At issuance, the bond's yield to maturity is 5.5 percent."
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What is your biggest weakness/what are your three biggest weaknesses?
Some skills that you can use as weaknesses include impatience, self-criticism, and procrastination.
Impatience is the tendency to become easily frustrated or irritated when things do not move quickly enough or progress is slower than planned. Impatience can cause a lack of attention, poor decision-making, and make long-term goals harder to achieve.
Self-criticism is the inclination to be excessively critical of oneself, frequently to the point of self-destruction. While holding ourselves accountable and striving for self-improvement is vital, excessive self-criticism can lead to emotions of anxiety, despair, and low self-esteem.
Procrastination is the practise of delaying or postponing necessary chores or decisions. Procrastination can be induced by a number of circumstances, such as a lack of motivation, a fear of failure, or a sense of overload.
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The cross elasticity of demand for strawberry jelly and grape jelly is likely to be:
a. negative because they are complements
b. positive because they are substitutes
c. negative because they are substitutes
d. positive because they are complements
Positive because they are substitutes.
The cross elasticity of demand for strawberry jelly and grape jelly is likely to be c. negative because they are substitutes.
What is the significance of this?
This means that if the price of strawberry jelly increases, consumers are likely to switch to buying grape jelly instead, and vice versa.
The cross elasticity of demand measures the responsiveness of the demand for one good to a change in the price of another good. If two goods are substitutes, meaning that they can be used in place of each other, a change in the price of one good will affect the demand for the other good. In this case, a decrease in the price of grape jelly is likely to increase the demand for grape jelly and decrease the demand for strawberry jelly, so the cross elasticity of demand between the two goods is negative.
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suppose you purchase one wfm may 100 call contract at $5 and write one wfm may 105 call contract at $2. the maximum loss you could suffer from your strategy is group of answer choices zero. $200. $300. $500.
You will start losing money on the short call option, resulting in a maximum loss of $300. Option (B) is the correct answer.
The maximum loss you could suffer from the given strategy is $300. This is because you have purchased one call contract at a strike price of $100 for a cost of $5, and simultaneously written one call contract at a higher strike price of $105 for a credit of $2.
The difference in strike prices, which is $5, is your potential maximum profit. However, since you have paid a net debit of $3 ($5 - $2), this reduces your potential profit.
Therefore, if the stock price of WFM remains below $100 at expiration, both contracts will expire worthless, and you will lose your initial investment of $3.
However, if the stock price rises above $100, you may still earn a profit but it will be capped at $200 ($5 - $2 x 100 shares) due to the short call option. In the worst-case scenario, if the stock price rises above $105, Option (B) is the correct answer
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Note the full question is
suppose you purchase one wfm may 100 call contract at $5 and write one wfm may 105 call contract at $2. the maximum loss you could suffer from your strategy is group of answer choices zero.
A)$200.
B)$300.
C)$500.
A2. Imagine that the following events occurred in the period between 2000 and 2020. EU adopted new trade restrictions (such as higher tariffs) on Chinese products and simultaneously reduced the annual rate of growth of their money supply from 5% to 3%. Over the same period of time, Chinese real GDP, trade policies and the Chinese money supply remained stable, so was the EU's real GDP. Seeing these as long run events, analyze the effects on the Euro-Yuan nominal exchange rate, EcNyle, by using the extended version of the monetary approach (i.e. the PPP based model with the real exchange rate extension).
Based on the extended version of the monetary approach and the given long-run events, we can expect the Euro-Yuan nominal exchange rate, EcNyle, to appreciate due to the EU adopting new trade restrictions on Chinese products and reducing the annual rate of growth of their money supply, while Chinese real GDP, trade policies, and money supply remain stable.
Based on the given events, the EU adopting new trade restrictions on Chinese products and reducing the annual rate of growth of their money supply is expected to have an impact on the Euro-Yuan nominal exchange rate, EcNyle. To analyze the effects on EcNyle, we can use the extended version of the monetary approach which includes the real exchange rate extension and is based on the purchasing power parity (PPP) model.
According to the PPP model, the exchange rate between two countries is determined by the relative price levels of the two countries. Therefore, if the price level in one country increases faster than the other, the exchange rate between the two countries should adjust to reflect the change in the relative price level.
With the given events, the EU's adoption of new trade restrictions on Chinese products is expected to increase the price level in the EU, as the tariffs on Chinese products would make them more expensive for EU consumers. At the same time, the reduction in the EU's money supply growth rate from 5% to 3% is expected to reduce inflation in the EU, which would slow down the increase in the EU's price level.
On the other hand, Chinese real GDP, trade policies, and money supply are all assumed to remain stable over the period, which suggests that the price level in China would remain constant. This means that the relative price level between the EU and China would change, favoring the EU. As a result, the Euro-Yuan nominal exchange rate, EcNyle, is expected to appreciate, as the Euro becomes more valuable relative to the Yuan.
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a bond with a face value of $1,000 pays semi-annual coupon rates of 7%, and has a maturity of exactly 3 years. the bond has a yield of 12.5%. what is the price of this bond? enter the answer as a decimal number - do not use dollar signs or commas!
The price of the bond is $1,027.44.
To calculate the price of the bond, we need to use the present value formula. The present value of a bond is equal to the sum of the present value of its future cash flows, which are the semi-annual coupon payments and the face value payment at maturity.
The semi-annual coupon payment is calculated as 7% of the face value, which is $1,000, so it is $70. The bond has a maturity of 3 years, which means there will be 6 coupon payments in total. The time period between each payment is 6 months, so the discount rate we will use is half of the annual yield, which is 6.25%.
Using the present value formula, we can calculate the present value of each coupon payment as follows:
PV of coupon payment =[tex]\frac{ coupon payment}{ (1 + discount rate)^{(time period in years)}}[/tex]
PV of coupon payment = [tex]\frac{70 }{ (1 + 0.0625)^{(0.5)}} = $65.32[/tex]
To calculate the present value of the face value payment at maturity, we can simply discount it back to its present value using the yield:
PV of face value payment = [tex]\frac{face value} { (1 + yield)^{time period}}[/tex]
PV of face value payment = [tex]\frac{1,000} { (1 + 0.125)^3 }= 620.92[/tex]
Finally, we can calculate the price of the bond by adding up the present value of all the cash flows:
Price of bond = PV of coupon payments + PV of face value payment
Price of bond = ($65.32 x 6) + $620.92 = $1,027.44
Therefore, the price of the bond is $1,027.44.
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which of the following sets of changes would be most likely to promote economic growth? decreased income taxes, decreased interest rates, decreased investment decreased income taxes, decreased interest rates, increased investment increased income taxes, increased interest rates, decreased government spending increased income taxes, increased interest rates, decreased investment increased income taxes, decreased interest rates, decreased government spending
The set of changes that would be most likely to promote economic growth is: b. Decreased income taxes, decreased interest rates, increased investment
When income taxes are decreased, people have more money to spend or invest, which can stimulate economic growth. Decreasing interest rates makes borrowing cheaper, which can encourage businesses to invest in new projects and expand their operations. Increasing investment means that more money is being spent on new technologies, infrastructure, and other resources that can enhance economic growth.
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Full Question ;
Which of the following sets of changes would be most likely to promote economic growth?
a. Decreased income taxes, decreased interest rates, decreased investment
b. Decreased income taxes, decreased interest rates, increased investment
c. Increased income taxes, increased interest rates, decreased government spending
d. Increased income taxes, increased interest rates, decreased investment
e. Increased income taxes, decreased interest rates, decreased government spending
A firm with decreasing returns to scale can expectto produce [ more than, less than,exactly ]20% more output ifit uses 20% more inputs.its production to decrease by [ more than,less than, exactly ]10%, if it cuts all inputs to 90% of their previous levels.
If a firm has decreasing returns to scale, it means that increasing inputs by 20% will result in an increase in output of less than 20%. Therefore, the firm can expect to produce less than 20% more output if it uses 20% more inputs.
Similarly, if the firm cuts all inputs to 90% of their previous levels, its production will decrease by more than 10%. This is because decreasing inputs by 10% will result in a decrease in output of less than 10%, due to the decreasing returns to scale.
What is a business firm?
A firm is a for-profit business entity that offers professional services, such as a corporation, limited liability company (LLC), or partnership. Most businesses only have one location.
How would you define production?
All actions taken to create goods and services in order to generate income and satiate consumer demand are referred to as production.
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a company has forecasted net income to be $540,000. net income was $425,000 in the prior year, when they also paid dividends of $80,000. what are forecasted dividends if the company wants to keep the payout ratio constant?
If the company wants to keep the payout ratio constant, they will pay out the same percentage of net income as they did in the prior year. The payout ratio is calculated by dividing dividends by net income.
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A species in an ecosystem that plays a central role in the health of that ecosystem, and whose removal may cause the collapse of the ecosystem, is called a(n)foundation speciesindicator speciesnative specieskeystone speciesspecialist species
The correct term for a species in an ecosystem that plays a central role in the health of that ecosystem and whose removal may cause the collapse of the ecosystem is a keystone species. Keystone species act as a foundation for the ecosystem, providing important ecological services such as regulating populations of other species, maintaining biodiversity, and cycling nutrients. Their removal can lead to a cascade of negative effects, ultimately resulting in ecosystem collapse.
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which of the following is one of the primary risks of outsourcing? select one: a. being too vertically integrated b. being investigated by the ftc c. loss of information d. losing access to cheap capital
The primary risk of outsourcing among the given options is "loss of information." Therefore the correct option is option C.
When a company outsources a business process or function to a third-party vendor, it may be required to share confidential and sensitive information with the vendor.
This can include trade secrets, customer data, financial information, and other proprietary information. If the vendor does not take appropriate measures to safeguard this information, it can be at risk of being leaked or stolen.
This can result in reputational damage, legal liabilities, and financial losses for the company.
Therefore, it is important for a company to carefully select its outsourcing partners, establish clear contracts, and implement appropriate security measures to mitigate the risk of information loss. Therefore the correct option is option C.
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the ultimate sustainability of your company depends on group of answer choices consistently attracting new customers. generating consistently excellent customer service that keeps customers coming back. staying on top of changing trends in the marketplace. having cost effective manufacturing processes. offering a product that is price competitive.
The ultimate sustainability of a company depends on consistently attracting new customers, generating consistently excellent customer service that keeps customers coming back, staying on top of changing trends in the marketplace, and offering a product that is price competitive.
Cost-effective manufacturing processes can also contribute to a company's sustainability by reducing expenses and increasing profits, but they alone may not be enough to ensure long-term success.
Ultimately, a company must provide value to its customers, adapt to market changes, and maintain a strong reputation for quality and service in order to thrive in the long run.
Consistently attracting new customers is essential for a company's sustainability because it helps to expand the customer base and increase revenue. This can be achieved through effective marketing strategies, providing superior quality products or services, and delivering excellent customer experiences.
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Role modeling desired behaviors in an effective way to increase the subjective ___ about doing high quality work.
Role modeling desired behaviors is an effective way to increase the subjective norms about doing high quality work.
Subjective norms refer to an individual's perception of the social pressure to perform a particular behavior. When an individual perceives that there is social pressure to engage in a particular behavior, they are more likely to do so.
Role modeling refers to the process of demonstrating the desired behavior for others to observe and emulate. When individuals observe others performing the desired behavior, they are more likely to perceive that there is social pressure to engage in that behavior. This can increase their subjective norms and make them more likely to engage in the behavior themselves.
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Question 11 0 / 0.5 pts Suppose Jim decided to quit his $50,000/year job to become a rock polisher. He spent $5,000 on a rock tumbling machine, $1,000 on stone polish, and $40,000 on rocks. After one year, his rock tumbling machine has lost 80% of its original value. He also made $120,000 in total revenue selling polished rocks. Calculate the Implicit Cost Round to 2 decimal points. Do NOT include $ , - % 50000
The implicit cost of Jim's decision is $50,000, which is the amount of money he gave up by quitting his job to become a rock polisher.
Implicit cost is the opportunity cost of using resources for one purpose instead of the next best alternative. In this case, Jim gave up the opportunity to earn $50,000 per year by quitting his job to become a rock polisher. This is the implicit cost of his decision.
The other costs mentioned in the question are explicit costs, which are the actual monetary expenses incurred in the production of goods or services. The cost of the rock tumbling machine, stone polish, and rocks are all explicit costs. The decrease in value of the rock tumbling machine is also an explicit cost. Jim's revenue from selling polished rocks is not relevant to calculating the implicit cost, as it is a measure of his revenue, not his costs.
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if the company is currently buying in 5,000 yards quantity, what would be annual savings by changing to optimal order quantity?
The optimal order quantity for Western Jeans Company is 5,000 yards, which is their current order quantity, so there would be no annual savings by changing the order quantity. Therefore, the answer is D) no savings.
To find the optimal order quantity, we can use the economic order quantity (EOQ) formula
EOQ = sqrt((2DS)/(H))
where D = annual demand, S = ordering cost per order, and H = holding cost per unit.
Given
D = 35,000 yards per year
S = $500 per order
H = $0.35 per yard per year
Plugging these values into the EOQ formula, we get
EOQ = sqrt((2 x 35,000 x 500)/0.35)
EOQ = 5,000 yards
This means that the optimal order quantity for the Western Jeans Company is 5,000 yards, which is the same as their current order quantity. Therefore, there would be no annual savings by changing to the optimal order quantity.
So, the correct answer is option D) no savings.
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--The given question is incomplete, the complete question is given
" The Western Jeans Company purchases denim from Cumberland Textile Mills. The Western Jeans Company uses 35,000 years of denim per year (365 days) to make jeans. The cost of ordering denim from the textile company is $500 per order. The carrying cost per yard of denim (Ch=H*C=0.29*1.20) is $0.35 per yard annually to hold a yard of denim in inventory. If the company is currently buying in 5,000 years quantity, what would be annual savings by changing to optimal order quantity?
50% savings
$875
$3500
no savings
$4375"--