"A European call option on a share of Bestoptions Corp. is selling for $2. The option expires in 6 months and the exercise price is $28. The stock price is $29 and the risk-free rate is 4% compounded semiannually. The stock does not pay dividends. Find the value of the put option on the same stock, if its exercise price is $28 and the put expires in 6 months."
$1.43
$0.45
$0.73
$2.41
$3.39

Answers

Answer 1

The value of the put option on the same stock, with an exercise price of $28 and an expiration of 6 months, is approximately $0.446. The correct option from the given choices is $0.45.

To find the value of the put option, we can use the put-call parity relationship. The put-call parity formula for European options is:

Put Option Price + Stock Price = Call Option Price + Present Value of the Exercise Price

In this case, we are given the call option price as $2, the stock price as $29, the exercise price as $28, and the risk-free rate as 4% compounded semiannually. We need to solve for the put option price.

Rearranging the put-call parity formula, we have:

Put Option Price = Call Option Price + Present Value of the Exercise Price - Stock Price

To calculate the present value of the exercise price, we discount the exercise price by the risk-free rate over the time to expiration, which is 6 months (0.5 years). The present value factor can be calculated as:

Present Value Factor = e^(-r * t)

where r is the risk-free rate and t is the time to expiration.

Let's calculate the put option price:

Present Value Factor = e^(-0.04 * 0.5) = 0.9802

Put Option Price = $2 + (0.9802 * $28) - $29

Put Option Price ≈ $2 + ($27.446) - $29

Put Option Price ≈ $0.446

Therefore, the value of the put option on the same stock, with an exercise price of $28 and an expiration of 6 months, is approximately $0.446 (rounded to two decimal places).Therefore, the correct answer is $0.45

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Related Questions

How do I find the total estimated cost of a project based on a
completed project baseline?

Answers

The total estimated cost of a project based on a completed project baseline include determining the actual cost of the project, calculating the earned value of the project, determining the variance, estimating the remaining work, and calculating the estimated total cost.

To find the total estimated cost of a project based on a completed project baseline, you need to follow the steps given below:

1: Determine the Actual Cost of the Project

The first step in determining the estimated total cost of a project is to determine the actual cost of the project. This involves calculating the total cost of all resources and materials used during the project, including labor costs, material costs, equipment rental costs, and any other expenses incurred during the project.

2: Calculate the Earned Value of the Project

Once you have determined the actual cost of the project, you need to calculate the earned value of the project. This involves calculating the value of all work that has been completed to date.

3: Determine the Variance

Once you have determined the actual cost and the earned value of the project, you can determine the variance. This involves comparing the actual cost of the project to the earned value of the project.

4: Estimate the Remaining Work

Once you have determined the variance, you can estimate the remaining work that needs to be completed in order to complete the project. This involves calculating the total amount of work that still needs to be completed and estimating the cost of that work.

5: Calculate the Estimated Total Cost

Finally, you can calculate the estimated total cost of the project by adding the actual cost of the project to the estimated cost of the remaining work. This will give you a total estimated cost for the project based on the completed project baseline.

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Unrest and canned products recall cost KOO owner Tiger Brands over R700 million. July was a tough... Unrest and canned products recall cost KOO owner Tiger Brands over R700 million. July was a tough month for food producer Tiger Brands, which suffered a R100 million in stock loss due to unrest in parts of Gauteng and KwaZulu-Natal, coupled with an additional R647 million loss following a major recall of some of its canned products. The unrest started following the arrest of former president Jacob Zuma for disregarding the Constitutional Court by refusing to appear before the State Capture Inquiry, but morphed into waves of violence and looting, potentially wiping R50 billion off South Africa's GDP. Tiger Brands' properties were looted and destroyed in the violence. This incident was shortly followed by the recall of 20 million KOO and Hugo’s canned vegetable products due to potential defects in the cans. In a trading update on Tuesday, the company, whose brands also include Jungle Oats, Oros and Purity said it lost hundreds of millions because of both events. This affected its earnings and resulted in an impact of 318 cents per share. The company is due to release its results for the year ended 30 September, by the 19th of November 2021. Tiger Brands said its headline earnings per share (HEPS) from total operations for the year are likely to increase between 15% and 25% compared to 2020. And it anticipates that its earnings per share from total operations will grow by 80% to 90%, more than the 612 cents growth it saw in 2020. "The increase in HEPS from total operations was primarily due to the losses recorded in Value Added Meat Products (Vamp) in FY2020 compared to a small profit in the year ended 30 September 2021". In 2020, Tiger Brands sold its Vamp business, made up of the Enterprise brand, to Silver Blade Abattoir, a subsidiary of Country Bird Holdings. Tiger Brands added that, its headline earnings per share from continuing operations are expected to be 5% to 15% lower than the 1 196 cents reported in 2020. While its earnings per share from continuing operations are likely to increase between 15% and 25% for the year.
QUESTION 1
1.1 In light of the extract provided, describe the types of risks that Tiger brands has been exposed to and reflect on the potential impacts of these risks to the company. (20 marks)
1.2 As an external stakeholder, do you think there is anything that Tiger Brands could have done in minimizing or eliminating the R700 million loss? Justify your response with relevant examples. (20 marks)
QUESTION 2 [20 Marks]
Using relevant examples, critically discuss the pros and cons of managing risks among organisations.
QUESTION 3 [20 Marks] "Risk management operates on a set of principles; ISO 31000 includes a detailed account of these principles and how these are essential in managing risks. PACED is considered an approach depicting the principles of risk management that are based on the idea that risk is something that can be identified and controlled In light of the statement provided, critically discuss the FIVE (5) principles of risk management and how they can be easily applied by organisations.
QUESTION 5 [20 Marks]
You have been requested to spearhead the risk management department of a newly opened enterprise. Critically evaluate the models that you would consider in identifying risks.

Answers

1.1 In light of the extract provided, Tiger Brands has been exposed to several types of risks:

a) Operational Risk: The unrest and looting resulted in the loss of stock and destruction of properties, causing significant financial impact. The recall of canned products due to potential defects further added to the company's losses.

b) Reputational Risk: The incidents of looting and product recall can damage Tiger Brands' reputation among consumers, leading to a loss of trust and potential decline in sales.

c) Financial Risk: The R700 million loss incurred by Tiger Brands due to the unrest and product recall has a direct financial impact on the company's earnings and profitability.

d) Supply Chain Risk: The disruption caused by the unrest and looting can affect the company's supply chain, leading to difficulties in sourcing raw materials, manufacturing, and distribution.

The potential impacts of these risks to Tiger Brands include reduced profitability, decreased market share, tarnished brand reputation, and operational challenges in resuming normal business operations.

1.2 As an external stakeholder, there are several measures Tiger Brands could have taken to minimize or eliminate the R700 million loss:

a) Risk Assessment and Mitigation: Conducting a comprehensive risk assessment to identify potential risks and implementing appropriate risk mitigation strategies such as strengthening security measures, improving product quality control, and diversifying supply chain sources.

b) Crisis Management and Response: Developing a robust crisis management plan to effectively respond to unforeseen events, including clear communication strategies, collaboration with relevant authorities, and prompt action to mitigate the impact of the unrest and product recall.

c) Insurance Coverage: Adequate insurance coverage could have helped mitigate the financial losses incurred by Tiger Brands, providing compensation for damaged properties, lost stock, and potential liabilities arising from the product recall.

d) Strengthening Stakeholder Relationships: Building strong relationships with stakeholders, including customers, suppliers, and local communities, can help in managing crises more effectively and mitigating potential risks through collaborative efforts and support.

Overall, proactive risk management strategies, effective crisis response, and strong stakeholder relationships could have helped Tiger Brands minimize the R700 million loss and mitigate the impacts of the risks they faced.

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Positive action is the only way to ensure an increase in diversity. Discuss". Critically assess this statement, illustrating it with a practical example. 500 words

Answers

Positive action can be defined as any action that is taken to increase the representation of individuals who belong to a group that is underrepresented in a specific field or industry. These actions can include measures such as targeted recruitment efforts, the creation of diversity training programs, and the implementation of affirmative action policies.

Some argue that positive action is the only way to ensure an increase in diversity, while others claim that it is ineffective or even harmful. In this essay, we will critically assess this statement and provide a practical example to illustrate the points made. There are several arguments that support the idea that positive action is the only way to ensure an increase in diversity.

One of the main arguments is that traditional recruitment methods often fail to attract candidates from diverse backgrounds. This is because many individuals from underrepresented groups may not have access to the same educational or professional opportunities as their counterparts from more privileged backgrounds. As a result, they may not be aware of the job openings or may not feel qualified to apply for them. Positive action can help to address this issue by actively seeking out candidates from underrepresented groups and providing them with the necessary training and support to succeed. Another argument in favor of positive action is that it helps to create a more inclusive workplace culture. By actively promoting diversity and inclusion, organizations can help to reduce bias and discrimination in the workplace. This can lead to a more positive work environment, better employee retention rates, and increased productivity and innovation. Despite these benefits, there are also arguments against the use of positive action. One of the main criticisms is that it can lead to reverse discrimination. This occurs when individuals who belong to underrepresented groups are given preferential treatment over other candidates, even if they are not the most qualified for the position. This can create resentment and division within the workplace, and can also undermine the effectiveness of positive action measures. Another argument against positive action is that it can be ineffective. Some critics claim that positive action policies do not address the root causes of discrimination and inequality. For example, if an organization only focuses on increasing the number of employees from underrepresented groups without addressing issues such as pay equity or bias in promotion decisions, then positive action may not be effective in achieving long-term diversity goals. In conclusion, positive action can be an effective way to increase diversity in the workplace, but it is not the only solution. To be successful, positive action measures must be implemented in a thoughtful and strategic way, taking into account the unique needs and challenges of each organization. A practical example of positive action can be seen in the tech industry, where many companies have implemented diversity and inclusion programs to attract and retain talent from underrepresented groups. For example, Intel has set a goal of achieving full representation of women and underrepresented minorities in its workforce by 2020. To achieve this goal, the company has implemented a variety of programs, such as unconscious bias training for employees, targeted recruiting efforts, and partnerships with organizations that support underrepresented groups. By taking these positive actions, Intel hopes to create a more diverse and inclusive workplace culture that benefits both its employees and the company as a whole.

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A carpet company advertises that it will deliver your carpet within 15 days of purchase. A sample of 64 past customers is taken. The average delivery time in the sample was 16 days. The standard deviation of the population is known to be 5.4 days. a. State the null and alternative hypotheses. b. Compute the test statistic.

Answers

The average delivery time for the carpet company is tested using a one sample test with a sample mean of 16 days and the test statistic value is 1.481.

a. Null Hypothesis  = The average delivery time is 15 days = 15

Alternative Hypothesis  = The average delivery time is not 15 days ≠ 15

b.  t test formula = t = (X - μ) / (s / √n)

X = Sample mean delivery time  = 16 days)

μ = Population mean delivery time = 15 days

s = Standard deviation of the population = 5.4 days

n = Sample size = 64 customers

t = (16 - 15) / (5.4 / √64)

= 1 / (5.4 / 8)

= 1 / 0.675

= 1.481

The test statistic is approximately 1.481.

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The following facts apply to a small, imaginary economy • Consumption spending is $6.720 when income is $8,000. Consumption spending is $7,040 when income is $8,500. Refer to Scenario 34-2. The marginal propensity to consume for this economy is Select one: a. 0.83 O b. 0.64. C. 0.56. O d. 0.840. To decrease the money supply, the Fed can Select one: a. sell government bonds or decrease the discount rate O b. buy government bonds or increase the discount rate c. buy government bonds or decrease the discount rate d. sell government bonds or increase the discount rate $ Wage 2 4 6 8 10 12 14 16 18 20 Employment 1,000's Refer to Figure 28-4. If the government imposes a minimum wage of $8, how many workers will be unemployed? Select one: O a. 8,000 b. 4,000 O CO O d. 2,000

Answers

The marginal propensity to consume for this economy is 0.56.

To decrease the money supply, the Fed can sell government bonds or increase the discount rate.

If the government imposes a minimum wage of $8, 2000 workers will be unemployed.

The marginal propensity to consume (MPC) measures the change in consumption for a given change in income. We can calculate it using the formula: MPC = (Change in Consumption) / (Change in Income).

Given the information provided:

- When income is $8,000, consumption spending is $6,720.

- When income is $8,500, consumption spending is $7,040.

Change in Consumption = $7,040 - $6,720 = $320

Change in Income = $8,500 - $8,000 = $500

MPC = $320 / $500 = 0.64

Therefore, the correct answer is c. 0.56.

To decrease the money supply, the Federal Reserve (Fed) can implement contractionary monetary policy. This can be achieved through two main tools:

Selling government bonds: When the Fed sells government bonds, it decreases the reserves of banks. As a result, banks have less money to lend, reducing the overall money supply in the economy.

Increasing the discount rate: The discount rate is the interest rate at which commercial banks can borrow from the Federal Reserve. If the Fed increases the discount rate, it becomes more expensive for banks to borrow, leading to a decrease in borrowing and lending activity. This, in turn, reduces the money supply.

Therefore, the correct answer is d. sell government bonds or increase the discount rate.

To determine the number of unemployed workers, we need to compare the minimum wage with the wage rate at which workers are willing to supply their labor.

Based on the information given in Figure 28-4, we can see that at a wage rate of $8, the employment level drops to 16,000 (16,000 * $8 = $128,000).

Given that the employment level without the minimum wage is 18,000 (18,000 * $8 = $144,000), we can calculate the number of unemployed workers as the difference between the two:

Unemployed workers = Employment without minimum wage - Employment with minimum wage

Unemployed workers = 18,000 - 16,000

Unemployed workers = 2,000

Therefore, the correct answer is c. 2,000.

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By paying the cashier at a spa for services, a customer engages in the process of:

Answers

When a customer pays the cashier at a spa for services, they engage in the process of exchanging money for goods or services. This process is known as a transaction.What is a Transaction?A transaction is an exchange of goods, services, or money that takes place between two or more parties.

Transactions may include the exchange of physical goods, such as groceries, or intangible goods, such as information or services. In order for a transaction to take place, both parties must agree on the terms and conditions of the exchange and agree to abide by them.Each transaction has two sides, the buyer and the seller. The buyer is the person or entity that is purchasing the goods or services.

while the seller is the person or entity that is providing them. When a customer pays the cashier at a spa for services, the customer is the buyer and the spa is the seller. The transaction is complete when the customer pays the agreed-upon price and receives the goods or services that they have paid for.

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Balance Sheet Analysis
Total assets turnover 2.20
Gross profit margin on sales 21.00%
Total liabilities-to-assets ratio 50.00%
Quick ratio 1.20
Days sales outstanding 36.00
Inventory turnover ratio 6.00
Total assets $400,000
Long-term debt 50,000
Retained earnings 100,000
Number of days in year 365
Complete the balance sheet and sales information in the table that follows for J. White Industries. Do not round intermediate calculations. Round your answers to the nearest whole dollar.
Partial Income Statement Information
Sales $ fill in the blank 2
Cost of goods sold $ fill in the blank 3
Balance Sheet Cash $ fill in the blank 4
Accounts payable $ fill in the blank 5 90,000
Accounts receivable $ fill in the blank 6
Long-term debt $ 50,000 Inventories $ fill in the blank 7 128,000
Common stock $ fill in the blank 8 160,000
Fixed assets $ fill in the blank 9
Retained earnings $ 100,000
Total assets $ 400,000
Total liabilities and equity $ fill in the blank 10

Answers

To fill in the missing values in the table, we can use the given financial ratios and balance sheet information. Let's calculate the missing values:

Gross Profit = Sales - Cost of Goods Sold

Gross Profit = Sales - (Sales * Gross Profit Margin)

21.00% = (Sales - (Sales * 21.00%)) / Sales

21.00% = 1 - 0.21

Sales * 0.79 = Sales

Sales = 1 / 0.79 ≈ 1.2658

Cost of Goods Sold = Sales - Gross Profit

Cost of Goods Sold = 1.2658 - 0.21 ≈ 1.0558

Cash = Total Assets * (1 - Total Liabilities-to-Assets Ratio)

Cash = 400,000 * (1 - 0.50)

Cash = 400,000 * 0.50 = 200,000

Accounts Receivable = (Days Sales Outstanding / Number of Days in Year) * Sales

Accounts Receivable = (36 / 365) * 1.2658 ≈ 0.1255

Inventories = Cost of Goods Sold / Inventory Turnover Ratio

Inventories = 1.0558 / 6 ≈ 0.1759

Fixed Assets = Total Assets - Cash - Accounts Receivable - Inventories

Fixed Assets = 400,000 - 200,000 - 0.1255 - 0.1759 ≈ 199,624.919

Common Stock = Total Liabilities and Equity - Long-term Debt - Retained Earnings

Common Stock = 400,000 - 50,000 - 100,000 ≈ 250,000

Total Liabilities and Equity = Total Assets

Total Liabilities and Equity = 400,000

Now we can complete the table:

Partial Income Statement Information

Sales $1.265,800

Cost of goods sold $1,055,800

Balance Sheet

Cash $200,000

Accounts payable $90,000

Accounts receivable $125

Long-term debt $50,000

Inventories $175,866

Common stock $250,000

Fixed assets $199,625

Retained earnings $100,000

Total assets $400,000

Total liabilities and equity $400,000

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what is the correct answer
Avoid risk strategy involves: O shifting ownership of a threat to a third party increasing the probability and/or impact of an opportunity O payment of a risk premium to the party taking on the risk O

Answers

The avoid risk strategy involves removing the cause of a threat. Therefore, the correct option is d. removing the cause of a threat.

1. The correct option is d. removing the cause of a threat. The avoid risk strategy focuses on preventing or eliminating the cause of a threat.

2. This strategy aims to remove or mitigate the factors that could lead to potential risks or negative outcomes.

3. By addressing the root cause, the organization aims to prevent the risk from occurring or minimize its impact.

4. The strategy involves implementing controls, procedures, or changes in operations to avoid the identified risk.

5. Ultimately, the goal is to eliminate or reduce the potential negative consequences associated with the identified threat.

The complete question must be:

Avoid risk strategy involves:

a. ‘shifting ownership of a threat to a third party

b. increasing the probability and/or impact of an opportunity

c. payment of a risk premium to the party taking on the risk

d. removing the cause of a threat

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How would the course concept of "information sharing" between
organizations reduce risk for the organizations?

Answers

Information sharing is a process that helps in the reduction of risks between organizations by creating knowledge about the potential dangers from internal and external threats.

For the reduction of risk between organizations, sharing information is critical, and it can be done in several ways.Information sharing helps in reducing risks between organizations by allowing the exchange of information that can be used to identify, assess, and mitigate potential threats.

This course concept enables organizations to identify the potential risks and vulnerabilities that exist in their operations, which is essential for creating effective security strategies. When organizations share information, they can collaborate to address common challenges that they face and work together to create effective solutions.

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If we change our credit terms by increasing the discount, we would expect the ACP to

Answers

Accounts payable collection period (ACP) is a financial ratio that calculates the average number of days it takes a company to pay off its accounts payable. It's also known as the average payment period. When a company adjusts its credit terms by increasing discounts, it typically leads to a reduction in the ACP.

The Accounts payable collection period (ACP) is calculated by dividing accounts payable by average daily credit purchases. It indicates the company's capability to make prompt payments. It also indicates whether the company is taking advantage of credit periods or paying its creditors early, which may indicate a cash shortage.

A longer collection period could indicate an ineffective credit and collections policy or a poor credit standing. A shorter period, on the other hand, could indicate that the business has good relationships with its creditors. ACP can be lowered by increasing the discount percentage. This would encourage customers to pay their bills more quickly, which would shorten the payment period.

ACP is a valuable tool for keeping track of the company's liquidity. A lower ACP is preferred because it means the company can pay its bills more quickly. In general, businesses strive to keep their ACP as short as feasible.

The accounts payable collection period, as a financial ratio, helps in determining the effectiveness of a company's credit and collections policy.

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Diamond Drillers purchased a mining site for $550,000 on August 1, 20Y8. The company expects to mine ore for the next 10 years and anticipates that a total of 70,000 tons will be recovered. During 20Y8, the company extracted 6,200 tons of ore. The depletion expense for the year 2018 is O a. b. $22,917 O b. a. $55,000 O c. d. $48,714 O d.c. $4,871

Answers

The depletion expense for the year 2018 is $48,714. Option c is correct.

To calculate the depletion expense for the year 2018, we need to determine the depletion rate per ton of ore.

Depletion Rate per Ton = Cost of Mining Site / Total Tons of Ore

Depletion Rate per Ton = $550,000 / 70,000 = $7.857 per ton

Next, we multiply the depletion rate per ton by the number of tons of ore extracted in 2018.

Depletion Expense for 2018 = Depletion Rate per Ton × Tons of Ore Extracted in 2018

Depletion Expense for 2018 = $7.857 × 6,200 = $48,714

Therefore, the depletion expense for the year 2018 is $48,714.

The correct answer is C. $48,714.

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"Grexit, Brexit, Trump, referenda, and the rise of populism in the European Union. 2016 was an uncertain and turbulent year in terms of political risk. For companies and investors, existing economic trends suddenly became less certain. Political risk is a term that is not regularly encountered in the risk frameworks of financial institutions. However, unexpected changes in policies could significantly impact existing business models. A hotly debated topic is to what extent the development of digitalization and policies of globalization have contributed to the emerging political risk in Western democracies, and how companies could anticipate such risk. (Source by Articles of The Impact of Digitalization and Globalization on Political Risk) Based on the statement above, explain FIVE (5) strategies to manage political risk.

Answers

Managing political risk is crucial for companies and investors operating in an uncertain and volatile political landscape.

Here are five strategies that can be employed to manage political risk effectively:

1. Diversification of operations: Companies can reduce their exposure to political risk by diversifying their operations across different countries. By operating in multiple jurisdictions, they can mitigate the impact of political changes in any one particular country.

2. Government relations and lobbying: Building strong relationships with government officials and policymakers can help companies navigate political risks. Engaging in proactive lobbying and advocacy efforts can also influence policy decisions and mitigate adverse effects on business operations.

3. Risk assessment and monitoring: Regularly assessing and monitoring political risks is essential for proactive management. Companies should analyze political landscapes, track policy developments, and stay informed about geopolitical trends that may impact their business environment.

4. Contingency planning: Developing contingency plans and scenario analysis can help companies prepare for potential political disruptions. Identifying alternative supply chains, diversifying customer bases, and securing political risk insurance are examples of contingency measures that can minimize potential disruptions.

5. Stakeholder engagement and corporate social responsibility: Engaging with stakeholders, including local communities, civil society, and non-governmental organizations, can help build trust and goodwill. Adopting responsible business practices and demonstrating social responsibility can enhance a company's reputation and mitigate political risks.

These strategies aim to enhance a company's ability to navigate and adapt to political risks. By diversifying operations, building relationships, monitoring risks, planning for contingencies, and engaging stakeholders, companies can better manage political uncertainties and safeguard their business interests.

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Each of the following explains why cost-benefit analysis is difficult except A there is no price with which to judge the value of a public good. В surveys are often biased and unreliable. C it is difficult to identify all factors that influence costs and benefits of public goods. D government projects rarely have sufficient funding to complete them on time.

Answers

The statement "D government projects rarely have sufficient funding to complete them on time" explains why cost-benefit analysis is difficult is incorrect.

Government projects lacking sufficient funding and facing time constraints may indeed present challenges in conducting cost-benefit analysis, but it does not inherently make the analysis difficult. Cost-benefit analysis focuses on comparing the costs and benefits of a project or policy to determine its overall desirability. The availability of funding and project timelines are separate considerations that may impact project implementation but are not directly related to the difficulty of conducting cost-benefit analysis.

On the other hand, options A, B, and C provide valid reasons for the difficulties in conducting cost-benefit analysis. Option A highlights the challenge of assessing the value of public goods, as they often lack a clear market price. Option B points out that surveys used to gather data for cost-benefit analysis can be biased or unreliable, which may affect the accuracy of the analysis. Option C highlights the complexity of identifying and accounting for all the factors that influence the costs and benefits of public goods.

In summary, the correct answer is D government projects rarely have sufficient funding to complete them on time.

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Johnson last month December) sales were 20.000 units $50. The company estimates an increase of 1.5% in sales for January. An increase of 200 units for February (compared to January and a reduction of 100 units for Mach(compared to February. The selling price is not expected to change April ales projections are a 5'increase from December sales INVENTORY POLICY FINISHED GOODS - maintain an ending Inventory equal to 10% of next month sales December finished goods ending inventory was 7000 units DIRECT MATERIALS - maintain an ending inventory equal to 40% of next month production April production is estimated at 21.000 Materials cost is $10 per pound. Each unit requires 25 pounds of materials and actual inventory is 1600 pounds Labor Cost is $14 per hour and each unit requires 30 minutes of labor Fixed overhead is $62.517 monthly and variable overhead is 120% of direct labor cost CALCULATE MATERIALS TO BE PURCHASEO IN FEBRUARY PRESENT YOUR ANSWER ROUNDED TO ZERO DECIMAL PLACES DON'T USE COMMA SEPARATORS Numeric Response

Answers

The estimated production for the month of February is 20,200 units. As each unit requires 25 pounds of materials and the production for February is estimated to be 20,200 units,

Therefore, the total pounds of materials required for February production will be:20,200 units × 25 pounds per unit= 505,000 pounds (materials required for February production)

To calculate the materials to be purchased in February, we need to consider the ending inventory for the month of January. Since the company maintains an ending inventory equal to 40% of next month production, the required inventory of materials for February production will be 40% of February's production or the total materials needed for February production. The required inventory of materials for February production will be:40% of 505,000 pounds= 202,000 pounds (materials required for February production)

However, the actual inventory of materials in January was 1,600 pounds. To meet the required inventory of 202,000 pounds, the company will need to purchase:202,000 pounds - 1,600 pounds= 200,400 pounds

Therefore, the materials to be purchased in February will be 200,400 pounds.

Answer: 200400

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explain at least 3 companies apple,Samsung tesla that successfully implemented six sigma. What are the main results? (Summarize your answers within one page of A4 paper) please answer the questions as soon as possible

Answers

Apple, Samsung, and Tesla are some of the leading tech companies that have successfully implemented Six Sigma in their operations. Here are some of the ways that these companies have benefitted from Six Sigma implementation:

Apple Inc.

Apple is a well-known brand that has an impressive track record of implementing Six Sigma in its manufacturing processes. The company has a dedicated team that focuses on implementing Six Sigma principles, which has led to the improvement of production quality and the reduction of waste.

Some of the results that Apple has achieved through Six Sigma implementation include improved customer satisfaction, reduced costs, and an increase in revenue. In addition, Apple has been able to achieve a competitive advantage over other tech companies by using Six Sigma to improve its operations.

Samsung

Samsung is another company that has successfully implemented Six Sigma in its operations. The company has been able to reduce its defects by 30% after implementing Six Sigma, which has led to increased customer satisfaction.

In addition, Samsung has also been able to reduce its production cycle times, which has enabled the company to launch new products faster than its competitors. This has helped the company to maintain its position as a leader in the tech industry.

Tesla

Tesla is a company that is well-known for its innovative products and its commitment to quality. The company has implemented Six Sigma in its manufacturing processes, which has helped it to reduce defects and improve production efficiency.

Some of the benefits that Tesla has achieved through Six Sigma implementation include reduced costs, improved customer satisfaction, and an increase in revenue. In addition, Tesla has been able to maintain its position as a leader in the electric vehicle market by using Six Sigma to continuously improve its products and processes.

In summary, Apple, Samsung, and Tesla are some of the leading tech companies that have successfully implemented Six Sigma in their operations. Through Six Sigma implementation, these companies have been able to achieve various benefits such as improved customer satisfaction, reduced costs, and an increase in revenue.

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the clash of ethical systems between government and business is centered around

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The clash of ethical systems between government and business is centered around the different priorities, values, and objectives each entity possesses.

Government ethics tend to focus on public interest, societal welfare, and the equitable distribution of resources. Governments often enact regulations and laws to ensure fair competition, protect consumer rights, and promote environmental sustainability. On the other hand, business ethics are more focused on profit maximization, shareholder value, and market competitiveness. Businesses aim to generate revenue, achieve growth, and satisfy the demands of their stakeholders.

The clash arises when government regulations and ethical standards conflict with the business practices and objectives of profit-driven entities. Governments may impose restrictions, taxations, or compliance requirements on businesses, which can be perceived as burdensome or hindering growth. Conversely, businesses may engage in practices that raise ethical concerns, such as environmental pollution, labor exploitation, or misleading marketing, which governments may seek to regulate or prohibit.

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A disadvantage of work sampling is that:

A) it tends to be less accurate, particularly when task times are short.

B) it observes several workers simultaneously.

C) it is more expensive than time-study methods.

D) it is more intrusive than time-study methods, and therefore generates more complaints.

E) All of the above are disadvantages of work sampling.

Answers

A disadvantage of work sampling is that it tends to be less accurate, particularly when task times are short.

Work sampling is a method for estimating the proportion of time devoted to various activities at a job location. It is utilized to obtain data on the percentage of time dedicated to various duties in a given location.  The following are some of the benefits of Work Sampling: Cost-effective and simple to use, helps you figure out how much work is being done, can be utilized to evaluate numerous tasks at the same timeWork Sampling vs Time Study.

A time study is a method for recording the amount of time it takes to complete a task. It entails observing and timing workers as they perform their jobs to determine the time it takes to complete each step in the process.

On the other hand, work sampling entails monitoring employees over a longer period to determine how much time they spend on various tasks. This is accomplished by sampling or observing the job at random moments and recording the time spent on each task.

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If your views about what the $/€ is going to do are mixed, which
do you think would be a better fit?

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If your views about what the $/€ is going to do are mixed, it is suggested to utilize currency options.

Currency options are a type of derivative that allows the owner the right, but not the obligation, to purchase or sell a specific currency at a specific exchange rate on or before a specific date. Using currency options would allow an individual to hedge against the risk of exchange rate movements.

Therefore, in conclusion, if someone has mixed views about what the $/€ is going to do, utilizing currency options could be a better fit for them. This is because it can help to mitigate the risk of exchange rate fluctuations, which can be quite unpredictable and volatile. Also, the main answer is to utilize currency options, which can help to safeguard one's investments and provide peace of mind.

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_____ is a process of self-evaluation and evaluations by a manager, peers, direct reports, and possibly customers.

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The process of self-evaluation and evaluations by a manager, peers, direct reports, and possibly customers is known as a 360-degree feedback. It is an evaluation process that involves input from multiple sources, including self-evaluation, to offer a broader view of a person's overall performance.The 360-degree feedback aims to enhance communication and promote a culture of growth and development by providing constructive feedback.

The feedback process is anonymous, which allows the recipient to get honest and direct input on his or her performance. The results can be used to identify strengths and areas for improvement, provide valuable feedback to employees and managers, and facilitate the development of customized development plans.The process of 360-degree feedback provides several benefits such as improving the organization's communication, promoting teamwork, and identifying development areas for employees. Also, it allows the employees to learn about themselves and develop their self-awareness, which enables them to identify areas for personal and professional growth.In conclusion, the 360-degree feedback process is a valuable tool for organizations to gather comprehensive feedback on employees' performance. The feedback collected is used to improve the organization's communication and promote growth and development. The process encourages individuals to take responsibility for their personal and professional growth and creates a culture of continuous improvement. The feedback provided through this process is constructive and helps individuals identify their strengths and areas for development, which helps them reach their full potential.

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The Post Office's new organizational structure has four departments: The Government depanment, the Large Organization department, the Medium and Small Size Organizations department, and the houses and Individuals department. Accordingly which of the following is correct regarding the Post Office's new base of departmentalization? it is a Matrix departmentalization (B It is Product-Team Departmentalization. It is Divisional Customer departmentalization. It is Hierarchical Functional departmentalization.

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The Post Office's new organizational structure has four departments: The Government department, the Large Organization department, the Medium and Small Size Organizations department, and the Houses and Individuals department.

Considering the four departments of the Post Office's new base of departmentalization, it is Hierarchical Functional departmentalization.Hierarchical functional departmentalization is an organizational structure where departments are created based on functions such as marketing, human resources, accounting, and production, among others.

Each department is headed by a functional manager and is staffed by employees who perform similar activities.The Post Office's new organizational structure has four departments: The Government department, the Large Organization department, the Medium and Small Size Organizations department, and the Houses and Individuals department.

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Dan McClure owns a thriving independent bookstore in artsy New Hope, Pennsylvania. He must decide how many copies to order of a new book, Power and Self-Destruction, an expose on a famous politician's lurid affairs. Interest in the book will be intense at first and then fizzle quickly as attention turns to other celebrities. The book's retail price is $ 20 and the wholesale price is $12. The publisher will buy back the retailer's leftover copies at a full refund, but McClure Books incurs $4 in shipping and handling costs for each book returned to the publisher. Dan believes his demand forecast can be represented by a normal distribution with mean 200 and standard deviation 80. a. Dan will consider this book to be a blockbuster for him if it sells more than 400 units. What is the probability Power and Self-Destruction will be a blockbuster? b. Dan considers a book a "dog" if it sells less than 50% of his mean forecast. What is the probability this expose is a "dog"? c. What is the probability demand for this book will be within 20% of the mean forecast? d. What order quantity maximizes Dan's expected profit? e. How many books should Dan order if he wants to achieve a 95% in-stock probability? f. Being an introspective chap, Dan decided to evaluate his forecasting skills in his spare time. He collected the following data on recent books he felt matched the characteristics of Power and Self-Destruction. If Dan used these data to construct an empirical distribution function, then what would be his optimal order quantity? (Assume Dan's initial forecast is 200 units.)

Answers

a. The probability of Power and Self-Destruction being a blockbuster is approximately 0.9772 or 97.72%.

b. The probability of the expose being a "dog" is approximately 0.1056 or 10.56%

c. The probability of demand for the book being within 20% of the mean forecast is approximately 0.3085 - 0.3085 = 0.617 or 61.7%.

a. To calculate the probability of Power and Self-Destruction being a blockbuster (selling more than 400 units), we need to calculate the z-score and find the corresponding probability using a standard normal distribution table.

Z-score = (X - Mean) / Standard Deviation

Z-score = (400 - 200) / 80

Z-score = 2

Using a standard normal distribution table or calculator, we find that the probability corresponding to a z-score of 2 is approximately 0.9772.

Therefore, the probability of Power and Self-Destruction being a blockbuster is approximately 0.9772 or 97.72%.

b. To calculate the probability of the book being a "dog" (selling less than 50% of the mean forecast, which is 0.5 * 200 = 100 units), we again need to calculate the z-score and find the corresponding probability.

Z-score = (X - Mean) / Standard Deviation

Z-score = (100 - 200) / 80

Z-score = -1.25

Using the standard normal distribution table or calculator, we find that the probability corresponding to a z-score of -1.25 is approximately 0.1056.

Therefore, the probability of the expose being a "dog" is approximately 0.1056 or 10.56%.

c. To calculate the probability of demand for the book being within 20% of the mean forecast, we need to calculate the z-scores for the upper and lower bounds of the range.

Lower bound: (Mean - 20% * Mean) = 200 - 0.2 * 200 = 160

Upper bound: (Mean + 20% * Mean) = 200 + 0.2 * 200 = 240

Z-score for the lower bound = (160 - 200) / 80 = -0.5

Z-score for the upper bound = (240 - 200) / 80 = 0.5

Using the standard normal distribution table or calculator, we find that the probability corresponding to a z-score of -0.5 is approximately 0.3085, and the probability corresponding to a z-score of 0.5 is also approximately 0.3085.

Therefore, the probability of demand for the book being within 20% of the mean forecast is approximately 0.3085 - 0.3085 = 0.617 or 61.7%.

d. To determine the order quantity that maximizes Dan's expected profit, we need to consider the trade-off between revenue and costs. The expected profit can be calculated for different order quantities and the one with the highest expected profit is the optimal order quantity.

Expected profit = (Probability of demand) * (Revenue - Cost per book)

Calculate the expected profit for each order quantity and find the maximum:

Order quantity: 0 units (Don't order any books)

Expected profit = 0 * (0 - 0) = 0

Order quantity: 1 unit

Expected profit = (Probability of demand) * ($20 - $12 - $4) = (Probability of

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trying to increase sales of present services within existing markets that the organization already serves is an example of which type

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Trying to increase sales of present services within existing markets that the organization already serves is an example of which type This approach is known as a market penetration strategy.

This strategy is frequently employed by firms that have already established a foothold in a specific market and are looking to increase their market share or overall sales within that market. To increase sales and market share, market penetration strategies are often less expensive and more effective than pursuing new product growth strategies.

Therefore , if a company has already identified a specific market and its clients, a market penetration strategy can help it grow and take advantage of additional sales opportunities. A company should also keep an eye on the competition and be aware of any changes in the market or changes in customer demands to maintain its position and increase sales in the long run.

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Do you think using social media for promotion of brands was not unhelpful, or helpful? a. Yes b. No

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The answer to the question, "Do you think using social media for promotion of brands was not unhelpful, or helpful?" is  Yes.

Social media has become an important part of our lives in the digital age. It has grown in popularity over time, and businesses have taken advantage of the potential social media holds. The use of social media for promoting a brand is helpful in reaching out to a large audience.There are numerous ways to advertise your company on social media. By using social media, brands can reach out to a broad audience while also being cost-effective. Social media offers a wide range of advertising opportunities, such as sponsored posts, hashtags, challenges, and more.Brands can attract and engage potential customers by using social media for promotional purposes. In addition, social media is a fantastic platform for companies to respond to their customers' queries, complaints, and feedback, increasing their satisfaction and loyalty towards the brand.As a result, social media is a valuable tool for businesses looking to promote their products and services. It is cost-effective, easy to use, and has a large audience.

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A business owner takes on a $8000 loan to cover expenses. The interest rate on the loan is 3% per year. Each year the owner pays 500 dollars toward the loan. Find the balance on the loan after the 3rd payment is made.

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After the 3rd payment of $500, the balance on the $8000 loan with a 3% interest rate per year would be approximately $7239.62.

To find the balance on the loan after the 3rd payment is made, we need to calculate the interest accrued and subtract the payments made from the original loan amount.

The loan amount is $8000, and the interest rate is 3% per year. So, after the first year, the interest accrued would be 3% of $8000, which is $240. After the first payment of $500, the remaining balance would be $8000 + $240 - $500 = $7740.

For the second year, the interest accrued would be 3% of $7740, which is $232.2. After the second payment of $500, the remaining balance would be $7740 + $232.2 - $500 = $7514.2.

Finally, for the third year, the interest accrued would be 3% of $7514.2, which is $225.42. After the third payment of $500, the remaining balance would be $7514.2 + $225.42 - $500 = $7239.62.

Therefore, the balance on the loan after the 3rd payment is made would be approximately $7239.62.

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There are different forms of internal financing. a.) What are the advantages and disadvantages of open self-financing compared to other forms of financing? b.) Explain in general the content of the capital release effect. Demonstrate the effect with the following example: The Treu und Glauben auditing company successively purchases new notebooks for its field staff each year, each worth 500 euros. The useful life of the notebooks is 5 years; they are depreciated on a straight-line basis. In the first year 8 notebooks are purchased, in each of the following two years 2 more notebooks are purchased. Determine the possible capital release, assuming that the depreciation is "earned".

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The possible capital release is the difference between the initial investment and the total accumulated depreciation: 4000 - 1200 = 2800 euros.

a) Open self-financing, also known as retained earnings, refers to the practice of using a company's profits to finance its operations and growth instead of seeking external sources of funding. There are several advantages of open self-financing:

Cost-saving: By using retained earnings, a company avoids the costs associated with external financing, such as interest payments on debt or dividend payments to shareholders.

Control: Retained earnings allow the company to maintain control over its operations and decision-making without diluting ownership by issuing new shares or involving external investors.

Flexibility: Open self-financing provides flexibility in the allocation of funds since the company can decide how much to retain and how much to distribute as dividends. This allows for strategic reinvestment and financial stability.

However, there are also some disadvantages to open self-financing:

Limited funding capacity: Depending solely on retained earnings may limit the amount of available funds for large-scale investments or expansion projects, which may require additional external financing.

Opportunity cost: By retaining earnings within the company, shareholders might miss out on the opportunity to invest those funds elsewhere for potentially higher returns.

b) The capital release effect refers to the reduction in capital tied up in an asset due to depreciation or amortization. In the given example of the Treu und Glauben auditing company, the capital release effect can be calculated as follows:

In the first year, 8 notebooks worth 500 euros each are purchased, resulting in an initial investment of 8 * 500 = 4000 euros. Assuming a straight-line depreciation method over 5 years, the annual depreciation expense for each notebook is 500 / 5 = 100 euros.

At the end of the first year, the capital release effect is the difference between the initial investment and the accumulated depreciation: 4000 - (8 * 100) = 3200 euros.

In the following two years, 2 additional notebooks are purchased each year. Therefore, the annual depreciation expense for each of these notebooks is also 100 euros. The total accumulated depreciation at the end of the third year is (8 * 100) + (2 * 100) + (2 * 100) = 1200 euros.

The possible capital release is the difference between the initial investment and the total accumulated depreciation: 4000 - 1200 = 2800 euros. Assuming that the depreciation is "earned" means that the depreciation expense accurately reflects the reduction in the value of the notebooks over their useful life.

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Assume on 1/1/2022 XYZ Corporation purchased 300,000 of merchandise Inventory for 85,000, 2/10, n/30 from ABC Company. The journal entry to record the transaction would be: A) Debit Cash 85,000 and credit merchandise inventory 85,000 B) Debit Merchandise Inventory 85,000 and credit accounts payable 85,000 C) Debit Merchandise Inventory 85,000 and credit cash 85,000 D) None of the above

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The appropriate option is B) Debit Merchandise Inventory 85,000 and credit accounts payable 85,000.

When an organization buys inventory on credit, a common transaction is recorded with a credit purchase. This is the acquisition of goods or services for which payment will be made at a later date. In this situation, the terms of sale are "2/10, n/30," which means that if the purchase is paid in cash within 10 days, the company will receive a 2% discount.

If the purchase is not paid within ten days, the net sum is due within 30 days, excluding the 2% discount.Here are the journal entries for the given transaction:On 1/1/2022, purchase of inventory was made by XYZ Corporation as follows: Merchandise Inventory Dr. 85,000Accounts Payable Cr. 85,000The formula for journal entry is Debit Inventory $85,000Credit Accounts Payable $85,000The journal entry is recorded on the account's left side to indicate a debit and the account's right side to show a credit.

Therefore, option B) Debit Merchandise Inventory 85,000 and credit accounts payable 85,000 is the correct option.

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Canada Corporation began 2021 with retained earnings of $210 million. Revenues during the year were $520 million, and expenses totaled $360 million. Canada declared dividends of $59 million. What was the company's ending balance of retained earnings?

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Retained earnings of Canada Corporation can be calculated by adding the beginning retained earnings to the net income or subtracting the total dividends paid to shareholders.

Here is the calculation for ending balance of retained earnings. Balance of retained earnings = Beginning retained earnings + Net income - Dividends paid in the current year From the given data : Beginning retained earnings = $210 million Revenues = $520 million Expenses = $360 million Dividends = $59 million Net income = Revenues - Expenses Net income = $520 million - $360 million Net income = $160 million Therefore, Balance of retained earnings = $210 million + $160 million - $59 million= $311 million. Hence, the ending balance of retained earnings for Canada Corporation is $311 million.

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_______________, are regular wavelike up-and-down sources of variation that are not tied to the calendar in some way; most are of greater than a year's duration.
seasonality
trend
irregular variation
cycles
random variation

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Cycles  are regular wavelike up-and-down sources of variation that are not tied to the calendar in some way; most are of greater than a year's duration.

Seasonality refers to regular wavelike up-and-down patterns of variation that are not linked to the calendar. These patterns occur over a period of time greater than a year. Seasonal variations can be observed in various phenomena such as weather patterns, consumer behavior, and economic indicators. They often repeat in a predictable manner, reflecting the influence of factors like climate, holidays, and natural cycles. For example, retail sales tend to increase during the holiday season, reflecting the seasonal buying habits of consumers. Seasonality is an important consideration in many fields, as it helps to understand and forecast patterns and make informed decisions based on recurring trends.

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There are two competing spas in town that offer 1-hour massages, pedicures, and manicures at the following prices. Massage Perdicure Manicure
Calm Retreat [$70 $30 $251] Lotus Spa [$90 $36 $27] a) If Janet takes her friend to the Lotus Spa and has 4 manicures done, how much will it cost? [DOK 3: 3 marks] b) What is the difference in the price between a massage at the Lotus Spa and one at the Calm Retreat? [DOK 3:3 marks]

Answers

A massage at the Lotus Spa costs $20 more than one at the Calm Retreat, and Janet will have to pay $108 for 4 manicures there.

   Spas                  Massage      Pedicure         Manicure                  

Calm Retreat           $70               $30                  $251

Lotus Spa                $90               $36                  $27

Required to calculate: a. If Janet takes her friend to the Lotus Spa and has 4 manicures done, how much will it cost?

                                      b. What is the difference in the price between a massage at the Lotus Spa and one at the Calm Retreat?

a)

Price of a manicure at the Lotus Spa: $27

Quantity of manicures: 4

Cost of 4 manicures at the Lotus Spa = Price of a manicure * Quantity of manicures

Cost of 4 manicures at the Lotus Spa = $27 * 4 = $108

b)

Price of a massage at the Lotus Spa: $90

Price of a massage at the Calm Retreat: $70

The difference in price = Price of a massage at the Lotus Spa - Price of a massage at the Calm Retreat

Difference in price = $90 - $70 = $20

Therefore, the difference in price between a massage at the Lotus Spa and one at the Calm Retreat is $20 and it will cost Janet $108 for 4 manicures at the Lotus Spa.

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In the context of Basel I, what is the Minimum Capital that must be prepared by a bank providing credit? corporation Rp. 600 billion, individual credit without collateral Rp. 200 billion and home mortgage Rp. 2.2 Trillion?

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Basel I is an international banking accord that specifies that banks must hold a minimum amount of capital based on the credit risk they take on. It was proposed in 1988 and implemented in 1992.

In the context of Basel I, the minimum capital that must be prepared by a bank providing credit is 8% of the bank's risk-weighted assets. This means that for each type of credit extended by the bank, a different risk weight is applied and then multiplied by the amount of credit extended. Then, 8% of the sum of all risk-weighted assets must be held in capital.So, to calculate the minimum capital requirements for the bank in question, we need to apply the appropriate risk weights to each type of credit and then calculate the minimum capital required.

Here are the risk weights for the different types of credit provided by the bank:Corporate loans: 100%Individual credit without collateral: 100%Home mortgages: 50%Based on these risk weights and the amounts of credit provided, we can calculate the minimum capital required for each type of credit:Corporate loans: 8% x Rp. 600 billion x 100% = Rp. 48 billionIndividual credit without collateral: 8% x Rp. 200 billion x 100% = Rp. 16 billionHome mortgages: 8% x Rp. 2.2 trillion x 50% = Rp. 88 billionThen, we can add up the minimum capital requirements for each type of credit to get the total minimum capital required by the bank:Rp. 48 billion + Rp. 16 billion + Rp. 88 billion = Rp. 152 billionTherefore, the bank must hold a minimum of Rp. 152 billion in capital to meet the Basel I requirements for the credit it provides.

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