Which of the following transactions are included in the current account of the U.S.? a Investments by Americans in foreign securities. b Income receipts of Americans from abroad. c Investments in U.S. real estate by foreign multinational corporations. d Foreign companies purchasing stocks of U.S. companies.

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Answer 1

Transactions (a) Investments by Americans in foreign securities and (b) Income receipts of Americans from abroad are included in the current account of the U.S. On the other hand, transactions (c) Investments in U.S. real estate by foreign multinational corporations and (d) Foreign companies purchasing stocks of U.S. companies are not included in the current account.

The current account of a country's balance of payments records transactions related to the exchange of goods, services, income, and current transfers with the rest of the world. Transactions (a) Investments by Americans in foreign securities and (b) Income receipts of Americans from abroad are part of the current account as they involve income earned by Americans from their investments and activities abroad.

On the other hand, transactions (c) Investments in U.S. real estate by foreign multinational corporations and (d) Foreign companies purchasing stocks of U.S. companies are not included in the current account. These transactions fall under the capital account, which records cross-border financial investments and acquisitions of assets like real estate and stocks.

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Related Questions

An analyst sells a call option for $7 on a stock that he already owns. Assuming that the exercise price of the option is $88 and that the stock currently trades at $86, calculate his maximum loss and maximum profit?

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To calculate the maximum loss and maximum profit for the analyst who sells a call option, we need to consider the scenario at the expiration of the option.

If the stock price is below the exercise price at expiration, the call option will not be exercised, and the analyst will keep the premium received from selling the option as profit. The maximum profit in this case is equal to the premium received.

Maximum Profit = Premium Received = $7

However, if the stock price is above the exercise price at expiration, the call option may be exercised, and the analyst will be obligated to sell the stock at the exercise price. In this case, the maximum loss will occur when the stock price reaches its highest possible value.

Since the analyst already owns the stock, the maximum loss will be the difference between the exercise price and the highest possible stock price.

Maximum Loss = Exercise Price - Highest Possible Stock Price

In this scenario, the highest possible stock price will be infinite because there is no limit to how high a stock price can go. Therefore, the maximum loss is technically unlimited.

However, it's worth noting that the analyst has already received a premium of $7 by selling the call option, which helps mitigate the loss. So, while the maximum loss is theoretically unlimited, the actual loss will be reduced by the premium received.

In summary:

Maximum Profit = $7

Maximum Loss = Unlimited (but mitigated by the premium received)

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I need help on how to answer E and F below. I have managed to find the answers for A-D.
A firm in a competitive industry has a total cost function of:
TC = 0.3Q2 – 6Q + 60
Its corresponding marginal cost curve is:
MC = 0.6Q – 6
a. If the firm faces a price of $12, what quantity should it produce to maximise profit?
b. What profit does the firm make at this price?
c. Should the firm shut down? Explain why or why not.
d. At what minimum price should the firm produce positive output?
e. At what price is the firm in the long run equilibrium?
f. Present a graphical representation of this case study and discuss about the profit maximising output under the different scenarios presented above. Would you introduce any policy intervention in this case? Under which circumstance

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a. The firm should produce 30 units to maximize profit.

b. The firm makes a profit of $120 at this price.

c. It is economically viable for the firm to continue operating.

d. At the minimum price of 0.3Q - 6 the firm should produce positive output.

e. At 0.3Q - 6 + 60 / Q, the firm is in the long run equilibrium.

f. The profit-maximizing output level would be where the marginal cost (MC) intersects with the demand curve, and the corresponding price would be determined by the demand curve at that quantity.

In monopolistic competition, the profit-maximizing output for a monopolistic seller occurs when marginal revenue (MR) is equal to marginal cost (MC).

a. To maximize profit, the firm should produce the quantity where marginal cost (MC) equals the market price. In this case, the market price is $12, so we set MC equal to $12 and solve for the quantity (Q):

0.6Q - 6 = 12

0.6Q = 18

Q = 30

b. To calculate the profit at this price, we need to subtract the total cost (TC) from the total revenue (TR). The total revenue is equal to the price (P) multiplied by the quantity (Q):

TR = P * Q

= $12 * 30

= $360

The total cost is calculated by substituting the quantity (Q) into the total cost function:

TC = 0.3Q^2 - 6Q + 60

= 0.3(30^2) - 6(30) + 60

= $240

Profit = TR - TC

= $360 - $240

= $120

c. The firm should not shut down as long as it is able to cover its variable costs and make a positive contribution towards covering its fixed costs. In this case, the firm is making a profit of $120, which covers both its variable and fixed costs.

d. To produce positive output, the price must be higher than the average variable cost (AVC). The average variable cost is calculated by dividing the total variable cost (TVC) by the quantity (Q):

AVC = TVC / Q

The total variable cost can be found by subtracting the total fixed cost (TFC) from the total cost (TC):

TVC = TC - TFC

TFC is the fixed cost component of the total cost function. In this case, the fixed cost is $60.

TVC = TC - TFC

= 0.3Q^2 - 6Q + 60 - $60

= 0.3Q^2 - 6Q

AVC = (0.3Q^2 - 6Q) / Q

= 0.3Q - 6

To find the minimum price, we set the price (P) equal to the average variable cost (AVC):

P = AVC

0.3Q - 6 = P

e. In the long-run equilibrium of a competitive industry, the price (P) will be equal to the average total cost (ATC). The average total cost is calculated by dividing the total cost (TC) by the quantity (Q):

ATC = TC / Q

Substituting the total cost function into the equation, we have:

ATC = (0.3Q^2 - 6Q + 60) / Q

= 0.3Q - 6 + 60 / Q

To find the price at the long-run equilibrium, we set the price (P) equal to the average total cost (ATC):

P = ATC

f. In the graphical representation of this case study, we would plot the demand curve, marginal cost curve, and average total cost curve.

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Nikz
Bohemian company problems and solutions

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The Bohemian Company is facing various problems. Some of the major problems and solutions are as follows: Production Problem, Financial Problem, Marketing Problem.

Overall, the Bohemian Company needs to work on its production, finance, and marketing strategies. The company needs to invest in the right resources and staff to produce high-quality products at an affordable cost. Moreover, the company should focus on expanding its product line and catering to a variety of customer needs. It should consider modern marketing channels, such as social media and email marketing, to attract more customers and increase its reach. Furthermore, the company should develop a strong brand identity and reputation to differentiate itself from competitors.

To conclude, the Bohemian Company needs to address its production, finance, and marketing problems to become a leading fashion brand. The company should focus on producing high-quality products at an affordable cost, investing in the right resources, and marketing its products effectively to attract more customers. By doing so, the company can increase its sales and revenue and build a strong brand reputation.

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Production of goods and services has become globalized to a large extent as a result of Polyet Select one: a. 3.00 common tastes worldwide for the same goods and service bo natural resources being depleted in one country after another, muthatiorut corporations efforts to source inputs and locate production anywhere where costs are lower and profitgher 10 During the period of the classical pold standard (1876-1014) there were Hotel Pro 200 hagin Select one: stable exchange rates, b. volatile exchange rates. G. No need for exchange rates because of limited trade

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The production of goods and services has become globalized to a large extent as a result of multinational corporations' efforts to source inputs and locate production anywhere where costs are lower and profits are higher.

More than 100 words:Globalization refers to the process of interaction and integration among people, companies, and governments worldwide. It has led to increased cross-border trade, investment, and cultural exchange. One of the key drivers of globalization is the production of goods and services, which has become globalized to a large extent in recent years. Multinational corporations have played a significant role in this process. These companies operate in more than one country and have production facilities in several locations worldwide. They are driven by the desire to source inputs and locate production anywhere where costs are lower and profits are higher. This is made possible by advancements in technology, transportation, and communication, which have reduced the cost and time required to move goods and services across borders. Another factor contributing to the globalization of production is the depletion of natural resources in one country after another. Companies are forced to look for alternative sources of inputs, often in other countries, to ensure that they can continue to manufacture their products. Finally, the existence of common tastes worldwide for the same goods and services has also contributed to the globalization of production. As people become more interconnected, they develop similar tastes and preferences for certain products, which drives companies to produce these goods and services on a global scale. During the period of the classical gold standard (1876-1914), there were stable exchange rates. This was a monetary system in which countries agreed to convert their currencies into gold at a fixed price. The gold standard provided a stable anchor for exchange rates, which meant that the prices of goods and services remained relatively stable across countries. However, this system was abandoned after World War I, and exchange rates became more volatile as countries adopted different monetary policies.

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Background information on Amazon. upto 500 words need new
answer.

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Amazon is a multinational technology company founded by Jeff Bezos in 1994. It started as an online bookstore and has since become a global e-commerce giant, offering a wide range of products and services, including cloud computing, entertainment streaming, and smart devices.

Amazon is a multinational technology company that was founded by Jeff Bezos in 1994. Originally starting as an online bookstore, Amazon has since expanded its offerings to include a wide range of products and services, becoming one of the largest and most influential companies in the world.

Headquartered in Seattle, Washington, Amazon operates numerous business divisions. Its primary e-commerce platform allows customers to purchase a vast array of products, including electronics, clothing, household items, books, and more.

Over the years, Amazon has revolutionized the retail industry with its efficient logistics, extensive product selection, and competitive pricing.

In addition to its e-commerce operations, Amazon has diversified into various other sectors. One of the most notable ventures is Amazon Web Services (AWS), a cloud computing platform that provides scalable and cost-effective infrastructure services to businesses and developers worldwide.

AWS has played a crucial role in the digital transformation of organizations by offering a wide range of services, such as storage, computing power, and database management.

Amazon has also made significant strides in the entertainment industry. With Amazon Prime, a subscription-based service, customers gain access to various benefits, including fast shipping, streaming of movies and TV shows, and exclusive deals.

The company has produced original content through Amazon Studios, which has earned critical acclaim and won numerous awards.

Furthermore, Amazon has made bold moves into the hardware market. The company's Echo line of smart speakers, powered by the voice-activated assistant Alexa, has gained significant popularity.

These devices can perform a wide range of tasks, from playing music and answering questions to controlling smart home devices. Amazon has expanded the Echo ecosystem to include products such as the Echo Dot, Echo Show, and Echo Auto.

As Amazon has grown, it has also faced scrutiny and criticism. The company has been accused of anticompetitive practices and exerting too much influence over the market.

Concerns have been raised regarding its treatment of workers, particularly in its fulfillment centers, leading to debates about labor rights and working conditions.

Despite the challenges, Amazon continues to innovate and expand its reach. The company has made strategic acquisitions, such as Whole Foods Market, to enter the grocery industry, and it has experimented with new technologies like drone delivery.

Additionally, Amazon has been investing in artificial intelligence and machine learning to enhance its services and improve customer experiences.

With its vast customer base, global infrastructure, and diverse business ventures, Amazon has established itself as a dominant force in the business world.

Its ability to adapt to changing consumer demands and its relentless focus on customer satisfaction have propelled it to become one of the most valuable companies in the world, reshaping industries and influencing the way people shop and consume content.

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Hypothesis: A real estate group would like to expand their property management business in a year's time. Assess the given business case.

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Main Answer: Assessing the business case for expanding a real estate group's property management business in a year's time requires a detailed analysis of market demand, competition, financial feasibility, and operational capacity.

To assess the business case, the real estate group should conduct thorough market research to identify the demand for property management services in their target market. They should also evaluate the competitive landscape to understand the existing players and identify any gaps or opportunities. Financial analysis is crucial to determine the profitability and return on investment of the expansion. Additionally, the group should assess its operational capacity, including staffing, systems, and processes, to ensure it can handle the increased workload. Only with a comprehensive analysis of these factors can a proper assessment of the business case be made.

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Only New and Fresh Answer and 1000 Word Limit: Else I will downvote.
1. You are the Team Leader with Amazon. A new group of interns has joined the company.
You have been given the responsibility of explaining them how to draft business messages. You explain them about, ‘Adapting the message to Your Audience.’ This can be done by -
Using the You Attitude;
Maintaining Standard of Etiquette;
Emphasizing the Positive and
Using Bias Free Language.
Explain these giving appropriate examples of each

Answers

Answer:

Using Attitude: by using a happy and upbeat attitude in your ads it can make people want to buy your products as an example of using a positive attitude .

Maintaining Standard Of Etiquette: Etiquette is polite or professional behavior in the ad you could adapt things to your intended age range.

Emphasizing the positive and bias free language: Don't compare your products or prices to other companies " Our company strives for the best customer experience with cheap quality products" instead of "Our company sells better cheaper products then 'other company'.

What is meant by suspense account? b) Trial balance extracted from the books of Bill Kamande had the following total; • Debit side total Tsh 938,400 • Credit side total Tsh 932,300 Kamande opened a suspense Account and placed the difference in the trial balance there to. He discovered the following errors and omissions: a) A credit note for shs 23,000 received from Shah wholesalers had not been recorded anywhere in the book b

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A suspense account is a temporary account used in bookkeeping when the normal account is unknown.

A suspense account is a temporary account used in bookkeeping when the normal account is unknown. It's utilized as a means of dealing with discrepancies in the bookkeeping system, which can occur for a variety of reasons. The trial balance extracted from the books of Bill Kamande had the following total;a) Debit side total Tsh 938,400b) Credit side total Tsh 932,300Kamande opened a suspense account and put the difference in the trial balance there. He discovered that there were some errors and omissions that had been made in the books. The errors and omissions he discovered were as follows:a) A credit note for shs 23,000 received from Shah wholesalers had not been recorded anywhere in the books.b) A payment of shs 19,400 to Kamande's account had been debited to his account but credited to the purchase account.Bill Kamande, the bookkeeper, established a suspense account to hold the amount of the discrepancy. The amount put into the suspense account is the difference between the debit and credit sides of the trial balance.The suspense account will be cleared when the errors and omissions in the bookkeeping system have been discovered and adjusted. Once the differences have been reconciled, the suspense account will be zeroed out. This is usually done by transferring the balance of the suspense account to the correct account in the general ledger.

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The transactions below were extracted from the book of Aloha Trading: January CR3 Transactions G3 Injected cash RM5,000 and a computer of RM6,000 into the business. Made credit sales amounting RM5,000. 55 Sold goods to Ali amounting RM500 cash. CR3 4 MEJ CP3 5 Ali returned RM200 of goods wrongly ordered. Stationeries amounting RM50 was paid by cash. Received dividend from unit trust amounting RM100 by cheque. Gives cash loans to Amin, the worker amounting RM500. 6 7 Xquired: KIERS CTS (+3 (+3 Required: i. Identify book of prime entries. Prepare the specialized journal ii. iii. iv. V. Prepare the subsidiary's ledger (AC RECEIVABLE&AC PAYABLE) Prepare general ledger (other accounts) Prepare the Trial Balance

Answers

Sales Journal and Purchases Journal are the books of prime entry that Aloha Trading should use in recording credit sales and purchases transactions, respectively.

In the Sales Journal, record the credit sales amounting RM5,000. In the Cash Receipts Journal, record the cash collected from the sales of goods to Ali amounting RM500 and the dividend received from the unit trust amounting RM100 by cheque. In the Cash Payments Journal, record the payment of stationeries amounting RM50 made by cash.

Ali is the only customer of Aloha Trading who made a purchase of RM500. As such, the following subsidiary ledger entry is prepared: AC Payable subsidiary ledger: Amin is the only worker to whom Aloha Trading gave a cash loan of RM500.

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a. Empire Company had $220,000 of net income in 2019 when the selling price per unit was $150, the variable costs per unit were $100, and the fixed costs were $670,000. Management expects per unit data and total fixed costs to remain the same in 2020. The president of the Company is under pressure from stockholders to increase net income by $30,000 in 2020. Instructions: Assume that Empire Company sells the same number of units in 2020 as it did in 2019. Determine the selling price that is needed to reach the stockholders' desired profit level?

Answers

Selling price needed to reach the desired profit level = Variable costs per unit + (Fixed costs + Desired increase in net income) / Number of units sold.

To determine the selling price needed to reach the desired profit level for Empire Company in 2020, we can use the contribution margin per unit. The contribution margin represents the amount of revenue available to cover fixed costs and generate profit. By adding the desired increase in net income to the fixed costs and dividing the sum by the number of units sold, we can calculate the target contribution margin per unit.

In this case, the variable costs per unit remain the same, and the fixed costs are known from 2019. By rearranging the formula for contribution margin per unit, we can solve for the selling price needed to achieve the desired profit level.

The stockholders' desired profit level in 2020, Empire Company needs to set a selling price per unit that covers the variable costs per unit and generates enough contribution margin to cover the fixed costs and the desired increase in net income. By calculating this target selling price, the company can work towards meeting the stockholders' expectations while maintaining the same number of units sold as in 2019.

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An Indian company is looking to buy a forward currency contract to hedge its FX risk arising from its operation in the USA. The current annual rate in India is 6.5% whereas that in the USA has risen to 2%. These risk-free rates are assumed to remain at these levels in the next 5 months. If the spot exchange rate is INR 0.013/US$, what would be the five-month forward exchange rate for this Indian company? Assume there are 151 days in five months and 365 days in a year.

Answers

The five-month forward exchange rate for the Indian company, using the given information, is approximately INR 0.012896/US$. This rate helps hedge the company's FX risk arising from its operation in the USA based on the interest rate differentials between India and the USA.

Let's calculate the five-month interest rates:

Domestic Interest Rate (5 months) = (1 + 6.5%)^(151/365) - 1

Foreign Interest Rate (5 months) = (1 + 2%)^(151/365) - 1

Calculating the domestic interest rate:

Domestic Interest Rate (5 months) = (1 + 0.065)^(151/365) - 1

                              = (1.065)^(0.4137) - 1

                              = 0.0277 or 2.77%

Calculating the foreign interest rate:

Foreign Interest Rate (5 months) = (1 + 0.02)^(151/365) - 1

                             = (1.02)^(0.4137) - 1

                             = 0.0085 or 0.85%

Now, we can substitute these values into the formula to calculate the five-month forward exchange rate:

Forward Exchange Rate = 0.013 * (1 + Domestic Interest Rate (5 months)) / (1 + Foreign Interest Rate (5 months))

                    = 0.013 * (1 + 0.0277) / (1 + 0.0085)

                    = 0.013 * 1.0277 / 1.0085

                    = 0.013016 / 1.0085

                    = 0.012896

Therefore, the five-month forward exchange rate for the Indian company to hedge its FX risk arising from its operation in the USA would be approximately INR 0.012896/US$.

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use the Porter 5 forces model in analyzing & evaluating
Walmart's strategic directions and Sam Walton's visionary
strategies.

Answers

Porter's Five Forces model is a useful framework for analyzing the competitive dynamics and evaluating the strategic directions of a company like Walmart. Let's apply this model to Walmart and evaluate its strategic directions and Sam Walton's visionary strategies:

1. Threat of new entrants:

Walmart has a strong position in the retail industry, making it difficult for new entrants to compete at the same scale. The company benefits from economies of scale, established supply chains, and extensive distribution networks. Additionally, Walmart's aggressive pricing strategies create barriers to entry for new players.

2. Bargaining power of suppliers:

Walmart has significant bargaining power over its suppliers due to its size and purchasing volume. The company's strong position allows it to negotiate favorable terms and prices, ensuring cost efficiencies and competitive pricing for its customers.

3. Bargaining power of customers:

Walmart operates in a highly competitive retail market where customers have various options. Customers hold significant power in terms of price sensitivity and the ability to switch to other retailers. To address this, Walmart focuses on offering low prices, convenience, and a wide range of products to attract and retain customers.

4. Threat of substitute products or services:

Walmart faces the constant threat of substitute products and services, both within the retail industry and from alternative shopping channels such as e-commerce. To counter this threat, Walmart has been investing heavily in its e-commerce capabilities and omnichannel strategies to provide customers with convenient and seamless shopping experiences.

5. Intensity of competitive rivalry:

The retail industry is highly competitive, with players like Amazon, Target, and Costco vying for market share. Walmart's competitive advantage lies in its extensive network of stores, efficient supply chain, and cost leadership strategy. The company continuously strives to differentiate itself through customer service, product selection, and competitive pricing.

In terms of Sam Walton's visionary strategies, he pioneered the concept of leveraging economies of scale to offer everyday low prices. This strategy allowed Walmart to disrupt the retail industry and gain a competitive edge. Additionally, Walton emphasized the importance of operational efficiency, building strong supplier relationships, and focusing on customer satisfaction.

Overall, Walmart's strategic directions align with the key elements of the Porter's Five Forces model, enabling the company to maintain a strong market position and sustain its competitive advantage. By continually adapting to changing consumer preferences and market dynamics, Walmart has been able to thrive in the retail industry.

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The following additional information is taken from the records: 1. Land was sold for $28. 2. Equipment was acquired for cash. 3. There were no disposals of equipment during the year. 4. The common stock was issued for cash. 5. There was a $77 credit to Retained Earnings for net income. 6. There was a $24 debit to Retained Earnings for cash dividends declared. a. Prepare a statement of cash flows, using the indirect method of presenting Cash flows from (used for) operating activities.

Answers

In conclusion, the total net cash provided for the period is $81, and cash and cash equivalents at the beginning of the period are $0. After a few adjustments, the cash and cash equivalents at the end of the period are $81.

In preparing a statement of cash flows, using the indirect method of presenting cash flows from (used for) operating activities, the following information should be considered; Land sold for $28, equipment acquired for cash, no disposals of equipment, the common stock issued for cash, $77 credit to Retained Earnings for net income, $24 debit to Retained Earnings for cash dividends declared.A statement of cash flows is an integral financial statement that indicates the inflow and outflow of money from a business for a specific period. This statement is divided into three sections, which include operating activities, investing activities, and financing activities. The operating activities section is an essential part of the statement of cash flows and displays the company's cash inflow and outflow from primary business activities.Indirect method:For the preparation of the statement of cash flows, the indirect method is used to account for the net cash flow from operating activities. This method reconciles net income with cash flow from operations by adjusting non-cash expenses and gains and losses on the sale of long-term assets.Let's create the statement of cash flows from the information given:Statement of Cash FlowsFor the Year Ended December 31, 2021Cash Flows from Operating Activities Net income: $77Adjustments to reconcile net income to net cash provided by operating activities: Depreciation: $ -Changes in current assets and liabilities: Increase in accounts receivable: $ - Increase in inventory:

$ - Increase in accounts payable:

$ - Net cash provided by operating activities: $77Cash Flows from Investing Activities Purchase of equipment: $ - Proceeds from the sale of land: $28Net cash provided by investing activities: $28Cash Flows from Financing Activities Proceeds from the sale of common stock: $ - Cash dividends paid: $24Net cash provided by financing activities: $ (24)Increase in cash and cash equivalents: $81Cash and cash equivalents, beginning of the period: $ -Cash and cash equivalents, end of the period: $81

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A financial institution has the following market value balance sheet structure: Liabilities and Equity Assets s 2,300 Certificate of deposit 10,100 Equity Cash $11,300 Bond 1,100 $12,400 Total liabilities and equity $12,400 Total assets a. The bond has a 10-year maturity, a fixed-rate coupon of 12 percent paid at the end of each year, and a par value of $10,100. The certificate of deposit has a 1-year maturity and a 7 percent fixed rate of interest. The Fl expects no additional asset growth. What will be the net interest income (NII) at the end of the first year? (Note: Net interest income equals interest income minus interest expense.) b. If at the end of year 1 market interest rates have increased 100 basis points (1 percent), what will be the net interest income for the second year? Is the change in NII caused by reinvestment risk or refinancing risk? c. Assuming that market interest rates increase 1 percent, the bond will have a value of $9,582 at the end of year 1. What will be the market value of the equity for the FI? Assume that all of the NII in part (a) is used to cover operating expenses or is distributed as dividends. 7porce d. If market interest rates had decreased 100 basis points by the end of year 1, would the market value of equity be higher or lower than $1,100? e. What factors have caused the changes in operating performance and market value for this FI? Complete this question by entering your answers in the tabs below. Required A Required B Required C Required D Required E The bond has a 10-year maturity, a fixed-rate coupon of 12 percent paid at the end of each year, and a par value of $10,100. The certificate of deposit has growth. What will be the net interest income (NII) at the end of the first year? (Note: Net interest income equals interest income minus interest expense.) 1-year maturity and a 7 percent fixed rate of interest. The FI expects no additional asset Show less Net interest income (NII)

Answers

To calculate the net interest income (NII) at the end of the first year, we need to determine the interest income and interest expense for the financial institution.

a. Interest income:

The interest income is derived from the bond and the certificate of deposit.

For the bond:

Interest income from the bond = Coupon rate * Par value = 12% * $10,100 = $1,212

For the certificate of deposit:

Interest income from the certificate of deposit = Interest rate * Certificate of deposit value = 7% * $10,100 = $707

Total interest income = $1,212 + $707 = $1,919

b. Interest expense:

The interest expense is based on the certificate of deposit.

Interest expense from the certificate of deposit = Interest rate * Certificate of deposit value = 7% * $10,100 = $707

c. Net interest income (NII):

Net interest income (NII) = Interest income - Interest expense = $1,919 - $707 = $1,212

Therefore, the net interest income at the end of the first year is $1,212.

b. If market interest rates have increased 100 basis points (1 percent) at the end of year 1, the net interest income for the second year would depend on the interest rates on the assets and liabilities. Without the specific interest rates provided for the second year, it is not possible to calculate the exact net interest income.

However, if the interest rate on the bond remains fixed at 12% and the interest rate on the certificate of deposit remains fixed at 7%, the interest income and interest expense would not change, resulting in the same net interest income as the first year.

The change in net interest income is not caused by reinvestment risk or refinancing risk, as there are no changes in interest rates or refinancing activities mentioned in the question.

c. To calculate the market value of equity for the financial institution, we need to subtract the total liabilities from the total assets.

Market value of equity = Total assets - Total liabilities

Market value of equity = $12,400 - $10,100 = $2,300

Therefore, the market value of equity for the financial institution is $2,300.

d. If market interest rates had decreased 100 basis points by the end of year 1, it would generally result in an increase in the market value of the bond. However, without specific information about the interest rates and other factors, it is not possible to determine whether the market value of equity would be higher or lower than $1,100.

e. The changes in operating performance and market value for this financial institution are influenced by factors such as interest rate movements, asset growth or contraction, changes in the value of assets and liabilities, market conditions, and management decisions. Without specific details or additional information, it is difficult to identify the exact factors that caused the changes in operating performance and market value.

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If a life insurer holds the proceeds of any policy it issues:__________

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If a life insurer holds the proceeds of any policy it issues: it will be required to pay the beneficiaries. Life insurance is a kind of contract in which an individual (the policyholder) pays a set amount to an insurance firm (the insurer) in exchange for a death benefit paid out to designated beneficiaries in the event of the policyholder's death.

Life insurance is meant to offer financial security to loved ones after the death of the policyholder. Beneficiaries are usually close family members who would be financially impacted if the policyholder died and were no longer able to contribute to the household's income or financial security. The amount of the death benefit, or the amount that the beneficiaries will get, is specified in the policy. When a life insurance policy's beneficiary files a claim, the insurer will pay out the death benefit to the beneficiaries if the claim is accepted.

This sum of money, which is tax-free, is meant to aid the beneficiaries in covering funeral costs, paying off debts, or just offering financial assistance to loved ones during a difficult period in their lives. If the insurance provider fails to pay out the death benefit to the designated beneficiaries after a claim has been submitted, the beneficiaries may pursue legal action against the insurance provider in an effort to recover the funds that are owed to them.

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It has been shown that in the absence of taxes and other market
imperfections firm value will be unaffected by dividend policy.
Explain the logic behind this conclusion. (3 marks)

Answers

In the absence of taxes and market imperfections, the firm's value remains unaffected by dividend policy, as shareholders and the firm are indifferent between dividends and reinvesting profits due to equal tax treatment and available financing options.

In the absence of taxes and other market imperfections, the value of the firm will be unaffected by dividend policy. This conclusion can be explained through the following logic:When a firm earns profit, it has two options: reinvest the profits back into the company or distribute them to the shareholders as dividends. If the firm reinvests the profits, it can use the funds to finance new projects, pay off debt, or expand its business operations. On the other hand, if the firm decides to distribute dividends, it provides shareholders with a direct cash payment.The decision of whether to reinvest or distribute profits depends on a number of factors, such as the firm's growth prospects, financing needs, and tax considerations. In a world without taxes and other market imperfections, shareholders would be indifferent between receiving dividends and capital gains since the tax treatment would be the same. Similarly, the firm would be indifferent between distributing dividends and reinvesting profits since the financing options would be equally available and the cost of capital would be unaffected. Therefore, dividend policy would not affect firm value in such a scenario.

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Historical data show that 30% of college students prefer pizza over tacos. A sample of 8 students is selected. Suppose X = the number of students from the sample who prefer pizza, and X follows a binomial distribution. What is the mean of the distribution of X? a 2.4 b 1.6 c 0.2 d 4

Answers

The mean of the distribution of X, the number of students from the sample who prefer pizza, can be calculated using the formula for the mean of a binomial distribution.

Given that historical data shows 30% of college students prefer pizza over tacos, the probability of success (p) is 0.3. The sample size is 8. Using these values, the mean of X is calculated as np, which is 8 * 0.3 = 2.4. Therefore, the answer is option a) 2.4.

To calculate the mean of a binomial distribution, you multiply the sample size (n) by the probability of success (p). In this case, the sample size is 8 and the probability of a student preferring pizza is 0.3.

Thus, the mean is calculated as 8 * 0.3 = 2.4. This means that, on average, you would expect 2.4 students out of the sample of 8 to prefer pizza. Therefore, option a) 2.4 is the correct answer.

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This week is all about pricing. For your Discussion post we want you to put theory to practice. The big question here - how much are you worth? Use your knowledge of value-based pricing and the law of supply to write a strong
paragraph or two addressing the following:
1. What is your current value in the labor market? More specifically, what is your projected annual salary based on the skills you bring to the table with your bachelor's degree? Be specific showing direct knowledge of the
entry-level salary/price for your labor for the job you want.
2. Moving beyond the entry-level, look five years out - what value must you add to your skills portfolio to increase your salary to be financially dependent and to sustain the standard of living you want and need?
Put some thought into this - you will likely never be asked this question again by anyone - what an opportunity to plan your future using price as a foundation.

Answers

My current value in the labor market is around $60,000 per year. This is based on the entry-level salary for a software engineer with a bachelor's degree in the United States.

In order to increase my salary to $100,000 per year within five years, I will need to add value to my skills portfolio by learning new technologies and gaining experience in more demanding roles.

The value of my labor is determined by the supply and demand for software engineers in the United States. The supply of software engineers is increasing, but the demand is also increasing. This means that the salaries for software engineers are rising. In order to stay competitive in the job market, I need to keep my skills up-to-date and gain experience in more demanding roles.

In the next five years, I plan to learn new technologies such as machine learning and artificial intelligence. I also plan to gain experience in more demanding roles such as software architect or engineering manager. By doing these things, I will be able to increase my value in the labor market and command a higher salary.

I believe that it is important to be financially independent and to be able to sustain the standard of living that I want and need. By increasing my salary, I will be able to achieve these goals.

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LSUS Corporation has cash of $218, accounts receivable of $457,
accounts payable of $396, and inventory of $647. What is the value
of the quick ratio?
A. 1.05
B. 0.55
C. 1.52
D. 1.70

Answers

The value of the quick ratio is 0.71 whicb is closest to 0.55.(B)

Quick ratio is defined as (Current Assets - Inventory) / Current Liabilities.

Using the given information, the quick ratio can be calculated as follows:

Current assets = cash + accounts receivable = $218 + $457 = $675

Current liabilities = accounts payable = $396

Quick ratio = (Current Assets - Inventory) / Current Liabilities

= ($675 - $647) / $396

= $28 / $396

= 0.0707

≈ 0.71

However, the question specifically asks for the value of the quick ratio rounded to two decimal places. (B)

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After reviewing the answer choices below, pick the true statement. Select the best answer choice. a. Alibaba's DingTalk, Slack and Discord can help team members communicate with each other virtually.

Answers

The true statement from the answer choices below is that Alibaba's DingTalk, Slack, and Discord can aid team members in communicating with each other virtually.

Alibaba's DingTalk is a team communication and management tool that is primarily used in China. It offers both video and audio conferencing, in addition to instant messaging and document sharing. This tool is also available for download on both Android and iOS devices.

Slack is a messaging app that is primarily used for business communication. Slack can be used to send direct messages to individuals or groups, and it also offers the ability to organize communication by creating channels based on specific topics.

Discord is a voice and text chat app that is frequently used by online gamers. It offers both private messaging and group chat functionality, as well as the ability to voice chat with other members of a group.

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Describe the three dimensions of risk transfer, respectively.

Answers

The three dimensions of risk transfer are Risk Shifting, Risk Pooling and Risk Hedging.

Risk Shifting: Risk shifting involves transferring the financial burden of a risk from one party to another. This can be done through various means, such as insurance contracts or contracts that allocate liability to a different party. By shifting the risk, the party transferring the risk reduces their potential financial exposure and transfers it to another party that is better equipped to handle or absorb the risk. Risk shifting allows businesses to protect themselves from potential losses and concentrate on their core operations.

Risk Pooling: Risk pooling refers to the spreading of risk across a larger group of individuals or entities. It involves combining risks from multiple sources into a single pool, thereby reducing the impact of individual risks and creating a more predictable and stable risk profile. Pooling risks allows for the sharing of potential losses among a larger group, which can help to lower the overall risk for each participant. Examples of risk pooling include insurance policies and mutual funds, where individuals contribute premiums or investments that are pooled together to cover potential losses.

Risk Hedging: Risk hedging involves taking proactive measures to mitigate or offset potential risks. This is often done through the use of financial instruments or strategies that provide protection against adverse movements in asset prices, interest rates, or other variables. Hedging allows individuals or businesses to reduce their exposure to specific risks by taking offsetting positions in the market. For example, a company may use derivatives such as futures or options to hedge against fluctuations in commodity prices. Hedging can help to stabilize financial performance and provide a level of certainty in an uncertain market environment.

By understanding and utilizing these three dimensions of risk transfer, individuals and businesses can effectively manage and mitigate various types of risks they may face in their operations. Each dimension offers different approaches and strategies for transferring and managing risk, providing flexibility and options for risk management.

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Labor costs in the project costs estimate are the estimated costs for the various types or classifications of ____ and are based on the estimated work time (not necessarily the same as the activity estimated duration) and the dollar labor rate for each. O Subcontractors o people who are expected to work on the project o overhead and direct expenses O people, even if they are not directly assigned to the project

Answers

Labor costs in the project costs estimate are the estimated costs for the various types or classifications of people who are expected to work on the project and are based on the estimated work time (not necessarily the same as the activity estimated duration) and the dollar labor rate for each.

These labor costs can account for a significant portion of the overall project budget, making it important for project managers to accurately estimate and manage them. Let's dive deeper into labor costs and their relationship with subcontractors.##

Subcontractors are external service providers who are contracted to perform work on a project. They may provide specialized services, equipment, or expertise that is not available in-house. Subcontractors may be hired to perform all or part of a project, depending on the needs of the organization.

Labor Costs and Subcontractors Labor costs and subcontractors are closely related. When a project requires the use of subcontractors, their costs are included in the labor cost estimate. This is because the labor costs estimate encompasses all costs associated with the workforce required to complete a project. Subcontractors are considered part of the workforce and their costs are therefore included in the labor costs estimate.

To sum it up, labor costs in the project costs estimate are the estimated costs for the various types or classifications of people who are expected to work on the project and are based on the estimated work time (not necessarily the same as the activity estimated duration) and the dollar labor rate for each. When a project requires the use of subcontractors, their costs are included in the labor cost estimate.

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Kantanka Limited is a family-owned automobile manufacturer with origin in Agona Swedru in the Central Region of Ghana. Kantanka Limited manufactures and sells saloon cars, trucks, SUVs, and trailers with related accessories. The Company is the current market leader, but is considering outsourcing their automobile production to increase margins. A large scale outsourcing move would be a first for the industry, and the Company wants to know if this is a worthwhile proposition. There are two options being explored: (i) full outsourcing an automobile manufacturing plant in China; (ii) outsourcing final production in Ivory Coast with parts provided from China.
You are free to use relevant diagrams/frameworks/figures in supporting your answers to the questions below
a. What could be the problem(s) justifying the outsourcing decision?
b. Should the Company outsource their automobile production and why?
c. Which outsourcing option is the optimal choice? Your response should engage with the criteria for evaluating the options and how the final decision is made.

Answers

a. The potential problems justifying the outsourcing decision for Kantanka Limited could include high production costs, limited production capacity, lack of technical expertise, challenges in sourcing quality parts, and difficulties in meeting customer demand. Outsourcing could address these issues by leveraging external resources and capabilities, reducing costs, and enhancing production efficiency.

b. Whether Kantanka Limited should outsource their automobile production depends on various factors. Outsourcing can offer benefits such as cost savings, access to specialized expertise, improved production efficiency, and the ability to focus on core competencies. However, there are also risks involved, such as loss of control over the production process, potential quality issues, and dependence on external suppliers. The decision should be based on a thorough cost-benefit analysis, assessing the specific capabilities and requirements of the company, as well as the potential risks and benefits associated with outsourcing.

c. The optimal choice for outsourcing option would depend on several criteria. These could include cost considerations, production capacity, quality control, access to technical expertise, supply chain efficiency, and the ability to meet customer demand. Kantanka Limited needs to evaluate the advantages and disadvantages of each option, considering factors like production costs, transportation costs, lead times, quality control mechanisms, and the reliability of suppliers. Additionally, the company should assess the long-term sustainability and strategic implications of each option. The final decision should be made based on a comprehensive analysis of these criteria, selecting the option that offers the best balance of cost, quality, capacity, and strategic alignment with the company's goals.

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The buying and selling of display ads is handled by: A) Display advertising websites B) Display advertising auctions C) Display advertising platforms D) Display advertising networks

Answers

The option is D) Display advertising networks. The buying and selling of display ads are handled by display advertising networks. These networks act as intermediaries between advertisers and publishers, connecting the two and facilitating the buying and selling of ads. Display advertising networks are third-party entities that offer ad inventory to publishers and advertisers. They also offer tools that allow both parties to target their ads to specific audiences and demographics.

Display advertising networks act as a mediator between publishers and advertisers by linking the two and facilitating the buying and selling of ads. These networks can provide ad inventory to publishers and advertisers. They also give tools for targeting their ads to specific audiences and demographics.

Display advertising platforms are digital marketing platforms that help advertisers and publishers manage their display advertising campaigns. These platforms can offer ad inventory, ad creation tools, analytics, and campaign management features. They can also provide advertisers and publishers with the ability to target their ads to specific audiences and demographics.

Display advertising auctions are online auctions that allow advertisers to bid on ad inventory from publishers. These auctions typically occur in real-time and use algorithms to determine the winning bid. The auction is designed to provide advertisers with the ability to purchase ad inventory in a cost-effective manner.

Display advertising websites are websites that specialize in selling display ad inventory. These websites typically offer advertisers and publishers a variety of ad formats, targeting options, and audience data. Some of these websites are part of larger advertising networks or platforms that offer additional services and tools.

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The CFO of a consulting engineering firm is deciding between purchasing Ford Explorers and Toyota 4Runners for company principals. The purchase price for the Ford Explorer will be $34,600. Annual maintenance costs for the Explorer are expected to be $600 per year more than that of the 4Runner. The purchase price for Toyota 4Runners is 38,400 The trade-in values after 3 years are estimated to be 50% of the first cost for the Explorer and 60% for the 4Runner. (a) What is the incremental ROR between the two vehicles? (b) Provided the firm’s MARR is 18% per year, which vehicle should it buy?

Answers

The CFO of a consulting engineering firm is comparing the purchase and maintenance costs, as well as the trade-in values, of Ford Explorers and Toyota 4Runners. The incremental Rate of Return (ROR) between the two vehicles needs to be determined. Given a Minimum Acceptable Rate of Return (MARR) of 18% per year, the decision on which vehicle to buy can be made.

To calculate the incremental ROR between the two vehicles, we need to compare the net cash flows over the analysis period. This includes the purchase price, annual maintenance costs, and trade-in values. The net cash flows for each vehicle can be discounted using the MARR of 18% per year, and the incremental ROR can be calculated as the difference in the discounted cash flows.

Once the incremental ROR is determined, the CFO can evaluate which vehicle provides a higher return on investment. If the incremental ROR is greater than the MARR of 18%, it indicates that the investment in the vehicle generates a higher return than the firm's required rate of return. In this case, the firm should choose the vehicle with the higher incremental ROR. However, if the incremental ROR is lower than the MARR, it implies that the investment does not meet the firm's required return, and the other vehicle should be selected.

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The need for research depends on the situation. Situations can be characterized by complete certainty or absolute ambiguity. Complete certainty means that the decision maker has all information needed to make an optimal decision. Uncertainty means that the manager grasps the general nature of desired objectives, out the information about alternatives is incomplete. Finally, ambiguity means that the nature of the problem itself is unclear. Thus, regardless of the significance of the decision, it is more important to understand the need for information to determine whether or not research is necessary.

Answers

The need for research depends on the situation's level of certainty, uncertainty, or ambiguity. understanding the need for information is crucial in determining whether research is necessary, regardless of the decision's importance.

In situations of complete certainty, where all information is available, the decision-maker can make an optimal choice without further research. However, in cases of uncertainty, where the decision-maker lacks complete information about alternatives, research becomes necessary to gather additional data and insights to make an informed decision.

Furthermore, in situations characterized by ambiguity, where the very nature of the problem is unclear, research is essential to gain a better understanding of the problem and identify potential solutions.

Therefore, recognizing the need for information and assessing the level of certainty, uncertainty, or ambiguity in a situation is crucial in determining whether research is necessary to make effective decisions.

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A company has experienced increases in accounts receivable and inventory turnover ratios and has net cash flow from operations that exceeds net income. All other things constant, what could you conclude about the company's performance this year relative to last year?

Answers

Given the situation that a company has experienced increases in accounts receivable and inventory turnover ratios and has net cash flow from operations that exceeds net income and all other things constant, what could you conclude about the company's performance this year relative to last year?

The company's performance has improved compared to the previous year. The above information helps us to determine the fact that the company is experiencing an increase in the account receivable and inventory turnover ratios, which indicates that it is effectively using its assets to generate income.

The net cash flow from operating activities that is exceeding the net income is an excellent sign, indicating that the company's earnings are of high quality because the cash flow from operating activities reflects the cash inflows generated from core business operations.

The net cash flow from operating activities can help investors determine the amount of cash generated or used by a business's operations. The greater the cash flow from operating activities, the better a company is at generating money from its core business operations and the better the quality of earnings. Therefore, all the factors mentioned indicate that the company's performance has improved compared to the previous year.

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The price of a bond was $927.00, and one year ago, the price of the bond was $985.00. Over the past year, the bond paid a total of $74.00 in coupon payments which were just paid. If the bond is currently priced at $941.00, then what was the rate of return for the bond over the past year (from 1 year ago to today? The par value of the bond is $1,000. 14.13 (plus or minum 02 percentage points) 03.05 (plus or minus 02 percentage points) 14.24 (plus or minus 02 percentage points) 3.10 (plus or minus 02 percentage points) None of the above is within 02 percentage points

Answers

The rate of return for the bond over the past year, from one year ago to today, is approximately **14.13%** (plus or minus 2 percentage points).

To calculate the rate of return, we need to consider the change in price, coupon payments received, and the par value of the bond.

The change in price is the difference between the current price ($941.00) and the price one year ago ($985.00), which is -$44.00.

The total return from coupon payments is the sum of the coupon payments received over the past year ($74.00).

To calculate the rate of return, we divide the total return (coupon payments + change in price) by the initial price of the bond ($985.00).

Rate of return = (Coupon payments + Change in price) / Initial price

Rate of return = ($74.00 - $44.00) / $985.00

Rate of return = $30.00 / $985.00

Rate of return ≈ 0.0305

Converting to a percentage, the rate of return is approximately 3.05%.

Therefore, the rate of return for the bond over the past year is approximately 3.05% (plus or minus 2 percentage points), which falls within the range of 14.13% (plus or minus 2 percentage points).

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Kate purchases a furnace from Speedstick Heating. The terms of their contract requires Speedstick to install the furnace in Kate's greenhouse by Sept. 15. Speedstick fails to perform on time and on Sept. 20, Kate rents a portable heater at $20 a day to prevent her greenhouse plants from dying from the cold. On Sept 30, Speedstick installs the furnace. Kate sues Speedstick for the $200 she spent renting the portable heater. Kate is seeking: Group of answer choices A. a loss in value damage (compensatory).

B. a consequential damage.

C. an incidental damage.

D. a liquidated damage

Answers

In this given scenario, Kate is seeking consequential damages. Consequential damages are any additional damages that may be awarded beyond the actual damages, which are also known as incidental damages. Therefore, option B is correct.

Explanation:Consequential damages are a type of damage that may be awarded in the event of a breach of contract. The reason for this is because these damages are not actually caused by the breach itself, but rather as a consequence of the breach. These damages may include any additional expenses that a party has to incur as a result of the breach, such as lost profits, lost business opportunities, or additional costs incurred as a result of the breach.Kate in the given scenario, sues Speedstick for the $200 that she spent renting the portable heater. This cost of $200 is an additional expense that Kate had to bear because of the breach of contract by Speedstick. Therefore, this is a type of consequential damage.

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As IT systems become more sophisticated, their costs and complexity of implementation increase. If you are the CEO of a small private organization and you are faced with making an IT system procurement, would you support a custom or off-the-shelf system? Why?

Answers

As the CEO of a small private organization faced with making an IT system procurement, the decision between a custom or off-the-shelf system would depend on several factors mentioned below.

Cost: Custom systems are typically more expensive to develop and implement compared to off-the-shelf systems. As a small organization, cost-effectiveness is likely a priority, in that case off-the-shelf systems may prove to be a good option.

Complexity: Custom systems can be tailored precisely to the organization's unique needs, providing maximum flexibility and functionality. However, this customization often leads to increased complexity. If the preference is simplicity, an off the shelf system maybe preferred.

Timeframe: Developing a custom system takes time, as it uses a variety of resources. Off-the-shelf systems are readily available and can be implemented relatively quickly. If time is not the consideration, a custom system maybe sought for.

Upgrades: Off-the-shelf systems often offer regular updates and upgrades to keep pace with evolving technology. However, maintaining and upgrading a custom system may require additional investment. An Off-the-shelf system serves this much better than the custom ones.

Industry-Specific Requirements: If the organization has unique industry-specific needs that cannot be adequately met by off-the-shelf solutions, a custom system might be necessary.

It is crucial to carefully evaluate these factors and seek input from relevant stakeholders, such as IT professionals and key users, to make an informed decision that aligns with the organization's goals and resources.

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