The first element as per the order of the article be 'The Heading'. The 2d component as per the order of the article must be 'The Name Of The Writer'. The 1/3 aspect as per the order of the article must be 'Introduction'.
Which article used before order?As usual, the precise article "the" is used where the object is recognised information. I would assume "an order" here. If you say "the order", this implies that the recipient already is aware of which order you mean: presumably you have beforehand discussed it.
Does the order of articles in a journal matter?Although an creator list should solely mirror those who have made enormous contributions to a research mission and its draft manuscript (see, for example, the authorship recommendations of the International Committee of Medical Journal Editors), we might be remiss to say that writer order does not matter.
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under an adjustable life insurance policy, for which of the following actions must the insured usually prove insurability? a taking a policy loan b changing the beneficiary c increasing the death benefit d decreasing the premium amount
Under an adjustable life insurance policy, proving insurability may be required for taking a policy loan, changing the beneficiary, and increasing the death benefit. (option c).
Insurability refers to the insurance company's assessment of an individual's overall health and risk factors to determine their eligibility for coverage. Let's take a closer look at each of the actions listed and how they relate to insurability.
If the insured wants to increase the death benefit of their policy, they will need to prove insurability.
An increase in the death benefit means an increase in risk for the insurance company. Therefore, the insurer will want to assess the policyholder's current health and overall risk factors before making a decision.
Finally, decreasing the premium amount usually does not require proving insurability. However, this may depend on the specific terms of the policy and the insurer's policies.
Hence the correct option is (c).
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you work for a commercial mortgage broker. your company is planning to give a loan of $1.4 million on an io 5 year balloon at 4% with annual payments. there are two points on the loan. you expect there to be an 80% chance the loan will pay as promised and a 20% chance the loan will default in year 4. you anticipate a recover rate of 50% if the loan defaults. what is the expected yield (ytm) on the loan?
The expected yield (YTM) on the loan is 7.33%.
To calculate the expected yield (YTM) on the loan, we need to take into account the probability of default and the recover rate.
First, we can calculate the present value of the loan payments, which is $1,088,864.57 using a financial calculator or spreadsheet. This takes into account the interest-only payments and the balloon payment at the end of year 5.
Next, we need to adjust for the probability of default. If the loan defaults in year 4, the lender would only receive 50% of the remaining principal balance. Therefore, the present value of the loan in that scenario would be $1,088,864.57 x (1 - 50%) = $544,432.28.
To calculate the expected present value of the loan, we can use the following formula:
Expected present value = probability of payment x present value of payments + probability of default x present value in default
Expected present value = (80% x $1,088,864.57) + (20% x $544,432.28) = $950,304.49
Finally, we can solve for the expected yield (YTM) using the expected present value and the loan amount:
Expected yield = (annual interest payment + (balloon payment - loan amount) / years) / (loan amount + balloon payment)
Annual interest payment = loan amount x interest rate = $56,000
Balloon payment = $1,400,000
Years = 5
Expected yield = ($56,000 + ($1,400,000 - $1,400,000) / 5) / ($1,400,000) = 7.33%
Therefore, the expected yield (YTM) on the loan is 7.33%.
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an agreement to pay reasonable additional compensation to a contractor for the performance of a pre-existing contract when the contractor faces extraordinary circumstances caused by unforeseen difficulties is called a:
difficulties?An agreement to pay reasonable additional compensation to a contractor for the performance of a pre-existing contract when the contractor faces extraordinary circumstances caused by unforeseen difficulties is called a "change order."
What's change orderA change order is a formal agreement between the owner and the contractor that identifies changes or modifications to the original contract documents, scope, timeline, or cost.
Change orders may be initiated by either the owner or the contractor, but both parties must agree to the terms of the change order before work can commence.
Change orders are used to address unforeseen difficulties or issues that arise during the construction process.
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which of the following is not a question a ciso should be prepared to answer, about a performance measures program, according to kovacich? question 4 options: why should these measurements be collected? where will these measurements be collected? what affect will measurement collection have on efficiency? who will collect these measurements?
The question a CISO should not be prepared to answer, about a performance measures program, according to Kovacich is: "Why should these measurements be collected?"
A CISO is a high-level executive who is responsible for the protection of an organization's information assets. They're also responsible for developing and implementing a comprehensive security strategy to protect against both external and internal threats. Additionally, they play a vital role in identifying and responding to potential security risks.According to Kovacich, a CISO should be prepared to answer the following questions regarding a performance measures program:Where will these measurements be collected?What impact will measurement collection have on efficiency?Who will collect these measurements?Hence, the correct option is: Why should these be collected?
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is the value of social networks and the tendencies that arise from these networks to do things for each other. group of answer choices social capital economic growth global marketing innovation next
The value of social networks and the tendencies that arise from these networks to do things for each other are referred to as social capital.
Social networks have become important sources of social capital in recent years. Social capital refers to the connections between people and the social norms that facilitate cooperation among them. Social capital can be built through social networks by sharing resources, providing emotional support, and exchanging knowledge and expertise.
The value of social networks can be seen in various aspects of economic growth. For instance, social networks can be used to connect entrepreneurs with investors and customers, which can help to promote innovation and economic growth. Social networks can also be used to create social value, such as by connecting people with local services and resources.
Social networks have also become important for global marketing. Social networks can be used to promote products and services to a large audience, which can help to increase sales and profits. Social networks can also be used to gather customer feedback, which can help to improve products and services.
Social capital is an important resource for individuals, groups, and societies that can be used for economic growth, global marketing, and innovation.
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a mechanic took out a mortgage from a bank to buy the garage he and his employees work out of. how would this be listed on a balance sheet? multiple choice accounts payable notes payable fixed liability long-term liability common liability
None of the options provided is the correct answer for how the mechanic's mortgage would be listed on a balance sheet.
Instead, the mechanic's mortgage would be listed as a long-term liability on the balance sheet. A long-term liability is a debt or obligation that is due in more than one year. The mechanic's mortgage is a long-term obligation because it will take several years to repay the loan.
Other examples of long-term liabilities include long-term notes payable, bonds payable, and pension liabilities. By listing the mortgage as a long-term liability, the balance sheet accurately reflects the amount of debt owed by the mechanic over the long-term and helps to give a clear picture of the company's financial position.
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The natural rate of unemployment prevails when:
A. the AD curve intersects the SRAS curve.
B. the number of unfilled jobs is matched by the number of qualified workers.
C. agricultural unemployment equals manufacturing unemployment.
D. unemployment is minimized.
The natural rate of unemployment prevails when: B. the number of unfilled jobs is matched by the number of qualified workers.
What is natural rate of unemployment?The natural rate of unemployment is the rate of unemployment that exists when the labor market is in equilibrium, meaning that the number of job openings available matches the number of qualified workers seeking employment.
At this rate, there is no cyclical unemployment, which is the unemployment that results from fluctuations in economic activity. The natural rate of unemployment includes only frictional and structural unemployment, which are caused by factors such as job search, job matching, and changes in the structure of the economy.
Option B correctly describes the conditions that must be met for the natural rate of unemployment to prevail. When the number of unfilled jobs is equal to the number of qualified workers, there is no cyclical unemployment caused by a lack of demand for labor, and the economy is operating at its potential output level. This level of unemployment is considered to be the "natural" rate because it is not influenced by short-term fluctuations in aggregate demand or supply.
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true or false: according to adam smith, a country should produce all goods at home that it can, even if it could buy those goods at a lower cost from other countries.
This statement is FALSE.
Adam Smith believed that countries should not produce all goods at home because it is more efficient to specialize in producing goods in which they have an absolute advantage and trade with other countries for goods in which they do not have an absolute advantage, leading to higher overall productivity.
False. According to Adam Smith, a country should specialize in producing goods in which it has a comparative advantage and trade with other countries to obtain goods at a lower cost.
According to Adam Smith, a country should not produce all goods at home that it can, even if it could buy those goods at a lower cost from other countries. Therefore, the given statement is False.
What is Adam Smith's theory?
Adam Smith, also known as the Father of Economics, was a Scottish economist and philosopher who lived in the 18th century. His book "The Wealth of Nations" is regarded as a foundational work in economics, and he is considered one of the most important figures in the field of economics.
According to Adam Smith's theory, the government should have no involvement in the economy. Instead, the market forces of supply and demand should be allowed to work naturally. The invisible hand, as he called it, would regulate the market and guarantee efficiency and growth.
According to Adam Smith, a country should not produce all goods at home that it can, even if it could buy those goods at a lower cost from other countries. Instead, the country should specialize in producing the goods that it can produce most efficiently and trade with other countries for the goods that it cannot produce efficiently. This concept is known as comparative advantage.
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the best way for a husband and wife to hold property in california, assuming they want to avoid probate and taxes and give the property to the surviving spouse, is for the property to vest as:
The best way for a husband and wife to hold property in California, assuming they want to avoid probate and taxes and give the property to the surviving spouse, is for the property to vest as joint tenancy with right of survivorship.
Joint tenancy with right of survivorship is a method of co-owning property that is commonly used by spouses. In this arrangement, two or more individuals own equal shares of the property, and when one owner dies, their share automatically transfers to the remaining owner(s). As a result, joint tenancy with right of survivorship prevents the surviving owner from having to go through probate or pay estate taxes on the property.
Hence, the best way for a husband and wife to hold property in California, assuming they want to avoid probate and taxes and give the property to the surviving spouse, is for the property to vest as joint tenants with rights of survivorship. In this arrangement, both spouses own an equal share of the property, and upon the death of one spouse, the surviving spouse automatically inherits the deceased spouse's share without going through probate.
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multiple choice question a company has budgeted total overhead at actual units produced of $10,400. the company has actual total overhead of $12,000. the controllable variance is: multiple choice question. $2,000 u $2,000 f $1,600 u $1,600 f
The controllable variance is c) $1,600 unfavorable (u).
The controllable variance is the difference between the actual overhead cost and the budgeted cost that is under the control of the management. In this case, the actual total overhead cost is $12,000 and the budgeted total overhead cost is $10,400.
Controllable Variance = Actual Total Overhead Cost - Budgeted Total Overhead Cost
Controllable Variance = $12,000 - $10,400
Controllable Variance = $1,600 unfavorable (u)
Therefore, the controllable variance is $1,600 unfavorable (u).
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maloney's, inc. has found that its cost of common equity is 17 percent and its cost of debt is 6 percent. the firm is financed with $3,000,000 of common shares (market value) and $2,000,000 of debt. what is the after-tax weighted average cost of capital for maloney's, if it is subject to a 40 percent marginal tax rate? select answer from the options below 8.96% 11.16% 12.60% 11.64%
Maloney's, Inc. has an after-tax weighted average cost of capital of 11.64%. Thus, Option D holds true.
To calculate the after-tax weighted average cost of capital (WACC) for Maloney's Inc., we first need to find the weights and after-tax cost of each component.
Weights:
Equity: $3,000,000 / ($3,000,000 + $2,000,000) = 0.6Debt: $2,000,000 / ($3,000,000 + $2,000,000) = 0.4After-tax cost of debt:
Cost of debt: 6% * (1 - 40%) = 3.6%Now, we can calculate the WACC:
WACC = (0.6 * 17%) + (0.4 * 3.6%) WACC = 10.2% + 1.44% WACC = 11.64%The after-tax weighted average cost of capital for Maloney's Inc. is 11.64%. Option D is correct.
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are they requiring men to wear ties at sellright, inc.? are they requiring men to wear ties at sellright, inc? are they requiring men to wear ties at sellright, inc.
At Sellright, Inc., it is required for men to wear ties as part of the company's dress code.
It is not specified whether SellRight, Inc. requires men to wear ties. The question cannot be answered with certainty without further information.What is SellRight, Inc.?
SellRight, Inc. is not mentioned in the question. It is unknown what kind of company SellRight, Inc. is, where it is located, or what its dress code policy is.
As a result, it is not possible to determine whether men are required to wear ties at SellRight, Inc.Based on these details, we cannot say for sure if SellRight, Inc. mandates men to wear ties or not.
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premium winery problem premium winery (pw) considers buying a new facility that will cost $2,000,000. this facility is expected to last for 5 years. there are three ways to finance it, 5-year bonds only, 5-year lease, or new stocks only. do not include dollar signs ($), percent signs (%), or decimal points. round to whole numbers, e.g. 6789. question 15 (3 points) if pw wants to issue 5-year bonds (notes) with a par value $1,000, coupon rate 10% with annual coupon payment. however, the market rate of return of similar assets is 12%. can pw sell these bonds at par (hint, find its intrinsic present value)? if yes, explain? if no, how much can pw sell
No, PW cannot sell these bonds at par because the market rate of return of similar assets is higher than the coupon rate, resulting in a lower intrinsic present value of the bonds than their par value.
To calculate the intrinsic present value of the bonds, we need to discount the annual coupon payments and the par value by the market rate of return. The formula for the intrinsic present value of a bond is
PV = (C / r) x [1 - 1 / (1 + r)^n] + (F / (1 + r)^n)
Where:
PV = present value of the bond
C = annual coupon payment
r = market rate of return
n = number of years until maturity
F = par value of the bond
Using the numbers given in the question, we can calculate the intrinsic present value of the bond as follows
PV = (100 / 0.12) x [1 - 1 / (1 + 0.12)^5] + (1000 / (1 + 0.12)^5)
PV = 667.24 + 567.43
PV = 1234.67
The intrinsic present value of the bond is $1,234.67, which is lower than the par value of $1,000. Therefore, PW cannot sell these bonds at par.
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decisions regarding which two factors affect the selection of a marketing channel and intermediaries?
The nature of the product and the target market are two critical factors that businesses must consider when selecting a marketing channel and intermediaries.
When selecting a marketing channel and intermediaries, businesses must consider various factors, but two critical factors are the nature of the product and the target market. The nature of the product can significantly affect the selection of a marketing channel and intermediaries.
For example, perishable goods, such as fresh produce, may require fast and efficient distribution channels that minimize the time between production and delivery to the customer. On the other hand, durable goods, such as cars or appliances, may require a more complex distribution system involving intermediaries like dealerships or specialty stores.
The target market is another important factor to consider. Depending on the demographic characteristics, behaviors, and preferences of the target market, businesses may need to choose different marketing channels and intermediaries.
For example, if the target market is young and tech-savvy, businesses may need to use digital marketing channels and intermediaries like online retailers or social media influencers. In contrast, if the target market is older and prefers traditional shopping experiences, businesses may need to use physical retail stores or distributors.
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kenshin co. enters into a contract with jojo to sell social media, print media, and tv media for $55.00 per month. each service is determined to be a separate performance obligation that is satisfied at a different point in time. kensin's regular social media sells for $30.00, and print media sells for $22.50. the selling price for television media is highly variable. using an acceptable estimation method, kenshin estimates the selling price for the tv media is $15.75. the allocation price of social media will be a.$27.50. b.$30.00. c.$22.65. d.$24.18.
Kenshin's allocation price of social media will be $24.18. Option D is the correct answer.
The cost of selling television media varies significantly. Kenshin uses an appropriate estimation method to determine that the cost of selling TV media is $15.75.To decide the allocation price of social media, we must first compute the total value of all three services.
It can be accomplished by adding up the cost of each service, as follows:Social media: $30Print media: $22.50TV media: $15.75 Total: $68.25After that, the allocation rate of each service is determined by dividing the individual value of each service by the overall value of all three services.
So, the allocation rate for social media is as follows:$30 ÷ $68.25 = 0.439If we multiply the allocation rate by the total selling price of all three services, we'll get the allocation price for social media. So,$55 x 0.439 = $24.18
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the following information is related to december 31, 2021 balances. during 2022 sales on account were $870,000 and collections on account were $516,000. also during 2022 the company wrote off $48,000 in uncollectible accounts. an analysis of outstanding receivable accounts at year end indicated that bad debts should be estimated at $324,000. bad debt expense for 2022 is question 15 options: $102,000. $ 54,000. $324,000. $ 6,000.
The bad debt expense for 2022 is $324,000, according to the following information is related to December 31, 2021 balances. Thus, option c is correct.
Sales on account = $870,000
Collections on account =$516,000
Uncollectible accounts = $48,000
Bad debts = $324,000
We need to calculate the growth in the allowance for doubtful accounts for the years 2021 to 2022:
Increase in allowance for doubtful accounts = sales on allowance for doubtful accounts on December 31, 2022 - collections account balance on December 31, 2021
Increase in allowance for doubtful accounts = $870,000 - $516,000
Increase in allowance for doubtful accounts = $324,000
Therefore, we can conclude that the bad debt expense for 2022 is $324,000.
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true or false: if natural real gdp is q2 , the economy is in a recessionary gap as well as in equilibrium at point a. true false
The answer is FALSE.
The economy cannot be both in a recessionary gap and in equilibrium at point A if natural real GDP is Q2. This is because natural real GDP represents the level of output produced in the long run, and any output level below it represents a recessionary gap. Point A represents a short-run equilibrium where actual real GDP is less than natural real GDP, meaning a recessionary gap exists. Therefore, the economy cannot be in both a recessionary gap and in equilibrium at point A if natural real GDP is Q2.
False. If the natural real GDP is at Q2 and the economy is in equilibrium at point A, then the economy is not in a recessionary gap. A recessionary gap occurs when the actual GDP is below the natural real GDP, indicating that the economy is operating below its potential.
False. If natural real GDP is Q2, the economy is in an inflationary gap, not a recessionary gap, as well as in equilibrium at point A.What is GDP?Gross Domestic Product (GDP) is the total monetary or market value of all final goods and services produced within a country's geographic borders in a given period.
It calculates the market value of goods and services made within a country during a certain period. GDP is a critical measure of a country's economy.The state of an economy is determined by its Gross Domestic Product (GDP), among other factors. The equilibrium GDP is the quantity of total output produced in an economy that equals total output consumed in an economy.
Therefore, an economy that produces the same quantity of output as it consumes is said to be in equilibrium. The answer to the given question is False because if natural real GDP is Q2, the economy is in an inflationary gap, not a recessionary gap, as well as in equilibrium at point A.
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which of the following statements regarding equity securities is not true? a.dividend income, but not realized gains and losses on sales, is included in net income each period. b.equity securities are initially reported at cost, and unrealized holding gains and losses are included in income of the current period. c.equity securities are adjusted to fair value on the balance sheet date, and unrealized holding gains and losses are included in income of the current period. d.dividend income, as well as realized gains and losses on sales, is included in net income each period.
Equity securities are adjusted to fair value on the balance sheet date, and unrealized holding gains and losses are included in income of the current period.The only incorrect statement is b.
"Equity securities are initially reported at cost, and unrealized holding gains and losses are included in income of the current period." This statement is false since the equity securities are initially recorded at fair value, not cost.The true statements are as follows:Equity securities are initially recorded at fair value, including transaction costs. Unrealized gains and losses from changes in fair value are recognized in other comprehensive income.
Dividend income is included in net income each period.Realized gains and losses on sales are included in net income each period.Equity securities are adjusted to fair value on the balance sheet date, and unrealized holding gains and losses are included in comprehensive income of the current period. The only opton is incorrect is B.
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the following sales and cost data (in thousands) are for two companies in the transportation industry: company a company b amount percent of sales amount percent of sales sales $ 240,000 100% $ 240,000 100% variable costs 120,000 50 72,000 30 contribution margin $ 120,000 50% $ 168,000 70% fixed costs 21,600 62,600 operating profit $ 98,400 $ 105,400 required: 1-a. calculate the degree of operating leverage (dol) for each company. 1-b. if sales increase from the present level, which company benefits more? 2. assume that sales rise 10% in the next year but that everything else remains constant. calculate the percentage increase in profit for each company.
Company B's profit will increase by 15.9% if sales increase by 10%.
1- a. The degree of operating leverage (DOL) measures the sensitivity of a company's operating profit to changes in sales. It is calculated as follows:
DOL = Contribution Margin / Operating Profit
For Company A: DOL = $120,000 / $98,400
DOL = 1.22
For Company B: DOL = $168,000 / $105,400
DOL = 1.59
1- b. If sales increase from the present level, the company with a higher DOL will benefit more. This is because a higher DOL indicates that a larger proportion of the company's operating costs are fixed, so any increase in sales will lead to a larger increase in operating profit. In this case, Company B has a higher DOL (1.59) than Company A (1.22), so it will benefit more from an increase in sales.
To calculate the percentage increase in profit for each company, we can use the following formula:
Percentage increase in profit = DOL x Percentage increase in sales
For Company A:
Percentage increase in profit = 1.22 x 0.1
Percentage increase in profit = 0.122 or 12.2%
So, Company A's profit will increase by 12.2% if sales increase by 10%.
For Company B:
Percentage increase in profit = 1.59 x 0.1
Percentage increase in profit = 0.159 or 15.9%
So, Company B's profit will increase by 15.9% if sales increase by 10%.
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4. wal-mart orders $200 of inventory but pays for it using debt. what happens on the statements immediately after this transaction?
The Wal-Mart's liabilities will increase by $200, while the inventory account remains unchanged on the balance sheet.
Immediately after this transaction, Wal-mart's balance sheet will show an increase in inventory by $200 and an increase in liabilities (debt) by $200. The income statement will not be affected at this point, as the expense will be recognized when the inventory is sold.
When a company like Wal-Mart orders inventory using debt, it is essentially borrowing money to pay for the inventory. This means that the company's liabilities will increase by the amount borrowed ($200 in this case), while the inventory account on the balance sheet remains unchanged.
The increase in liabilities will be reflected in the company's financial statements, such as the balance sheet and the statement of cash flows. This transaction may also impact other financial ratios, such as the debt-to-equity ratio, which can provide insight into the company's financial health and leverage.
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a stock is currently selling for $73 per share. you could purchase a call with a strike price of $68 for $7. you could purchase a put with a strike price of $68 for $2. calculate the intrinsic value of the call option.
The intrinsic value of the call option would be $5. Explanation: Intrinsic value of the call option refers to the amount by which an option is in the money.
If the underlying asset price is less than the strike price, then the intrinsic value would be zero. If the underlying asset price is greater than the strike price, then the intrinsic value would be positive. Intrinsic value can never be negative.
Let's calculate the intrinsic value of the call option: Strike price of the call option (K) = $68Current market price of the stock (S) = $73Intrinsic value of the call option (C) = S - K = $73 - $68 = $5
Therefore, the intrinsic value of the call option is $5.
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a us treasury $1,000 par bond with a coupon of 5% is quoted at 99-16. 30 days of accrued interest are due to the seller. what number is closest to the clean price of the bond?
The number closest to the clean price of the bond is approximately $990.83.
Convert the quoted price to a decimal: The quoted price is given as 99-16, which means 99 and 16/32. To convert this to a decimal, divide 16 by 32 and add the result to 99. 16/32 = 0.5. 99 + 0.5 = 99.5. Calculate the dirty price: Multiply the decimal quoted price by the par value of the bond. Dirty Price = Quoted Price × Par Value. Dirty Price = $995
Calculate the accrued interest: The bond has a 5% coupon, which means it pays $50 per year in interest (5% of $1,000). Since interest is typically paid semiannually, each payment is $25. With 30 days of accrued interest due to the seller, we need to find the interest for that period. Interest per day = $25 / 180 days (semiannual period). Interest per day = $0.1389 (approx.) Accrued interest for 30 days = $4.17 (approx.)
Calculate the clean price: Subtract the accrued interest from the dirty price. Clean Price = Dirty Price - Accrued Interest. clean Price = $990.83 (approx.)Therefore, the number closest to the clean price of the bond is approximately $990.83.
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portfolio a has an expected return of .15 and a standard deviation of .3. portfolio b has an expected return of .15 and a standard deviation of .4. what can we definitely determine from this information? group of answer choices portfolio b is definitely an efficient portfolio. portfolio a is definitely not an efficient portfolio. portfolio b is definitely not an efficient portfolio. both portfolio a and portfolio b are definitely efficient portfolios.
The answer is both portfolio a and portfolio b are definitely efficient portfolios. Both portfolios a and b are unquestionably efficient portfolios, according to portfolio a's predicted return.
The capital asset pricing model (CAPM) is a formula that explains the connection between expected return and the systematic risk of a securities or portfolio. It can also be used to calculate a security's volatility, or beta, in relation to other securities and the market as a whole.
A portfolio is deemed inefficient if the predicted return is insufficient given the level of risk assumed. An inefficient portfolio, on the other hand, is one that demands too much risk for a specific predicted return. A portfolio that is inefficient typically has a low risk-to-reward ratio.
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microfun corporation (mfun) issues a worldwide recall on its skin care products because it has been discovered that they in fact cause acne instead of curing it. mfun stock immediately falls in value from $50 per share to $5 per share as investors panic and sell their positions. a week later, everyone realizes that skin care products only represent 1% of mfun's overall sales. mfun's stock price starts to go back up and eventually (2 weeks later) is back to $50 per share. this type of reaction in the market to the announcement by mfun is best described as
An overreaction or an exaggerated response to the news, specifically an example of market overreaction or overcorrection.
The market's initial reaction to the announcement by Microfun Corporation (MFUN) is an example of an overreaction or an irrational response, where investors panic and sell their positions without fully understanding the impact of the news on the company's overall financial performance.
As a result, the stock price falls sharply from $50 to $5 per share, which is an overreaction given that the skin care products represent only 1% of MFUN's sales. Once the market realizes this fact, the stock price starts to recover and eventually reaches its pre-announcement level of $50 per share. This type of market reaction is often seen in situations where investors overestimate the impact of a particular event or news on the company's overall performance.
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which of the following would generally be the most difficult for a competitor to duplicate? question 9 options: manufacturing processes brand slogans lasting impressions of favorable product experiences product design details materials sourcing
"Lasting impressions of favorable product experiences" would generally be the most difficult for a competitor to duplicate. Option C holds true.
This is because while manufacturing processes, brand slogans, product design details, and materials sourcing can be reverse-engineered or replicated to some extent, the emotional connection and positive memories associated with a product experience are much harder to recreate.
These impressions are often shaped by factors such as customer service, packaging, user interface, and overall user experience, which can be influenced by a wide range of intangible factors that are difficult to quantify or replicate.
As a result, creating a lasting impression of a favorable product experience requires a combination of art and science, and can take years of trial and error to get right, making it a formidable barrier to entry for competitors.
Thus, Option C holds true.
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who should perform an internal audit? a. a private auditing firm b. a small team of top-level managers c. representative managers and employees from throughout the firm d. the organization's accounting department e. the chief executive officer
The people that should perform an internal audit are representative managers and employees from throughout the firm. The correct option is C.
Internal audits are carried out by the organization's internal audit department. They can also be carried out by representative managers and employees from throughout the organization. The internal audit department may also work with external auditors, but the organization must conduct its own audit.
Internal audits are carried out by the organization's internal audit department. They can also be carried out by representative managers and employees from throughout the organization. An internal audit is an assessment of an organization's internal controls, financial reporting, and risk management procedures. An internal audit is conducted by employees of the organization or by an external audit firm. It is an essential process for maintaining transparency and accountability in the organization.
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on january 1, abc company purchases bonds for $390,000. the 10-year bonds have a face value of $400,000 and pay interest semiannually on june 30 and december 31 at a stated rate of 10%. abc company does not intend to hold the bonds to maturity. how much will abc company receive each time interest is paid on the bonds? a.$5,000 b.$10,000 c.$40,000 d.$20,000
ABC Company will receive $20,000 each time interest is paid on the bonds, the correct option is (d). The question is about calculating the interest payment received by ABC Company on the bonds they purchased.
To determine how much ABC Company will receive each time interest is paid on the bonds, we first need to calculate the annual interest payment. We can do this using the following steps:
1. Determine the face value of the bonds: The face value is given as $400,000.
2. Find the stated interest rate: The stated interest rate is 10%.
3. Calculate the annual interest payment: To do this, multiply the face value by the stated interest rate: $400,000 x 0.10 = $40,000.
Now that we have the annual interest payment, we need to calculate the semiannual interest payment, as the bonds pay interest semiannually on June 30 and December 31.
4. Divide the annual interest payment by 2: To get the semiannual interest payment, divide the annual interest payment by 2: $40,000 / 2 = $20,000. So, ABC Company will receive $20,000 each time interest is paid on the bonds,
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which theory states that for products where economies of scale are significant and that control a substantial amount of world demand, the first movers in an industry can gain a scale-based cost advantage not available to late entrants?
The theory that states that for products where economies of scale are significant and that control a substantial amount of world demand, the first movers in an industry can gain a scale-based cost advantage not available to late entrants is the "Scale-Efficiency Theory".
The Scale-Efficiency Theory states that companies can reduce production costs by producing large volumes of goods. Economies of scale are the cost advantages that a firm obtains as a result of increased production. When economies of scale are important, the first companies to enter a market can gain a cost advantage over later entrants who must pay more to create the same thing.
In other words, the Scale-Efficiency Theory claims that the initial companies in a market have a cost advantage over their competitors as a result of their production volume. As a result, early entrants can leverage economies of scale to lower their production costs and gain a competitive advantage. The theory also states that the cost benefit obtained from economies of scale becomes smaller as the scale of production grows.
Therefore, small businesses face significant hurdles when competing with established businesses that benefit from economies of scale.
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cho, a well-liked executive, inspires her employees to follow a common vision, facilitates change, and creates a strongly positive climate, all while stressing performance. in this scenario, what type of culture has cho helped to create? question 3 options: authoritative caring integrative apathetic affiliative
In this scenario, the type of culture that Cho has helped to create is affiliative. So, the correct option is affiliative.
What is Affiliative Culture?An affiliative culture is one in which people are friendly and have a family-like environment. This atmosphere encourages harmony and fosters positive relationships between people. As a result, people are usually loyal to their employer and colleagues in such an environment.
The values that Cho inspires in her employees align with the traits of an affiliative culture. As a well-liked executive, she facilitates change and creates a strongly positive climate, all while stressing performance. She inspires her employees to follow a common vision, all of which encourages friendly working relationships and a sense of belonging.
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whatever, incorporated, has a bond outstanding with a coupon rate of 5.68 percent and semiannual payments. the yield to maturity is 6.5 percent and the bond matures in 17 years. what is the market price if the bond has a par value of $1,000?
The market price of the bond is $892.90 if the yeild of maturity is 6.5% and the bond mature in 17years.
To calculate the market price of the bond, we need to discount the future cash flows (coupon payments and the principal payment) at the yield to maturity. The formula to calculate the present value of the bond is:
Bond price =
[tex][C/(1 + r/n)^nt] + [F/(1 + r/n)^nt][/tex]
Where:
C = semiannual coupon payment = 5.68% * $1,000 / 2 = $28.40
r = annual yield to maturity = 6.5%
n = number of coupon payments per year = 2
t = number of years until maturity = 17
F = face value or par value of the bond = $1,000
Plugging in these values into the formula, we get:
Bond price = [$28.40/1.1039] + [$1,000/1.1039]
Bond price = $490.82 + $402.08
Bond price = $892.90
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