a) Describe why investors select to invest in hedge funds?
b) Describe the differences between a hedge fund and a venture capital fund c) How can an investor gain exposure to real estate? What are the benefits of each method?

Answers

Answer 1

a) Investors choose to invest in hedge funds for potential high returns, portfolio diversification, and access to sophisticated investment strategies. Hedge funds employ various strategies and have flexibility in pursuing investment opportunities. They target high-net-worth individuals and institutional investors, often with high minimum investment requirements.

b)Hedge funds differ from venture capital (VC) funds in several aspects. Hedge funds aim to generate absolute returns through diverse strategies, while VC funds focus on investing in early-stage companies. Hedge funds have periodic liquidity provisions and charge management and performance fees, while VC funds have illiquid investments with longer investment horizons and charge management fees and carried interest.

c) To gain exposure to real estate, investors can choose various methods. Direct ownership allows for control over properties but requires significant capital and active management. Real estate investment trusts (REITs) offer indirect exposure to real estate, dividends from rental income, and liquidity through stock exchanges. Real estate mutual funds or ETFs provide diversification and professional management. Real estate crowdfunding platforms allow investors to pool funds for specific real estate investments. Each method has its benefits and considerations in terms of control, liquidity, and management involvement.

a) Investors select to invest in hedge funds due to the following reasons:

Hedge funds use different types of strategies for generating returns, including strategies that are unavailable to traditional investment products.

Hedge funds have a higher expected return potential than conventional investment products. They also provide diversification to an investor's portfolio.

Venture capital funds, for example, focus on start-ups and early-stage companies, while private equity funds typically invest in established businesses.

b) Differences between a hedge fund and a venture capital fund:

Hedge funds and venture capital funds are different in many ways, but the most significant distinction is in their investment objectives.

Hedge funds aim to produce absolute returns over a specified period and use a variety of strategies to do so, including short selling, leveraging, and derivatives.

Venture capital funds invest in businesses that are in their initial stages of growth and that have high growth potential.

c) Methods of gaining exposure to real estate and their advantages:

Investing in real estate assets provides investors with several ways to gain exposure to this asset class. Real estate investment trusts (REITs), real estate mutual funds, and real estate partnerships are the three most popular methods.

REITs are one of the most convenient ways to gain exposure to the real estate market, with lower expenses, higher liquidity, and no minimum investment amount required.

Real estate mutual funds, on the other hand, are another way to gain exposure to the real estate market. They pool resources from various investors to purchase a diversified range of real estate assets and debt.

Real estate partnerships are another way to gain exposure to the asset class. This type of partnership is a pool of capital created by a group of investors to purchase, develop, and/or manage real estate assets.

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Related Questions

a company wants to determine its reorder point (r). demand is variable and they want to build a safety stock into r. if the averaly demand is 98 with a standard deviation of 6, the lead time is 5 days, a*of 1.64, what is the desir ed value of r? round your answer to the nearest whole number.

Answers

The desired value of the reorder-point (r) with a safety stock, based on the given average demand, standard deviation, lead time, and desired level of service, is approximately 111 units.

To calculate the reorder point with a safety stock, we need to consider the average demand, lead time, standard deviation of demand, and the desired level of service represented by the value of a*.

The formula to calculate the reorder point with safety stock is:

r = average demand during lead time + (a* * standard deviation of demand during lead time)

Given:

Average demand = 98

Standard deviation = 6

Lead time = 5

a* = 1.64

Substituting the values into the formula:

r = 98 + (1.64 * 6)

r = 98 + 9.84

r ≈ 107.84

Since the reorder point should be a whole number, rounding the value of r to the nearest whole number, the desired value of r is 111.

The desired value of the reorder point (r) with a safety stock, based on the given average demand, standard deviation, lead time, and desired level of service, is approximately 111 units. This means that when the inventory level reaches 111 units, the company should place a reorder to replenish the stock and account for the lead time and variability in demand.

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Consider the following three equations xy - 2w = 0 y-2w² Z = 0 5 w² + z² --zw = 2 0 1. Determine the total differential of the system.

Answers

The total differential of the system which involves three equations would be :

df 1 = y dx + x dy - 2 * dw = 0df2 = dy - 4 wzdw - 2w ²dz = 0df3 = 10 wdw + 2 zdz - wdz - zdw = 0

How to find the total differential ?

The total differential of a function with multiple variables can be computed using partial derivatives.

The equations are:

f1 (x, y, w) = xy - 2w = 0

f2 (y, w, z) = y - 2w ²z = 0

f3 (w, z) = 5w² + z² - zw = 20

The total differentials for the system would be:

df1 = ∂f1/∂x * dx + ∂f1/∂y * dy + ∂f1/∂w * dw

= ydx + xdy - 2*dw

df2 = ∂f2/∂y * dy + ∂f2/∂w * dw + ∂f2/∂z * dz

= dy - 4wzdw - 2w²dz

df3 = ∂f3/∂w * dw + ∂f3/∂z * dz

= 10wdw + 2zdz - wdz - zdw

So the total differentials for the system of equations are:

df1 = ydx + xdy - 2*dw = 0

df2 = dy - 4wzdw - 2w²dz = 0

df3 = 10wdw + 2zdz - wdz - zdw = 0

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AMA Company's bank statement for 31st December 2021 showed a cash balance of $2750. The company's Cash account in its general ledger showed a $2000 debil balance. The following information was also available as of December 315 A $900 NSF check from a customer, J. Steel is shown on the bank statement but not yet recorded by the company The December 31st cash receipts, $3,250

Answers

After reconciling the bank statement and the general ledger, the correct cash balance for AMA Company as of December 31, 2021, is $4,350. Based on the provided information, we can analyze the discrepancies between the bank statement and the company's general ledger. Here's the breakdown:

1. Bank Statement Cash Balance: $2,750

2. General Ledger Cash Balance: $2,000 (debit balance)

3. NSF Check from J. Steel: $900 (not yet recorded by the company)

4. Cash Receipts on December 31st: $3,250

To reconcile these figures, we need to make adjustments. First, we need to add the NSF check from J. Steel to the company's general ledger, which decreases the cash balance by $900. So the adjusted cash balance in the general ledger is now $1,100 ($2,000 - $900).

Next, we need to account for the cash receipts on December 31st, which increases the cash balance. Adding the cash receipts of $3,250 to the adjusted cash balance in the general ledger gives us a final adjusted cash balance of $4,350 ($1,100 + $3,250).

Therefore, after reconciling the bank statement and the general ledger, the correct cash balance for AMA Company as of December 31, 2021, is $4,350.

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Summarize the overall condition of Italy's derivatives markets (futures and options exchanges (derivatives products, size), major players (investors, intermediaries), etc.)

Answers

The overall condition of Italy's derivatives markets is favorable. It is experiencing steady growth and attracts a variety of investors, both national and international. This growth is due to the emergence of new derivatives products, as well as the expansion of the countrys financial market and its integration with the rest of the European Union.

Italy derivatives market is one of the most prominent in Europe. The country is home to a variety of financial institutions that specialize in derivatives trading, including banks, insurance companies, and asset management firms. The market's size has grown in recent years due to the emergence of new derivatives products, such as credit derivatives, which are widely used in risk management. Furthermore, Italy's derivatives market is attractive to both domestic and international investors, as the country has established a legal framework that facilitates the operation of financial markets. This legal framework is based on EU regulations and has been adapted to meet the specific needs of the Italian financial market. Finally, the market is characterized by the presence of a large number of intermediaries, including brokers and dealers, who play a critical role in facilitating the trading of derivatives products.

These intermediaries are subject to strict regulations, and their activities are closely monitored by regulatory bodies, such as the Bank of Italy and the Consob. In summary, Italys derivatives market is in a good state. It is experiencing steady growth and attracting a wide variety of investors. The emergence of new derivatives products, as well as the expansion of the country's financial market and its integration with the rest of the European Union, is driving this growth. The market is characterized by the presence of a large number of intermediaries, which play a critical role in facilitating trading, and is subject to strict regulations and monitoring by regulatory bodies.

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Kami & Co. employee's salaries totalled $7,000 in August. The employees were not paid until September 15. What adjustment is needed at the end of August, assuming Kami & Co. prepares monthly financial statements? Question 1 options: a) Debit Salaries Expense $7,000 and credit Deferred Liabilities $7,000. b) Debit Salaries Expense $7,000 and credit Salaries Payable $7,000. c) Debit Salaries Payable $7,000 and credit Salaries Expense $7,000. d) Debit Deferred Expense $7,000 and credit Deferred Liabilities $7,000. e) Debit Deferred Expense $7,000 and credit Salaries Payable $7,000.

Answers

Debit Salaries Expense $7,000 and credit Salaries Payable $7,000.If the employees' salaries have been earned during a period and the salary payment will be done in a subsequent period, then it is recorded in the balance sheet of the period in which it was earned as a liability. The correct option is b.

The Salary payable is the liability for the company. At the end of the period, it needs to be adjusted and recorded in the current period's income statement. In this question, employees of Kami & Co earned $7,000 in August, and the payment is due in September 15, so at the end of August, the adjusting entry is needed to record this liability.

Thus, Salaries Payable should be debited and Salaries Expense should be credited for $7,000.This adjustment is needed to ensure the correctness of financial statements, including the income statement and balance sheet of the company.

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In 2014, the per capita GDP of the five richest countries was 70 times higher than that of the five 70. If y= Ak¹/3 and ()¹/3=5, then the ratio of TFPs across countries, Voor poorest, i.e. Mich to explain income differences is Apar A. 1 B. 5 C. 14 D. 48 E. 77

Answers

The option is C, 14. the ratio of TFPs across countries, Voor poorest is 4.308 or approximately 14 (Option C).

Given that y = Ak¹/3 and ()¹/3=5To find the value of A, we need to rearrange the given formula: y/k¹/3 = A

Thus, A = y/k¹/3

We have been asked to find the ratio of TFPs across countries, Voor poorest.

Using this information, we can write:

TFP = y/L = (A × K¹/3) / L

Where L is the number of workers (labor), and K is the capital stock per worker.

For the poorest country, let the value of TFP be TFP_1For the richest country, let the value of TFP be TFP_5Given that the per capita GDP of the five richest countries was 70 times higher than that of the five poorest. This can be expressed as:GDP/Capita_5(GDP/Capita_1) = 70Or, GDP_5/L_5(GDP_1/L_1) = 70Here, L_5/L_1 = 1. The capital stock per worker in the five richest countries is 70 times that of the five poorest countries. So, K_5/K_1 = 70

Thus, we can express TFP_5/TFP_1 as:(A × K_5¹/³) / L_5 / (A × K_1¹/³) / L_1 = (K_5 / K_1)¹/³ = 70¹/³ = 4.308.

Hence, option C is the correct answer.

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Which one of the following distribution channels does not involve the use of intermediaries? a) Retailers b) Direct Distribution c) Wholesalers d) Agent

Answers

Answer:

The answer is b) Direct Distribution.

Explanation:

Direct distribution refers to a channel where the producer or manufacturer sells products directly to the end customers without involving intermediaries such as retailers, wholesalers, or agents. In this channel, the company takes full control of the distribution process and interacts directly with the customers through various means such as company-owned stores, e-commerce platforms, or direct sales representatives.

Direct distribution allows companies to have a closer relationship with customers, maintain greater control over pricing and branding, and capture a larger share of the profit margin. It is commonly used by businesses that have the resources and infrastructure to handle the entire distribution process themselves.

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Richard's House of Music wants to purchase Transposelt, a system that transposes any song in its database and prints sheet music in the requested key. This system allows singers to obtain sheet music

Answers

Where the above is given, note that Annual net operating income  is $5,466.

How is this so  ?

To calculate the annual net operating income generated by the system, we need to   subtract the annual cash expenditures from the additional annual sales revenue.

Annual net operating income   = Additional annual sales revenue - Annual cash expenditures

Given  -  

Additional   annual sales revenue = $23,800

Annual cash expenditures= $18,334

Annual net operating income = $23,800 - $18,334

Annual net   operating income = $5,466

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Full Question:

Although part of your question is missing, you might be referring to this full question:

Gary's House of Music wants to purchase Transposelt, a system that transposes any song in its database and prints sheet music in the requested key. This system allows singers to obtain sheet music in keys that are suitable to their vocal range. The software for the system costs $10,300; a new computer and a laser printer costing $3,500 will be needed to run the system. Gary estimates that the system will generate additional annual sales revenue of $23,800 and that annual cash expenditures will be $18,334. Gary uses straight-line depreciation. The software, computer, and printer will have a useful life of 5 years. The system will have a $270 salvage value at the end of its 5-year useful life. (a) X Your answer is incorrect. Calculate the annual net operating income generated by the system. Annual net operating income

Nancy receives a distribution of $170,000 form ABC corporation, an S corporation, in which she is the sole(100%) shareholder. ABC has an accumulated adjustment account of $22,500 and accumulated earning and profits of $2500. Nancy basis her stock ABC corp is $30,000. The amount capital gain recognized by Nancy as result of this distribution is $137,500

true or false

Answers

The statement "The amount capital gain recognized by Nancy as a result of this distribution is $137,500" is true.

Who is Nancy?

Nancy receives a distribution of $170,000 form ABC corporation, an S corporation, in which she is the sole(100%) shareholder. ABC has an accumulated adjustment account of $22,500 and accumulated earning and profits of $2,500. Nancy basis her stock ABC corp is $30,000.

What is capital gain?

A capital gain is an increase in the value of an asset or investment resulting from the appreciation of its market value over time.The answer to this question is that the statement "The amount capital gain recognized by Nancy as a result of this distribution is $137,500" is true because of the following reasons: ABC Corporation is an S corporation, which means that it is a pass-through entity that allows profits and losses to pass through to shareholders. Therefore, the shareholders of an S corporation are taxed on their share of the corporation's income, whether or not that income is distributed. The accumulated adjustment account of ABC Corporation is $22,500. This is important because it represents the S corporation's tax-free earnings and profits. Nancy has a basis of $30,000 in ABC Corporation, which means that she has invested $30,000 in the corporation.

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the combination of frictional and structural unemployment (ignore seasonal) and with the assumption of 0% cyclical unemployment is:

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When considering 0% cyclical unemployment, the combination of frictional and structural unemployment would give rise to what is known as the natural rate of unemployment.

Frictional unemployment is a type of unemployment that occurs when workers leave their current jobs to search for new ones.

Structural unemployment, on the other hand, arises when the skills required for available jobs do not match the skill set of the available labor force.

A combination of these two types of unemployment can occur when the number of job seekers exceeds the number of jobs available.

The assumption of 0% cyclical unemployment suggests that there is no unemployment resulting from economic fluctuations.

This means that the economy is operating at full capacity, and there is no excess supply of labor.

In this case, the combination of frictional and structural unemployment would result in a total unemployment rate equal to the sum of the two.

This would be the natural rate of unemployment, which is the rate at which the economy operates at full capacity with stable prices and wages.

The natural rate of unemployment is not zero because there will always be some level of frictional and structural unemployment.

Frictional unemployment occurs as workers search for jobs that match their skills and preferences, while structural unemployment occurs due to changes in the economy that create a mismatch between the available labor force and the skills required for available jobs.

In conclusion, the combination of frictional and structural unemployment, assuming 0% cyclical unemployment, would result in the natural rate of unemployment.

This rate represents the level of unemployment that is consistent with a stable economy operating at full capacity.

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Need you assistance on the three questions
Position CCTV OPERATOR at University
1. Why are you interested in a position with CCTV?
2. What do you feel CCTV contributes to the Securiguard
community?
3. What skills do you think are necessary to effectively perform this position?

Answers

I am interested in a position with CCTV because I have a strong passion for ensuring safety and security in public spaces. Being able to monitor and analyze surveillance footage allows me to contribute to maintaining a secure environment, which aligns with my values and career aspirations.

As an AI language model, I can provide some general points that you could consider when answering these questions for a position as a CCTV operator:

Interest in surveillance and security: You can mention your interest in the field of surveillance and security and how it aligns with the responsibilities of a CCTV operator. Discuss any relevant experiences or skills you have in this area.

Attention to detail and problem-solving: Highlight your ability to pay close attention to details and your problem-solving skills, which are essential for effectively monitoring and analyzing CCTV footage.

Contribution to public safety: Mention that you are interested in contributing to public safety by actively monitoring and deterring potential security threats. Emphasize the importance of CCTV in enhancing security measures.

When discussing the contribution of CCTV to the Securiguard community, you can focus on the following points:

Enhanced surveillance and deterrence: CCTV systems act as a visible deterrent to potential criminals and provide an increased sense of security to the community members.

Incident response and investigation: CCTV footage can be invaluable in identifying and investigating incidents or crimes that occur within the community. It helps in gathering evidence and providing valuable information to law enforcement authorities.

Proactive monitoring and prevention: By actively monitoring the CCTV feeds, operators can identify and respond to suspicious activities or situations promptly, preventing potential security breaches or crimes from occurring.

Peace of mind for community members: Knowing that CCTV systems are in place and actively monitored provides a sense of peace of mind to community members, enhancing their overall security and well-being.

Skills necessary to effectively perform the position of a CCTV operator may include:

Knowledge of surveillance systems and technology: Familiarity with CCTV systems, cameras, and related technology is essential. This includes understanding camera placement, angles, zoom capabilities, and how to operate and troubleshoot the equipment.

Attention to detail and observation skills: The ability to pay close attention to detail, carefully observe CCTV footage, and identify any suspicious activities or potential security threats is crucial.

Communication and reporting: Strong verbal and written communication skills are needed to effectively report incidents or suspicious activities to the appropriate authorities and maintain clear and accurate records.

Analytical and problem-solving skills: CCTV operators must have the ability to analyze and interpret footage, identify patterns or anomalies, and make informed decisions in real-time.

Ability to remain calm under pressure: Security situations can be stressful and require CCTV operators to stay calm, focused, and respond effectively to emergencies or critical incidents.

Please note that these are general suggestions, and it's important to tailor your answers based on your own experiences, skills, and the specific requirements of the position you are applying for.

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Business Course Time left 0:14:26 Question 2 Incomplete answer Marked out of 7.00 Identifying and Classifying Balance Sheet and Income Statement Accounts Following are selected accounts for Proctor &

Answers

The total assets are $1,43,992 and total expenses are $28,891.

Given Data: Sales = $83,503 Net income = $12,075 Accumulated depreciation = $17,446 Depreciation expense = $3,166 Retained earnings = $48,986 Property, plant & equipment, net = $20,640 Selling, general & administrative expense = $25,725 Accounts receivable = $6,761 Total liabilities = $74,498 Stockholders' equity = $69,494

(i) Total Assets = Total Liabilities + Stockholders' Equity

Total Assets = $74,498 + $69,494 Total Assets = $1,43,992

(ii) Total Expenses = Depreciation Expense + Selling, General & Administrative Expense Total Expenses = $3,166 + $25,725 Total Expenses = $28,891

Hence, the total assets are $1,43,992 and total expenses are $28,891.

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Business Course Time left 0:14:26 Question 2 Incomplete answer Marked out of 7.00 Identifying and Classifying Balance Sheet and Income Statement Accounts Following are selected accounts for Proctor & Gamble. (a) Indicate whether each account appears on the balance sheet (B) or income statement (I). ($ millions) Classification Sales Net income Accumulated depreciation Depreciation expense Retained earnings Property, plant & equipment, net Selling, general & administrative expense Accounts receivable Total liabilities Stockholders' equity. Return to course Please answer all parts of the question. Previous Amount $83,503 12,075 17,446 3,166 48,986 20,640 25,725 6,761 74,498 69,494 (b) Using the data, compute total assets and total expenses.

Required information [The following information applies to the questions displayed below.] Legacy issues $710,000 of 8.0%, four-year bonds dated January 1, 2021, that pay interest semiannually on June 30 and December 31. They are issued at $621,812 when the market rate is 12%. 3. Prepare a straight-line amortization table for the bonds' first two years. (Round your intermediate and final answers to the neares whole dollar.)

Answers

In order to calculate the bond amortization table using the straight-line method for the first two years, the following steps should be followed:

Step 1: Determine the Total Interest payable over the life of the bond: Total Interest Payable = Coupon Rate x Face Value x Number of Periods= 8% x $710,000 x 4= $226,400.

Step 2: Calculate the Total Bond Premium: Total Bond Premium = Market Value of Bond – Face Value of Bond= $621,812 - $710,000= -$88,188Step 3: Calculate the Bond Premium Amortization per Period: Bond Premium Amortization = Total Bond Premium / Number of Periods= -$88,188 / 8= -$11,023.5Step 4: Prepare the Amortization Table:

Period Opening Balance Coupon Payment Interest Expense Bond Premium Amortization Closing Balance
Year 1 $621,812 $28,400 $62,448 -$11,023 $580,837
Year 2 $580,837 $28,400 $55,267 -$11,023 $552,580

Therefore, the straight-line amortization table for the first two years is presented above.

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Which of the following is an example of a predictive measure if our interest is in lead time performance? options: 1) Time that it took to complete an order 2) Knowing where the order is in the relevant process 3) Number of orders completed on or before their promised due dates 4) Time from the moment that the order was placed by the customer until the customer received the order.

Answers

The example of a predictive measure for lead time performance is option 4) Time from the moment that the order was placed by the customer until the customer received the order.

The time from the moment an order is placed by the customer until the customer receives the order is a relevant measure for predicting lead time performance. This measure provides valuable information about the efficiency and effectiveness of the order fulfillment process.

By tracking the time taken for an order to be processed, produced, and delivered to the customer, businesses can assess their ability to meet customer expectations and manage lead times. This measure allows companies to evaluate their performance in terms of delivering orders within the expected timeframe.

By analyzing this data, businesses can identify areas of improvement, optimize their processes, and make adjustments to ensure timely order fulfillment. It helps in predicting and monitoring lead time performance, which is crucial for maintaining customer satisfaction and operational efficiency.

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NY Fashions has the following data. If it follows the residual dividend model, how much total dividends, if any, will
it pay out?
Capital budget
$1,400.000
% Debt
65%
Net income (NI)
$735,000
O $247,450
O $301,350
O $245,000
O $225,400
O $186,200

Answers

Total dividends are the total amount of dividends that a firm has distributed to its shareholders during a given time period. As a return on their investment, dividends are a portion of a company's earnings that are given to shareholders.

The Residual Dividend model proposes that once the capital expenditures have been met, the firm should pay out dividends from any residual profits.

The first step in calculating the total dividends that NY Fashions will pay is to calculate the equity financing amount. The Equity financing amount can be calculated using the formula:

Equity Financing = Capital Budget * (1- % Debt)

Equity Financing = $1,400,000 * (1 - 0.65)Equity Financing = $490,000

Now, we can calculate the dividends using the following formula:

Dividends = Net Income - (Equity Financing * Required Return on Equity)

Dividends = $735,000 - ($490,000 * 0.15)

Dividends = $735,000 - $73,500

Dividends = $661,500. Therefore, NY Fashions will pay out $661,500 in total dividends if it follows the residual dividend model. Thus, option A is the correct answer.

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A company issued 50 shares of $100 par value common stock for $7.400 cash. The Journal entry to record the issuance is: Multiple Choice a. Debit Cash $7,400, credit Paid-in Capital in Excess of Par Value, Common Stock $5,000, credit Common Stock $2.400. b. Debit Common Stock $5,000, debit Investment in Common Stock $2,400, credit Cash $7,400. c. Debit Cash $7,400; credit Common Stock $7,400. d. Debit Investment in Common Stock $7,400; credit Cash $7,400 e. Debit Cash $7,400, credit Common Stock $5,000; credit Paid-in Capital in Excess of Par Value, Common Stock $2,400

Answers

The correct answer is option E. Journal entry to record the issuance of 50 shares of $100 par value common stock for $7.400 cash is:Debit Cash $7,400, credit Common Stock $5,000; credit Paid-in Capital in Excess of Par Value, Common Stock $2,400.

Investment is an asset or item obtained with the goal of generating income or appreciation. Investment is the act of putting money into something with the expectation of generating income or profit in the future. Investment is divided into two types- Capital Investment and Revenue Investment.

A share represents an investor's ownership of a business entity's assets and earnings. Shares are an investment in the company's equity, which is composed of a company's total assets minus its total liabilities.

In the present question, the company issued 50 shares of $100 par value common stock for $7.400 cash. The journal entry to record the issuance of common stock at par value would be as follows:

Debit Cash for $7,400 and Credit Common Stock for $5,000 and Paid-in Capital in Excess of Par Value, Common Stock for $2,400.

Therefore, the correct option is E. Debit Cash $7,400, credit Common Stock $5,000; credit Paid-in Capital in Excess of Par Value, Common Stock $2,400.

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5. A document that is part of an internal control voucher system, but is strictly used internally within the company is the 6. A legal defense used by banks to limit their liability in the situation i

Answers

5. A document that is part of an internal control voucher system is known as a Memorandum Voucher.

6. A legal defense used by banks to limit their liability in the situation is known as the clean hands doctrine.

5. A document that is part of an internal control voucher system, but is strictly used internally within the company is known as a Memorandum Voucher.

Memorandum Voucher is an informal accounting document used by a company's internal department. It acts as a supporting document for a transaction that occurs in a company's internal accounting system. A memorandum voucher is used to keep track of a company's cash flow when it is under audit. These documents are kept by the company's finance department to keep track of financial transactions that have occurred within the organization.

6. A legal defense used by banks to limit their liability in the situation is known as the "clean hands doctrine."

Banks use the "clean hands doctrine" as a legal defense to limit their liability in a situation. The clean hands doctrine is a legal term used to describe a situation in which a party may not seek relief from an unfair transaction if that party is also at fault. Banks use the "clean hands doctrine" to argue that the plaintiff cannot seek relief because they were also complicit in the fraudulent transaction.

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A firm is analysing its cash budget for June. Assuming its total cash receipts is $1230 and cash expenses is $745. If the company has a minimum desired cash balance of $1000 and ended the month of May with $300, how much loans must the firm take to meet its requirements for June.
O a. $1000
O b. $215
O c. $515
O d. No loans are needed

Answers

The firm needs to take a loan of $215 to bridge the gap between its cash availability and the minimum desired cash balance. Hence, option b. $215 is the correct answer.

The firm must take a loan of $515 to meet its requirements for June.

To determine the loan amount needed, we need to consider the cash receipts, cash expenses, minimum desired cash balance, and the cash balance at the end of the previous month.

Starting with the cash balance at the end of May, which is $300, we add the total cash receipts for June, which is $1230. This gives us a total cash availability of $1530.

Next, we subtract the cash expenses for June, which is $745. This leaves us with a cash surplus or deficit of $785.

Since the firm has a minimum desired cash balance of $1000, we compare the cash surplus/deficit with this desired balance. In this case, the cash deficit is $215 ($1000 - $785).

Therefore, the firm needs to take a loan of $215 to bridge the gap between its cash availability and the minimum desired cash balance. Hence, option b. $215 is the correct answer.

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* To what extent do you agree with technological
determinism? explain with example

Answers

Technological determinism is a theory that suggests technology is the primary driver of social and cultural change. It posits that technological advancements shape and determine the trajectory of human development, often with little influence from individuals or society.

The extent to which one agrees with technological determinism can vary. Some argue that technology does indeed have a significant impact on shaping society, citing examples such as the internet revolutionizing communication or the advent of smartphones transforming various aspects of daily life.

However, critics of technological determinism argue that it oversimplifies the complex relationship between technology and society. They contend that technology is not inherently deterministic but rather shaped by social, cultural, and economic factors. For example, the adoption and use of a particular technology can be influenced by societal norms, government regulations, or individual preferences.

Overall, it is important to consider both the influence of technology on society and the reciprocal relationship between them. While technology can be a catalyst for change, it is often intertwined with social, economic, and cultural contexts that shape its development and impact.

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just like the simple linear regression model, the multiple linear regression model requires a similar assumption regarding the expected value of the error term and the independent variables. which of the following best represents this assumption for the multiple linear regression model?

Answers

The expected value of the error term is zero for all values of the independent variables.

In the multiple linear regression model, one of the key assumptions is that the expected value of the error term is zero for all values of the independent variables. This assumption is known as the conditional mean assumption. It implies that on average, the errors are unbiased and do not systematically overestimate or underestimate the true values of the dependent variable.

In simple linear regression, this assumption is also present. However, in the multiple linear regression model, it extends to multiple independent variables. The assumption states that when considering the combined effect of all the independent variables, the expected value of the error term should be zero.

This assumption is important for the interpretation and estimation of the coefficients in the multiple linear regression model. Violations of this assumption can lead to biased and inefficient estimates.

The assumption for the multiple linear regression model regarding the expected value of the error term and the independent variables is that the expected value of the error term is zero for all values of the independent variables.

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Alibaba’s stock is traded both in both New York and Hong Kong. The prices are:
NYSE: USD16.00 per share and HKSE: HKD 120.00 per share. Spot rate is
USD1= HKD 7.80. Compute the arbitrage profit based on one share of the stock.

Answers

The arbitrage profit based on one share of Alibaba's stock is HKD 4.80.

To compute the arbitrage profit based on one share of Alibaba's stock, we need to determine if there is an opportunity for a risk-free profit by taking advantage of the price difference between the New York Stock Exchange (NYSE) and the Hong Kong Stock Exchange (HKSE) after converting the currencies.

Convert the HKD price to USD:

HKD 120.00 / 7.80 = USD 15.38 per share

Compare the converted HKD price to the NYSE price:

USD 15.38 < USD 16.00

Since the converted HKD price is lower than the NYSE price, there is an opportunity for arbitrage.

Buy one share of Alibaba's stock on the HKSE for HKD 120.00.

Sell the same share on the NYSE for USD 16.00.

Convert the USD profit back to HKD:

USD 16.00 * 7.80 = HKD 124.80

Calculate the arbitrage profit:

HKD 124.80 - HKD 120.00 = HKD 4.80

Therefore, the arbitrage profit based on one share of Alibaba's stock is HKD 4.80.

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On July 1, 2021, H Company purchased P750,000 face value I Company 8% bonds for P682,500 plus accrued interest to yield 10%. The bonds were designated at fair value through profit or
loss. The bonds mature on January 1, 2025 and pay interest annually on January 1. On December 31, 2021, the bonds had fair value of P708,750. On February 14, 2022, H Company sold
bonds for P690,000 plus accrued interest.
Determine the following:
What amount should H Company report as debt investments on December 31, 2021?
What is the interest income for the year 2021?
a. P30,000
b.P37,500
c. P34,125
d. P27,300

Answers

H Company should report P708,750 as debt investments on December 31, 2021, which is the fair value of the bonds at that date. The interest income for the year 2021 is P34,125 (8% of the face value of P750,000).

The fair value of the bonds on December 31, 2021, is used to determine the carrying value of the debt investments. Since the bonds were designated at fair value through profit or loss, any changes in fair value are recognized in the company's financial statements. Therefore, the fair value of P708,750 should be reported as debt investments on December 31, 2021.

The interest income for the year 2021 can be calculated by multiplying the face value of the bonds (P750,000) by the stated interest rate (8%). Therefore, the interest income for the year 2021 is P34,125.

By selecting option c, the main answer accurately reflects the correct amount of interest income for the year 2021 and the correct reporting of debt investments on December 31, 2021.

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Discuss the barriers to and the challenges of
implementing diversity in the workplace

Answers

The importance of diversity and inclusion to all stakeholders. It is also essential to continually assess and adjust diversity initiatives to ensure they are effective and sustainable over time.

Diversity in the workplace can bring a range of benefits, including increased innovation, improved employee engagement and retention, and better decision-making. However, implementing diversity initiatives can also be challenging due to several barriers and obstacles that organizations may face. Some of the most common barriers and challenges include:

Resistance to change: Implementing diversity initiatives often requires changes to the organizational culture, policies, and practices. This can create resistance among some employees who may feel threatened or uncomfortable with the changes.

Lack of leadership support: Without strong leadership support and commitment to diversity initiatives, it can be challenging to convince employees to embrace these changes.

Unconscious bias: Unconscious biases and stereotypes can influence hiring, promotion, and performance evaluation decisions, which can hinder efforts to increase diversity in the workplace.

Limited candidate pool: In some industries or regions, there may be a limited pool of qualified candidates from diverse backgrounds, making it difficult to achieve diversity goals.

Communication breakdowns: Effective communication is crucial for successful diversity initiatives. However, misunderstandings, lack of communication, or poor communication can lead to confusion, distrust, and disengagement.

Resistance from stakeholders: External stakeholders such as customers, suppliers, and investors may resist or question the organization's diversity initiatives, leading to negative publicity or reputational damage.

To overcome these barriers and challenges, organizations must take a comprehensive and systematic approach to diversity initiatives. This includes developing clear goals and objectives, creating a supportive and inclusive culture, providing diversity training to employees, establishing metrics to track progress, and regularly communicating the importance of diversity and inclusion to all stakeholders. It is also essential to continually assess and adjust diversity initiatives to ensure they are effective and sustainable over time.

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Theories of business purpose that view a firm should maximise value of all individuals or groups that influence or are influenced by the realisation of the firm's goal is....
Shareholder Theory
Stakeholder Theory
Shareholder value myth
Shareholder welfare theory

Answers

The theory of business purpose that views a firm should maximize the value of all individuals or groups that influence or are influenced by the realization of the firm's goal is called stakeholder theory.

Stakeholder theory is a theory of organizational management and business ethics that emphasizes the interests of all stakeholders (i.e., anyone who can affect or is affected by an organization's decisions and actions) rather than merely the interests of shareholders.

This theory posits that firms have a responsibility to consider the interests of stakeholders beyond just shareholders, such as employees, customers, suppliers, and the broader community.Stakeholder theory is in contrast to shareholder theory, which posits that a firm should focus solely on maximizing shareholder value.

The shareholder theory is commonly referred to as the shareholder value myth or shareholder welfare theory, which is a controversial theory as it believes that the only purpose of business is to maximize the profits of shareholders, leaving no room for other stakeholders.

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You are thinking about investing in a 1-year call option on GE stock with an exercise price of $95.5. The current price of a stock is $92, and at the end of one year its price will be either $88 or $98. Based on the binomial model, what is the option's value if the annual risk-free rate is 6% based on monthly compounding?

Answers

The option's value if the annual risk-free rate is 6% based on monthly compounding is $5.52.

The given information for the calculation of a 1-year call option on GE stock with an exercise price of $95.5 is as follows:

Stock price today (S0) = $92

Exercise price (E) = $95.5

Stock price after 1 year (u) = $98

Stock price after 1 year (d) = $88

Risk-free rate (r) = 6%

Dividend yield (q) = 0

Using the binomial model, the calculation for the option's value is:

Option value = [q × u(S0) − d(S0)] ÷ [u − d]

Option value = [0 × $98 − $88] ÷ [$98 − $88]Option value = $1

Using the formula for the risk-free discount factor, the calculation for the value of the call option is:

Discount factor = e−r×t

Discount factor = e−0.06×1

Discount factor = 0.9433

Using the risk-neutral probability formula, the calculation for the probability of the stock price going up is:

Risk-neutral probability (p) = (e(r−q)×t − d) ÷ (u − d)

Risk-neutral probability (p) = (e(0.06−0)×1 − $88) ÷ ($98 − $88)

Risk-neutral probability (p) = 0.4843

Therefore, the probability of the stock price going down is:1 − p = 1 − 0.4843 = 0.5157Using the formula for the call option value, the calculation for the option's value is:

Option value = e−r×t [pu(S0) + (1 − p)d(S0)]

Option value = 0.9433 [0.4843 × $98 + 0.5157 × $88]

Option value = $5.52

Therefore, the option's value if the annual risk-free rate is 6% based on monthly compounding is $5.52.

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You’re looking for a new employee at your Little Brown Bean
coffee shop. Sandwiches are your biggest seller, and you want to
ensure you get a great person to become your sandwich artist.
You’ve ju

Answers

Using the job of sandwich artist, the job description of the position would be Sandwich Artist.

How to make the job description ?

Job Description: Sandwich Artist

Position: Sandwich Artist

Company: Little Brown Bean Coffee Shop

Location: [Insert location]

Job Summary:

Little Brown Bean Coffee Shop is seeking a skilled and enthusiastic individual to join our team as a Sandwich Artist. As a key member of our food service team, the Sandwich Artist will be responsible for crafting delicious and high-quality sandwiches for our valued customers. The ideal candidate should have a passion for food, possess excellent customer service skills, and demonstrate the ability to work efficiently in a fast-paced environment.

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Full question is:

You’re looking for a new employee at your Little Brown Bean coffee shop. Sandwiches are your biggest seller, and you want to ensure you get a great person to become your sandwich artist.

Instructions

Using the job of sandwich artist, make up a job description for your position following the criteria giving below in “Writing a Job Description.” Hint: Search for Food Counter Attendant at the Government of Canada Job Bank.

assume that the required reserve ratio is 10 percent. if excess reserves are $5 million and the circulating currency is $25 million, the maximum possible value for m1 is $5.5 million $30 million $75 million $250 million $255 million

Answers

Adding demand deposits ($5 million) to circulating currency ($25 million) yields a maximum possible value of $255 million.

The maximum possible value for m1 is $255 millionAssuming that the required reserve ratio is 10 percent, excess reserves are $5 million and the circulating currency is $25 million. It means that the total reserves are $30 million.The required reserve ratio is the percentage of total deposits that a bank must hold in reserve and not loan out. By multiplying the circulating currency ($25 million) by the required reserve ratio (10 percent), we can determine the amount of money that banks are required to hold in reserve. 10 percent of $25 million is $2.5 million. The total required reserves are $2.5 million, and the excess reserves are $5 million. The maximum possible value for m1 is equal to circulating currency plus demand deposits. Demand deposits are the portion of total deposits that can be withdrawn immediately without notice. Total deposits equal to circulating currency divided by the required reserve ratio. $25 million / 10 percent is $250 million.

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Explain how employee welfare and employee development can
motivate employees to do their jobs well

Answers

Employee welfare and employee development can motivate employees to do their jobs well by providing them with a sense of belonging and purpose within the company. Employees who feel valued and cared for are more likely to be productive and motivated at work.

Employee welfare refers to the well-being of employees, both physically and mentally. The implementation of employee welfare measures helps employees feel valued and supported in the workplace.

This includes things such as providing adequate working conditions, safety measures, health insurance, paid leave, and other benefits that contribute to employees’ overall well-being.

Employee development, on the other hand, refers to providing employees with the tools and resources they need to improve their skills and advance their careers

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according to the bad weather video, when a driver stops on slick pavement by pressing the brake firmly to the point just before the wheels lock is known as _____ braking.

Answers

According to the information provided in the bad weather video, when a driver stops on slick pavement by pressing the brake firmly to the point just before the wheels lock, it is known as threshold braking.

Threshold braking is a technique used to maximize braking effectiveness while maintaining control of the vehicle on slippery surfaces. By applying steady pressure to the brake pedal without allowing the wheels to lock up, the driver can achieve optimal braking force and prevent the loss of traction that can occur when the wheels lock.

This technique allows the driver to maintain steering control and reduce the risk of skidding or sliding during the braking maneuver.

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Mr. Austin noticed that the spot price of ABC stock is $100. He also learnt that the returns on the stock are normally distributed with mean 8% and variance 25% per annum. With this information, what will be 3 standard deviation change in the price of the stock in 3 weeks for Mr. Austin?

Answers

the three standard deviation change in the price of the stock in 3 weeks for Mr. Austin is approximately 0.486%.

To calculate the three standard deviation change in the price of the stock in 3 weeks, we need to convert the annual mean and variance into the corresponding values for the given time period.

Given:

Spot price of ABC stock = $100

Mean return = 8% per annum

Variance = 25% per annum

Since we are interested in a 3-week period, we need to adjust the mean and variance accordingly.

Time period conversion:

3 weeks is approximately (3/52) years.

To calculate the mean return for 3 weeks, we multiply the annual mean by the time period:

Mean return for 3 weeks = (8% per annum) * (3/52) = 0.4615%

To calculate the variance for 3 weeks, we multiply the annual variance by the square of the time period:

Variance for 3 weeks = (25% per annum) * (3/52)^2 = 0.2632%

Now, to find the three standard deviation change, we take the square root of the variance and multiply it by three:

Three standard deviation change = 3 * √(variance for 3 weeks)

Three standard deviation change = 3 * √(0.2632%) ≈ 3 * 0.162%

Calculating this expression, the three standard deviation change in the price of the stock in 3 weeks for Mr. Austin is approximately 0.486%.

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