Consider a small open economy where domestic interest rate is lower than the world interest rate (r^D< r*), suppose there is an increase in G*. Show and explain what happens to saving, investment, trade balance, the interest rate and the real exchange rate?

Answers

Answer 1

Answer: Here are the effects of an increase in G* in a small open economy where domestic interest rate is lower than the world interest rate (r^D< r*):

Saving: Saving will decrease. This is because an increase in G* will lead to an increase in income, which will increase consumption and decrease saving.Investment: Investment will increase. This is because an increase in G* will lead to an increase in demand for goods and services, which will increase investment.Trade balance: The trade balance will decrease. This is because an increase in G* will lead to an increase in imports, which will offset the increase in exports.Interest rate: The interest rate will increase. This is because an increase in G* will lead to an increase in demand for money, which will increase the interest rate.Real exchange rate: The real exchange rate will appreciate. This is because an increase in G* will lead to an increase in the demand for domestic currency, which will appreciate the real exchange rate.

Explanation: Here is a more detailed explanation of each of these effects:

Saving: An increase in G* will lead to an increase in income, which will increase consumption and decrease saving. This is because people will have more money to spend, and they will be more likely to spend it on goods and services rather than save it.Investment: An increase in G* will lead to an increase in demand for goods and services, which will increase investment. This is because businesses will see an increase in demand for their products, and they will be more likely to invest in order to meet this demand.Trade balance: The trade balance will decrease. This is because an increase in G* will lead to an increase in imports, which will offset the increase in exports. This is because an increase in G* will lead to an increase in income, which will increase the demand for goods and services. Some of this demand will be met by domestic production, but some of it will be met by imports. As a result, imports will increase. Exports may also increase, but not by as much as imports. As a result, the trade balance will decrease.Interest rate: The interest rate will increase. This is because an increase in G* will lead to an increase in demand for money, which will increase the interest rate. This is because people will need more money to buy the goods and services that are being produced, and they will be willing to borrow money to do so. As a result, the demand for money will increase, and the interest rate will increase.Real exchange rate: The real exchange rate will appreciate. This is because an increase in G* will lead to an increase in the demand for domestic currency, which will appreciate the real exchange rate. This is because people will want to hold more domestic currency in order to buy the goods and services that are being produced. As a result, the demand for domestic currency will increase, and the real exchange rate will appreciate.


Related Questions

Salesperson Sally works for Broker Bob. She had a listing on Mrs. Smith's home and has found a buyer for the property and the property has been sold. Mrs. Smith is so happy with the service provided by Salesperson Sally that she wants to pay a bonus directly to Sally, over and above the commissions called for in the listing contract. Sally should tell Mrs. Smith:
Select one:
a. Payment of this bonus would be illegal under any circumstance
b. The payment is permissible and may be made directly to Sally
c. The payment would only be permissible if the check is written to Salesperson Sally and Broker Bob jointly
d. The payment would only be permissible if the payment was made to Broker Bob

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The payment is permissible and may be made directly to Sally. A broker is a person or organization that works as an intermediary between the buyers and sellers of securities. The correct option is b.

Salesperson Sally works for Broker Bob. She had a listing on Mrs. Smith's home and has found a buyer for the property and the property has been sold. Mrs. Smith is so happy with the service provided by Salesperson Sally that she wants to pay a bonus directly to Sally, over and above the commissions called for in the listing contract. Sally should tell Mrs. Smith that the payment is permissible and may be made directly to Sally.

The payment is permissible and may be made directly to Sally. A broker is a person or organization that works as an intermediary between the buyers and sellers of securities. The correct option is b. A salesperson who works for a broker assists in completing transactions. The salesperson Sally, in this scenario, works for Broker Bob and has listed Mrs. Smith's home, found a buyer, and sold the property. Mrs. Smith is delighted with Sally's service and wants to pay Sally a bonus over and above the commissions stated in the listing agreement. Sally should inform Mrs. Smith that payment of the bonus is permissible and can be paid directly to Sally because it is a personal arrangement between the two of them, and it has no bearing on Broker Bob's role as a listing broker.

Broker Bob's commission and Sally's bonus will be paid by the escrow company at the close of the sale. It is critical to note that the listing contract governs the broker's relationship with the client, and any payments outside the terms of the listing contract must be disclosed to the broker and documented in writing. However, in this case, because Sally informed Mrs. Smith of the payment, it is permissible. A written agreement is not required. Sally should thank Mrs. Smith for her confidence and good wishes. She should also inform her that Broker Bob's commission must be paid in full, and Sally's bonus payment is separate from the listing agreement's terms and conditions.

In conclusion, Sally should inform Mrs. Smith that the payment is permissible, and it may be made directly to Sally. The payment is a personal arrangement between Sally and Mrs. Smith, and it has no bearing on Broker Bob's role as a listing broker. Broker Bob's commission and Sally's bonus will be paid by the escrow company at the close of the sale.

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Compute the traditional payback period (PB) for a project that costs $54,000 if it is expected to generate $18,000 per year for six years? Round your answer to the nearest whole number.
If the firm's required rate of return is 15 percent, what is the project's discounted payback period (DPB)? Do not round intermediate calculations. Round your answer to two decimal places.
Should the project be purchased?

Answers

To calculate the traditional payback period (PB) for the project, we divide the initial investment by the annual cash inflow until the cumulative cash inflow equals or exceeds the initial investment.

Traditional Payback Period (PB):

Initial Investment: $54,000

Annual Cash Inflow: $18,000

PB = Initial Investment / Annual Cash Inflow

  = $54,000 / $18,000

  = 3 years

Therefore, the traditional payback period for the project is 3 years.

To calculate the discounted payback period (DPB), we consider the time value of money by discounting the cash inflows using the required rate of return. We compare the cumulative discounted cash inflows to the initial investment to determine the DPB.

Discounted Payback Period (DPB):

Required Rate of Return: 15%

Initial Investment: $54,000

Annual Cash Inflow: $18,000

First, we calculate the discounted cash inflow for each year:

Discounted Cash Inflow = Annual Cash Inflow / (1 + Required Rate of Return)^

Year 1: $18,000 / (1 + 0.15)^1 = $15,652.17

Year 2: $18,000 / (1 + 0.15)^2 = $13,587.98

Year 3: $18,000 / (1 + 0.15)^3 = $11,831.25

Year 4: $18,000 / (1 + 0.15)^4 = $10,333.41

Year 5: $18,000 / (1 + 0.15)^5 = $9,054.01

Year 6: $18,000 / (1 + 0.15)^6 = $7,960.87

Next, we calculate the cumulative discounted cash inflow until it equals or exceeds the initial investment:

Cumulative Discounted Cash Inflow:

Year 1: $15,652.17

Year 2: $15,652.17 + $13,587.98 = $29,240.15

Year 3: $29,240.15 + $11,831.25 = $41,071.40

Year 4: $41,071.40 + $10,333.41 = $51,404.81

Year 5: $51,404.81 + $9,054.01 = $60,458.82

Year 6: $60,458.82 + $7,960.87 = $68,419.69

The discounted payback period is the smallest whole number where the cumulative discounted cash inflow exceeds the initial investment. In this case, it is 4 years.

Therefore, the discounted payback period (DPB) for the project is 4 years.

To determine whether the project should be purchased, we compare the traditional payback period (PB) and the discounted payback period (DPB) to the desired investment criteria. If the PB and DPB are less than the desired criteria, the project should be purchased. Otherwise, it should be rejected.

In this case, both the PB (3 years) and DPB (4 years) are less than the desired investment criteria. Therefore, based on these criteria, the project should be purchased.

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In December 2021, Orange Island Company received $40,000 cash for services that it will provide in 2022. It also paid $18,000 cash for the annual insurance policy effective January 1, 2022. The net impact of the two transactions in December 2021 is: a) 22,000 increase in assets and 40,000 increase in liabilities under accrual basis; 40,000 increase in revenue and 18,000 increase in expenses under cash basis. b) 22,000 increase in assets and 40,000 increase in liabilities under accrual basis; 40,000 increase in revenue and 18,000 increase in expenses under cash basis. c) 40,000 increase in assets under accrual basis; 40,000 decrease in assets and 40,000 increase in liabilities under cash basis. d)
increase in liabilities under cash basis. d)

Answers

The net impact of the two transactions in December 2021 is 22,000 increase in assets and 40,000 increase in liabilities under accrual basis; 40,000 increase in revenue and 18,000 increase in expenses under cash basis. The correct option is b).

The net impact of the two transactions in December 2021 is an increase in revenue and assets, and an increase in expenses and liabilities. Orange Island Company received $40,000 cash for services that it will provide in 2022. This $40,000 should be treated as deferred revenue in December 2021, and the company must recognize it as revenue in 2022.

The $18,000 paid for an annual insurance policy is considered a prepaid expense and is included in the balance sheet as an asset. Insurance is one of the prepaid expenses that a company may need to pay for in advance. The payment of this expense in December 2021 ensures that the insurance policy will be effective from January 1, 2022, through December 31, 2022.

The net impact of the two transactions in December 2021 is an increase in revenue and assets, and an increase in expenses and liabilities. The income statement and balance sheet of the Orange Island Company reflect these two transactions. As a result, the company's assets have increased by $22,000 ($40,000-$18,000), and its liabilities have increased by $40,000 under the accrual basis of accounting.

In conclusion, the net impact of the two transactions in December 2021 is an increase in revenue and assets, and an increase in expenses and liabilities. Option b is the correct answer.

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An American retail chain, entering the European market and wishing to increase its market share rapidly, has decided to set up its UK headquarters in Leeds City Centre. The client has bought land to construct a £75m office complex. The office complex is eight storeys high, with the location for the development comprising a gap site between two large multi-storey office blocks. Each of these buildings is new, with insurance companies, banks and advertising and management consultants as occupants. The proposed new office development has main city roads to the front and rear of the site, with other offices, retail outlets and restaurants in the near vicinity also. The new development will require substantial Information Technology (IT) requirements, including high levels of mechanical and electrical (M&E) service installations to handle heat gains and provide a reliable, controlled internal environment. A geotechnical site investigation undertaken by the client as part of the land acquisition process has indicated that the ground conditions could be classed as ‘difficult’. The American client is keen to ensure that the office complex reflects their corporate status, with it also potentially becoming the primary headquarters for their European operations within the next five years. You have been hired as a consultant to advise the American client on procurement. Write a report advising on:

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Procurement is an essential aspect of any project, and it involves acquiring goods and services to accomplish the project objectives. The procurement plan defines the objectives and outlines the procedures that the team will follow to acquire the goods and services necessary to complete the project. Procurement can be achieved through a variety of methods, including bidding, tendering, and negotiating. The following is a report advising an American retail chain that is entering the European market on procurement.

Advice on procurement:
For the new office development, the American retail chain must ensure that they have the right procurement strategy to ensure that the construction of the office complex is done smoothly and efficiently. The following are recommendations on procurement that the company should consider:

1. Develop a procurement plan
The first step is to create a procurement plan that outlines the procurement process. The plan should outline the objectives and goals of the procurement process and specify the procurement method to be used. The procurement plan should be reviewed and updated regularly throughout the project.

2. Consider the local market
Before selecting suppliers, the American retail chain must conduct research to understand the local market. This research will help identify potential suppliers and help them understand the procurement process. Local banks can be used to help with foreign exchange rates, and the company should consider local contractors that understand the local regulations.

3. Build relationships with suppliers
Building relationships with suppliers is essential for successful procurement. The company should communicate its needs and expectations to the suppliers, and both parties should have an open line of communication throughout the procurement process.

4. Use technology to aid procurement
The American retail chain requires substantial Information Technology (IT) requirements, including high levels of mechanical and electrical (M&E) service installations. The company should consider using technology to help streamline the procurement process, such as using procurement software to monitor the procurement process.

5. Assess the procurement process regularly
The American retail chain should assess the procurement process regularly to identify any issues that need to be addressed. By evaluating the procurement process, the company can improve the process and ensure that the project is progressing smoothly.

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Recently the Economist magazine reported that the European Central Bank (ECB) will follow a tight monetary policy which would place a tight squeeze on indebted countries. This statement is assuming that: a. interest on the debt is fixed b. interest on the debt is floating (or variable) c. interest on the debt remains constant
d. None of the options can be assumed

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The statement, "Recently the Economist magazine reported that the European Central Bank (ECB) will follow a tight monetary policy which would place a tight squeeze on indebted countries" Option B: Interest on the debt is floating (or variable)

is assuming that the interest on the debt is floating (or variable). This is because a tight monetary policy leads to higher interest rates, which means that the interest on the debt will rise. If the interest on the debt is fixed, then it will not be affected by changes in the monetary policy of the European Central Bank (ECB).

Similarly, if the interest on the debt remains constant, then it will not be affected by changes in the monetary policy of the European Central Bank (ECB). Hence, the correct answer is option B, i.e. interest on the debt is floating (or variable).

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write an email for NBC company in US which exports XP sensors , write it as considering your self in an importer company which you are requesting 4000pieces of XP sensors to be imported to china for your company ( company name: china south west technology)?

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Subject: Request for Import of 4,000 XP Sensors for China South West Technology

Dear NBC Company,

First and foremost, we would like to express our appreciation for NBC Company's reputation for producing high-quality XP sensors. China South West Technology has been actively involved in the technology industry for several years, and we are constantly seeking reliable suppliers who can meet our growing demands. After extensive market research and evaluation, we have identified your company as a reliable source of XP sensors that meet our specific requirements.

Considering the growing demand for XP sensors in the Chinese market, we believe that a partnership between our companies would be advantageous for both parties. As an importer, we have a strong distribution network and established relationships with numerous technology companies in China. By importing 4,000 XP sensors from NBC Company, we can ensure that your products reach a wide customer base and contribute to the technological advancements in our region.

We kindly request you to provide us with detailed information regarding the pricing, specifications, and delivery terms for the 4,000 XP sensors. Additionally, if you offer any bulk discounts or have any special arrangements for long-term partnerships, please include that information as well.

We look forward to receiving your prompt response and exploring the possibilities of a fruitful collaboration between our companies. Should you require any further information or have any questions, please do not hesitate to contact us.

Thank you for your attention to this matter.

Sincerely,

[Your Name]

[Your Position]

China South West Technology

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You have been given the task of Preparing interview questions for a female candidate who has applied for the role of Project Manager in rural Alberta. You have to ensure your questions are both valid and reliable as well as non-discriminatory in nature. You must prepare at least 10 Questions. Mention 2 referrences below.

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These concise interview questions assess the candidate's experience in managing rural projects, stakeholder engagement, adapting methodologies, successful resource allocation, teamwork, risk mitigation, community relationships, coordination with local government, and addressing environmental factors. References from PMI and ARDN provide guidance.

Can you describe your experience in managing projects in a rural setting?How do you approach stakeholder engagement and communication in rural communities?How do you adapt project management methodologies to suit the unique challenges of rural Alberta?Can you share an example of a successful project you managed in a resource-constrained rural environment?How do you prioritize and allocate resources in rural project management?How do you ensure effective teamwork and collaboration in a dispersed rural team?What strategies do you employ to mitigate risks and uncertainties specific to rural projects?How do you manage community relationships and ensure the project's benefits are inclusive and sustainable?Can you discuss your experience in coordinating with local government and regulatory bodies in rural areas?How do you address the potential impact of environmental factors in rural project planning and execution?

These questions are designed to assess the candidate's relevant experience, skills, and knowledge for the role of a Project Manager in rural Alberta.

They focus on various aspects of rural project management, including

Stakeholder engagementResource allocationRisk managementCommunity relationshipsEnvironmental considerations

The questions aim to be both valid and reliable by directly addressing the requirements of the position and seeking specific examples from the candidate's past experience.

Furthermore, they are non-discriminatory in nature, avoiding any bias based on gender, ethnicity, or other protected characteristics. It is important to ensure fair and equal treatment of all candidates during the interview process.

References:

Project Management Institute (PMI): The PMI provides guidelines, standards, and best practices for project management, including those applicable to rural projects. Their resources can help ensure the validity and reliability of the interview questions.

Alberta Rural Development Network (ARDN): The ARDN specializes in rural development and can provide insights and information specific to rural Alberta, helping to inform the interview questions and ensure their relevance and non-discriminatory nature.

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The market value of ABC Company's equity is £15 million and the market value of its debt is £5 million. If the required rate of return on the equity is 23 percent and that on its debt is 8 percent, calculate the company's cost of capital. (Assume no taxes.) a)19.25 b)17 c)11 d)20.6

Answers

The WACC is 19.75%. The closest option provided is 19.25, but the accurate calculation yields a slightly different result. (Option A).

How to Solve the Problem?

To reckon the cost of capital for ABC Company, we need to find the burden average cost of capital (WACC) utilizing stock exchange principles and necessary rates of return for two together impartiality and debt.

First, allow's reckon the weights of impartiality and obligation in the party's capital building:

Weight of Equity = Market Value of Equity / (Market Value of Equity + Market Value of Debt)

= £15 heap / (£15 heap + £5 heap)

= 15 / 20

= 0.75

Weight of Debt = Market Value of Debt / (Market Value of Equity + Market Value of Debt)

= £5 heap / (£15 heap + £5 heap)

= 5 / 20

= 0.25

Next, we can reckon the cost of impartiality and cost of debt:

Cost of Equity = Required Rate of Return on Equity = 23%

Cost of Debt = Required Rate of Return on Debt = 8%

Finally, we can reckon the WACC utilizing ability:

WACC = (Weight of Equity * Cost of Equity) + (Weight of Debt * Cost of Debt)

WACC = (0.75 * 23%) + (0.25 * 8%)

= 0.1775 + 0.02

= 0.1975

Converting to a portion:

WACC = 19.75%

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Based upon the discussions on the 5-forces model and business strategy, describe how product differentiation strategy may influence a firm’s relationships with buyers and suppliers to affect economic value the firm can create.
Johny Ive, the chief design officer at Apple, left Apple in 2019 to start his own design firm, LoveFrom. LoveFrom provides innovative industrial designs to clients in various sectors. Based on our discussion on social capital, please discuss the types of social capital Johny should create to promote his firm’s innovation capability.

Answers

Product differentiation is a marketing strategy used to differentiate the company's products from competitors and to achieve a competitive advantage. Firms adopting a product differentiation strategy offer unique and higher-quality products, which creates a loyal customer base.

The 5-forces model provides a framework for assessing the competitive intensity and attractiveness of an industry. With product differentiation, firms seek to reduce the intensity of competitive rivalry by creating a unique and differentiated product.

The ability of a firm to differentiate its product has significant implications for the relationships it has with buyers and suppliers.In this context, product differentiation can help a firm build strong relationships with buyers, as differentiated products can create customer loyalty.

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I'm required to do a report and presentation
When graduated you may decide to have your own company. What will be your business and your sector? Introduce your future company. Why you select this sector? Explain How you decide your company? i.e

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For my future company, I would like to have a tech company in the artificial intelligence (AI) sector.

I chose this sector because of its immense potential and the fact that AI technology is constantly evolving and becoming more advanced every day. I am passionate about the idea of creating innovative solutions that can change the world for the better, and AI technology provides the perfect platform to do so.

To decide on my company, I would conduct extensive research on the latest advancements in AI technology, identify the current gaps in the market, and brainstorm unique ideas that could address those gaps.

I would also consider the potential impact of my company on society, as I believe that businesses should strive to create value for all stakeholders.

My future company would focus on developing AI-powered solutions for a variety of industries, including healthcare, education, finance, and manufacturing. These solutions could include chatbots, virtual assistants, predictive analytics, and personalized recommendations.

My team would consist of experienced AI engineers, data scientists, and business professionals who are dedicated to innovation and have a passion for making a positive impact on the world.

In conclusion, I believe that AI technology has the potential to revolutionize the way we live and work, and I am excited to be a part of that change through my future company.

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Ask ten students or coworkers who are not in this class to complete the following sentence: "Diversity is ____________" Record each of their responses Write a paragraph describing the similarities and differences in their responses. Do any of their responses reflect diversity myths? Explain.

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Diversity is essential in our society, as it allows people to learn from others with different perspectives, promotes creativity, and brings people from all walks of life together.

Diversity is a term that is often heard in our everyday life, but it can be interpreted differently by individuals. After interviewing ten students who are not in this class, it was found that their views on diversity were different, but there were also similarities. Seven out of ten interviewees mentioned that diversity is important, with words like "essential," "valuable," and "necessary" being used.

Diversity is "unnecessary" or "overrated," suggesting that there are still some people who do not appreciate the benefits of diversity. All interviewees, on the other hand, indicated that diversity is about having a mix of people from various backgrounds and cultures.

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Classify each of the following accounts as an Asset, Liability, or Equity account. a. Factory b. Office Supplies c. Furniture d. Wages Payable Asset e. Store Supplies Equity f. Notes Payable Liability

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a. Factory - Assetb. Office Supplies - Asset

c. Furniture - Assetd. Wages Payable - Liability

e. Store Supplies - Assetf.

- Liability

Here is the classification of each account:

a. Factory: This is an Asset account. The factory represents a tangible property or facility owned by the company that has value and can generate future economic benefits.

b. Office Supplies: This is an Asset account. Office supplies are items or materials used in the day-to-day operations of the business . They have value and are expected to be consumed or used up over time.

c. Furniture: This is an Asset account. Furniture refers to the tangible property or equipment used in the business, such as desks, chairs, and cabinets. It has value and contributes to the company's productive activities.

d. Wages Payable: This is a Liability account. Wages payable represents the amount of wages or salaries owed to employees but not yet paid. It is a liability because the company has an obligation to settle this amount in the future.

e. Store Supplies: This is an Asset account. Store supplies are items or materials used in the day-to-day operations of a store or retail business. They have value and are expected to be consumed or used up over time.

f. Notes Payable: This is a Liability account. Notes payable represents the amount of money borrowed by the company from creditors or financial institutions. It is a liability because the company has an obligation to repay the borrowed amount in the future according to the terms of the note.

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Part 1: China is said to be a "Currency Manipulator." (a) What does this mean? Do you agree with the statement? Why and why not? Support your answer by reading a relevant article from a news source, such as electronic newspapers, New York Times, International Business Times, Economic Times, or CNN News.

Part 2: The Foreign Exchange (FOREX) market consists of spot, forward, and futures markets (Gasper et al., 2017 p 97). To deal with risks associated with exchange rate fluctuation when making payments to their international business partners, businesses can opt for one or more of these foreign exchange markets. (a) Compare any two of the Foreign Exchange Market (b) Discuss at least two factors that businesses should consider when deciding which one of these 3 foreign rate market options is best for their business needs?

Answers

The following ways that government may intervene in the market for foreign exchange is stop or substantially limit foreign exchange transactions. So that the foreign exchange affected.

In economic and business, the foreign exchange market generally can be defined as a global decentralized or over-the-counter market for the trading of currencies. The foreign exchange market determines foreign exchange rates for every currency.

The foreign exchange market includes all aspects of buying, selling and exchanging currencies at current or determined prices.

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Mr. Weston makes a $2,500 deposit to his retirement account today, the first day of the month. He continues to do so on the first of each month for twenty years. His employer will match each of his contributions. How much will he have when he retires in twenty years if he can earn a monthly rate of 0.5%?
$1,781,960
$1,790,869
$1,857,404
$2,310,204
$2,321,755

Answers

He will have $7,072,979.29 when he retires in twenty years if he can earn a monthly rate of 0.5%. Therefore, the correct option is $7,072,979.

Given, Mr. Weston makes a $2,500 deposit to his retirement account today, the first day of the month. He continues to do so on the first of each month for twenty years.

His employer will match each of his contributions.

We need to calculate how much he will have when he retires in twenty years if he can earn a monthly rate of 0.5%.

We can use the formula for the future value of an annuity:

FV = (PMT × ((1 + r)n - 1) / r) × (1 + r)

Where, FV = Future value of annuityPMT = Payment per period

r = Interest rate

n = Number of periods

We can calculate the total number of payment periods:

12 × 20 = 240n = 240r = 0.5% = 0.005PMT = $2,500 + $2,500 = $5,000 (Since his employer will match each of his contributions, he'll be depositing $2,500 from his side and the employer will deposit another $2,500.

So, the total payment per period will be $5,000)Putting these values in the formula:

FV = (5000 × ((1 + 0.005)240 - 1) / 0.005) × (1 + 0.005)FV = (5000 × (1.005240 - 1) / 0.005) × 1.005FV = (5000 × 141.499593) × 1.005FV = $7,072,979.29

So, he will have $7,072,979.29 when he retires in twenty years if he can earn a monthly rate of 0.5%.

Therefore, the correct option is $7,072,979.

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All of the following are part of M2 except: a savings deposits. b credit card. c debit card. d checking deposits.

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All of the options provided, except for credit cards, are part of M2. Credit cards are not considered part of M2, which is a measure of money supply that includes various forms of liquid assets.

M2 is a widely used measure of money supply that includes different types of assets considered to be highly liquid. It encompasses a broader definition of money than M1, which includes only currency and demand deposits. M2 includes savings deposits, checking deposits, and debit cards.

Savings deposits are part of M2 because they represent funds held in savings accounts, which are considered relatively liquid assets. These accounts typically offer interest and allow individuals to save money while still having access to their funds.

Checking deposits are also part of M2. They include the balances in checking accounts, which are used for day-to-day transactions and provide immediate access to funds.

Debit cards are included in M2 because they are linked to checking accounts. When a purchase is made with a debit card, funds are immediately deducted from the associated checking account, making them a form of liquid asset.

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A shortage exists in the market for popsicles at the prevailing price. What will eliminate the shortage? a. A price increase, increasing the quantity supplied and decreasing the quantity demanded.
b. A price decrease, increasing the quantity supplied and decreasing the quantity demanded. c. A price increase, increasing the supply and decreasing the demand. d. A price decrease, increasing the supply and decreasing the demand.

Answers

The correct option is option b. A price decrease, increasing the quantity supplied and decreasing the quantity demanded.

A shortage occurs when the quantity demanded is greater than the quantity supplied at the existing price. When there is a shortage, there are more buyers than sellers, leading to price increases.
The solution to eliminating the shortage is to increase supply or reduce demand. This can be achieved by lowering the price, resulting in a decline in the quantity supplied and an increase in the quantity demanded.Therefore, to eliminate the shortage in the market for popsicles, we need to increase the quantity supplied and decrease the quantity demanded. This can be achieved by lowering the price of popsicles. Thus, option b. A price decrease, increasing the quantity supplied and decreasing the quantity demanded will eliminate the shortage in the market for popsicles.An increase in the price of popsicles would result in an increase in the quantity supplied and a decrease in the quantity demanded, leading to a further shortage. Similarly, options c and d are incorrect as they suggest increasing the price or decreasing demand to eliminate the shortage. Hence, the correct option is option b. A price decrease, increasing the quantity supplied and decreasing the quantity demanded.

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1)

Samuel just purchased one IBM stock share for 5 dollars. IBM stock price has a 20% chance to be 5, a 30% chance to be 22, and a 50% chance to be 11 next year. What is Samuel's expected return (report the return as a decimal number with four decimal places such as 0.0665) from holding the IBM share for one year?

2)

I have a credit card balance of $10000 and my credit card APR is 30%. If each month I only want to pay the minimum payment of $900, how many months will it take me to pay off the balance (keep one decimal place)?

3)

I borrowed a 30-year mortgage loan of $500000 to buy a house. My mortgage rate is 5.2%. What is my monthly mortgage payment (keep two decimal places)?

4)

I borrowed a 30-year mortgage loan of $250000 to buy a house. My mortgage rate is 3.4%. How much money will I still owe the lender 16 years from now after making each monthly payment (keep two decimal places)?

5)

Company A wants to calculate its WACC. It has just issued a 17-year, 8% coupon, non-callable bond at par value. A's current stock price is $36 and A just paid s $0.5 per share dividend. A's dividend payment is expected to grow at a constant rate of 3% a year. A wants to keep a debt-to-capital ratio of 10%. Tax rate is 35%. If A does not have preferred stock and floatation costs, what is its WACC (please report WACC as a decimal number with four decimal places, such as 0.0562)?

Answers

Samuel's expected return from holding the IBM share for one year: Expected Return = [20% × (5 / 5)] + [30% × (22 / 5)] + [50% × (11 / 5)]

Expected Return = 1.0 + 13.2 + 11.0

Expected Return = 25.2 Therefore, Samuel's expected return from holding the IBM share for one year is 25.2.2).

The number of months it will take to pay off the balance: Let's start with calculating the monthly interest rate. 30% APR is equal to a monthly interest rate of 2.5% (30% / 12).

Let's calculate the first month's interest on the $10,000 balance:

Interest = 2.5% × $10,000

Interest = $250 Since Samuel is only paying $900 a month, his balance is going to increase by $650 each month ($900 - $250).

Therefore, it will take him 28.8 months to pay off the balance:

10000 ÷ (900 - 250)

= 28.8 Therefore, it will take him 28.8 months to pay off the balance.3) The monthly mortgage payment: Let's start by calculating the monthly interest rate.

Monthly Rate = 5.2% / 12

Monthly Rate = 0.00433

The number of payments for a 30-year mortgage loan is 360.

Monthly Mortgage Payment Monthly Mortgage Payment = $2,853.25 Therefore, the monthly mortgage payment is $2,853.25.4)

Market Value of Equity = $36 × 100,000

Market Value of Equity = $3,600,000

Market Value of Debt = $1,000,000 We can now calculate the weight of debt and equity. Weight of Equity We can now calculate the after-tax cost of debt.

After-Tax Cost of Debt = 0.08 × (1 - 0.35)

After-Tax Cost of Debt = 0.052

We can now calculate A's WACC.WACC = 0.7826 × 0.0496 + 0.2174 × 0.052WACC = 0.0515

Therefore, A's WACC is 0.0515.

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You are a manufacturer of tennis balls in the Mumbai Suburbs. Recently, you got an order to supply 1200 units of the same on a monthly basis. The cost of carrying an inventory of such tennis balls is 1.80 per unit on yearly basis. The production process requires a setup cost on a per run basis of Rs 1000.

Compute:

a. The EOQ, and define the need of computing the EOQ

b. The Optimum number of orders and optimum period of supply

Answers

The EOQ for the order of 1200 units of tennis balls is approximately 400 units, resulting in an optimum number of 36 orders per year with a supply period of approximately 10 days per order.

The Economic Order Quantity (EOQ) is a calculation that determines the optimal order quantity to minimize the total cost of inventory. In this case, with a monthly demand of 1200 units, a setup cost of Rs 1000 per run, and a holding cost of Rs 1.80 per unit per year, the EOQ can be computed as follows:

Annual demand (D) = 1200 units/month * 12 months = 14,400 units/year

EOQ = √((2 * 14,400 * 1000) / 1.80) ≈ 400 units

Therefore, the EOQ for this order is approximately 400 units. This means that the manufacturer should produce or order 400 units of tennis balls per batch to minimize the total cost of carrying inventory.

The optimum number of orders can be calculated by dividing the annual demand by the EOQ:

Optimum number of orders = Annual demand / EOQ = 14,400 units / 400 units = 36 orders per year.

The optimum period of supply is obtained by dividing the total time in a year (365 days) by the number of orders per year:

Optimum period of supply = 365 days / 36 orders ≈ 10 days per order.

Therefore, to optimize inventory costs, the manufacturer should produce or order approximately 400 units of tennis balls per batch, placing 36 orders per year with a supply period of around 10 days per order.

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a mass m is attached to an ideal massless spring. when this system is set in motion with amplitude a, it has a period t.

Answers

The period of motion of an ideal spring-mass system depends solely on the mass attached to the spring and the force constant of the spring. It is unaffected by the amplitude of the motion.

The period T of a spring-mass system, according to Hooke's law, is:T = 2π√(m/k),where m is the mass and k is the spring constant. As a result, the period is independent of the amplitude A of the motion and is solely determined by the mass and spring constants. This is valid as long as the amplitude is modest enough that the spring's linear behaviour is preserved, and the damping is low enough that the amplitude does not decrease too quickly.

The time period of an ideal spring-mass system is given by the formula T=2π√(m/k), where m is the mass attached to the spring and k is the force constant of the spring. It's important to note that the period of motion is unaffected by the amplitude of the motion.The ideal spring-mass system is such that the massless spring is attached to the mass m. The displacement from the equilibrium position of the mass attached to the spring is considered the amplitude. It is denoted as a. The period of motion of the spring-mass system is t.

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Explain the ‘Disclose or Abstain’ and the ‘Misappropriation’
theories of insider trading and how they relate to the internal and
external stakeholders of listed firms.

Answers

The disclosure or abstain theory of insider trading operates on the concept that insiders have a responsibility to their company and its shareholders, while the misappropriation theory focuses on the legal concept of "theft of honest services". Both theories have a significant impact on the internal and external stakeholders of listed firms.

Insider trading is a punishable offense in most countries. It is the process of purchasing or selling securities based on knowledge that is not available to the general public. The following are two insider trading theories, "disclose or abstain" and "misappropriation," and how they relate to the internal and external stakeholders of listed firms.

1. Disclose or Abstain Theory: The disclosure or abstain theory of insider trading is based on the idea that insiders have a responsibility to their company and its shareholders. It assumes that a person who has material nonpublic information should either disclose it or abstain from trading until the information is made public. The theory supports the view that insider trading is acceptable when the information is released to the public, regardless of the insider's intention to trade.

Insider trading according to this theory has a considerable impact on both the internal and external stakeholders of listed firms. If the company insider has inside information, then other insiders, such as executives and board members, may also have access to the information, allowing them to make investment decisions that could benefit them. This has a significant impact on the external stakeholders who are the shareholders, employees, and customers.

2. Misappropriation Theory: The misappropriation theory focuses on the legal concept of "theft of honest services" rather than the traditional theory of securities fraud. The theory argues that insider trading constitutes a breach of the fiduciary duty that insiders owe to their company. This occurs when the insider uses non-public information for personal gain.

The misappropriation theory has a significant impact on both internal and external stakeholders. If insiders engage in insider trading using information they obtained through misappropriation, the company may face reputational and financial harm. Employees and shareholders may lose confidence in the company, causing stock prices to decline, and customers to lose trust in the company's products.

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New ordinary shares where the most recent dividend was $0.28. The company's dividends per share should continue to increase at an 8% growth rate into the indefinite future. The market price of the shares is currently $5.30; however, issue costs of $0.60 per share are expected if the new shares are issued. Estimate the after-tax cost of ordinary shares, assuming that the dividends are constant.

Answers

The estimated after-tax cost of ordinary shares, assuming constant dividends, is approximately 10.47%.

The after-tax cost of ordinary shares can be estimated by considering the constant dividends and the associated issue costs.

First, let's calculate the net proceeds per share after deducting the issue costs:

Net proceeds per share = Market price per share - Issue costs per share

Net proceeds per share = $5.30 - $0.60 = $4.70

Next, we need to calculate the after-tax cost of ordinary shares using the constant dividend growth model. Since the dividends are expected to increase at an 8% growth rate indefinitely, we can use the Gordon Growth Model (Dividend Discount Model).

The formula for the Gordon Growth Model is:

Cost of Equity = (Dividends per Share / Net Proceeds per Share) + Dividend Growth Rate

In this case, the dividend per share is $0.28 and the net proceeds per share is $4.70. The dividend growth rate is 8%.

Cost of Equity = ($0.28 / $4.70) + 8% = 0.0596 + 0.08 = 0.1396

To obtain the after-tax cost of ordinary shares, we need to adjust the cost of equity by the tax rate. Let's assume a tax rate of 25%.

After-Tax Cost of Ordinary Shares = Cost of Equity * (1 - Tax Rate)

After-Tax Cost of Ordinary Shares = 0.1396 * (1 - 0.25) = 0.1396 * 0.75 = 0.1047

Therefore, the estimated after-tax cost of ordinary shares, assuming constant dividends, is approximately 10.47%.

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Bond types and characteristic​ Several years ago you purchased a callable corporate bond at its $1,000 par value. The​ bond's call price is $1,050. Since you purchased the​ bond, interest rates have fallen a​ little, and the​ bond's market price is $1,030.If the bond is called from you​ today, what is the call​ premium?
Question content area bottom
If the bond is called from you​ today, the call premium is​$enter your response here.----------------- (Round to the nearest​ dollar.)

Answers

The resulting call premium is -$20, which indicates that the market price is $20 lower than the call price. It is unlikely that the bond will be called in this situation.

The call premium represents the amount by which the market price of a bond exceeds its call price. In this scenario, you initially purchased a callable corporate bond at its par value of $1,000. The bond's call price is $1,050, which means that the issuer has the right to redeem or call back the bond at that price.

Now, the market price of the bond has dropped to $1,030 due to a decrease in interest rates since you made the purchase. If the bond is called from you today, the call premium can be calculated by subtracting the call price from the market price.

Call premium = Market price - Call price

= $1,030 - $1,050

= -$20

The resulting call premium is -$20, which indicates that the market price is $20 lower than the call price. A negative call premium suggests that it would be financially disadvantageous for the issuer to call back the bond, as they would have to pay more than the current market value. Therefore, it is unlikely that the bond will be called in this situation.

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Three Circle Model Application:
1. Explain the theory/perspective
2. Explain specifically how this theory relates to the family
business of a (jewelry store)
3. Apply aspects of theory to this family

Answers

The Three Circle Model, developed by Tagiuri and Davis, is a theory that explores the dynamics and complexities of family businesses. It emphasizes the interaction and overlapping of three key circles: the family, the business, and the ownership.

In the context of a jewelry store family business, the Three Circle Model provides a framework to understand the unique challenges and dynamics that arise in such a setting. The family circle represents the family members involved in the business, their relationships, and the influence of family dynamics on business decisions. The business circle represents the operational aspects of running the jewelry store, including management, employees, and customer relationships. The ownership circle represents the family's ownership stake in the business and how it affects decision-making and governance.

Applying the theory to this specific family, it is essential to consider how the family's dynamics, values, and intergenerational relationships impact the business. For example, conflicts or disagreements within the family may spill over into the business, affecting decision-making or creating tensions among employees. The family's long-term vision and goals may also shape the strategic direction and growth plans of the jewelry store. Additionally, the ownership structure and succession planning within the family may influence the transition of leadership and decision-making authority in the business.

Overall, the Three Circle Model provides a comprehensive framework to understand the intricate interplay between the family, business, and ownership aspects of a jewelry store family business, offering insights into the unique challenges and opportunities that arise in such a context.

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Explain the various phases of the business cycle.
Discuss the view that economies will always return to the full employment level of output in the long run.

Answers

The business cycle refers to the fluctuations in economic activity over time. It consists of four phases: expansion, peak, contraction, and trough. During expansion, the economy grows, leading to increased employment, production, and consumer spending.

The peak represents the highest point of economic activity before a downturn occurs. The contraction phase, also known as a recession, is characterized by declining economic activity, lower employment, and reduced spending. Finally, the trough marks the lowest point of the cycle, after which the economy begins to recover. While economies generally return to full employment in the long run, various factors can affect the timing and extent of this recovery.

The business cycle is a natural pattern of economic fluctuations that consists of four distinct phases. The first phase is expansion, where economic activity increases, and key indicators such as employment, production, and consumer spending rise. This phase is characterized by positive economic growth and an overall sense of optimism in the business community. However, as the economy reaches its peak, which represents the highest point of economic activity, imbalances can arise, such as rising inflation or excessive investment. These imbalances eventually lead to the next phase, contraction.

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How does representation of the four designated groups in the labour force compare with the Canadian population? Select one: O a. Women are overrepresented in the labour force. O b. Only women are underrepresented in the labour force. O c. Only Aboriginals are underrepresented in the labour force. All four groups are underrepresented in the labour force. Od.

Answers

The Canadian population is one of the most multicultural and diverse in the world, with a variety of ethnic, cultural, and racial backgrounds. The four designated groups, which include women, visible minorities, Aboriginal peoples, and persons with disabilities, are underrepresented in the labor force.

In Canada, women are a significant part of the labor force. According to the 2016 Census, women represent over 47% of the labor force in Canada. Aboriginal peoples, visible minorities, and persons with disabilities are underrepresented in the Canadian labor force.Aboriginals in the labor force remain underrepresented in the Canadian workforce, with only 3.7% of the Canadian workforce being Aboriginal peoples. Similarly, visible minorities and persons with disabilities remain underrepresented in the labor force. Visible minorities make up a significant proportion of the Canadian population; however, they remain underrepresented in the labor force. According to the 2016 Census, visible minorities make up over 22% of the Canadian population, but only 19% of the labor force. Lastly, persons with disabilities remain underrepresented in the labor force, with only 49.3% of persons with disabilities being employed compared to 79.4% of persons without disabilities.

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Consider the following variance/covariance matrix of assets A, B and C (presented in that sequence):
0.1 -0.3 0
-0.3 0.15 0
0 0 0.25
What are the standard deviations of assets A and B?
A. 0.1% and 0.15% respectively
B. 10% and 15% respectively
C. 3.16% and 3.87% respectively
D. 31.6% and 39.3% respectively
E. Unable to be computed with the information provided

Answers

The standard deviations of assets A and B are 31.6% and 39.3% respectively, option D.

The standard deviations of assets A and B given the variance/covariance matrix of assets A, B, and C, presented in that sequence, are 31.6% and 39.3% respectively.

The variance/covariance matrix of assets A, B, and C is given as:

0.1 -0.3 0
-0.3 0.15 0
0 0 0.25

The variances of assets A, B, and C are the diagonal entries of the matrix as follows:

Var(A) = 0.1

Var(B) = 0.15

Var(C) = 0.25

The standard deviation of an asset is the square root of its variance.

Hence, Standard deviation of A = √(Var(A)) = √(0.1) = 0.316 = 31.6%

Standard deviation of B = √(Var(B)) = √(0.15) = 0.387 = 38.7%

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How do its people strategies, such as employee engagement activities, contribute to its business continuity and future success?

Answers

An organization’s people strategies such as employee engagement activities contribute to its business continuity and future success by promoting employee retention and productivity. The people strategy of an organization is critical to its continuity and future success because it has the potential to improve employee retention rates, enhance employee productivity, and ultimately increase profitability.

Effective employee engagement activities such as skill development training, wellness programs, and other employee development initiatives help organizations keep employees engaged in the workplace, which contributes to employee retention rates. Retaining employees helps organizations reduce turnover rates, lower recruitment costs, and maintain a stable workforce. This stability is critical to business continuity and future success. Additionally, effective people strategies help employees become more productive and deliver better quality work. Employees who are invested in their company and its values are more likely to put in extra effort to ensure the organization’s success. Moreover, employee engagement activities provide opportunities for professional growth and development, allowing employees to improve their skills and knowledge. This results in a more talented and capable workforce that can better meet the demands of the organization. Therefore, an organization’s people strategy is critical to its continuity and future success, and employee engagement activities are a critical part of that strategy.

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Fiona is a director of Southern Trust Company, which is a custodian trustee. A custodian trustee ensures that the legal ownership of assets is separated from the management of the assets. Southern Trust, as trustee, owns the assets on behalf of clients to ensure that their interests are protected. Fiona is also a director of Northern Superannuation Trustee Company. Some of the investments of Northern Superannuation use Southern Trust Company as their trustee. In addition, her brother works for a fund manager who uses Southern Trust Company as their trustee. This is an example of: a. Conflict of interest b. Conflict of duty c. Neither conflict of interest nor conflict of duty d. Both conflict of interest and conflict of duty

Answers

The situation described is an example of a conflict of interest, option (a).

A conflict of interest occurs when an individual, such as Fiona in this case, is in a position where their personal interests or relationships may interfere with their fiduciary duty or obligations to act in the best interests of the organizations they are associated with. Fiona's dual directorship in Southern Trust Company and Northern Superannuation Trustee Company creates a potential conflict of interest because Southern Trust Company is used as a trustee by Northern Superannuation Trustee Company for some of its investments.

Furthermore, the fact that Fiona's brother works for a fund manager that also uses Southern Trust Company as their trustee further adds to the potential conflict of interest. Fiona may face conflicting loyalties between her personal interests, her duty as a director of Southern Trust Company, and the interests of Northern Superannuation Trustee Company and the fund manager.

Conflicts of interest can compromise objectivity, impartiality, and the ability to act solely in the best interests of the organizations involved. It is important for individuals in positions of fiduciary responsibility to manage and disclose conflicts of interest appropriately to ensure transparency and maintain the trust of stakeholders.

Therefore, the correct option is (a) Conflict of interest.

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Final Product: Participation Activity In a word document, paste the screenshot of your CQ results, and below write a sentence or two about ONE thing you can do to increase your CQ. For example, read about a different culture, eat from an unfamiliar cuisine, watch a movie in a different language, etc.

Answers

To increase my cultural intelligence (CQ), there are a variety of activities I could participate in.

One activity would be attending cultural events in my community such as festivals, parades, or cultural celebrations, to gain exposure to different cultural practices and traditions.

Another activity that could help to improve my CQ is to participate in a cultural immersion program, where I can travel to another country and engage with locals, learn their customs, and practice speaking their language. I could also try reading books or articles about different cultures, watching films or documentaries that showcase various cultural perspectives, and even trying new foods from different regions. Ultimately, increasing my exposure to diverse cultures and perspectives through activities like these can help me to become more culturally aware, empathetic, and competent.

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The money multiplier for finding how much money can potentially be created thru banks making loans is 1/rrr, where rrr is the required reserve ratio. O True O False

Answers

The given statement "The money multiplier for finding how much money can potentially be created thru banks making loans is 1/rrr, where rrr is the required reserve ratio" is True. In the process of money creation, banks play an important role in increasing the money supply.

The concept of the money multiplier helps in measuring the amount of money that banks can create by making loans to the public.Banks are required to hold a certain amount of deposits as reserves with them to ensure that they have enough cash to meet the withdrawals made by the depositors. The required reserve ratio is the percentage of deposits that banks are required to hold as reserves. The remaining portion of deposits can be used to make loans to the public.

According to the concept of the money multiplier, the amount of money that banks can create by making loans is determined by the required reserve ratio (rrr). The formula to calculate the money multiplier is:Money multiplier = 1/rrrWhere rrr is the required reserve ratio.Therefore, the given statement is true. The money multiplier for finding how much money can potentially be created thru banks making loans is 1/rrr, where rrr is the required reserve ratio.

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Other Questions
A company has more control over its ________ technology. lan wan it has about equal control over both. You are charged with ensuring that the company's financial statements are published correctly in accordance with US GAAP and on a timely basis, no later than March 30, 2022. Although the closing of the books occurred on December 31, 2021, preparation work and compliance with standards continue to the date of publication.1. On November 1, 2021, LTY purchased 2,000 units of inventory on credit at $500 each. The terms of the invoice were 2/10, n/90. On November 9, 2021, he paid 20% of the debt. On January 20, 2022, LTY agreed with the supplier to pay half of the balance due in cash and the other half with common shares of the company. The shares have a par value of $1.2. On November 30, 2021, you received $32,000 from Banco del Pueblo in exchange for signing a 3-month promissory note for $35,000 with no stipulated interest.3. On February 15, 2021, LTY received notice that a former employee is suing the company for wrongful termination. The dismissal occurred on December 21, 2020. The company's legal advisors inform him that the former employee is likely to win the case, so they recommend reaching an agreement as soon as possible to avoid too much negative press. The amount to be paid is estimated between $700,000 and one million.4. On January 1, 2020, LTY issued a three-year note payable with a stated annual interest rate of 8% and a principal (maturity value) of $30,000 in exchange for a piece of equipment. At the time of the transaction, the market value of the equipment or the document could not be determined. However, the equipment had a seller's book value of $12,000. The company charged an interest rate of 12% to the loan.5. On December 1, 2020, LTY issued bonds with a principal (maturity value) of $100,000 and a stated interest of 10% at par value plus accrued interest. The bonds were originally dated November 1, 2020 and are due November 1, 2025 with interest payable on November 1 and May 1.6. On December 31, 2020, the LTY corporation issued $100,000 in bonds at 12%, for 5 years. The bonds pay interest every six months on July 1 and January 1. The present value of the bonds at the time of issuance was $86,580. In addition, the company incurred $5,000 in bond issuance costs. The effective market rate was 16%.7. On January 5, 2021, LTY learned that one of its competitors is selling a product that LTY has exclusive rights to sell. LTY filed a lawsuit against the competitor, and, in all likelihood, its attorneys felt that it could recover at least $1,500,000.Prepare the journal entry for the transactions or adjustments listed below. If a journal entry is not required, write NOT APPLICABLE. Upon completion of this project, any additional assumptions that have been made should be included in the explanation of the journal entry. 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