Suppose you bought a bond with an annual coupon rate of 5.6 percent one year ago for $800. The bond sells for $865 today. a. Assuming a $1,000 face value, what was your total dollar return on this investment over the past year? b. What was your total nominal rate of return on this investment over the past year? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) c. If the inflation rate last year was 2 percent, what was your total real rate of return on this investment? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.

Answers

Answer 1

Total dollar return can be calculated using the following formula;Total dollar return = Total income from investment + Capital gain (loss)Income from investment = Annual coupon rate * Purchase price= 5.6% * $800= $44.8Capital gain (loss) = Selling price – Purchase price= $865 - $800= $65Total dollar return= $44.8 + $65 = $109.8

Therefore, the total dollar return on this investment over the past year was $109.8.b. The total nominal rate of return on this investment over the past year can be calculated using the following formula:Nominal rate of return= Total dollar return / Initial investment * 100Nominal rate of return= $109.8 / $800 * 100= 13.725 %Thus, the total nominal rate of return on this investment over the past year was 13.725%.c.

The total real rate of return on this investment can be calculated using the following formula:Real rate of return= [(1 + Nominal rate of return) / (1 + Inflation rate) - 1] * 100Inflation rate= 2 %Real rate of return= [(1 + 0.13725) / (1 + 0.02) - 1] * 100= 11.40 %Therefore, the total real rate of return on this investment was 11.40%.

To know more about dollar return,visit:-

https://brainly.com/question/29429340

#SPJ11


Related Questions

liquidity refers to the entity's ability to go generate revenues that exceed the costs of an enterprise?

Answers

If a company is not able to meet its short-term obligations as they come due, it may be in danger of bankruptcy.

Liquidity refers to the ability of an entity to meet its short-term financial obligations as they fall due. It is a company's ability to convert assets into cash to pay short-term obligations. Liquidity measures a company's ability to meet its current obligations. The current obligations include any debts that are due in less than a year and other expenses that are payable in the short term. If a company is not able to meet its short-term obligations as they come due, it may be in danger of bankruptcy. It is a company's ability to convert assets into cash to pay short-term obligations.

To know more about assets visit:

https://brainly.com/question/14826727

#SPJ11

Assume that all taxes in the economy are autonomous totalling 70 million, autonomous consumption is 45 million, and the marginal propensity to save is 0.4. What is the level of consumption when the level of income is 850?

Answers

The level of consumption when the level of income is 850 is 365 million.What is Autonomous Consumption?Autonomous consumption is a theoretical idea that refers to the spending of a household or business when their earnings are zero.

In other words, autonomous consumption refers to the baseline consumption that an individual or household does, regardless of their revenue. Autonomous consumption is an essential component of Keynesian economics, which is based on the concept of total aggregate demand for goods and services.In macroeconomics, we often use the following formula to calculate the consumption function,

A is autonomous consumption, and b is the marginal propensity to consume:C = a + bYdWhere:Yd = Y – TAnd:Y = IncomeT = TaxesNow let's calculate the consumption function using the given values:a = 45 millionTotal taxes = 70 millionMarginal propensity to save (MPS) = 0.4Since MPS + MPC = 1MPC (Marginal Propensity to Consume) = 1 - MPS = 1 - 0.4 = 0.6Y = 850 millionAnd:T = 70 millionNow, let's calculate disposable income:Yd = Y - T= 850 million - 70 million= 780 millionNow let's calculate the consumption function using the above information:C = a + bYd= 45 million + 0.6 × 780 million= 45 million + 468 million= 513 millionTherefore, the level of consumption when the level of income is 850 is 513 million.

To know more about income visit:

https://brainly.com/question/14732695

#SPJ11

If a check correctly written and paid by the bank for $514 is incorrectly recorded in the company's books for $541, how should this error be treated on the bank reconciliation?

Multiple Choice

Subtract $27 from the bank's balance.

Subtract $27 from the book balance.

Add $27 to the bank's balance.

Subtract $27 from the bank's balance and add $45 to the book's balance.

Add $27 to the book balance.

Answers

If a check correctly written and paid by the bank for $514 is incorrectly recorded in the company's books for $541, the error should be treated on the bank reconciliation by subtracting $27 from the book balance.

The correct option is B

Bank reconciliation is a procedure that compares the cash balance on a company's financial records with the balance on the bank statement. Bank reconciliation is used to uncover discrepancies between the bank statement and the balance on the company's books. Errors in recording transactions can be corrected using bank reconciliation. The bank reconciliation statement's starting balance is the ending balance of the previous statement.

A check correctly written and paid by the bank for $514 is recorded in the company's books as $541. This error must be fixed on the bank reconciliation statement. In this scenario, the company's books have overstated the balance by $27. This is because they've recorded the check for too much. As a result, $27 should be subtracted from the book balance.

To know more about bank reconciliation visit:

https://brainly.com/question/15525383

#SPJ11

if you orderd somthing on amazon and your account is temporaly disabled will your shipment still come?

Answers

Answer:

If your Amazon account is temporarily disabled, it is likely that your orders will not be processed or shipped until the issue with your account is resolved. When your account is disabled, you may not be able to access your order details or make changes to your existing orders. It's important to contact Amazon customer support to resolve the issue with your account as soon as possible, as they will be able to provide specific information and assistance regarding your situation.

https://brainly.com/question/32719216

#SPJ11

According to the information content of dividends, a firm that announces an increase in its cash dividend payment is likely to see a. A decline in the share's trading volume b. A subsequent increase in the firm's cash account c. An increase in that firm's share price d. An increase in that firm's retained earnings e. An increased the number of shares outstanding

Answers

According to the information content of dividends, a firm that announces an increase in its cash dividend payment is likely to see an increase in that firm's share price, option c.

According to the information content of dividends, when a firm announces an increase in its cash dividend payment, it is likely to see several effects. Let's go through each option and determine the correct one:

a. A decline in the share's trading volume:

Typically, when a firm announces an increase in its cash dividend payment, it is seen as positive news. Investors may perceive it as a sign of financial health and expect future stability. This positive perception may lead to increased investor interest and trading volume, rather than a decline. So, option a is incorrect.

b. A subsequent increase in the firm's cash account:

When a firm announces an increase in its cash dividend payment, it means that more cash will be distributed to shareholders. This would result in a decrease in the firm's cash account, not an increase. So, option b is incorrect.

c. An increase in that firm's share price:

An increase in the cash dividend payment can be interpreted positively by investors, signaling that the company has sufficient profits and is willing to share them with shareholders. This can attract more investors and create demand for the stock, leading to an increase in the firm's share price. So, option c is likely to be the correct answer.

d. An increase in that firm's retained earnings:

Retained earnings represent the portion of a firm's net income that is kept within the company for reinvestment or future use. An increase in cash dividends would result in a decrease in retained earnings, as the firm is distributing more of its profits to shareholders. So, option d is incorrect.

e. An increased number of shares outstanding:

The announcement of an increase in cash dividends does not directly impact the number of shares outstanding. The number of shares outstanding remains the same unless there is a separate corporate action such as a stock split or issuance of new shares. So, option e is incorrect.

Based on the above analysis, the most likely correct answer is c. An increase in that firm's share price.

To learn more about dividend: https://brainly.com/question/2960815

#SPJ11

You have learned that your company has 8 inventory turns per year. Your competitor has 13 inventory turns per year. All else being equal, in general, this means that: 1 - You are doing better than your competition, because you have lower holding costs and can get products to market faster 2 - Your competitor is doing better than you, because they have lower holding costs and can get finished products to market faster 3- Inventory turns have nothing to do with how well we are doing; need to measure profit 4 - Cannot tell from available information Enter the number of your selection below.

Answers

2) Your competitor is doing better than you because they have lower holding costs and can get finished products to market faster

A higher number of inventory turns indicates that inventory is being sold and replenished more frequently. This suggests that the competitor with 13 inventory turns per year is doing better than the company with 8 turns. It implies that the competitor has lower holding costs, as they are able to sell products faster and reduce inventory carrying costs. Additionally, higher inventory turns suggest that the competitor can get finished products to the market faster, potentially leading to increased customer satisfaction and market share. However, it's important to consider other factors like profit margins and overall financial performance to make a comprehensive assessment of how well each company is doing.

learn more about holding costs here:

https://brainly.com/question/31236493

#SPJ11

Consider the following five monthly​ returns:

0.01

−0.06

0

0.04

−0.05

a. Calculate the arithmetic average monthly return over this period.

b. Calculate the geometric average monthly return over this period.

c. Calculate the monthly variance over this period.

d. Calculate the monthly standard deviation over this period.

Answers

a. The arithmetic average monthly return over the given period is -1.2%.

b. The geometric average monthly return over the given period is approximately -1.34%.

c. The monthly variance over the given period is approximately 0.0012.

d. The monthly standard deviation over the given period is approximately 3.47%.

a. To calculate the arithmetic average monthly return, we sum up all the returns and divide by the total number of returns.

Average Return = (0.01 + (-0.06) + 0 + 0.04 + (-0.05)) / 5

Average Return = -0.06 / 5

Average Return = -0.012 or -1.2%

Therefore, the arithmetic average monthly return over this period is -1.2%.

b. To calculate the geometric average monthly return, we take the product of all the returns and raise it to the power of 1/n, where n is the total number of returns.

Geometric Average Return = (1 + 0.01) * (1 - 0.06) * (1 + 0) * (1 + 0.04) * (1 - 0.05)^(1/5) - 1

Using a calculator or spreadsheet, we find that the geometric average return is approximately -0.0134 or -1.34%.

Therefore, the geometric average monthly return over this period is -1.34%.

c. To calculate the monthly variance over this period, we need to find the average of the squared deviations from the mean.

Calculate the deviations from the mean for each return:

Deviation 1 = 0.01 - (-0.012) = 0.022

Deviation 2 = -0.06 - (-0.012) = -0.048

Deviation 3 = 0 - (-0.012) = 0.012

Deviation 4 = 0.04 - (-0.012) = 0.052

Deviation 5 = -0.05 - (-0.012) = -0.038

Square each deviation:

Squared Deviation 1 = 0.022^2 = 0.000484

Squared Deviation 2 = (-0.048)^2 = 0.002304

Squared Deviation 3 = 0.012^2 = 0.000144

Squared Deviation 4 = 0.052^2 = 0.002704

Squared Deviation 5 = (-0.038)^2 = 0.001444

Calculate the average of the squared deviations:

Variance = (0.000484 + 0.002304 + 0.000144 + 0.002704 + 0.001444) / 5

Variance = 0.0012176

Therefore, the monthly variance over this period is approximately 0.0012.

d. To calculate the monthly standard deviation, we take the square root of the variance.

Standard Deviation = sqrt(Variance)

Standard Deviation = sqrt(0.0012)

Standard Deviation = 0.0347 or 3.47%

Therefore, the monthly standard deviation over this period is approximately 3.47%.

To learn more about arithmetic average monthly return visit : https://brainly.com/question/28145074

#SPJ11

A ladies specialty shop buys novelty tees for $22 and sells it for $38. What is the markup$? What is the mu%?

Answers

Markup:Markup can be defined as the difference between the cost price and selling price of a product. It can be expressed as the dollar amount or as a percentage of the cost price.To calculate markup, we can use the formula:

Markup = Selling price - Cost priceGiven that the ladies specialty shop buys novelty tees for $22 and sells them for $38, the markup can be calculated as follows:Markup = $38 - $22 = $16Therefore, the markup on each novelty tee is $16.Mu%:Markup percentage or mu% can be defined as the percentage increase in the selling price of a product compared to its cost price. It is a percentage of the cost price.To calculate the markup percentage, we can use the formula:

Markup percentage = (Markup/Cost price) x 100%From the above calculations, the markup was found to be $16. The cost price of the novelty tee is $22, hence, we can substitute these values into the formula above to calculate the markup percentage as follows:Markup percentage = ($16/$22) x 100% ≈ 72.73%Therefore, the markup percentage (mu%) is approximately 72.73%.So, The markup on each novelty tee is $16. The markup percentage (mu%) is approximately 72.73%.

To know more about Markup visit:-

https://brainly.com/question/31086887

#SPJ11

In relation to management.
1-2 paragraphs each please.
Describe how knowledge of the decision-making styles will influence your own decisions. Define the four types of innovation. Give an example of each. Define and describe the three types of change and provide an example of each. List four key workplace behaviors that managers must address, so that employees can be influenced to do their best work.

Answers

Knowledge of decision-making styles helps in understanding one's own decision-making approach and adapting it to different situations.

The four decision-making styles are directive, analytical, conceptual, and behavioral. By recognizing these styles, one can assess their natural inclination and consider alternative styles for more effective decision-making. For example, a manager with a directive style may prefer quick and decisive decisions, but understanding analytical or conceptual styles can encourage more thorough analysis or innovative thinking.

The four types of innovation are incremental, breakthrough, disruptive, and architectural. Incremental innovation involves small improvements or modifications to existing products or processes. Breakthrough innovation introduces significant advancements, while disruptive innovation disrupts existing markets with entirely new solutions. Architectural innovation reconfigures existing components to create a new value proposition. An example of each is a company launching a slightly improved version of a smartphone (incremental), a car manufacturer developing an electric vehicle with groundbreaking battery technology (breakthrough), a ride-sharing platform challenging traditional taxi services (disruptive), and a modular furniture system that allows versatile configurations (architectural).

The three types of change are developmental, transitional, and transformational. Developmental change refers to gradual improvements or adjustments within the existing system or process. Transitional change involves transitioning from one state to another, often requiring temporary disruptions and adjustments. Transformational change involves significant and fundamental shifts in the organization's strategy, culture, or structure. For example, introducing a new software update (developmental), implementing a new management system (transitional), or undergoing a complete organizational restructuring (transformational).

Learn more about technology here:

https://brainly.com/question/28288301

#SPJ11

The resource based approach fuels the idea that that effective strategy arises primarily from an Nike’s ability to maximise its own unique internal resources and capabilities. Discuss in relation to the case study? Discuss the differences between generic strategies and resource-led strategies?

Answers

The resource-based approach emphasizes that effective strategy arises primarily from an organization's ability to leverage its unique internal resources and capabilities. In the case of Nike, this approach can be applied to understand how the company's resources and capabilities contribute to its success. Nike's extensive brand portfolio, strong marketing capabilities, innovative product designs, efficient supply chain management, and global distribution network are examples of its internal resources that have enabled it to maintain a competitive advantage in the sportswear industry.

By leveraging these resources and capabilities, Nike has been able to differentiate itself from competitors and create value for its customers. For instance, its strong marketing capabilities have allowed Nike to effectively communicate its brand message and build customer loyalty. Additionally, its focus on innovation and product design has enabled the company to consistently offer appealing and high-performance products that resonate with consumers.

In contrast, generic strategies focus on broader approaches to gain a competitive advantage, such as cost leadership, differentiation, or focus. These strategies are not necessarily tied to specific internal resources or capabilities. On the other hand, resource-led strategies align the company's strategic choices with its unique resources and capabilities to create a sustainable competitive advantage. Resource-led strategies involve leveraging internal strengths and aligning them with market opportunities to achieve superior performance.

In summary, Nike's success can be attributed to its effective utilization of internal resources and capabilities through a resource-based approach. By leveraging its unique strengths, Nike has been able to differentiate itself and maintain a competitive advantage in the sportswear industry.

Learn more about resources and capabilities here:

brainly.com/question/30225076

#SPJ11

If the required return is 12%, the growth rate of dividends is constant at 3% and the most recent dividend is $1.55. What is the current value of the stock? (Keep at least three decimals and round to the nearest hundredth).

Answers

The current value of the stock, based on the constant growth dividend model with a required return of 12% and a constant growth rate of 3%, is approximately $17.22.

To calculate the current value of the stock using the constant growth dividend model, we can use the Gordon Growth Model formula:

Current Stock Value = Dividend / (Required Return - Growth Rate)

Given:

Dividend = $1.55

Required Return = 12% (0.12)

Growth Rate = 3% (0.03)

Substituting these values into the formula:

Current Stock Value = $1.55 / (0.12 - 0.03)

Current Stock Value = $1.55 / 0.09

Current Stock Value ≈ $17.22 (rounded to the nearest hundredth)

Therefore, the current value of the stock is approximately $17.22.

To learn more about Growth Rate visit:

https://brainly.com/question/25849702

#SPJ11

A. Zane Wheels produces lawn mower tires in batches of 1,200 at a cost of $2.40 each. The tires can be sold without further processing for $5.00 per tire, or can be processed further by injecting solid foam which insures the tires will never become flat. The solid foam tires can be sold for $11.00 each. The additional processing costs total $6,600 per batch. Instructions Compute the incremental income from further production of one batch of solid foam tires.

Answers

The incremental income from producing solid foam tires will be $3,720 - $3,120 = $600 per batch.  

Incremental income from further production of one batch of solid foam tiresThe incremental income from further production of one batch of solid foam tires is $ 33,600.

The incremental income is the income gained or lost by the company by producing more units of the product or by investing in another project that generates more income. It is the difference between the total revenue and the total variable and fixed costs incurred by the company.

In this case, the company has two options to sell the tires. Either sell them without processing for $5.00 each or sell them with further processing at a cost of $6,600 per batch.The incremental income from further production of one batch of solid foam tires is calculated as follows:Incremental income = Incremental revenue - Incremental costIncremental revenue = Sale price of solid foam tire - Sale price of regular tireIncremental revenue = $11.00 - $5.00 = $6.00Incremental cost = Additional processing cost per batchIncremental cost = $6,600.

Therefore, the incremental income from further production of one batch of solid foam tires is:Incremental income = Incremental revenue - Incremental costIncremental income = $6.00 × 1,200 - $6,600Incremental income = $7,200 - $6,600 = $600.

Therefore, the incremental income from further production of one batch of solid foam tires is $600 per batch.The company produces 1,200 tires in a batch at a cost of $2.40 each. The total cost of producing a batch of tires is:Total cost = 1,200 × $2.40 = $2,880If the company sells the tires without processing, the total revenue from the batch will be:

Total revenue = 1,200 × $5.00 = $6,000Therefore, the net income from selling 1,200 tires without processing will be:Net income = Total revenue - Total costNet income = $6,000 - $2,880Net income = $3,120On the other hand, if the company decides to produce solid foam tires, the incremental income will be $600 per batch.

The incremental income is calculated as the difference between the revenue generated from selling the solid foam tires and the cost incurred in producing them.The price of solid foam tires is $11.00 each. The total revenue generated by selling 1,200 solid foam tires will be:Total revenue = 1,200 × $11.00 = $13,200.

Therefore, the net income from selling 1,200 solid foam tires will be:Net income = Total revenue - Total costNet income = $13,200 - ($2,880 + $6,600)Net income = $13,200 - $9,480Net income = $3,720Therefore, the incremental income from producing solid foam tires will be $3,720 - $3,120 = $600 per batch.  

Learn more about tire production here,

https://brainly.com/question/28705993#SPJ11

Suppose taxpayers are required to pay a base tax of $50 plus 20 percent on any income greater than $100, as in the initial tax system in the table below (similar to Table 161 from your text) Initial Tax Schedule base tax marginal taxes) $50 20% of income over 5100 Thx System Tax on Income Tax Rate Tax Rate of $400 Average Marginal $110 28% 20% Disposable Income $290 Suppose further that the taxing authority wishes to raise the taxes of people with incomes of $400 by $30. Instructions: Enter your responses as a whole number alf marginal tax rates are to remain unchanged, what will the new base tax have to be? b. If the base tax of $50 is to remain unchanged. what will the marginal tax rate have to be?

Answers

The base tax of $50 is to remain unchanged, the marginal tax rate will have to be rounded up to 28% to produce a tax of $110 on $400 income.

If marginal tax rates are to remain unchanged, the new base tax will have to be $80. According to the question, the initial tax system has a base tax of $50 and a marginal tax rate of 20% on income above $100. To find the new base tax, we need to add $30 to the tax paid on $400 income.

The tax paid on $400 income is:$50 (base tax) + 0.20 ($400 - $100)

(marginal tax) =$50 + $60 =$110

Now, we add $30 to $110 to get the new tax paid on $400

income:$110 + $30 = $140

To find the new base tax, we subtract the new tax paid on $400 income from the tax paid on $290

income:$50 + 0.20 ($290 - $100) =$50 + $38 =$88

Now, we subtract $140 from $88 to get the new base tax:$140 - $88 = $52

Since $52 is not a whole number, we need to round it up to the nearest whole number, which is $80.b. If the base tax of $50 is to remain unchanged, the marginal tax rate will have to be 28%.

According to the question, the initial tax system has a base tax of $50 and a marginal tax rate of 20% on income above $100. If the base tax is to remain unchanged, we need to add $30 to the tax paid on $400

income, which is:$50 + 0.20 ($400 - $100) =$50 + $60 =$110

Now, we need to find the marginal tax rate that produces a tax of $110 on $400 income. We use the formula for calculating the marginal tax rate as follows:

Marginal tax rate = (New tax - Old tax) / (New income - Old income)

where the old tax is $50 + 0.20 ($110 - $100) = $52, and the old income is $110 - $50 = $60.

Substituting the values, we get:

Marginal tax rate = ($110 - $52) / ($400 - $60) = $58 / $340 = 0.17 (rounded to two decimal places)

To know more about base tax visit:

https://brainly.com/question/30187188

#SPJ11

A firm has announced earnings of R1.5 million for last year, and the firm has 500 000 shares in issue, trading at R9 per share. The firm has a plowback ratio of 40% and historical ROE of 25%. If the required rate of return is 12%, what is the firm's leading PE ratio?
a. 27.0
b. 25.5
c. 37.5 
d. 30.0

Answers

The firm's leading PE ratio is 3. Return on Investment Pricing or Ratio to Earnings The multiple is the proportion of a stock's share price to its earnings per share (EPS).

Given

Price = R9

Earning = R1.5 million

Number of shares = 500,000

Required rate of return = 12%

plow back ratio = 40%

Required to Calculate PE ratio =?

Calculate the earnings per share (EPS):

EPS = Earnings / Number of shares

EPS = R1.5 million / 500,000 shares

EPS = R3 per share

Calculate the leading P/E ratio:

P/E ratio = Price per share / Earnings per share

P/E ratio = R9 per share / R3 per share

P/E ratio = 3

Therefore, the firm's leading P/E ratio is 3.

Learn more about the P/E ratio here:

brainly.com/question/30762887

#SPJ4

QUESTION 7 Which does not describes a function of the PMI. a. Publishes PMBOK b. Provides PMP certification c. Certifies teaching institutions d. PMI certification is a requirement to be a project man

Answers

The correct answer is (C) Certifies teaching institutions does not describe a function of the Project Management Institute (PMI).

PMI is a non-profit professional association for project management professionals around the world. It is a widely recognized body of knowledge for project management that provides resources, tools, and best practices for project management. PMI is known for its Project Management Body of Knowledge (PMBOK), which outlines the best practices for project management. PMI also provides PMP certification for project management professionals.

However, PMI does not certify teaching institutions, which is an accreditation process handled by other organizations. Therefore, option C, "Certifies teaching institutions," does not describe a function of the PMI.

To know more about PMI visit-

https://brainly.com/question/28390110

#SPJ11

you have a family-owned business of grocery supermarket store that fulfils essentials needs of people but due to fast paced competition in this field your sales went down 30% you are heading there more often. in this situation conduct a SWOT analysis,list your Strengths, weaknesses, opportunities and threats so that after this analysis you as an owner have a better plan to save your business.

Answers

SWOT analysis is a strategic planning tool utilized to assess the Strengths, Weaknesses, Opportunities, and Threats in a project or business.

In this scenario, we will carry out a SWOT analysis of a family-owned grocery supermarket store. Strengths - The store has a unique selling proposition, which is providing essentials needs of people Weaknesses - Low sales have been a significant concern, which can be due to a lack of promotions or strategic management.

Opportunities - The store could reach out to more customers by creating a website or using social media to promote their products and services, allowing them to reach a wider audience base. The supermarket could also explore adding more products to its inventory, thus increasing the number of customers who visit the store. Threats - The supermarket is facing stiff competition from other grocery stores in the area. It is essential to focus on maintaining its unique selling proposition to stand out in a highly competitive environment.In conclusion, carrying out a SWOT analysis can help the owner of the supermarket to identify its strengths, weaknesses, opportunities, and threats. This analysis can be useful in devising strategies that can help save the business.

Know more about SWOT analysis here;

https://brainly.com/question/19995992

#SPJ11

Cost of debt using both methods (YTM and the approximation formula) Currently, Warren Industries can sell 20-year. $1.000 par value bonds paying annual interest at a 15% coupon rate. Because current market rates for similar bonds are just under 15%, Warren can sell its bonds for $950 each; Warren will incur flotation costs of $30 per bond. The firm is in the 24% tax bracket a. Find the net proceeds from the sale of the bond, No b. Calculate the bond's yield to maturity (YTM) to estimate the before-tax and after-tax costs of debt c. Use the approximation formula to estimate the before-tax and after-tax costs of debt. a. The net proceeds from the sale of the bond, Ng, is $ . (Round to the nearest dollar) b. Using the bond's YTM, the before-tax cost of debt is %. (Round to two decimal places.) Using the bond's YTM, the after-tax cost of debt is %. (Round to two decimal places.) c. Using the approximation formula, the before-tax cost of debt is %. (Round to two decimal places.) Using the approximation formula, the after-tax cost of debt is %. (Round to two decimal places.)

Answers

a) The net proceeds from the sale of the bond: $920

b) Using the bond's YTM, the before-tax cost of debt: 0.1525641 (approximately 15.26%)

  Using the bond's YTM, the after-tax cost of debt: 0.1160279 (approximately 11.60%)

c) Using the approximation formula, the before-tax cost of debt: 0.1525641 (approximately 15.26%)

  Using the approximation formula, the after-tax cost of debt: 0.1160279 (approximately 11.60%)

a) The net proceeds from the sale of the bond can be calculated as follows:

Net Proceeds = Selling Price - Flotation Costs

Net Proceeds = $950 - $30 = $920

b) To calculate the bond's yield to maturity (YTM), we need to use a financial calculator or spreadsheet software. The YTM represents the before-tax cost of debt.

c) To estimate the before-tax and after-tax costs of debt using the approximation formula, we can use the following formula:

Approximate Yield to Maturity = Coupon Payment + [(Face Value - Selling Price) / Number of Years] / [(Face Value + Selling Price) / 2]

Before-tax Cost of Debt = Approximate Yield to Maturity

After-tax Cost of Debt = Before-tax Cost of Debt x (1 - Tax Rate)

Given that the bond has a 15% coupon rate, $1,000 face value, and is selling for $950, we can substitute these values into the formula:

Approximate Yield to Maturity = 0.15 + [(1000 - 950) / 20] / [(1000 + 950) / 2]

Approximate Yield to Maturity = 0.15 + 2.5 / 975

Approximate Yield to Maturity = 0.15 + 0.0025641

Approximate Yield to Maturity = 0.1525641

Before-tax Cost of Debt = 0.1525641 (approximated to two decimal places)

After-tax Cost of Debt = 0.1525641 x (1 - 0.24)

After-tax Cost of Debt = 0.1525641 x 0.76

After-tax Cost of Debt = 0.1160279 (approximated to two decimal places)

Learn more about sale here:-

https://brainly.com/question/30075955

#SPJ11

Suppose in the market for cigarettes, the supply curve is elastic while the demand curve is very inelastic. The economic burden of a tax levied on cigarette production a will be borne by both, but producers will have a larger burden b will be borne solely by cigarette producers c will be borne by both, but consumers will have a larger burden d will be borne equally by both producers and consumers of cigarettes e will be borne solely by cigarette consumers

Answers

The answer is a) will be borne by both, but producers will have a larger burden.

In a market with an elastic supply curve and an inelastic demand curve, a tax levied on cigarette production will be borne by both producers and consumers, but producers will bear a larger share of the burden. This is because an elastic supply curve means that producers can easily adjust their output in response to a change in price, while an inelastic demand curve means that consumers are less sensitive to changes in price. As a result, when a tax is levied on cigarette production, producers will reduce their output by a smaller amount than consumers will reduce their demand. This means that the price of cigarettes will increase by a larger amount, and producers will bear a larger share of the tax burden.

In more detail, when a tax is levied on cigarette production, the supply curve shifts up by the amount of the tax. This means that producers will be willing to supply cigarettes at a higher price. However, the demand curve is inelastic, which means that consumers are not very sensitive to changes in price. As a result, the demand for cigarettes will not decrease very much in response to the increase in price. This means that the price of cigarettes will increase by a larger amount than the amount of the tax. The larger increase in price will benefit producers, but it will also hurt consumers.

To learn more about cigarette production here brainly.com/question/28147117

#SPJ11

Hofstede suggests that organisational strategy must be designed with regard to culture. In terms of expatriate education, how can Hofstede's model be used to develop a training plan prior to
an expatriate leaving their country of origin?

Answers

Hofstede's cultural dimensions model can be utilized to develop a comprehensive training plans for expatriates before they embark on assignments in foreign countries.

Hofstede's cultural dimensions model provides insights into various cultural aspects that influence behaviors, attitudes, and values within different societies.  Firstly, the training plan should include cultural awareness sessions to familiarize expatriates with the values, beliefs, and customs of the host country. By understanding the cultural dimensions such as individualism versus collectivism, power distance, and uncertainty avoidance, expatriates can adapt their behaviors and communication styles accordingly.

Secondly, the training should emphasize cross-cultural communication skills. Expatriates should be trained on effective communication strategies, taking into account the communication styles and preferences of the host country. This may involve understanding high-context versus low-context communication, direct versus indirect communication, and the use of nonverbal cues.

Learn more about plans here:

https://brainly.com/question/32363096

#SPJ11

SECTION: C 20 marks A certain store was keeping a number of brands of washing machines and have different marketing strategies .They had washing machines to cater to the needs of all the segments of the society with different types of marketing plans. They were stocking IFB, Samsung, Toshiba, LG, and local made washing machines as well. They had automatic, semi-automatic and manual machines. The automatic machines were bought by the higher income group. The middle-income group was content with semi-automatic machines. Manual hand operated machines were for the lower class of clientele, and also those living in the countryside areas. It was observed that when customers came to buy an automatic machine, they usually came with their spouses and they looked mainly at the color, style of functioning, electric consumption, care for handling, price factors, etc. Many customers would not buy on their first visit. They would come back after an interval of time and purchase the machine after careful considerations of the attributes that they were. Looking for. Many would lower their choice, and come back to buy semi-automatic, instead of automatic machines. The sale was observed to be highest during marriage seasons and at festival times. There was an enormous influence of the housewives in buying these, as they were the ultimate users. With a lot of information imparted by the media, and the children being exposed to it for several hours, in a day, they seemed to have a good knowledge of the attributes and had a great say in the purchases and their opinions were also given weightage by the parents. Since a chain store is more interested in the sales to materialize, rather than pushing any particular brand, the salespeople are directed to satisfy the customers or the family. This should be their first consideration. Questions for Discussion 1. Write the summary of the case ? Answer: (Write the answer here) 2. What should be the marketing strategies in the above case regarding advertisement, promotion, persuasion, and closing the sales? Answer: (Write the answer here) 3. Who others could influence the purchase decisions in a family, in relevance with the above case? Answer: (Write the answer here) 4. Do you feel that group interaction helps the buyer too, in his decision-making process? Elaborate Answer: (Write the answer here)

Answers

Summary of the case: The case describes a store that sells washing machines and caters to different segments of society with various marketing strategies.

They offer different brands (IFB, Samsung, Toshiba, LG, and local brands) and types of machines (automatic, semi-automatic, manual) to meet the needs of different income groups. Customers, particularly those buying automatic machines, consider factors such as color, style, electric consumption, handling care, and price. Many customers take their time and make their purchasing decisions after careful consideration of the desired attributes. Sales are highest during marriage seasons and festivals. Housewives have a significant influence on the buying decisions as they are the primary users. The store focuses on customer satisfaction, and salespeople are instructed to prioritize customer needs.

Marketing strategies in the case: Advertisement: Promote the different brands and types of washing machines to target specific segments based on income and preferences.

Promotion: Offer discounts, special deals, or incentives during marriage seasons and festivals to boost sales.

Persuasion: Emphasize the benefits and features of each machine type and brand to align with customer preferences.

Closing the sales: Provide excellent customer service, address customer concerns, and offer assistance in the decision-making process to ensure a successful purchase.

Influencers in the purchase decisions:

Spouses: Customers buying automatic machines often come with their spouses and consider their opinions in the decision-making process.

Children: Children have good knowledge of machine attributes due to exposure to media and their opinions influence parents' buying decisions.

Group interaction and decision-making: Group interaction can play a role in the buyer's decision-making process. Customers may discuss options, gather opinions, and consider input from family members, leading to a more informed decision.

Learn more about marketing here

https://brainly.com/question/25369230

#SPJ11

Omar is your best department colleague who has asked for your guidance about finding out what the true statement is regarding the economic model of corporate
social responsibility (CSR). What would be your answer to Omar?
O A. According to CSR, social objectives should be at the core of a firm's mission
O B. CSR has direct implications for the proper role of business management
O C. CSR derives from the Kantian tradition of ethics
O D. CSR shifts the focus from profit maximization to environmental sustainability

Answers

CSR is an essential economic model that can help businesses become more socially responsible and promote sustainable development. The correct option is A.

Corporate social responsibility (CSR) is an economic model that aims to promote a company's commitment to responsible and sustainable business practices. Omar, as the best department colleague, has asked for your guidance about finding out the true statement regarding the economic model of CSR. The accurate statement about the economic model of CSR is "According to CSR, social objectives should be at the core of a firm's mission." This statement means that a company must include social objectives in its mission statement.

CSR focuses on the ethical and social responsibilities of businesses rather than just profit maximization. CSR encourages firms to consider social and environmental factors that impact their operations. Companies must take a long-term view of their operations and consider the social and environmental impact of their activities when making decisions.

To know more about economic model visit:-

https://brainly.com/question/15212618

#SPJ11

Portfolio A has a beta of 1.28. Portfolio B has a beta of 0.88. RF is 4 percent and the market risk premium is 3.8 percent. Calculate the required rate of return of A and B. (Round answers to 3 decimal places, e.g. 2.361%.) Required rate of return of Portfolio A % Required rate of return of Portfolio B %

Answers

The required rate of return for a portfolio can be calculated using the Capital Asset Pricing Model (CAPM) formula:

Required Rate of Return = Risk-Free Rate + Beta * Market Risk Premium

Given the following information:

Risk-Free Rate (RF) = 4%

Market Risk Premium = 3.8%

Beta of Portfolio A = 1.28

Beta of Portfolio B = 0.88

Let's calculate the required rate of return for each portfolio:

Required rate of return of Portfolio A:

Required Rate of Return (A) = 4% + 1.28 * 3.8%

Required Rate of Return (A) = 4% + 4.864%

Required Rate of Return (A) = 8.864% (rounded to 3 decimal places)

Required rate of return of Portfolio B:

Required Rate of Return (B) = 4% + 0.88 * 3.8%

Required Rate of Return (B) = 4% + 3.344%

Required Rate of Return (B) = 7.344% (rounded to 3 decimal places)

Therefore, the required rate of return for Portfolio A is 8.864% and for Portfolio B is 7.344%.

To know more about return visit-

brainly.com/question/31683429

#SPJ11

Which statement concerning the net present value (NPV) of an investment or a financing project is correct? Multiple Choice - a financing project should be accepted if, and only if, the NPV is exactly equal to zero. - an investment project should be accepted only if the NPV is equal to the initial cash flow. - any type of project should be accepted if the NPV is positive and rejected if it is negative. - any type of project with greater total cash inflows than total cash outflows, should always be accepted. - an investment project that has positive cash flows for every time period after the initial investment should be accepted.

Answers

In regards to the net present value (NPV) of an investment or financing project, the correct statement is that if the NPV is positive, any type of project should be accepted, while it should be rejected if the NPV is negative.

In the finance and investment sector, Net present value (NPV) is a criterion utilized to analyze and evaluate investments and projects.

The net present value (NPV) is determined by assessing the disparity between the present value of cash inflows and the present value of cash outflows over a specific time period.

The NPV is a criterion that measures the economic profitability of an investment or financing project.

If the net present value (NPV) of any project is positive, it should be approved for acceptance, while a negative NPV indicates that the project should be declined.

The calculation of the NPV involves the utilization of the following formula:

N P V = ∑ t = 1 T C F t ( 1 + r ) t N P V = ∑ t = 1 T C F t ( 1 + r ) t

Where, CFt = Net cash flow during the time period t. In the context of the formula, "r" represents the discount rate, which is used to determine the present value of future cash flows, and "T" signifies the number of time periods involved in the calculation.

If the calculated NPV is negative, it indicates that the cost of the project is more than the expected returns, and it is not a feasible project.

On the other hand, if the NPV is positive, it shows that the investment is feasible, and the returns are more significant than the cost of the project.

Hence, if the net present value (NPV) of a project is positive, it should be deemed suitable for acceptance, whereas a negative NPV would warrant rejection.

Learn more about present value at: https://brainly.com/question/15904086

#SPJ11

In practice, the vast majority of assets are positively correlated with each other because they are all affected by a. common economic factors. b. firm-specific factors. c. potential lawsuits. d. managerial inefficiencies

Answers

In practice, the vast majority of assets are positively correlated with each other because they are all affected by common economic factors.

Asset correlation refers to how various investment holdings relate to each other and the effects they can have on a portfolio's performance. Correlation values range from 1 to -1, with 1 indicating that investments move in unison, -1 indicating they move inversely, and 0 indicating no correlation.

Asset correlation refers to how various investment holdings relate to each other and the effects they can have on a portfolio's performance. Correlation values range from 1 to -1, with 1 indicating that investments move in unison, -1 indicating they move inversely, and 0 indicating no correlation.In practice, the vast majority of assets are positively correlated with each other because they are all affected by common economic factors. Economic events like recessions, interest rates, and inflation can influence multiple asset classes, leading to a similar movement among them. As a result, investors need to be strategic in diversifying their portfolios to avoid overexposure to one particular asset class and to minimize risk.In contrast, firm-specific factors, potential lawsuits, and managerial inefficiencies are typically unique to a particular company or sector. While these issues may affect one company's stock price or bond performance, they are less likely to have a widespread impact on the broader market or other asset classes.To summarize, asset correlation is an essential concept in investing that reflects how different assets behave relative to one another. In practice, the majority of assets are positively correlated because of common economic factors, making diversification critical to a well-rounded investment portfolio.

To know more about Asset correlation visit :-

https://brainly.com/question/32609390

#SPJ11

How do you present findings of Demographic information
using qualitative research method?

Answers

When presenting findings of demographic information using qualitative research methods, it is important to provide a summary of the key findings followed by a detailed explanation of the data.

In presenting demographic information in qualitative research, the summary should provide a concise overview of the key demographic findings. This could include a description of the sample size, demographic categories explored (e.g., age, gender, occupation, etc.), and any notable trends or patterns observed within these categories. The summary should give readers a broad understanding of the demographic landscape of the study participants.

Following the summary, the explanation should provide a more detailed analysis of the demographic information. This involves discussing the themes, variations, and relationships that emerged from the qualitative data. For example, if the study focused on the experiences of employees in a particular industry, the explanation could explore how demographic factors such as age or occupation influenced their perspectives or behaviors.

Learn more about occupation here:

https://brainly.com/question/32309724

#SPJ11

A $10,000 loan is to be amortized over 5 years, with annual end-of-year payments. Of the following statements how many are incorrect?
The proportion of interest versus principal repayment would be the same for each of the 5 payments.
If the loan were amortized over 10 years rather than 5 years, and if the interest rate were the same in either case, the first payment would include more dollars of interest under the 5-year amortization plan.
The last payment would have a lower proportion of interest than the first payment.
The annual payment is constant over 5 years.
The total principal payments over 5 year are greater than $10,000.

Answers

Three statements are incorrect:

The proportion of interest versus principal repayment would be the same for each of the 5 payments. This statement is incorrect. In an amortized loan, the proportion of interest versus principal repayment changes over time. Initially, the interest portion is higher, and the principal portion increases with each payment.If the loan were amortized over 10 years rather than 5 years, and if the interest rate were the same in either case, the first payment would include more dollars of interest under the 5-year amortization  .This statement is incorrect. With a longer amortization period, the first payment in the 10-year plan would include more dollars of interest compared to the 5-year plan. The longer repayment period spreads the interest payments over more years.The total principal payments over 5 years are greater than $10,000. This statement is incorrect. The total principal payments over 5 years will be equal to the original loan amount of $10,000. The interest payments over the years will make up the additional cost associated with borrowing the money.

Learn more about payment here : brainly.com/question/32320091
#SPJ11

________ offers low-cost courses, often held on college campuses, for people over 55.

Answers

Osher Lifelong Learning Institutes (OLLI) offers low-cost courses, often held on college campuses, for people economics over 55.

Osher Lifelong Learning Institutes (OLLI) offers low-cost courses, often held on college campuses, for people over 55. The institutes are based on the idea that learning is a lifelong process and that intellectual curiosity can be pursued at any age.According to the Osher Foundation, there are currently 120 Osher Lifelong Learning Institutes located at colleges and universities across the United States. These institutes offer a wide range of courses and programs in various subjects, including art, history, science, literature, and technology, among others. Courses are typically non-credit and are designed to be engaging, interesting, and intellectually stimulating for adult learners.

OLLI courses are taught by experienced instructors and are often interactive and discussion-based. They offer an opportunity for older adults to engage with others in their community, learn new skills and ideas, and stay mentally and socially active as they age. Many OLLI programs also offer special events, trips, and activities outside of the classroom, which allow participants to connect with one another and explore their interests in more depth.

To know more about economics visit:

https://brainly.com/question/31640573

#SPJ11

Suppose that a firm is producing in the short run with output given by: Q=70L-L² The firm hires labor at a wage of $32 per hour and sells the good in a competitive market at P = $35 per unit. Find the firm's optimal use of labor. Enter as a value. ROUND TO THE NEAREST WHOLE NUMBER.

Answers

The firm's optimal use of labor is 35 units.  To find the firm's optimal use of labor, we need to determine the level of labor that maximizes the firm's profit. In the short run, the firm's profit is given by the difference between total revenue and total cost.

Total revenue (TR) is calculated by multiplying the price (P) per unit by the quantity (Q) produced:

TR = P * Q

Total cost (TC) is calculated by multiplying the wage rate (W) per hour by the amount of labor (L) used:

TC = W * L

Profit (π) is calculated as:

π = TR - TC

In this case, the output function is given by Q = 70L - L², the wage rate is $32 per hour, and the selling price is $35 per unit.

To find the optimal use of labor, we maximize profit by finding the level of labor that maximizes the profit function.

Taking the derivative of the profit function with respect to labor (L) and setting it equal to zero, we can find the value of L that maximizes profit.

dπ/dL = 70 - 2L = 0

2L = 70

L = 35

Therefore, the firm's optimal use of labor is 35 units.

Learn More about labor, here :-

brainly.com/question/27994817

#SPJ11

Industrial conflicts are the results of several socio-economic, psychological and political factors. Various lines of thoughts have been expressed and approaches used to explain his complex phenomenon.

Require:

Critically evaluate and analyze FIVE (5) approaches in industrial relations with proper examples and justifications.

Answers

There are various approaches used to explain the phenomenon of industrial relations. Some of these approaches include the following.

Unitarist Approach The unitarist approach to industrial relations involves the view that workers, management, and other stakeholders in an organization have common interests and therefore should work together towards achieving the organizational goals.

Human Resource Approach The human resource approach to industrial relations views employees as a valuable resource, and therefore, organizations should invest in their development and well-being. This approach emphasizes the importance of employee involvement and participation in decision-making processes.

To know more about phenomenon  visit:-

https://brainly.com/question/30217591

#SPJ11

The daily demand for parts made at machining workcell JMB is 1600 units. The average processing time is 25 seconds per unit. A container spends, on average, six hours waiting at JMB before it is processed. Each container holds 250 parts. Currently 10 containers are being used for the part.
a.What percent safety margin of stock is being carried?
b.If you wanted to retain this safety margin, but remove one container, to what value must the waiting time be reduced?
c.What would happen if the demand for parts increased to 1900 with K = 10?

Answers

The amount of stock available (total stock) to the daily demand. The difference between the two represents the safety margin, which indicates the extra stock or buffer available to meet unexpected increases in demand or production disruptions.

The percent safety margin of stock can be calculated using the formula:

[tex]\[ \text{Safety Margin} = \left( \frac{\text{Total Stock} - \text{Daily Demand}}{\text{Total Stock}} \right) \times 100\% \][/tex]

Given that each container holds 250 parts and there are currently 10 containers, the total stock is [tex]\(10 \times 250 = 2500\)[/tex] parts. The daily demand for parts is 1600 units. Plugging these values into the formula:

[tex]\[ \text{Safety Margin} = \left( \frac{2500 - 1600}{2500} \right) \times 100\% \approx 36\% \][/tex]

Therefore, a 36% safety margin of stock is being carried.

To retain the same safety margin while removing one container, we need to calculate the new waiting time. Let's denote the new waiting time as \(W\).

[tex]\[ \text{New Waiting Time} = \left( \frac{\text{Total Stock} - (\text{Daily Demand} \times \text{Processing Time})}{\text{Containers} - 1} \right) / \text{Daily Demand} \][/tex]

Given that the total stock is[tex]\(10 \times 250 = 2500\)[/tex]  parts, the daily demand is 1600 units, and the processing time is 25 seconds per unit:

[tex]\[ \text{New Waiting Time} = \left( \frac{2500 - (1600 \times 25)}{10 - 1} \right) / 1600 \approx 1.79 \text{ seconds} \][/tex]

Therefore, the waiting time must be reduced to approximately 1.79 seconds to retain the desired safety margin.

. The equation for calculating the number of containers required [tex](\(C\))[/tex]when the demand for parts increased to 1900 units with [tex]\(K = 10\)[/tex] is:

[tex]\[ \text{Containers} = \lceil \frac{\text{Demand}}{K \times \text{Parts per Container}} \rceil \][/tex]

Given that the demand for parts is 1900 units and [tex]\(K = 10\)[/tex], and each container holds 250 parts:

[tex]\[ \text{Containers} = \lceil \frac{1900}{10 \times 250} \rceil = \lceil 0.76 \rceil = 1 \][/tex]

If the demand for parts increased to 1900 with [tex]\(K = 10\),[/tex] only one container would be needed.

Learn more about. safety margin

brainly.com/question/30396766

#SPJ11

Other Questions
For having a sound working capital management, what are the two fundamental decisions required? Also explain how Liquidity, Profitability and Risk is compromised/ compensated when Aggressive Financial manager acquires optimal level of current assets? QUESTION 20A 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. $1000O b. $215O c. $515O d. No loans are needed Suppose the value of the CPI is 1.100 in year one, 1.160 in year two, and 1.270 in year three Assume also that the price of computers increases by 3% between year one and year two, and by another 3% between year two and year three. The price level is increasing, the inflation rate is and the relative price of computers is A) constant; decreasing C) increasing; increasing B) constant; increasing D) increasing; decreasing In this lab, we will work with different BPMN symbols. Your task is to redraw the given diagram using a BPMN tool. Refer to You Should Meet Katherine Johnson for a complete version of this text.Part AWhich statement is a main idea of Chapter 4?ResponsesKatherine plays an important role in the , Apollo 11, flight to the moon that places America ahead in the space race.Katherine believes in teamwork and makes sure others are given credit for their contributions.In Katherine's early years at NASA, a Soviet astronaut becomes the first person to orbit the Earth.Katherine has concerns that her calculations might be incorrect and cause problems for the return flight of , Apollo 11, .Question 2Part B - Points depend on a correct response in Part A.Which detail from the text best supports the answer to Part A?ResponsesIf we were off by just a few feet or seconds, they were done for, she remembered. The astronauts wouldnt have been able to return home.The landing and successful return of Apollo 11s flight to the moon made headlines all around the world. And it could not have been possible without Katherines help.The landing and successful return of , Apollo 11s, flight to the moon made headlines all around the world. And it could not have been possible without Katherines help.The Soviet Union took the lead again when it came to sending a man into space.The Soviet Union took the lead again when it came to sending a man into space.For her entire career, Katherine insisted that no one person was responsible for any specific achievement.Refer to You Should Meet Katherine Johnson for a complete version of this text.Part AWhich statement is a main idea of Chapter 4?ResponsesKatherine plays an important role in the , Apollo 11, flight to the moon that places America ahead in the space race.Katherine believes in teamwork and makes sure others are given credit for their contributions.In Katherine's early years at NASA, a Soviet astronaut becomes the first person to orbit the Earth.Katherine has concerns that her calculations might be incorrect and cause problems for the return flight of Apollo 11.Question 2Part B - Points depend on a correct response in Part A.Which detail from the text best supports the answer to Part A?ResponsesIf we were off by just a few feet or seconds, they were done for, she remembered. The astronauts wouldnt have been able to return home.The landing and successful return of Apollo 11s flight to the moon made headlines all around the world. And it could not have been possible without Katherines help.The landing and successful return of , Apollo 11s, flight to the moon made headlines all The Soviet Union took the lead again when it came to sending a man into space.For her entire career, Katherine insisted that no one person was responsible for any specific achievement. 2) Imagine that you had discovered a relationship that would generate a scatterplot very similar to the relationship Y = X, and that you would try to fit a linear regression through your data points. What do you expect the slope coefficient to be? What do you think the value of your regression R2 is in this situation? What are the implications from your answers in terms of fitting a linear regression through a non-linear relationship? The Manama Co. is considering adding a new product line that is expected to increase annual sales by $342.000 and expenses by $236,000. The project will require $18839 in depreciated using the straight-line method to a zero book value over the 9-year life of the project. The company has a marginal tax rate of 39 percent. What is the depreciation tax shield? Suppose that 20% of all Bloomsburg residents drive trucks. If 10 vehicles drive past your house at random, what is the probability that 2 of those vehicles will be trucks? 0.322 O 1.000 0.302 0.678 the pattern rhythm of all sonnets is an unaccented syllable followed by an accented syllable. truefalse Find the maximum of the function by dichotomous search Assume A=0.05 4x 0SX S2 f(x) = 4-X 2 SX S4 Retirement PlanningGodwin and Rita are both age 62. Godwin is not enjoying his work anymore and wants to retire now. However, Rita loves working at the local coffee shop meeting people and thinks she will work (even if part-time) to age 70. They have their home paid off and some small amount in savings but mostly all their capital is held in superannuation. They have $800,000 combined across both their superannuation accounts. This should be enough for a comfortable retirement, however they want to help their two children reduce their mortgages by gifting them $100,000 each, reducing their super to $600,000.With reference to this case;a. List three important financial objectives that retirees commonly haveb. Discuss three types of risks that are specific to achieving a retirees objectivesc. Provide three reasons why lifetime annuities appeal to retirees.d. What is the main concern you have for these clients? Explain what you believe will be the positive and negative consequences to society by the increased use of Blockchain, including the Internet. Sales Cost of goods sold 2021 $ 78,000 65,700 Required A Required B Sales Cost of goods sold 2020 $ 73,000 47,400 Dollar amounts stated are in thousands. a. Compute trend percentages for the above Items taken from the financial statements of Lopez Plumbing over a five-year period. Treat 2017 as the base year. b. State whether the trends are favorable or unfavorable. Complete this question by entering your answers in the tabs below. 2021 % %6 Compute trend percentages for the above items taken from the financial statements of Lopez Plumbing over a five-year period. Treat 2017 as the base year. (Round your answers to the nearest whole percent. i.e. 1.2345 as 123%.) 2019 $ 61,000 36,000 2020 96 96 Required A 2018 $ 57,000 42,600 2019 %6 96 2018 2017 $ 50,000 30,000 96 %6 Required B > 2017 %6 %6 Sales Cost of goods sold Required A Required B 2021 $ 78,000 65,700 2020 $ 73,000 47,400 Trends Dollar amounts stated are in thousands. a. Compute trend percentages for the above Items taken from the financial statements of Lopez Plumbing over a five-year period. Treat 2017 as the base year. b. State whether the trends are favorable or unfavorable. Complete this question by entering your answers in the tabs below. State whether the trends are favorable or unfavorable. Sales Cost of goods sold 2019 $ 61,000 36,000 2018 $ 57,000 42,600 < Required A 2017 $ 50,000 30,000 Required B > A radio tower is located 350 feet from a building. From a window in the building, a person determines that the angle of elevation to the top of the tower is 31 and that the angle of depression to the bottom of the tower is 24. How tall is the tower? One commonality between the Pequot War and King Philip's War isthat Native American groups were divided--some fighting the Englishcolonists and others allying with them. True or False? Suppose a simple random sample of size n = 75 is obtained from a population whose size is N = 30,000 and whose population proportion with a specified characteristic is p = 0.4. Complete parts (a) through (c) below. Not normal because n lessthanorequalto 0.05N and np(1 - p) < 10. Approximately normal because n lessthanorequalto 0.05N and np(1 - p) greaterthanorequalto 10. Approximate normal because n lessthanorequalto 0.05N and np(1 - p) < 10. Not normal because n lessthanorequalto 0.05N and np(1 - p) greaterthanorequalto 10. Determine the mean of the sampling distribution of p^. mu_p6 = (Round to one decimal place as needed.) Determine the standard deviation of the sampling distribution of p^. sigma_p^= (Round to six decimal places as needed.) (b) What is the probability of obtaining x = 36 or more individuals with the characteristic? That is, what is P(p^greaterthanorequalto 0.48)? P(p^greaterthanorequalto 0.48) = (Round to four decimal places as needed.) A)B)16...21Find the angle between v and w. v = -2i+ 5j, w = 3i+ 9j The angle between v and w is (Do not round until the final answer. Then round to the nearest tenth as needed.)Plot the complex number. Then Which of the four Chinese philosophies outlined in Chap. 5(Confucianism, Daoism, Legalism, and Moism) still has the mostinfluence in culture today? Explain your choice. sin may be an inward attitude as well as an outward act. true false Which number sentence is true? O A) 2.3 x 102 > 2000 OB) 3.45 > 1-4.35| OC) 345 > 5:33 825 OD 13