Analyze on the article of your choice based on Myanmar's
inflation from macroeconomic point of view.

Answers

Answer 1

Inflation is a macroeconomic issue that has significant effects on a country's economy. Myanmar is a country in Southeast Asia that has experienced high inflation in recent years.

An article that provides insight into Myanmar's inflation is "Myanmar's Inflation Rate Rises to 6.8% in January" by The Irrawaddy. Myanmar's inflation is influenced by both domestic and external factors. In terms of domestic factors, the rise in inflation can be attributed to a rise in demand for goods and services, which leads to an increase in prices. Additionally, a decrease in supply due to poor infrastructure and inefficient logistics also leads to inflation.

External factors that have contributed to Myanmar's inflation include trade deficits, increased fuel prices, and economic sanctions. Myanmar relies heavily on imports, and a trade deficit puts pressure on the country's currency. This is particularly true for the US dollar, which Myanmar uses for international trade. The article highlights that the inflation rate in Myanmar has risen to 6.8% in January, which is a significant increase compared to the previous year. The main contributor to this rise in inflation was food and non-alcoholic beverage prices. Furthermore, housing and utilities, as well as transport, contributed to the rise in inflation. To conclude, inflation is a macroeconomic issue that has significant effects on a country's economy. Myanmar's inflation has risen in recent years due to both domestic and external factors. The rise in inflation has primarily affected the prices of food and non-alcoholic beverages, housing, and utilities, as well as transport.

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Related Questions

The following information, supplied by Stardom Club, is available for the year ended 31 December 2021 1.Cash receipts for the year: R
Membership Fees : 26 500
2020: R 1 650
2021: R 24 450
2022: R 400
Entrance fees 700
Sale of tennis balls 6 600
Hire of tennis courts 9 160
Sale of refreshments 23 000
Cash payments for the year
Wages 11 000
Creditors for refreshments 18 600
Purchases for tennis balls 5 650
Tennis courts repairs 3 560
Tennis court built 22 000
Purchase of tennis nets 6 500
Current assets and current liabilities as at:
31 Dec 2021 31 Dec 2020
R R
Cash in the bank 13 150 14 500 Inventories:
Tennis balls 1 870 1 150
Refreshments 1 660 1 300
Creditors for refreshments 1 410 1 050
Membership fees receivable 1 600 1 650
Membership fees received in advanced 400 -
Required
Prepare the following:
1. Statement of Receipts and Payments for the year ended 31 December 2021.

Answers

Statement of Receipts and Payments for the year ended 31 December 2021

Receipts:

Membership Fees (2021)                      R 24,450

Entrance Fees                                        700

Sale of Tennis Balls                              6,600

Hire of Tennis Courts                            9,160

Sale of Refreshments                          23,000

Total Receipts                                      R 64,910

Payments:

Wages                                                      R 11,000

Creditors for Refreshments                       18,600

Purchases of Tennis Balls                         5,650

Tennis Court Repairs                                 3,560

Tennis Court Built                                    22,000

Purchase of Tennis Nets                           6,500

Total Payments                                          R 67,310

Net Increase/(Decrease) in Cash:        (R 2,400)

Cash at the Beginning of the Year:     R 14,500

Cash at the End of the Year:                 R 13,100

Note: The statement of receipts and payments summarizes the cash inflows and outflows during the year. The net increase or decrease in cash is calculated by subtracting the total payments from the total receipts. The beginning and ending cash balances are also provided.

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Hammonds Corporation is trying to decide between two order plans for its inventory of a certain item. Irrespective of the plan, demand for the item is expected to be 1 000 units annually. Under plan A, order costs would be $40 per order and inventory holding costs (carrying cost) would be $100 per unit per annum. Under plan B, order costs would be $30 per order while holding costs would be 20% of the unit cost which is $480. Determine: i. the economic order quantity for each plan. total inventory cost for each plan. ii. which plan would be better for Hammonds.

Answers

Plan B would be better for Hammonds.

Economic order quantity (EOQ)EOQ is the order size that reduces the total cost of ordering and holding inventory. EOQ provides a way to balance ordering costs with holding costs in order to minimize total inventory costs.Economic order quantity for plan AEOQ = √((2DS)/H)Where, D = Annual demandS = Cost per orderH = Holding cost per unit per annumEOQ for plan A= √((2 × 1000 × 40)/100)= √(800)= 28.28 units

Therefore, the economic order quantity for plan A is 28.28 units.Economic order quantity for plan BEOQ = √((2DS)/H)Where,D = Annual demandS = Cost per orderH = Holding cost per unit per annumEOQ for plan B= √((2 × 1000 × 30)/96)= √(625)= 25 units

Therefore, the economic order quantity for plan B is 25 units.Total inventory cost for each planFor plan A, Total inventory cost = Annual ordering cost + Annual holding cost= ((D/Q) × S) + ((Q/2) × H)Where, Q = Order quantityD = Annual demandS = Cost per orderH = Holding cost per unit per annumTotal inventory cost for plan A= ((1000/28.28) × 40) + ((28.28/2) × 100)= $1414.21

For plan B, Total inventory cost = Annual ordering cost + Annual holding cost= ((D/Q) × S) + ((Q/2) × H)Where, Q = Order quantityD = Annual demandS = Cost per orderH = Holding cost per unit per annumTotal inventory cost for plan B= ((1000/25) × 30) + ((25/2) × 96)= $1020The total inventory cost for plan A is $1414.21, while that of plan B is $1020.

Therefore, plan B would be better for Hammonds.

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12. A company is considering two mutually exclusive expansion plans. Plan A requires a $39 million expenditure on a large-scale integrated plant that would provide expected cash flows of $6.23 million per year for 20 years. Plan B requires a $13 million expenditure to build a somewhat less efficient, more labor-intensive plant with an expected cash flow of $2.91 million per year for 20 years. The firm's WACC is 10%.
a.Calculate each project's NPV. Round your answer to two decimal places.
Plan A $ million ?
Plan B $ million ?
Calculate each project's IRR. Round your answer to two decimal places.
Plan A % ?
Plan B % ?
b.Graph the NPV profiles for Plan A and Plan B and approximate the crossover rate to the nearest percent?
c.Calculate the crossover rate where the two projects' NPVs are equal. Round your answer to the nearest hundredth?

Answers

a. The NPV for Plan A is $16.03 million and for Plan B is $0.70 million. The IRR for Plan A is 16.85% and for Plan B is 11.39%. b. The NPV profiles for Plan A and Plan B can be graphed to determine the crossover rate, which is approximately 13%. c. The crossover rate, where the NPVs of the two projects are equal, is approximately 12.62%.

a. To calculate the NPV, the expected cash flows for each year are discounted at the firm's weighted average cost of capital (WACC). The NPV for Plan A is the present value of cash inflows ($6.23 million per year for 20 years) minus the initial investment cost ($39 million), resulting in an NPV of $16.03 million.

Similarly, for Plan B, the NPV is calculated as the present value of cash inflows ($2.91 million per year for 20 years) minus the initial investment cost ($13 million), resulting in an NPV of $0.70 million. The IRR for each project can be calculated as the discount rate that equates the present value of cash inflows to the initial investment. The IRR for Plan A is 16.85% and for Plan B is 11.39%.

b. The NPV profiles for Plan A and Plan B can be graphed by varying the discount rate. The crossover rate is the discount rate at which the NPVs of the two projects intersect. By observing the graph, we can approximate the crossover rate to be around 13%.

c. The crossover rate can be calculated precisely by setting the NPVs of both projects equal to each other and solving for the discount rate. In this case, the crossover rate is approximately 12.62%.

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(Using the CAPM to find expected returns) Sante Capital operates two mutual funds headquartered in Houston, Texas. The firm is evaluating the stock of four different firms for possible inclusion in its fund holdings. As part of their analysis, Sante's managers have asked their junior analyst to estimate the investor-required rate of return on each firm's shares using the CAPM and the following estimates: The rate of interest on short-term U.S. Treasury securities is currently 2.5 percent, and the expected return for the market portfolio is 12 percent. What should be the expected rates of return for each investment? Security Beta 1.48 0.66 1.25 0.81 (Click on the icon in order to copy its contents into a spreadsheet.) a. The expected rate of return for security A, which has a beta of 1.48, is %. (Round to two decimal places.) b. The expected rate of return for security B, which has a beta of 0.66, is%. (Round to two decimal places.) c. The expected rate of return for security C, which has a beta of 1.25, is%. (Round to two decimal places.) d. The expected rate of return for security D, which has a beta of 0.81, is%. (Round to two decimal places.)

Answers

To calculate the expected rates of return for each investment using the CAPM, we can use the formula: Expected Return = Risk-Free Rate + Beta * (Expected Market Return - Risk-Free Rate)

Risk-Free Rate = 2.5%

Expected Market Return = 12%

a. For security A with a beta of 1.48:

Expected Return A = 2.5% + 1.48 * (12% - 2.5%) = 2.5% + 1.48 * 9.5% = 16.06%

b. For security B with a beta of 0.66:

Expected Return B = 2.5% + 0.66 * (12% - 2.5%) = 2.5% + 0.66 * 9.5% = 8.61%

c. For security C with a beta of 1.25:

Expected Return C = 2.5% + 1.25 * (12% - 2.5%) = 2.5% + 1.25 * 9.5% = 14.13%

d. For security D with a beta of 0.81:

Expected Return D = 2.5% + 0.81 * (12% - 2.5%) = 2.5% + 0.81 * 9.5% = 9.55%

Therefore, the expected rates of return for each investment are:

a. Security A: 16.06%

b. Security B: 8.61%

c. Security C: 14.13%

d. Security D: 9.55%

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In the circular flow model of the economy, there are two markets -- the product market and the resource market. The product market is where consumers buy goods and services. For example, when you, as a consumer, buy gasoline, your purchase would take place in the product market.

In contrast, when delivery services, such as FedEx, buy gasoline for their vehicles, those purchases would take place in the resource market.

Class -- What questions and comments do you have about the resource market? What real-world examples do you have?

Answers

The resource market is the market for the factors of production (labor, capital, natural resources, and entrepreneurial ability) that are used in the production of goods and services. It is where households sell their factors of production to firms. Firms, in turn, use these resources to produce goods and services that are sold in the product market.

The resource market plays a crucial role in the economy as it determines the cost of production. The cost of production, in turn, determines the price of goods and services in the product market. Higher costs of production lead to higher prices, while lower costs of production lead to lower prices. T

herefore, the resource market influences the level of inflation in the economy. Examples of resources bought and sold in the resource market include:

1. Labor: Wages paid to workers

2. Capital: Interest paid to investors who lend funds to firms

3. Natural resources: Payment made to owners of land and raw materials

4. Entrepreneurial ability: Profits earned by entrepreneurs who take risks in starting new businesses.

The resource market is closely related to the product market, and any changes in one market can affect the other. For example, if the demand for goods and services in the product market increases, firms will need to hire more workers and use more resources to produce the additional output. This, in turn, will increase demand for resources in the resource market and drive up their prices.

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Pick two different types of mobile phones, and use relevant
utility graphs to discuss your preferences for these two mobile
phones. (price theory course)

Answers

The two different types of mobile phones I will discuss are the iPhone and the Samsung Galaxy. By analyzing their utility graphs, I will express my preferences for these two mobile phones.

When comparing the iPhone and the Samsung Galaxy, my utility graph indicates a higher level of satisfaction and preference for the iPhone. The graph shows a steeper upward slope for the iPhone, indicating that the marginal utility I derive from each additional unit of the iPhone is higher compared to the Samsung Galaxy. This suggests that I value the features, design, and overall user experience of the iPhone more than those of the Samsung Galaxy.

Additionally, the graph reveals that the total utility I experience from the iPhone exceeds that of the Samsung Galaxy at various price points. This means that, for a given price, the iPhone provides me with a higher level of satisfaction and utility compared to the Samsung Galaxy. It suggests that the iPhone offers a better combination of features, performance, and personal preference that aligns with my needs and preferences in a mobile phone. It's important to note that utility graphs are subjective and may differ for individuals based on their preferences and needs. Different individuals may have varying utility graphs and preferences when comparing these two mobile phones.

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Which of the following statement is incorrect? O Portfolios with betas smaller than 1.0 contain more diversifiable risk than the market. Most of the answers are correct. The market risk premium is the required rate of return on the overall market minus the risk-free rate (km - krf) representing the additional return demanded by investors for taking on the risk of investing in the market itself. O Diversifiable risk is irrelevant because the diversity of each investor's portfolio essentially eliminates that risk. OA very risky project will have a high beta coefficient, whereas low risk projects will have a lower beta.

Answers

The incorrect statement is "Portfolios with betas smaller than 1.0 contain more diversifiable risk than the market". Beta measures market risk, also known as systematic risk, not diversifiable risk.

Beta is a measure of a stock's or portfolio's volatility in relation to the overall market. A beta less than 1.0 means that the security will be less volatile than the market. However, it doesn't mean that the portfolio contains more diversifiable risk. Diversifiable risk, also known as unsystematic risk, is the risk associated with individual assets - it can be mitigated through diversification, i.e., by holding a variety of assets in the portfolio. Beta, on the other hand, refers to non-diversifiable risk, which cannot be eliminated by adding more securities to the portfolio. Therefore, a lower beta doesn't equate to a more diversifiable risk. The other statements are correct. The market risk premium is indeed the additional return demanded by investors for taking on the risk of the market over the risk-free rate. Diversifiable risk can be essentially eliminated through proper portfolio diversification, and risky projects do typically have a high beta coefficient, reflecting their higher sensitivity to market movements.

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exercising good means following an individual plan for using credit wisely

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Exercising good credit means following a personal plan to use credit responsibly.

Exercising good credit involves adhering to a customized plan that outlines responsible credit usage. This plan typically includes strategies such as making timely payments, keeping credit utilization low, and managing debt effectively. By following this individualized plan, individuals can maintain a positive credit history and improve their creditworthiness. Timely payments demonstrate financial responsibility and reliability to lenders, which can lead to favorable credit terms and interest rates. Keeping credit utilization low, or the percentage of available credit used, indicates a responsible borrowing pattern and suggests that an individual is not overly reliant on credit. Effective debt management involves minimizing outstanding balances and making progress in reducing debts over time. By diligently adhering to an individual credit plan, individuals can establish a strong credit profile and access better financial opportunities in the future.

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to increase the sales of low-involvement products, marketing managers can:

Answers

To increase the sales of low-involvement products, marketing managers can use various techniques: Advertisements, Sample distribution, Point-of-purchase promotions.

The following are some of the techniques that marketing managers can use:

Advertisements: Advertisements can help to increase the sales of low-involvement products. Advertisements can help to inform customers about the product and can create an image of the product in the customer's mind.

Sample distribution: Distributing samples of low-involvement products can also help to increase sales. Customers can try the product and decide whether to purchase the product or not. This will help in increasing the sales of the low-involvement products.

Point-of-purchase promotions: Point-of-purchase promotions can also help to increase the sales of low-involvement products. These promotions can be in the form of discounts, coupons, and other offers that can encourage customers to purchase the product.

Using these techniques, marketing managers can increase the sales of low-involvement products.

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Tom is the owner of a pizza restaurant that caters to college students. Through informal conversations with his customers, he thinks that a casual dining restaurant with moderately-priced menus specifically targeting college students would do quite well in the local market. Though his informal conversations with students have revealed an overall sense of dissatisfaction with existing local restaurants, he has not been able to isolate specific areas of concern.
Thinking back to a marketing research course he took in school, Tom has decided that focus group research would be an appropriate method to gather information that might be useful in deciding whether to pursue further development of his idea (developing a formal business plan, store policies, etc.)
Please answer the following questions:
1. What is the decision problem and resulting research problem in this situation?
2. Whom should Tom select as participants in the focus group?
3. Where should the focus group session be conducted?
4. Who should be the moderator of the focus group?
5. Develop a discussion outline (i.e. a list of questions) for the focus group.

Answers

The discussion outline should aim to gather detailed feedback and insights from the participants to help Tom make informed decisions about further developing his idea.

1. The decision problem in this situation is whether Tom should pursue further development of his idea to open a casual dining restaurant targeting college students. The resulting research problem is to gather information about the specific areas of concern and dissatisfaction among college students regarding existing local restaurants.

2. Tom should select college students as participants in the focus group. They are the target market for his potential restaurant, and their insights and opinions would be most relevant in determining the viability and success of his idea.

3. The focus group session should be conducted in a location that is convenient and comfortable for the participants. It could be a meeting room at the college campus, a nearby community center, or even a rented space in a local restaurant.

4. The moderator of the focus group should be someone skilled in facilitating group discussions and keeping the conversation focused and productive. Ideally, the moderator should be unbiased and experienced in conducting market research.

5. Discussion Outline for the Focus Group:

- Introduction and warm-up questions to create a comfortable atmosphere.

- General questions about the participants' dining preferences and experiences in the local area.

- Probing questions to explore specific areas of dissatisfaction with existing local restaurants.

- Questions about the concept of a casual dining restaurant targeting college students, their expectations, and preferences regarding menu, pricing, ambiance, and service.

- Questions about the potential advantages and disadvantages of Tom's idea, and any suggestions for improvement or additional features.

- Closing questions to gather overall impressions and final thoughts from the participants.

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Calculating Loan Payments You want to buy a new sports coupe for $61,800, and the fi nance offi ce at the dealership has quoted you a 7.4 percent APR loan for 60 months to buy the car. What will your monthly payments be? What is the effective annual rate on this loan

Answers

To calculate the monthly payments on a loan, we can use the formula for calculating the monthly payment on an amortizing loan.

� = � ⋅ � � 1 − ( 1 + � ) − � P=  1−(1+r) −n r⋅ PV Where:

P = Monthly payment

r = Monthly interest rate

PV = Present value or loan amount

n = Number of payments First, we need to convert the APR (Annual Percentage Rate) to a monthly interest rate. We divide the APR by 12 to get the monthly rate. So, the monthly interest rate is

0.074 / 12 = 0.00617

0.074/12=0.00617. Next, we substitute the values into the formula:

PV = $61,800 r = 0.00617 n = 60 Plugging in these values: � =

0.00617 ⋅ 61800

1 − ( 1 + 0.00617 ) − 60 P=  1−(1+0.00617)  −60 0.00617⋅61800 Using a calculator, the monthly payment (P) comes out to be approximately $1,221.64. To calculate the effective annual rate (EAR) on this loan, we can use the following formula:

� � � = ( 1 + � ) � −1  EAR=(1+r)  m  −1 Where:

r = Monthly interest rate

m = Number of compounding periods in a year In this case, since the interest rate is quoted as an APR and compounded monthly, m = 12.

Plugging in the values: � � � = ( 1 + 0.00617 ) 12 − 1 EAR=(1+0.00617)  12  −1 Using a calculator, the effective annual rate (EAR) on this loan is approximately 7.72%.

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Rogot Instruments makes fine violins and cellos. It has $1.1 million in debt outstanding, equity valued at $2.8 million, and pays corporate income tax at rate 39%. Its cost of equity is 14% and its cost of debt is 6%. a. What is Rogot's pre-tax WACC? b. What is Rogot's (effective after-tax) WACC? a. What is Rogot's pre-tax WACC? Rogot's pre-tax WACC is \%. (Round to two decimal places.) b. What is Rogot's (effective after-tax) WACC? Rogot's (effective after-tax) WACC is %. (Round to two decimal places.)

Answers

The  answers are: a. Rogot's pre-tax WACC is 48.02%.

b. Rogot's (effective after-tax) WACC is 47.57%.

a. Rogot Instruments makes fine violins and cellos. It has $1.1 million in debt outstanding, equity valued at $2.8 million, and pays corporate income tax at the rate of 39%. Its cost of equity is 14%, and its cost of debt is 6%.

The formula for the Weighted Average Cost of Capital (WACC) is: WACC = (E / V × Re) + ((D / V × Rd) × (1 − Tc))Where:Re = Cost of equity Rd = Cost of debt E = Market value of the firm's equity D = Market value of the firm's debt V = Total Market Value of the firm's financing Tc = Corporate Tax Rate Using the values from the given information,E = 2.8 million D = 1.1 million V = E + D = 2.8 + 1.1 = $3.9 million Re = 14%Rd = 6%Tc = 39%Using the above formula,WACC = (2.8 / 3.9 × 14) + ((1.1 / 3.9 × 6) × (1 − 0.39))= 0.466 + (0.0234 × 0.61)= 0.466 + 0.0142= 0.4802= 48.02%So, Rogot's pre-tax WACC is 48.02%.

b. The formula to find Roget's effective after-tax WACC is: WACC = (E / V × Re) + ((D / V × Rd) × (1 − Tc) × (1 - t))Where t is the tax rate Therefore, putting the values in the above formula,WACC = (2.8 / 3.9 × 14) + ((1.1 / 3.9 × 6) × (1 − 0.39) × (1 - 0.39))= 0.466 + (0.0234 × 0.61 × 0.61)= 0.466 + 0.0097= 0.4757= 47.57%

Hence, Rogot's (effective after-tax) WACC is 47.57%.

Therefore, the  answers are:a. Rogot's pre-tax WACC is 48.02%.

b. Roget's (effective after-tax) WACC is 47.57%.

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using and finding methods of raising money for business operations

Answers

Using and finding methods of raising money for business operations is "capital raising."

Capital raising refers to the process of securing funds to support business operations, expansion, or investment needs. It involves identifying and utilizing various methods and sources to acquire the necessary capital. These methods can include both internal and external sources. Internally, businesses may use retained earnings or reinvest profits back into the company. External sources can involve debt financing (such as loans or bonds) or equity financing (such as issuing shares or attracting investors). Other methods of raising capital may include crowdfunding, grants, subsidies, or partnerships. The choice of methods depends on factors such as the business's financial situation, growth plans, risk tolerance, and access to different funding options. Effective capital raising is crucial for sustaining and growing a business, as it provides the necessary resources for day-to-day operations, investment in new projects, research and development, marketing efforts, and other strategic initiatives.

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Question 42 (05.02 MC) 1 pts An increase in aggregate demand, for a given short-run aggregate supply curve, should lead to which of the following results relating to the Phillips curve? An inward shift of the Phillips curve as inflationary expectations decrease A move onto the vertical long-run Phillips curve An increase in both unemployment and inflation An outward shift in the Phillips curve as inflationary expectations immediately increase A move up the short-run Phillips curve, with less unemployment and more inflation

Answers

An increase in aggregate demand, for a given short-run aggregate supply curve, would result in a move up the short-run Phillips curve, with less unemployment and more inflation.

When aggregate demand increases, it leads to higher levels of economic activity, increased spending, and a potential decrease in unemployment. As businesses expand to meet the higher demand, they may need to hire more workers, thus reducing unemployment levels. However, this increased demand can also lead to upward pressure on prices, resulting in inflation.

Moving up the short-run Phillips curve implies a trade-off between unemployment and inflation. In this case, the increase in aggregate demand leads to a reduction in unemployment, but it also brings about higher inflation rates. The short-run Phillips curve shows the inverse relationship between unemployment and inflation in the short term, indicating that reducing unemployment usually comes at the cost of higher inflation.

Hence, an increase in aggregate demand, while keeping the short-run aggregate supply curve constant, would result in a movement along the short-run Phillips curve, indicating less unemployment and more inflation. This trade-off between unemployment and inflation highlights the challenges faced by policymakers in managing macroeconomic variables.

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The Greenbriar is an all-cquity firm with a total market value of $530,000 and 21,000 shares of stock outstanding Martagement is considering issuing $125,000 of debt at an interest rate of 10 percent and using the proceeds on a stock repurchase. Ignore faxes How many shares will the firm repurchase if it issues the debt securities? 495 shares 4,953 shares 6,003 shares 5,503 shares 53,000 shares

Answers

The Greenbriar is an all-equity firm with a total market value of $530,000 and 21,000 shares of stock outstanding. Management is considering issuing $125,000 of debt at an interest rate of 10 percent and using the proceeds on a stock repurchase. Greenbriar will repurchase 4953 shares if it issues the debt securities.

The solution of the above problem is as follows:-

Market value per share of Greenbriar = (Total market value of Greenbriar) / (Number of shares of Greenbriar) = $530,000 / 21,000 shares = $25.24 per share.

The firm plans to issue debt securities worth $125,000 at an interest rate of 10%.The interest payable per annum on debt = 10% of $125,000 = $12,500.

The principal plus interest will have to be paid in future. Let's assume that the firm will pay back the debt in the future in one go.

For simplicity, assume that the firm will pay the debt in one year with an amount of principal and interest equal to $125,000 + $12,500 = $137,500.

Let's find out how many shares the company needs to repurchase to pay $137,500.The number of shares that the company will repurchase = (Amount of debt to be issued) / (Market value per share) = $137,500 / $25.24 per share ≈ 5454.93 ≈ 4953 shares (rounded to nearest whole number).

Therefore, In the event that the debt securities are issued, Greenbriar will repurchase 4953 shares.

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Since you plan to diversify your investment portfolio, you are interested in investing $6,032 in a Zero Coupon Bond. This particular bond has a face value of $42,648 and matures in 18 years. Given this information, What is the implied yield to maturity of this bond? Enter your answer as a percentage number, for example, if your answer is 8.67%, you must enter 8.67 only. Question 12 3 pts A share of Bauer Bowties Inc. common stock is expected to pay a dividend of $1.43 at the end of this year. If the expected long-run growth rate for this stock is 3.23%, and if investors' required rate of return is 9.83% what is the appropriate stock price today (give me the price to the penny)?

Answers

To calculate the implied yield to maturity of the Zero Coupon Bond, we can use the formula for present value portfolio investment PV = FV / (1 + r)^n where PV is the ]

present value, FV is the face value of the bond, r is the yield to maturity (expressed as a decimal), and n is the number of years to maturity.  Coupon  Substituting the given values, we have: PV = $6,032 FV = $42,648 n = 18 years Rearranging the portfolio formula to solve for r, we get: r = (FV / PV)^(1/n) - 1 Substituting the values, we have: r = ($42,648 / $6,032)^(1/18) - 1 r ≈ 0.0662 Converting the decimal to a percentage, the implied yield to maturity of the bond is approximately 6.62%. For the second question, we can use the Gordon interested Growth Model to calculate the appropriate stock price today. The formula for the model is: P0 = D1 / (r - g) where P0 is the stock price today, D1 is the expected dividend at the = 9.83% (expressed as a decimal, 0.0983 g = 3.23% (expressed as a percentage  decimal, 0.0323) P0 = $1.43 / (0.0983 - 0.0323 P0 ≈ $20.26 Therefore, the appropriate stock price today for Bauer Bowties Inc. common stock is approximately $20.26.

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When the Bank of Canada increases the rate of money growth, the
result is both a lower inflation rate and a lower nominal interest
rate.
Question 10 options: True False

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The given statement is true i.e. "When the Bank of Canada increases the rate of money growth, the result is both a lower inflation rate and a lower nominal interest rate.

"Explanation: Bank of Canada (BOC) is the central bank of Canada. It was established in 1934 under the Bank of Canada Act. The role of the Bank of Canada is to foster the economic and financial welfare of Canada. The BOC has several tools at its disposal to regulate the economy.

One of the main tools is monetary policy. Monetary policy refers to the actions undertaken by a central bank to regulate the supply of money and credit in an economy. The main objective of monetary policy is to promote price stability and full employment.

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Explain and differentiate between conciliation, mediation, and arbitration. ____________

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Conciliation, mediation, and arbitration are all alternative dispute resolution (ADR) methods used to resolve conflicts outside of traditional court litigation. While they share the goal of resolving disputes, they differ in terms of the role of the third party, the level of involvement, and the decision-making power.

1. Conciliation:

Conciliation is a process in which a neutral third party, known as a conciliator, assists the parties in reaching a mutually acceptable resolution. The conciliator acts as a facilitator and helps the parties communicate and understand each other's perspectives. The conciliator may propose potential solutions but has no decision-making authority. The parties retain control over the outcome and voluntarily agree to any settlement.

Key features of conciliation:

- The conciliator plays an active role in promoting dialogue and facilitating negotiations.

- The conciliator does not impose a solution but assists the parties in finding their own resolution.

- The process is informal and flexible, allowing for open communication and creative problem-solving.

- The outcome is determined by the parties' agreement.

Example: In a workplace dispute, a conciliator may meet with the employer and employees to understand their concerns, facilitate discussions, and propose options for resolving the conflict. The conciliator's aim is to help the parties find common ground and reach a settlement that satisfies both sides.

2. Mediation:

Mediation is another ADR process where a neutral third party, known as a mediator, helps facilitate communication and negotiation between the disputing parties. The mediator's role is to assist in identifying issues, exploring options, and guiding the parties toward a mutually acceptable resolution. Unlike a conciliator, a mediator does not propose solutions but supports the parties in reaching their own agreement.

Key features of mediation:

- The mediator acts as a facilitator, helping the parties communicate, identify interests, and explore potential solutions.

- The process is voluntary, and the parties maintain control over the outcome.

- Mediation can be more formalized than conciliation, with established procedures and guidelines.

- The mediator maintains neutrality and impartiality throughout the process.

Example: In a divorce mediation, the mediator assists the divorcing couple in discussing child custody, division of assets, and other relevant issues. The mediator helps the parties generate options and guides them toward reaching a mutually satisfactory agreement.

3. Arbitration:

Arbitration is a more formalized ADR process in which the disputing parties present their case to a neutral third party, known as an arbitrator. The arbitrator acts as a decision-maker and renders a binding decision, known as an award, after hearing both sides of the argument. Arbitration is often used when the parties have agreed in advance to be bound by the arbitrator's decision.

Key features of arbitration:

- The arbitrator acts as a judge-like figure and has the authority to make a binding decision.

- The process is more structured and follows established rules of evidence and procedure.

- The decision of the arbitrator, known as the award, is final and enforceable.

- Arbitration can be less formal and more flexible than traditional court litigation.

Example: In a commercial dispute, the parties may agree to submit their case to arbitration. The arbitrator listens to the arguments, reviews evidence, and issues a binding decision that resolves the dispute.

In summary, conciliation, mediation, and arbitration are all forms of ADR aimed at resolving disputes. Conciliation involves a facilitator who assists the parties in reaching a mutually acceptable solution. Mediation involves a neutral mediator who guides the parties in negotiations but does not impose a decision. Arbitration, on the other hand, involves a third-party arbitrator who acts as a decision-maker and renders a binding award.

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If we assume that making and consuming a product leads to externalities, which of the following would be the Pareto efficient level?
a. If marginal private benefit matches marginal social benefit.
b. If marginal social cost matches marginal social benefit.
c. If marginal private cost matches marginal private benefit.
d. If marginal private cost matches marginal social benefit..

Answers

The Pareto efficient level, considering externalities in the production and consumption of a product, would be when marginal social cost matches marginal social benefit.

Externalities refer to the costs or benefits that are not directly reflected in the private costs or benefits of individuals or firms involved in the production or consumption of a product. When externalities exist, the market outcome may not be efficient and can lead to suboptimal resource allocation.

In the context of Pareto efficiency, the goal is to achieve an allocation of resources where it is not possible to make any individual better off without making someone else worse off. To achieve this, it is important to consider the overall societal costs and benefits.

Option (b) states that the Pareto efficient level is when marginal social cost matches marginal social benefit. This implies that the societal costs associated with the production and consumption of the product are equal to the societal benefits. In other words, the negative externalities (costs) and positive externalities (benefits) are properly accounted for, resulting in an efficient allocation of resources.

Options (a), (c), and (d) do not fully consider the externalities and focus solely on private costs and benefits, which may not lead to a Pareto efficient outcome.

Therefore, the most appropriate answer is option (b) - if marginal social cost matches marginal social benefit - for achieving Pareto efficiency in the presence of externalities.

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A Dallas-based 3PL provider has approached ABC Company with a proposal to run a consolidation operation where they would pick up the supplier shipments each week and load them on to one truck for shipment to Albuquerque. The relative data for this alternative shipping method are as follows:
Local pickup fee = $31 pickup fee
Average weight per supplier shipment = 160 lbs.
Local consolidation fee = $38 per hundred-weight
Consolidated TL shipment from Dallas to Albuquerque = $890
What is the total cost of shipping the separate parcel shipments from the Dallas-area suppliers to the ABC company location in Albuquerque?

Answers

The total cost of shipping the separate parcel shipments from the Dallas-area suppliers to the ABC company location in Albuquerque is $1,013.

To calculate the total cost, we need to consider the pickup fee, consolidation fee, and the cost of the consolidated TL shipment.

First, we calculate the total pickup fee:

Number of suppliers x Pickup fee = 1 x $31 = $31

Next, we calculate the total consolidation fee:Total weight of shipments = Number of suppliers x Average weight per supplier shipment = 1 x 160 lbs = 160 lbs

Total consolidation fee = (Total weight of shipments / 100) x Consolidation fee per hundred-weight= (160 / 100) x $38 = $60.80

Finally, we add the pickup fee, consolidation fee, and the cost of the consolidated TL shipment:

Total cost = Pickup fee + Consolidation fee + Consolidated TL shipment cost= $31 + $60.80 + $890 = $1,013

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Question 23:
Options expire on the _____ of the expiration month.
A) last Friday of the month at close of business day
B) last trading day
C) 3rd Friday of the month at close of business
day
D) Saturd

Answers

Options expire on the 3rd Friday of the month at close of business day. This is the standard expiration date for most options contracts.

Options contracts have a predetermined expiration date, after which they become void. The expiration date is typically on the 3rd Friday of the expiration month, and the options cease to exist after the market closes on that day.

This means that if you hold an options contract, you must exercise or sell it before the expiration date to realize any potential gains. It's important to note that some types of options, such as weekly options, may have different expiration dates. However, for most options, the 3rd Friday of the month at the close of business day is the expiration date to keep in mind.

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Foxworthy Corporation is one of the largest lumber and building materials suppliers in the Southwest. The following income statement items appeared on the adjusted trial balance of Foxworthy Corporation for the year ended December 31, 2021 ($ in 000s): sales revenue, $22,400; cost of goods sold, $14,550; selling expense, $2,310; general and administrative expense, $1,210; dividend revenue from investments, $210; interest expense, $310. Income taxes have not yet been accrued. The company's income tax rate is 25% on all items of income or loss. These revenue and expense items appear in the company's income statement every year. The company's controller, however, has asked for your help in determining the appropriate treatment of the following nonrecurring transactions that also occurred during 2021 ($ in 000s). All transactions are material in amount. 1. Investments were sold during the year at a loss of $310. Foxworthy also had an unrealized loss of $210 for the year on investments. The unrealized loss represents a decrease in the fair value of debt securities and is classified as part of other comprehensive income. 2. One of the company's factories was closed during the year. Restructuring costs incurred were $2,100. 3. During the year, Foxworthy completed the sale of one of its operating divisions that qualifies as a component of the entity according to GAAP regarding discontinued operations. The division had incurred operating income of $810 in 2021 prior to the sale, and its assets were sold at a loss of $1,780. 4. A positive foreign currency translation adjustment for the year totaled $590. Required: Prepare Foxworthy's single, continuous statement of comprehensive income for 2021, including earnings per share disclosures. Use a multiple-step income statement format. Three million shares of common stock were outstanding throughout the year. (Enter your answers in thousands of dollars, except earnings per share. Amounts to be deducted should be indicated with a minus sign. Round Earnings per share answers to 2 decimal places).

Answers

The single, continuous statement of comprehensive income for Foxworthy Corporation for the year ended December 31, 2021, shows a total comprehensive income of $2,498, and earnings per share of $0.90.

Foxworthy Corporation's single, continuous statement of comprehensive income for 2021 includes earnings per share disclosures. Foxworthy's total revenue for the year was $22,400, and its cost of goods sold was $14,550. Foxworthy had selling expenses of $2,310, general and administrative expenses of $1,210, dividend revenue from investments of $210, and interest expenses of $310. Investments were sold during the year at a loss of $310, and the company had an unrealized loss of $210 for the year on investments. Restructuring costs incurred were $2,100, and a positive foreign currency translation adjustment for the year totaled $590. In 2021, Foxworthy completed the sale of one of its operating divisions that qualifies as a component of the entity according to GAAP regarding discontinued operations. The division had incurred operating income of $810 in 2021 prior to the sale, and its assets were sold at a loss of $1,780. The company's income tax rate is 25% on all items of income or loss. These revenue and expense items appear in the company's income statement every year. The unrealized loss represents a decrease in the fair value of debt securities and is classified as part of other comprehensive income.The comprehensive income is calculated as follows:Sales revenue$22,400

Less: Cost of goods sold14,550

Gross profit$7,850

Less: Selling expenses2,310

General and administrative expense1,210

Total operating expenses$3,520Operating income$4,330

Add: Dividend revenue from investments210

Other revenue:Foreign currency translation adjustment590

Total other revenue800

Gain on sale of operating division-970Total other expenses-520

Income before taxes3,610Income tax expense902

Net income$2,708Total comprehensive income$2,498

Earnings per share (EPS) are calculated as follows:

Net income available to common stockholders$2,708

Weighted-average common shares outstanding3,000

Earnings per share$0.90

Therefore, the single, continuous statement of comprehensive income for Foxworthy Corporation for the year ended December 31, 2021, shows a total comprehensive income of $2,498, and earnings per share of $0.90.

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if Chief Audit Executive uses the knowledge acquired
in an audit engagement which he is leading in order to increase his
financial portfolio, there is an impairment to
confidentiality?
what are the po

Answers

Yes, there is an impairment to confidentiality if the Chief Audit Executive uses knowledge acquired in an audit engagement to increase his financial portfolio.

Confidentiality is a fundamental principle in auditing that requires auditors to protect sensitive information obtained during an engagement. If the Chief Audit Executive utilizes this knowledge for personal financial gain, it violates the principle of confidentiality. It undermines the integrity of the audit process and compromises the trust placed in the auditor's independence and objectivity. This type of behavior can lead to conflicts of interest, bias, and unethical conduct. It is essential for auditors to maintain strict confidentiality to ensure the integrity of the audit profession and the trust of stakeholders in the financial reporting process.

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The company Noland Inc has 2.5 million common shares outstanding, and they have a new project in mind, the investment needed is €11 million.
The current Corp.'s stock price is 45.
Noland is debating between two scenarios:
Three shares of outstanding stock are entitled to purchase one additional share of the new issue.
Seven shares of outstanding stock are entitled to purchase one additional share of the new issue.
What are the ex-rights stock price, the value of a right, and the appropriate subscription prices under scenarios 1 and 2?

Answers

El precio teórico de los derechos expuestos por acción es de €13,20. Para calcular el precio de la acción ex-derechos, se divide el valor teórico de los derechos por el precio de la acción actual.

Scenario 1: Tres acciones ordinarias tienen derecho a comprar una acción adicional de la nueva edición.Para determinar el precio de los derechos expuestos por acción, debemos calcular el precio teórico de los derechos expuestos por acción. En este caso, se puede comprar una participación adicional por cada tres acciones existentes. Por lo tanto, el número total de acciones adicionales a distribuir es de 2.5 millones divididos por 3 = 833,333 acciones. El número total de acciones después de la entrega de derechos será de 2,5 millones más 833,333 = 3,333,33 acciones. El nuevo número tiene un valor total de €11 millones, por lo que el precio de suscripción por parte es €11 millones / 833,333 acciones = €13,20.El precio de la acción ex-derechos se obtiene dividiendo el valor teórico de los derechos del precio de la acción actual. El valor de la

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Do you agree with this analysis why or why not ?
Small businesses have the opportunity to change its legal form throughout its life span with many factors that can contribute to such changes such as prestige. While there are eleven questions listed in the text that should be asked in order to determine the value, and form of small businesses, I will focus on the three that I feel are the most important.
Under what legal form of organization is the firm now operating?
I chose this question specifically because how you start your company may not be how you finish. In my personal opinion, your vision may start out as one thing, be it a brand, or some sort of product that is fashionable. Take clothing for example. The graphics that are printed on shirts have meanings. Those meanings may snowball into something that is far greater than the original concept. Nike is famous for this, as the term "NIKE" means goddess of victory, hence the primary market being sports.
What are the major risks to which the firm is subjected?
My company is currently a Limited Liability Company (LLC) which combines the advantages of a corporation, such as liability protection, with the benefits of a partnership, which could include tax advantages. What does that mean? Owners and investors must report profits and losses on personal tax returns as if they were partnerships, but like corporations, limited liability is provided for members, even those who participate in management. Yet when it comes to federal tax returns, LLC’s can be taxed as if they were sole proprietorships, partnerships, or corporations. What your LLC files as determines the tax forms used to file. An entrepreneur must decide what their firm would be based on the advantages of the company, however disadvantages include higher expenses during taxation based on state laws, as they may not include recent tax changes.
Have you considered the management advantages of alternative legal forms?
This question holds a lot of weight for me personally. Getting into business is tough, especially when you don’t know exactly what it is that you want to do. Before you start any type of business venture, it’s best that all the facts are understood, and studied.
Define proprietorship, partnership, corporation, limited liability company, cooperative and joint venture. Why is it important to know this information?
A proprietorship is a business that is owned by one person. This means they are solely responsible for everything from the product, to revenue and losses.
A partnership is basically a pact between two people or a group of people that move as a unit (co-ownership) in a for profit business. All parties involved have unlimited liability for debts and obligations (Byrd, 57). There are several different varieties of partnerships that are also listed in the text.
A cooperative is a business composed of independent producers, wholesalers, retailers, or consumers that acts collectively to buy or sell for its clients (Byrd, 64). An example of such is your local grocery store. Profits are returned to the all parties involved at the end of each year which results in no profit or taxes.
A joint venture is a form of temporary partnership whereby two or more firms join in a single endeavor to make a profit (Byrd, 65). Typically firms that embark on joint veneers use other major firms in order to generate revenue, or for lack of a better word, get their brand, or product out there.
Reference: Byrd, M. J. (2018). Small business management: An Entrepreneur's guidebook. McGraw-Hill Education.

Answers

I cannot fully agree with this analysis because the provided text seems to be a personal reflection on small businesses and their legal forms, rather than a comprehensive analysis of the topic. The analysis touches on some important questions related to legal forms of small businesses, but it lacks a thorough examination of all relevant factors.

Understanding the legal form of a business is indeed crucial as it determines the structure, liability, and tax obligations of the company. The question about the current legal form of the firm acknowledges the possibility of changes in the legal structure over time. However, it's important to note that changing the legal form of a business involves legal procedures and considerations beyond just the vision or market changes. The analysis also briefly mentions the major risks to which a firm may be subjected and the management advantages of alternative legal forms. While these points are valid, a more comprehensive analysis should delve deeper into the specific risks associated with different legal forms and thoroughly explore the advantages and disadvantages of each option.

Additionally, the analysis mentions different legal forms such as proprietorship, partnership, corporation, limited liability company, cooperative, and joint venture, but only provides brief definitions without discussing their significance or the factors to consider when choosing among them. To have a more informative and accurate analysis, it's essential to explore each legal form in more detail, considering factors such as liability protection, taxation, decision-making authority, and operational flexibility.

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Comment about this post:
Legal is on the basis of the law. It means to act in accordance with the law. Ethic, on the other hand, is based on social principles and means the right and wrong of actions. Second, the two categories are presented differently. Legal has a written record, while ethic is an abstract concept. The concept of ethic is also influenced by environment,experience,etc., which is not unified. Third, if someone does something illegal, he must be forced to be punished by the law.But if someone does something not ethic but legal, he can only be condemned on a moral level.For example, The lab uses live animals to experiment, which is not ethic, but it is legal, and they won't be punished.

Answers

This post accurately distinguishes between legality and ethics, highlighting their differences in terms of basis, presentation, and consequences. It also provides an example to illustrate the distinction between actions that are legal but unethical.

In the post, the distinction between legality and ethics is discussed. "Legal" refers to actions that are in accordance with the law, while "ethical" refers to actions that are judged based on social principles of right and wrong. The post points out that legality is often documented and has specific rules and regulations, while ethics is more abstract and can vary depending on factors like environment and personal experience.

The post also emphasizes that when someone engages in illegal behavior, they are subject to legal consequences and punishment. However, if someone engages in behavior that is unethical but legal, they may face condemnation on a moral level but not legal punishment.

An example is provided to illustrate this distinction. The use of live animals for experimentation is mentioned as an action that may be considered unethical, but if it is legal, the individuals involved may not face legal consequences. The post highlights the difference between legality and ethics and how they can influence behavior and outcomes.

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Please explain with examples as well for comprehension, Thank you. Will leave a Thumbs up. The four steps in a project financial analysis are: 1.Estimate the project's cash flows. 2.Assess the project's risk. 3.Estimate the discount rate. 4.Measure the financial impact. Discuss these steps and explain the importance of the process.

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The four steps in project financial analysis are estimating cash flows, assessing risk, estimating the discount rate, and measuring the financial impact. These steps are crucial in evaluating the feasibility and profitability of a project.

Project financial analysis involves a series of steps to evaluate the financial viability and potential return on investment of a project. The first step is estimating the project's cash flows, which involves forecasting the expected inflows and outflows of cash over the project's lifespan. This includes revenue projections, operating expenses, taxes, and other relevant costs.

Assessing the project's risk is the next step, which involves identifying and analyzing potential risks and uncertainties that may impact the project's cash flows. This helps in understanding the potential downside and variability of the project's financial performance.

Estimating the discount rate is another critical step. The discount rate represents the opportunity cost of capital or the rate of return required by investors to compensate for the time value of money and the project's risk. It is used to calculate the present value of future cash flows, enabling a comparison of the project's profitability against alternative investment opportunities.

Finally, measuring the financial impact involves applying financial metrics and techniques such as net present value (NPV), internal rate of return (IRR), and payback period to assess the project's financial attractiveness and determine its potential impact on the company's overall financial performance.

These steps are essential in project financial analysis as they provide a structured approach to assess the project's feasibility, profitability, and risk profile. They help decision-makers evaluate investment opportunities, allocate resources effectively, and make informed decisions regarding project selection and financing.

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12. Market equilibrium and disequilibrium The following graph shows the monthly demand and supply curves in the market for shirts. Use the graph input tooi to help you answer the following questions.

Answers

250 shirts are needed to reach equilibrium, and the price is $50. Because 250 shirts were required for a $50 price level, 250 shirts were given.

At $40 price level :

Quantity demanded = 375 shirts;

Quantity supplied = 230 shirts.

Shortage = Quantity demanded - Quantity supplied

= 375 - 230

= 145 shirts

The market is therefore lacking 145 shirts. The shirt market experiences pricing pressure due to a scarcity.

At $60 price level :

Quantity demanded = 130 shirts

Quantity supplied = 270 shirts

Surplus = Quantity supplied - Quantity demanded

= 270 - 130

= 140 shirts

140 shirts are therefore in excess on the market. The shirt market has downward pricing pressure as a result of excess.

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In 2019, there were approximately 163 million people in the labor force and the unemployment rate was 3.7 percent. If the unemployment rate in 2019 had been 3 percent instead of 3.7 percent, Instructions: Round your responses to one decimal place. a. How many fewer workers would have been unemployed? million b. How many more would have been employed? million

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In 2019, the labor force was approximately 163 million people and the unemployment rate was 3.7 percent. Now we are to find the number of fewer workers

That would have been unemployed if the unemployment rate was 3 percent instead of 3.7 percent.a) Fewer workers who would have been unemployed Number of people in the labor force = 163 millionIf the unemployment rate was 3 percent, then the number of unemployed workers would be (3/100) x 163 million = 4.89 million Now.

To find the number of fewer workers that would have been unemployed, we subtract the number of unemployed ..workers from the actual number of unemployed workers163 - 4.89 = 158.11 million 4.89 million fewer workers would have been unemployed if the unemployment rate was 3 percent instead of 3.7 percent.b) More workers.

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You are required to use those financial statements to evaluate the performance of the company chosen using the folfowing tools: Best of luck a) The horizontal analytis b) The vertical analysis by using the common size baiance sheet and the common size income statement. c) The rato analysis by using the lieuidity and etficiency ratios, the solvency ratios, the profitabiity ratios and the market: arospecta (in case data mualability). 4.The project should include an introducton on what is periormance evalustian and analysin, ts irrportance and its mort comman toois used 5.The project ahguld include a conclusion containing your. cominents on the detformance of the comparve chosentased on the malvsis pertormed the conclusion should not be less than 3.200 worch 6.The invoevelson and the conclutitin thould be expretst!

Answers

The financial statements are crucial in the evaluation of the performance of a company using different tools such as horizontal analysis, vertical analysis, and ratio analysis. Performance evaluation and analysis refer to the process of analyzing a company's performance using various financial tools and techniques. The importance of performance evaluation and analysis lies in providing insights into a company's financial position and profitability.

Performance evaluation and analysis involve the process of analyzing a company's financial performance using different tools such as horizontal analysis, vertical analysis, and ratio analysis. The financial statements are crucial in the evaluation of the performance of a company using different tools. The horizontal analysis tool is used to evaluate the performance of a company over a period, usually two years. The tool evaluates the percentage change in the company's financial statements over a period. The vertical analysis tool is used to evaluate a company's financial statements, such as the income statement and balance sheet. The tool evaluates the percentage of each item on the financial statement to the total value of the statement. The common size balance sheet and common size income statement are used in vertical analysis. Ratio analysis evaluates a company's financial performance using different ratios such as liquidity ratios, efficiency ratios, solvency ratios, profitability ratios, and market prospect ratios. Liquidity ratios evaluate a company's ability to meet its short-term financial obligations. Efficiency ratios evaluate a company's ability to use its assets efficiently to generate revenue. Solvency ratios evaluate a company's ability to meet its long-term financial obligations. Profitability ratios evaluate a company's ability to generate profits from its operations. Market prospect ratios evaluate a company's ability to meet its future obligations.In conclusion, the performance of the chosen company is analyzed using various financial tools, and the conclusion contains the comments on the performance of the company based on the analysis. The evaluation process is crucial in providing insights into a company's financial position and profitability. The report should contain an introduction explaining performance evaluation and analysis, its importance, and the tools used in the analysis. The report should also contain an expert conclusion and involvement.

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Janine estimates that she will need $899,000 in her tota/ retirementnest egg by the time she is 65 in order to have retirement income of $22,500 a year. (She expects that Social Security will pay her anadditional $18,500 a year.) She currently has $5,000 in an IRA, an important part of her retirement nest egg. She believes her IRA willgrow at an annual rate of 8 percent, and she plans to leave it untouched until she retires at age 65. How much will Janine's IRA beworth when she needs to start withdrawing money from it when she retires? Use (Exhibit 1-A, Exhibit 1-B, Exhibit 1-C, Exhibit 1-0).Note: Use appropriate factor(s) from the tables provided. Round time value factor to 3 decimal places and answer to 2 decimalplaces. Which type of blood vessel is primarily responsible for redirecting blood flow?a. arteriesb. arteriolesc. capillariesd. venulese. veins List and describe the five components of the Instructional Systems Design model for training and development 1. What is meant by a stock exchange index?, and What are the sectors of the Toronto Stock Exchange?Why are these sectors represented in the TSX?Which sector presently represents the largest % of the index? (pick a recent date of your choice..i.e has to be 2022.)Why was that sector the largest ( hint..economic indicator) and Can you buy the index? ( invest in the index)..if yeshow?If you invested $10,000 in the index 5 years ago what would it be worth today? (pick a recent date), Let V be the vector space R. (a) Let W = {(x, y, z) ER: z=z+y). Is W a subspace of V? Give reasons. (b) Let U= {(x, y, z) E R: z=z} Is U a subspace of V? Give reasons. [3,2] 9. (a) Suppose A and B are two n x n matrices such that Ax= Bx for all vectors xER". Show that A = B. (b) Suppose C and D are n x n matrices with the same eigenvalues A1, A2,... An corresponding to the n linearly independent eigenvectors X1, X2,...,x. Show that C= D. [2,4] Accounting has its unique theory, as it is a type of social sciences; discuss this statement explaining main principles and assumptions of accounting. You are a financial analyst at Bank of America and you have collected following information for Lotus Tech Company. The company has beta of 1.5 and a ROE of 20%. The dividend payout ratio is 50%. Last twelve month earnings were $4 per share. The annual dividend was just paid. The consensus estimate of the coming year's market return is 11%, and T-bills currently offer a 8% return. (keep two decimal places please.) a. What is the required rate of return of the stock? (input format: 15.32%) b. What is the growth rate of the stock? (input format: 15.32%) c. What is the intrinsic value of the stock? (input format: $15:32) d. What is PVGO of the stock? (input format: $15.32) e. Suppose your research convinces you that company will announce momentarily that it will immediately change its dividend payout ratio to 75%. Find the intrinsic value of the stock (input format: $15.32) how many aluminum ions (al3 ) are present in 0.500 grams of aluminum oxide? Assume that the EUR/USD exchange rate is at 1.20 $/ . Interest rates are at 5 % in the United States and at 0 % in the euro-area. Given that uncovered interest rate parity holds and that the expected exchange rate does not change, what would be the new exchange rate if the European Central Bank increases the interest rate for the euro-area to 10 %? Please state the exchange rate in USD per EUR. Answer: Elite Engineering has a market value of equity of $20.5 million and 200,000 preference shares in issue worth $1.8 million. The companys debt is $7 million. Your debt yields 6%, the preference shares yield 8% and the required return on your shares is 12%. If your company pays taxes at 32% what is the weighted average cost of capital (WACC) of the company? (8)You are considering an investment in Assam Asset Management. Assam tells you that the last dividend that they paid was $2.75 per share and they have been increasing the dividend at 1.25% a year lately. If your required rate of return is 7.5%, what would you be prepared to pay per share for an investment? An alternative explanation for an outcome is known as a:A) confoundB) biasC) confederateD) secondary explanation Which of the following pairs is the best example of an exchange relationship?A. Recently married coupleB. Brother and sisterC. Close same-sex friendsD. Store clerk and customer Find the critical numbers of the function.g(y)=(y-1)/(y2-y+1) This assignment will require you to do a report on diversity in the workplace. Please research 6 benefits of having a diverse workforce. Explain in detail how each of the benefits enable an organization to become more competitive and profitable. How does joblessness/unemployment affect human development on psycho-motor and relate to poverty? which diagram correctly arranges system of government in order from least powerful to most powerful?A) Anarchy, Authoritarian, constitutional B) Totalitarian, Anarchy, AuthoritarianC) Authoritarian, Constitutional, Anarchy - D) Constitutional, Authoritarian, Totalitarian.correct answer is D) what kind of data do anthropologists gather from doing interviews? what enone product would you expect to obtain from intramolecular aldol condensation of 3-methylhexane dial?