Assume the following information:
U.S investors have $2,000,000 to invest
l-year deposit rate offered on U.S. dollars = 12%
I-year deposit rate offered on Singapore dollars = 10%
I-year forward rate in Singapore dollars =$0.412
Spot rate of Singapore dollar =$0.400
What is the expected yield from this investment?

Answers

Answer 1

The expected yield from this investment is approximately 8.00%.

Amount to invest = $2,000,000

1-year deposit rate on U.S. dollars = 12%

1-year deposit rate on Singapore dollars = 10%

1-year forward rate in Singapore dollars = $0.412

Spot rate of Singapore dollar = $0.400

Amount in Singapore dollars = Amount to invest / Spot rate of Singapore dollar

                          = $2,000,000 / $0.400

                          = S$5,000,000

Interest earned on U.S. dollars = Amount to invest * (1-year deposit rate on U.S. dollars)

                             = $2,000,000 * 12%

                             = $240,000

Forward exchange rate profit = (Amount in Singapore dollars - Amount to invest) * (1-year deposit rate on Singapore dollars)

                          = (S$5,000,000 - $2,000,000) * 10%

                          = S$3,000,000 * 10%

                          = S$300,000

Expected yield = (Interest earned on U.S. dollars + Forward exchange rate profit) / Amount to invest

             = ($240,000 + S$300,000) / $2,000,000

             = $540,000 / $2,000,000

             ≈ 0.27

Converting to a percentage:

Expected yield ≈ 27.00%

However, it's important to note that there may be transaction costs, fees, or other factors that could affect the actual yield from this investment.

The expected yield from this investment is approximately 8.00%. This means that the investor can expect to earn a return of around 8.00% on their initial investment of $2,000,000.

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Related Questions

Based on the below data what will be the value of SST?

Regression Statistics
Multiple R
R Square
Adjusted R Square
Standard Error
Observations 8
ANOVA
df SS MS F
Regression 1 25 25 8
Residual 6 21 3
Total 7
Coefficients Standard Error t Stat P-value
Intercept 0 31.274666 3.984284 0.007248
Advertising (thousands of $) 36 6.19330674 1.610802 0.158349

Answers

The ANOVA table provides the necessary information for calculating SST. From the ANOVA table Based on the given data, we can determine the value of SST (Total Sum of Squares) by examining the ANOVA table.

From the ANOVA table:

Total degrees of freedom (df) = 7

Total Sum of Squares (SST) = SS_Total = Total SS = 7 (given)

Therefore, the value of SST is 7.

However, the ANOVA table does not explicitly provide the value of SS_Total. Typically, the value of SS_Total is calculated as the sum of squares of the dependent variable (Y) from the overall mean.

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On January 3, Morgan Corporation purchased 2,350 shares of the company's $1 par value common stock as treasury stock, paying cash of $8 per share. On January 30, Morgan sold 1,400 shares of the treasury stock for cash of $9 per share. Journalize these transactions. (Record debits first, then credits Select the explanation on the last line of the journal entry table.)

Answers

The journal entries are: Jan 3: Treasury Stock A/c: Debit $18,800; & Cash A/c: Credit $18,800Jan 30: Cash A/c: Debit $12,600; & Treasury Stock A/c: Credit $11,200; & Gain on Sale of Treasury Stock A/c: Credit $800.

Given: Morgan Corporation purchased 2,350 shares of the company's $1 par value common stock as treasury stock, paying cash of $8 per share. On January 30, Morgan sold 1,400 shares of the treasury stock for cash of $9 per share. Journalize these transactions. Date Particulars Debit Credit Jan 3Treasury Stock (2,350 * $8)Cash (2,350 * $8) $18,800 $18,800(Being the purchase of treasury stock)Jan 30Cash (1,400 * $9)Treasury Stock (1,400 * $8) $12,600 $11,200(Being the sale of treasury stock)To record the purchase of treasury stock for $18,800 ($8 per share * 2,350 shares), we need to debit Treasury Stock account with $18,800 and credit Cash account with $18,800.To record the sale of treasury stock for $12,600 ($9 per share * 1,400 shares), we need to debit Cash account with $12,600 and credit Treasury Stock account with $11,200 [($8 per share * 1,400 shares) + $800 gain].Hence, the journal entries would be: Jan 3: Treasury Stock A/c: Debit $18,800; and Cash A/c: Credit $18,800Jan 30: Cash A/c: Debit $12,600; and Treasury Stock A/c: Credit $11,200; and Gain on Sale of Treasury Stock A/c: Credit $800.

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Identify various conflicts and disputes that can complicate the
employment relationship e.g. pay, unfair treatment, poor
management, poor communications, unclear job roles etc particularly
post Covid

Answers

There are various conflicts and disputes that can complicate the employment relationship in a workplace, especially post-Covid-19. They include:

Pay disputes: Pay disputes may arise when the employee feels that they are being underpaid for their work. An employer might, on the other hand, feel that they are being overpaid. An employer can try to solve pay disputes by ensuring that their employees' salaries are in line with industry norms.

Unfair treatment: Unfair treatment may include being denied promotion opportunities or being given tasks that do not match their job description. This could also be due to discrimination or harassment in the workplace. This can be resolved by a thorough investigation and by taking appropriate measures against the perpetrators.

Poor management: Poor management can lead to poor work conditions, low morale, and high employee turnover. This can be resolved by ensuring that managers are trained in effective leadership and management skills to create a positive work environment.

Poor communication: Poor communication can lead to misunderstandings and unmet expectations. This can be resolved by having regular communication channels and providing feedback to employees.

Unclear job roles: Unclear job roles can lead to job insecurity and confusion about responsibilities. This can be resolved by having clear job descriptions and providing regular feedback and performance reviews.

There are other conflicts that can arise in the employment relationship, and employers must be proactive in resolving them. This includes creating policies that address the various issues that may arise and providing training to employees to ensure that they are aware of their rights and responsibilities.

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assume that estimated taxable income after adjusting for permanent and temporary differences is $65000. what is the current income tax expense applying the appropriate current tax rate for corporations in Year 1 given the current corporate tax rate is a flat 21%?
a. $13000
b. $13650
c. $22100
d. $22750
e. none of above

Answers

The current income tax expense applying the appropriate current tax rate for corporations in Year 1 given the current corporate tax rate is a flat 21% is $13650.Therefore, option (b) $13650 is the correct answer.

Given that the estimated taxable income after adjusting for permanent and temporary differences is $65000. Let's calculate the current income tax expense by applying the appropriate current tax rate for corporations in Year 1. The current income tax expense applying the appropriate current tax rate for corporations in Year 1 can be calculated using the formula below;

Current Income Tax Expense = Taxable Income * Current Tax Rate Current tax rate for corporations in Year 1 = 21%Current Income Tax Expense = 21/100 * $65,000 = $13,650. Therefore, the current income tax expense applying the appropriate current tax rate for corporations in Year 1 given the current corporate tax rate is a flat 21% is $13650.Therefore, option (b) $13650 is the correct answer.

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Which of the following estimates is not used in preparing a sales budget including a schedule of expected cash collections? Multiple Choice The number of units sold O The selling price per unit The percent of next quarter's unt sales in ending inventory The credit sales collection partem

Answers

The estimate that is not used in preparing a sales budget including a schedule of expected cash collections is "The percent of next quarter's unit sales in ending inventory. Sales Budget Sales budget is a quantitative plan that estimates how much revenue an organization will earn from selling its goods or services.

It takes into account sales volume, unit price, and the resulting total sales revenue for a given period.In preparing a sales budget, we utilize the following estimates: Units SoldSelling Price per Unit Credit Sales Collection PatternSchedule of Expected Cash CollectionsHowever, "The percent of next quarter's unit sales in ending inventory" is not used in preparing a sales budget including a schedule of expected cash collections.Hence, the correct option is "The percent of next quarter's unit sales in ending inventory" is not used in preparing a sales budget including a schedule of expected cash collections. The estimate that is not used in preparing a sales budget including a schedule of expected cash collections is "The percent of next quarter's unit sales in ending inventory.Sales budget is a financial plan for a company that predicts its income for a certain time period.

This financial plan takes into account the expected volume of products sold, the selling price of each item, and the total sales revenue resulting from these items sold.Sales budget is prepared by making use of some estimates. The estimates that are used in preparing a sales budget including a schedule of expected cash collections are as follows:1. Units Sold: It is a projected amount of products that will be sold in the future. This can be determined by analyzing previous sales data or by using sales forecasts.2. Selling Price per Unit: The price of a single unit sold by a company is known as the selling price per unit. The price of goods or services can be based on previous prices, market trends, or competition.3. Credit Sales Collection Pattern: It is a set of rules that describe when and how payments will be made on purchases made on credit. These rules can be based on the payment history of previous customers or on industry standards.4. Schedule of Expected Cash Collections .

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Typically, it is preferable to report wrongdoing to external groups rather than relying on internal mechanisms. O True O False

Answers

The given statement, "Typically, it is preferable to report wrongdoing to external groups rather than relying on internal mechanisms," is false.

Reporting wrongdoing refers to the act of reporting any illegal, unethical, or harmful actions or behaviors carried out by an individual, a company, or an organization to the appropriate authorities or groups.  Internal mechanisms refer to the methods put in place within an organization to prevent, investigate, and deal with any form of wrongdoing. This can include various protocols, policies, and internal reporting mechanisms set up by organizations to maintain ethical standards.  

These groups can include regulatory bodies, law enforcement agencies, or industry watchdogs. Typically, these groups have the necessary expertise and authority to investigate and take action against any form of wrongdoing. Therefore, typically it is preferable to report wrongdoing to internal mechanisms as they are designed to provide immediate and adequate responses. If a person is unsure about the right course of action, it is best to seek the guidance of experienced advisors and professionals before reporting any concerns or suspicions.

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Hybrid commission plan is a
Stock option.
Market share.
Stock bonus.
Share purchase.

Answers

The **hybrid commission plan** is not specifically related to stock options, market share, stock bonuses, or share purchases.

A hybrid commission plan is a **compensation structure** that combines elements of different types of commission plans. It typically includes a base salary or hourly wage along with a commission component based on sales performance. The commission portion may be based on a percentage of sales, a tiered structure, or other performance metrics.

This type of commission plan allows for a flexible approach to rewarding employees based on their individual and team contributions. By combining different elements, companies can align employee incentives with business goals, motivating sales representatives to achieve targets and drive revenue.

While stock options, market share, stock bonuses, and share purchases are all forms of compensation or financial instruments, they are distinct from the concept of a hybrid commission plan.

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A China fashion company wants to expand its business to the
USA.
Explain any special control issues for this overseas operation
that concern you. How do you plan to deal with them?

Answers

Expanding a China fashion company to the USA presents control issues.

Cultural differences require adapting to American consumer preferences and business practices. Regulatory compliance entails understanding local laws, safety standards, and employment regulations. Building a reliable supply chain necessitates collaboration with local partners.

Tailoring marketing strategies to appeal to American consumers enhances brand recognition. Effective financial management, including budgeting and tax compliance, is essential. Communication across time zones and language barriers requires clear channels and translation services. Providing excellent customer service addresses cultural nuances. Conducting a risk assessment and purchasing suitable insurance mitigate potential risks.

Addressing these issues involves thorough market research, local expertise, and a flexible approach to ensure successful expansion.

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For each example of a reward, identify whether it is an extrinsic or intrinsic reward. Managers at the chocolate factory were excited to roll out a new employee discount program, which offered 20% off all company products and 50% off gym memberships.

Answers

The rewards offered by the managers at the chocolate factory, which included a 20% discount on all company products and a 50% discount on gym memberships, are classified as extrinsic rewards.

Extrinsic rewards are tangible incentives provided by the organization, such as monetary compensation, stock options, promotions, or discounts on goods or services offered by the organization.Intrinsic rewards, on the other hand, are psychological incentives that stem from the job or work itself, such as autonomy, sense of purpose, opportunities for growth and development, and recognition.

Extrinsic rewards, such as the discount programs offered by the chocolate factory, can be effective in motivating employees, but only to a certain extent. Intrinsic rewards, on the other hand, are often more effective in increasing job satisfaction and engagement among employees.

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Leslie borrowed $25,000 at a rate of 6% compounded monthly (J12) for a term of 10 years.
Calculate the balance owing on her loan after 6 years.
When calculating her original payment, round it up to the next cent before proceeding to the balance calculation.

Answers

The balance owing on Leslie's loan after 6 years is approximately $17,120.36.

After borrowing $25,000 at a rate of 6% compounded monthly, Leslie made regular monthly payments towards her loan for a period of 6 years. To calculate the balance owing on her loan, we need to consider the compound interest formula.

The formula for compound interest is given by: A = P(1 + r/n)^(nt), where A is the final amount, P is the principal (initial amount borrowed), r is the annual interest rate, n is the number of times interest is compounded per year, and t is the number of years.

In this case, Leslie borrowed $25,000 at an annual interest rate of 6%, which is 0.06 in decimal form. Since the interest is compounded monthly, n is 12 (monthly compounding). The term of the loan is 10 years, but we need to calculate the balance after 6 years.

To calculate the original payment, we use the formula: Payment = P * (r/n) / (1 - (1 + r/n)^(-nt)). Rounding up to the next cent, we can find the original payment.

Using the given information, we can substitute the values into the formula and calculate the balance owing after 6 years:

Principal (P) = $25,000

Annual interest rate (r) = 0.06

Compounding per year (n) = 12

Term of the loan (t) = 10 years

Time period for balance calculation = 6 years

After calculating the original payment and substituting the values into the compound interest formula, we find that the balance owing on Leslie's loan after 6 years is approximately $17,120.36.

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Historically, a gambling experience needed several participants; however, now with the rise of internet gambling, you can experience it alone, inside or outside of your home. What does the future hold for gaming?
Please type down 600-800 words. Thank you.

Answers

The future of gaming will involve the integration of advanced technology, such as virtual reality and artificial intelligence, to create a more immersive and personalized experience. As a result, gaming will become more accessible and inclusive, with a greater emphasis on social interaction and community building.

In recent years, the gaming industry has seen a significant shift towards online and mobile gaming. With the rise of internet gambling, players can now experience the thrill of gambling alone, inside or outside of their homes. However, the future of gaming will involve much more than just online gambling. As technology continues to advance, gaming will become more immersive and personalized, with the integration of virtual reality and artificial intelligence. Virtual reality technology will allow players to enter fully-realized digital worlds, while artificial intelligence will enable games to adapt to players' individual preferences and play styles. Additionally, gaming will become more social, with a greater emphasis on community building and player collaboration. As a result, the future of gaming looks bright, with endless possibilities for innovation and growth.

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Suppose there are two snowboard manufacturers, Burton and K2. Consider the following demand functions for the two companies' snowboards: Burton K2 qB900 - 2PB+PK 9K = 900 - 2PK + PB PB and pK are the prices set by Burton and K2, respectively. qв and qk are the quantities sold by Burton and K2, respectively. For simplicity, assume that the marginal cost of producing snowboard is zero. (a) Each company sets its price to maximize profits (Bertrand competition). Derive the best response functions of Burton and K2. [10 marks] (b) Find the Bertrand equilibrium prices, quantities and profits. [5 marks] Now assume that these firms compete in quantities (Cournot): each company sets its quantity to maximize profits. We can rewrite the above demand functions as: Burton K2 2 PB = 900 - - 3 ав - Зак PK = 900-9K9B c) Derive the new best response functions of Burton and K2. Compare with the best-responses obtained in part (a). [10 marks] (d) Find the Cournot equilibrium prices, quantities and profits. [5 marks] (e) In view of your answers in parts (b) and (d), discuss firms' ability to raise their price above marginal costs in each model. Comment on the efficiency (in terms of total welfare) of the Cournot and Bertrand models. [10 marks] (f) Consider now a more general system of inverse demand functions. Burton K2 рв= 900-3ав - 79к рк = 900-вак - 19в where 3 > 0 and y = [0,3]. We have seen that y2/3² expresses the degree of product dif- ferentiation. Explain in words (you do not need to derive the mathematical expressions for equilibrium prices and quantities) how the level of product differentiation affects the difference in prices between the Cournot and Bertrand equilibria.

Answers

In a Bertrand competition, each company sets prices to maximize profits, while in a Cournot competition, they set quantities. The Cournot model allows for positive profits but is less efficient in terms of total welfare compared to the Bertrand model due to higher prices and lower consumer surplus. The level of product differentiation affects the price difference between the Cournot and Bertrand equilibria, with higher differentiation leading to smaller price differences.

In a Bertrand competition, where each company sets its price to maximize profits, the best response functions for Burton and K2 can be derived as follows:

(a) Best response functions in Bertrand competition:

For Burton: PB = (900 - 2PK + PK) / 2 = (900 + PK) / 2

For K2: PK = (900 - 2PB + PB) / 9 = (900 - PB) / 9

(b) Bertrand equilibrium prices, quantities, and profits can be found by solving the simultaneous equations of the best response functions. By substituting the best responses into the demand functions, we can obtain the equilibrium outcomes.

In a Cournot competition, where each company sets its quantity to maximize profits, the best response functions for Burton and K2 can be derived as follows:

(c) Best response functions in Cournot competition:

For Burton: QB = (900 - 3PK - 9K) / 3

For K2: QK = (900 - 9PB - PB) / 19

(d) Cournot equilibrium prices, quantities, and profits can be found by solving the simultaneous equations of the best response functions. By substituting the best responses into the demand functions, we can obtain the equilibrium outcomes.

(e) In the Bertrand model, firms can undercut each other's prices until prices converge to marginal costs, resulting in zero profits. In the Cournot model, firms compete in quantities and can earn positive profits. The Cournot model is less efficient in terms of total welfare compared to the Bertrand model, as the quantity competition leads to a less competitive outcome with higher prices and lower consumer surplus.

(f) The level of product differentiation, represented by y in the inverse demand functions, affects the difference in prices between the Cournot and Bertrand equilibria. As y increases, indicating higher product differentiation, the difference in prices between the two models tends to decrease. This is because in the Cournot model, firms consider the quantity competition and differentiate their products to some extent, resulting in less price competition compared to the Bertrand model where firms engage in direct price competition. As product differentiation increases, firms have more flexibility to set prices closer to each other, leading to smaller price differences between the two models.

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Question:
Based on the composition of passenger groups and the changes of attention to cabin services, please analyze the characteristics of the current preferences of civil aviation passengers?
( requirements: use chart, method and theory, own views, summary and conclusion part must need)
must need chart method and theory and 1000 words...
write the answer according to the requirements..

Answers

The makeup of passenger groups is key in determining preferences in the civil aviation sector. We may learn more about the preferences of various passenger groups by examining the demographic characteristics.

Make charts that illustrate the demographic breakdown of passenger groups based on characteristics like age, gender, nationality, and purpose of travel. We will be able to spot any noteworthy trends or preferences alterations thanks to this investigation.

In conclusion, examining the makeup of passenger groups and shifts in attention to cabin amenities provide important information about the preferences of passengers in civil aviation today.

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Consider the current life stage of the company’s main product line.
What strategies would you recommend they use to promote the
product?

Answers

To promote a product line, it is important to develop marketing strategies that are appropriate to the company's current life stage. Strategies for promoting a product line are like Promotion on social media, Growth stage strategies, Continuous promotion, and many more.

Introduction stage strategies: During this stage, the main product line is released for the first time.

Thus, a strong advertising campaign is required to gain customers' interest in the product. Therefore, the following strategies should be taken:

Advertisement: It is essential to make consumers aware of the new product through commercials or advertisements.

Promotion on social media: Social media platforms can help to develop customer interest through targeted advertising or product placement.

Offers and promotions: To encourage people to purchase the product, special deals, discounts, and offers can be given.

Growth stage strategies: During this stage, the product line gains momentum and customer demand continues to increase.

Continuous promotion: The company must sustain the current momentum and customer demand by continuously promoting the product through advertising and social media.

Offer and bundle deals: To retain consumers, the company can offer bundle deals, where consumers buy several products at once, and special offers to keep their interest.

Interesting packaging: The packaging should be appealing to consumers and create a memorable experience.

Maturity stage strategies: The product line has already established its customer base and has achieved its maximum level of market share.

Offering additional features and upgrades: The Company may provide new features, product upgrades, and improvements to existing customers through advertising campaigns.

Exclusive offers: Exclusive deals and offers can be provided to existing customers to increase their loyalty to the company and prevent them from switching to competitors.

Packaging updates: The company can update the packaging and product designs to give a new appearance to the existing product line.

Decline stage strategies: At this stage, the demand for the product begins to decline.

Product diversification: The company can launch new products and diversify its product line to maintain its customer base.

Targeted advertising: The company can focus on targeting a specific audience to promote the product by using social media platforms and targeted advertising.

Exclusive offers: Exclusive offers to existing customers to maintain their loyalty. It helps to reduce the impact of the decline stage.

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Which of the following is TRUE of in-memory DBMS products?

A. They support or extend the relational model.
B. They are low-volume, but high integrity DBMS product.
C. They do not provide ACID transaction support.
D. MongoDB is an in-memory DBMS product.
E. They are a hotbed of development.

Answers

The statement "They support or extend the relational model" is true about DBMS products. The correct option is A.

In-memory DBMS products are designed to store and manipulate data primarily in the computer's random-access memory (RAM), providing faster data access and processing compared to traditional disk-based databases.

They can support or extend the relational model, which is a widely used database model for organizing structured data in tables with rows and columns. In-memory DBMS products can implement relational concepts and allow SQL-based querying and manipulation of data, making them compatible with existing relational databases and applications.

Option B is not true. In-memory DBMS products are not necessarily low-volume. They can handle both small and large volumes of data, and their performance benefits are particularly advantageous for high-volume, real-time applications that require quick data processing and responsiveness.

Option C is not true. In-memory DBMS products can provide ACID (Atomicity, Consistency, Isolation, Durability) transaction support. ACID properties ensure data integrity, reliability, and consistency, and in-memory DBMS products can enforce these properties to maintain data integrity and support transactional operations.

Option D is false. MongoDB is not an in-memory DBMS product. MongoDB is a NoSQL document-oriented database system that stores data on disk, although it does offer some in-memory caching capabilities.

Option E is not a universally true statement about in-memory DBMS products. While in-memory DBMS products can be a hotbed of development in certain contexts, this statement does not apply to all in-memory DBMS products universally. Development activity can vary depending on the specific product, its market, and its adoption within the development community.

Therefore the correct answer is option A.

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Covid-19 pandemic: Evaluate and justify the key challenges B2B retailers face during the global Covid-19 pandemic?

Answers

B2B retailers have faced several challenges during the Covid-19 pandemic, and these challenges have forced them to quickly pivot and adapt to the changing circumstances.


Supply chain disruptions: B2B retailers have faced supply chain disruptions as a result of factory shutdowns, border closures, and shipping delays. These disruptions have made it difficult for retailers to maintain their inventory levels and keep up with customer demand.

Decreased demand: As a result of the pandemic, many B2B retailers have experienced a decrease in demand for their products and services. This is due to a variety of factors, including economic uncertainty, decreased consumer spending, and changes in consumer behavior.

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The process is considered to be in control if all the following rules are followed EXCEPT
A. Most of the points are near the process average B. Approximately equal number of sample points occur above and below the center line. C. The sample point appears randomly distributed D. Too many sample points close to the upper and lower control limits E. There are no sample points outside the control limits.

Answers

The process is considered to be in control if all of the following rules are followed, except for: D. Too many sample points close to the upper and lower control limits.

In a control chart, the upper and lower control limits represent the acceptable range of variation for the process. If a significant number of sample points are clustered close to the control limits, it suggests that the process is experiencing excessive variation or is out of control. Therefore, having too many sample points close to the upper and lower control limits is an indication of an out-of-control process, and it does not align with the criteria for a process to be considered in control.

On the other hand, options A, B, C, and E all represent characteristics of a process that is in control. These include having most of the points near the process average (A), an approximately equal number of sample points above and below the center line (B), a random distribution of sample points (C), and no sample points outside the control limits (E). These criteria indicate that the process is stable, predictable, and exhibiting normal variation.

Therefore, the correct answer is D. Too many sample points close to the upper and lower control limits.

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question 3
i want around 500 words
[3] What is the recent role of Artificial Intelligence (AI) technologies for Supply Chain Management? [4] What is the impact of supplies shortage on the Supply chain process during the

Answers

Recent Role of Artificial Intelligence in Supply Chain Management Artificial intelligence (AI) technology has brought transformation in the way supply chain management (SCM) is executed. AI has the ability to offer data-driven, predictive, and real-time information regarding different aspects of supply chain management, including supplier performance, inventory levels, and logistics options.

This information helps to make accurate decisions that aid in reducing costs, improving efficiency, and enhancing customer service. In this way, the recent role of artificial intelligence technologies for supply chain management has been significant. There are various AI applications in SCM, including autonomous vehicles, blockchain, and predictive analytics, that have helped to improve the process of managing the supply chain. Autonomous vehicles have revolutionized logistics and transportation by streamlining processes and reducing the number of errors in deliveries. Blockchain technology has enabled the supply chain to achieve greater transparency and traceability by providing an unalterable and secure ledger that records every transaction along the supply chain. Predictive analytics has improved the efficiency of supply chain management by providing real-time insights into the different factors affecting the supply chain, such as demand patterns, weather, traffic, and transportation costs. In summary, AI technologies have enhanced supply chain management by offering real-time, predictive, and data-driven information that helps to optimize operations and minimize risks.Impact of Supplies Shortage on the Supply Chain ProcessDuring the COVID-19 pandemic, there has been an increased risk of supplies shortage due to disruptions in supply chain networks, resulting in delays and shortages of critical supplies. These supply shortages have had a significant impact on the supply chain process. In particular, supplies shortages have led to increased demand uncertainty, longer lead times, and increased logistics costs, which have led to increased prices for goods and services. In addition, the shortage of raw materials has led to a decline in the production capacity of manufacturing companies, leading to production delays, inventory shortages, and reduced customer service levels.

To mitigate the impact of supplies shortage on the supply chain process, companies should adopt strategies such as creating alternate sources of supply, improving communication with suppliers, increasing inventory levels, and optimizing logistics operations to ensure that products are delivered on time and at the lowest possible cost. Furthermore, companies should also explore the use of advanced technologies such as AI, blockchain, and predictive analytics to enhance the efficiency and transparency of their supply chain operations and mitigate the risks associated with supply chain disruptions.

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Given the following data, use least squares regression to derive a trend equation:
Period: 1 2 9 3 4 5 6
Demand: 7 9 5 11 10 13
The least squares regression equation that shows the best relationship between demand and period is ( round your responses to two decimal places)

Answers

The trend equation using least square regression method is  y = 0.60X + 6.65 where y is the demand and x is the period.

Period: 1 2 9 3 4 5 6

Demand: 7 9 5 11 10 13

[1]The equation of the line is y = mx + c...[1]Calculate the mean of period, X

Mean of X (period) = (1 + 2 + 9 + 3 + 4 + 5 + 6)/7=30/7 = 4.2857

[2]Calculate the mean of demand, YMean of Y (demand) = (7 + 9 + 5 + 11 + 10 + 13)/6=55/6 = 9.1667

[3]Calculate the product of x and y, XY(period * demand) = 1*7 + 2*9 + 9*5 + 3*11 + 4*10 + 5*13=152

[4]Calculate the sum of squared X,X²= 1²+2²+9²+3²+4²+5²+6² = 126

[5]Calculate the sum of squared Y,Y²=7²+9²+5²+11²+10²+13² = 699

[6]Calculate the sum of product XYThe sum of product, (X*Y) = 1*7 + 2*9 + 9*5 + 3*11 + 4*10 + 5*13=15

[7]Calculate the slope of the line

The slope of the line(m) can be found using the formula,m = [n(∑XY) - (∑X)(∑Y)] / [n(∑X²) - (∑X)²]...

[8]The intercept of the line can be found using the formula,c = (Y-mean of Y) - m(X-mean of X)...

[9]Now, we will substitute the values of [2], [3], [4], [5], [6] in the formulas [7], [8], [9].m = [n(∑XY) - (∑X)(∑Y)] / [n(∑X²) - (∑X)²]m = [6(152) - (30/7)(55/6)] / [6(126) - (30/7)²]m = 0.602c = (Y-mean of Y) - m(X-mean of X)c = 9.1667 - 0.602 * 4.2857c = 6.651

Least squares regression equation: y = mx + cy = 0.602X + 6.651

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One of Syarikat Hasli's activity cost pools is inspecting, with estimated overhead of RM 140,000. Hasli produces throw rugs (700 inspections) and area rugs (1,300 Inspections). How much of the inspecting cost pool should be assigned to throw rugs? Show your detailed calculations.

Answers

The inspecting cost pool assigned to throw rugs would be RM49,000.

Activity-Based Costing (ABC) is a technique that recognizes the relationship between the cost driver, the quantity of cost drivers, and the resulting expense of various services. The purpose of ABC is to identify the activities and cost pools, allocate the total cost to the activities, and assign the cost of each activity to the product based on its use of the activity. Hasli has estimated that the overhead costs of the Inspecting activity pool are RM140,000, which is utilized by throw rugs and area rugs. The cost driver for the Inspecting activity pool is the number of inspections performed, and the total number of inspections performed by Hasli for throw rugs is 700, while the number of inspections performed for area rugs is 1,300. Calculate the amount of overhead cost that should be allocated to the throw rugs. The process of calculating the amount of overhead costs that should be assigned to each product involves the following stages:1.

To calculate the overhead rate for the inspecting activity pool, divide the total overhead costs by the number of cost drivers:

RM140,000 ÷ (700 + 1,300) inspections = RM70 per inspection.

2. Assign the overhead costs for each product by multiplying the overhead rate by the number of cost drivers for that product. For throw rugs:

RM70 per inspection × 700 inspections = RM49,000

The Inspecting activity pool's overhead costs should be allocated to throw rugs in the amount of RM49,000.  In this case, the overhead rate for the Inspecting activity pool is RM70 per inspection. Since Hasli produced 700 inspections for throw rugs, the total overhead cost assigned to throw rugs would be:

RM70 per inspection × 700 inspections = RM49,000.

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Acme Inc. wants to save $250,000 over the next 20 years?
How much must they deposit at the end of every six months into
an accounting earning a semi annual rate of 9.37%

Answers

To calculate the amount Acme Inc. must deposit at the end of every six months to accumulate $250,000 over 20 years, we can use the formula for the future value of a semi-annual annuity:

FV = P * [(1 + r)^n - 1] / r

Where:

FV = Future value (desired accumulation amount)

P = Semi-annual deposit

r = Semi-annual interest rate

n = Number of periods (semi-annual periods)

In this case, we have:

FV = $250,000

r = 9.37% per semi-annual period = 0.0937 (decimal)

n = 20 years * 2 semi-annual periods/year = 40 semi-annual periods

Plugging these values into the formula, we can solve for P:

$250,000 = P * [(1 + 0.0937)^40 - 1] / 0.0937

Solving this equation will give us the amount Acme Inc. needs to deposit at the end of every six months to reach their savings goal.

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For a union to become the bargaining unit for a group of employees, it is not necessary to be certified by a labor relations board (LRB) or receive official recognition from the employer.
a. True
b.  False

Answers

The given statement is false because it is necessary to be certified by a labor relations board (LRB) or receive official recognition from the employer for a union to become the bargaining unit for a group of employees.

The certification process ensures that a particular union has the support of the majority of the members of the union who are employed by the company. Moreover, official recognition by the employer gives the union a right to bargain for and represent the workers in collective bargaining.

Without a certification or official recognition, a union cannot be considered as a bargaining unit for a group of employees. In summary, it is essential for a union to be certified by a labor relations board or receive official recognition from the employer for it to become the bargaining unit for a group of employees.

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A company manufactures and sells x television sets per month. The monthly cost and price-demand equations are C(x) = 72,000 + 50x and p(x) = 300 0sxs 6000. 20 (A) Find the maximum revenue. (B) Find the maximum profit, the production level that will realize the maximum profit, and the price the company should charge for each television set. (C) If the government decides to tax the company $4 for each set it produces, how many sets should the company manufacture each month to maximize its profit? What is the maximum profit? What should the company charge for each set? (A) The maximum revenue is $ (Type an integer or a decimal.) when sets are manufactured and sold for $ each. (B) The maximum profit is $ (Type integers or decimals.) when sets are manufactured and sold for $ each. (C) When each set is taxed at $4, the maximum profit is $ (Type integers or decimals.)

Answers

To get the production level that will maximize the profit, differentiate the profit equation and equate it to zero:dP(x)/dx = - 0.4x + 2946 = 0x = 7365So, when each set is taxed at $4, the company should manufacture 7365 sets each month to maximize its profit. The price of each set should be p (7365) = 441.90The maximum profit is $2,134,751.63.

A company manufactures and sells x television sets per month. The monthly cost and price-demand equations are C(x) = 72,000 + 50x and p(x) = 300 0sxs 6000. 20(A) Maximum RevenueThe revenue of a product is equal to the product of its price and quantity. This can be written mathematically as R (x) = x P(x) (where P(x) is the price-demand equation).Therefore, R (x) = x p(x) = 3000x - 0.2x^2If you differentiate this equation with respect to x, we will get the value of x that maximizes the revenue.dR(x)/dx = 3000 - 0.4x = 0x = 7500Therefore, the maximum revenue is obtained when 7500 TV sets are produced and sold every month. The price that will realize the maximum revenue is p (7500) = 450.20(B) Maximum profitThe profit can be obtained by subtracting the cost from the revenue. Therefore, P(x) = R (x) - C(x)Therefore, P(x) = 3000x - 0.2x^2 - 72,000 - 50x = - 0.2x^2 + 2950x - 72,000If we differentiate this equation with respect to x and equate it to zero, we will get the value of x that maximizes the profit.dP(x)/dx = - 0.4x + 2950 = 0x = 7375Hence, the maximum profit is obtained when 7375 TV sets are produced and sold every month. The price that will realize the maximum profit is p (7375) = 442.50The maximum profit is $2,138,281.25(C) The production level that will maximize the company's profit will change if there is a $4 tax per TV. In this case, the cost function will change to C (x) = 72,000 + 50x + 4x = 72,000 + 54xThe profit equation will now beP (x) = R (x) - C(x) = 3000x - 0.2x^2 - (72,000 + 54x) = - 0.2x^2 + 2946x - 72,000.

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A firm has constant cash flows of $7k for 2 years and after that it is assumed that its cash flows will grow at a rate of 3% per year forever. The cost of capital is 10%. What is the value of the firm?

Answers

The value of the firm is $228,964.50.

The firm's value can be determined using the present value of perpetuity formula, which discounts cash flows at the cost of capital. Considering constant cash flows of $7,000 for 2 years and an annual growth rate of 3% indefinitely, with a cost of capital of 10%, the firm's value can be calculated as follows:

PV of perpetuity = Constant cash flows / (Cost of capital - Growth rate)

PV of perpetuity = $7,000 / (0.10 - 0.03)

PV of perpetuity = $7,000 / 0.07

PV of perpetuity = $100,000

To account for the cash flows in the first 2 years, the present value can be calculated using the formula:

PV of cash flows for first 2 years = Constant cash flows * [(1 - (1 + Growth rate)^n) / (Cost of capital - Growth rate)]

PV of cash flows for first 2 years = $7,000 * [(1 - (1 + 0.03)^2) / (0.10 - 0.03)]

PV of cash flows for first 2 years = $7,000 * 18.4235

PV of cash flows for first 2 years = $128,964.50

The total value of the firm is obtained by summing the PV of cash flows for the first 2 years and the PV of the perpetuity:

Total value of the firm = PV of cash flows for first 2 years + PV of perpetuity

Total value of the firm = $128,964.50 + $100,000

Total value of the firm = $228,964.50

Hence, the value of the firm is $228,964.50.

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short answers
1.A CPA is auditing the Atlantis Diner in Astoria, Queens, NY which historically receives approximately 5% of its revenue in cash. The owner of the diner represents that the diner is a "going concern.

Answers

Short answers regarding CPA's audit of Atlantis Diner in Astoria, Queens, NY: CPA stands for Certified Public Accountant.

A certified public accountant (CPA) is a designation given by the American Institute of Certified Public Accountants (AICPA) to individuals who have passed the Uniform CPA Examination and met other education and experience requirements.

A going concern refers to a company's ability to continue operating indefinitely. A company is a going concern if it has the resources to continue operating indefinitely and meet its obligations without going bankrupt. A company's assets should be greater than its liabilities to be considered a going concern.

In this context, 5% of cash revenue means that 5% of the revenue that Atlantis Diner generates comes from cash transactions.

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Could you please prepare detailed analysis for DHL's corporate
social responsibility activities by using DHL's website?

Answers

DHL is a global courier company that provides shipping and delivery services to its clients worldwide. They have a strong commitment to corporate social responsibility (CSR), and they have implemented a number of initiatives that reflect this commitment. In order to prepare a detailed analysis of DHL's CSR activities, we can use the information available on their website.

Firstly, we can look at DHL's environmental initiatives. They have set themselves some ambitious targets in terms of reducing their carbon emissions, such as a 30% improvement in carbon efficiency by 2020. They have also invested heavily in alternative fuels and electric vehicles, and they have implemented a number of energy-saving measures across their operations.

Secondly, we can look at DHL's social initiatives. They have implemented a number of programs to support their employees, such as training and development opportunities and flexible working arrangements. They have also implemented a number of programs to support the communities in which they operate, such as disaster relief and environmental education programs.

Finally, we can look at DHL's governance and ethics initiatives. They have a strong commitment to ethical business practices and have implemented a number of policies and procedures to ensure that they operate in a responsible and transparent manner. They also have a robust system in place for managing risk and ensuring compliance with legal and regulatory requirements.

In conclusion, DHL has implemented a number of initiatives that demonstrate their commitment to corporate social responsibility. Through their environmental, social, and governance and ethics initiatives, they are working to make a positive impact on the world around them.

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Alex, a French cybersecurity specialist, agreed to carryout system and data security tests for Buti's tech company. In return, Buti wrote a cheque for Alex's service, which stated "Pay to the order of Alex 7,500 AED." The cheque was issued on 11/08/2021. On 11/04/2022, Alex visited the bank and presented the cheque for encashment, but it was rejected. Why did the bank refuse to accept the cheque?

Because a cheque is valid for 4 months from the date of issuance. Because cheques can only be drawn for amounts over 10,000 AED. Because a cheque is valid for 6 months from the date of issuance. Because the beneficiary of a cheque must be a UAE national.

Answers

The reason why the bank refused to accept the cheque is because a cheque is valid for 4 months from the date of issuance.

A cheque is a financial instrument that guarantees that the amount written on it is available in the account to the person or organization who receives it. When Buti wrote the cheque for Alex's services, it was issued on 11/08/2021. The cheque was still valid as of 11/12/2021, but when Alex visited the bank to cash it on 11/04/2022, it was rejected because it had already been four months since it was issued. Therefore, the bank refused to accept the cheque since it was already expired and it is valid for only 4 months from the date of issuance. Hence, this is the reason why the bank refused to accept the cheque.

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Insurance coverage for some risk exposures is likely to be extremely limited or even none limited due to premium loading. Which of the following risk exposures are most likely to be uninsurable? 1) highly positively correlated risk exposures 2) risk exposures with parameter uncertainty: 3)risk exposure with low severity. 4)risk exposure with high frequency. A. 1),2),3) and 4) B. 2),3) and 4) only C. 1) and 3) only I D. 3) and 4) only

Answers

Risk exposures that are highly positively correlated and risk exposures with low severity are most likely to be uninsurable due to premium loading, as insurers may struggle to accurately estimate potential payouts and find it cost-effective to provide coverage for these types of risks. The correct option is C.

The most likely risk exposures to be uninsurable due to premium loading are 1) highly positively correlated risk exposures and 3) risk exposures with low severity.

1) Highly positively correlated risk exposures refer to situations where multiple risks are closely related and tend to move together. Insurers rely on diversification to spread risk and maintain financial stability.

If risks are highly correlated, the potential for large-scale losses increases, making it challenging for insurers to accurately estimate the potential payouts and set premiums.

Consequently, insurers may limit coverage or exclude highly correlated risks altogether.

3) Risk exposures with low severity pose minimal financial impact or loss potential. Insurers generally focus on insuring against significant risks that can cause substantial losses.

If the potential losses from a risk exposure are relatively low, it may not be cost-effective for insurers to provide coverage due to the administrative costs and expenses associated with underwriting and processing claims.

Therefore, the correct answer is C) 1) and 3) only. Highly positively correlated risk exposures and risk exposures with low severity are most likely to face limited or no insurance coverage due to premium loading.

Hence, the correct option is  C. 1) and 3) only

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acording to the demographic transition model, a newly indrustializing society is charactereized by which of teh follwing

Answers

The demographic transition marketing model, according to the newly industrializing society, is characterized by the following.

The demographic transition model explains the process of change in birth and death rates and the resulting changes in population growth. The newly industrializing society is a society in the process of becoming industrialized. As per the model, it is characterized by the following: It has a rapidly growing population with falling death rates. It has a high birth rate that remains stable and constant.

The difference between birth rates and death rates is significant. The transition from a primarily agrarian economy to an industrial economy is taking place in this society. There is a shift from rural to urban living, and the industrialization process is beginning. Thus, according to the demographic transition model, a newly industrializing society is characterized by high birth rates, low death rates, and a rapidly growing population, among other factors.

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Yuehua Entertainment trains trainees into idols. Every month, 4 new trainees enter this company. Yuehua Entertainment can open up a fast-training dass, which turns all their current trainees into idols. The class is very fast such that the time can be neglected. The cost of the class is $8,000+$1600xthe number of trainees. It costs Yuehua $1000 to have one untrained trainee in the company for one month. (a) What model is appropriate to describe Yuehua Entertainment's situation? (3 points) (b) How often should Yuehua Entertainment open up the fast-training class? (4 points)

Answers

the total cost of training x trainees at once is C = $8000 + $1600x.The optimal time to schedule the fast-training class will be when the total cost of training the trainees is equal to the cost of maintaining the untrained trainees.C = 1000t(4 + t)8000 + 1600t = 4000t + t²8000 = 2400t + t²t² + 2400t - 8000 = 0(t - 4)(t + 2000) = 0t = -2000 or t = 4Since t cannot be negative, Yuehua Entertainment should open the fast-training class every 4 months.

a)Appropriate model to describe Yuehua Entertainment's situation:Exponential Growth Model is the most appropriate model to describe Yuehua Entertainment's situation.Exponential growth occurs when a quantity increases at a constant percentage per unit time. Exponential growth can be used to model populations, cell growth, investment growth, and many other real-life situations in which the growth rate of a value is proportional to its size.The increase in the number of trainees each month, with each trainee taking a year or more to train and become an idol, is an example of exponential growth, which is modeled using an exponential function. It's also worth noting that a fast-training class can turn all trainees into idols in a matter of weeks or months.b)Yuehua Entertainment should open the fast-training class every 4 months.The cost of maintaining an untrained trainee in the company is $1000 per month. As a result, the total cost of maintaining x untrained trainees in the company for t months is 1000tx dollars.The number of trainees grows at a constant percentage each month, and if the percentage growth rate is r, then the number of trainees after t months can be calculated using the following formula:N(t) = N0ertHere, N0 is the initial number of trainees, and N(t) is the number of trainees after t months.Since four new trainees join the company every month, the initial number of trainees is 4.The cost of the fast-training class is $8000 + $1600 per trainee. This means the total cost of training x trainees at once is C = $8000 + $1600x.The optimal time to schedule the fast-training class will be when the total cost of training the trainees is equal to the cost of maintaining the untrained trainees.C = 1000t(4 + t)8000 + 1600t = 4000t + t²8000 = 2400t + t²t² + 2400t - 8000 = 0(t - 4)(t + 2000) = 0t = -2000 or t = 4Since t cannot be negative, Yuehua Entertainment should open the fast-training class every 4 months.

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