Consider the Monetary Model of exchange-rate determination. If Home has a floating exchange rate, and Foreign decreases its money supply, what should most likely happen? EH/F​=MsFMsH​L(rH,YH)L(rF,YF)​
The Home currency should depreciate.
Home's money supply should increase.
The Home currency should appreciate.
Home's money supply should decrease.

Answers

Answer 1

The Home currency should appreciate. (Monetary model, floating exchange rate, decrease in Foreign's money supply)

In the context of the Monetary Model of exchange-rate determination, when Home has a floating exchange rate and Foreign decreases its money supply, the most likely outcome is that the Home currency will appreciate.

This occurs due to the relative change in money supply between the two countries. When Foreign reduces its money supply, it leads to a higher interest rate (rF) and a lower money supply (MsF) in Foreign. As a result, the relative attractiveness of Home's assets increases, leading to a higher demand for Home's currency.

This increased demand for the Home currency causes it to appreciate in value relative to Foreign's currency.

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Related Questions

Accrued interest is:
Group of answer choices
[A] the difference between full and dirty prices
[B] the difference between quoted and clean prices
[C] the difference between quoted and dirty prices
[D] the sum of accumulated value and clean prices

Answers

The difference between quoted and dirty prices. Quoted prices refer to the clean prices of financial instruments, which do not include the accrued interest. On the other hand, dirty prices include the accrued interest.  the correct answer is [C]

Accrued interest is the interest that has accumulated on a financial instrument since its last interest payment date. It represents the amount of interest that is owed to the holder of the instrument but has not yet been paid.

To calculate the accrued interest, you would subtract the quoted price from the dirty price. This difference represents the accrued interest that has built up over time.

Accrued interest is an important concept in finance, particularly in bond markets, as it determines the amount of interest income that an investor will receive when buying or selling a bond between interest payment dates.

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On April 1, 2023, Nicky LLC, sells a two year cloud software subscription to Moose, Inc. for $30,000 cash. Moose pays the entire amount up front. Both Nicky and Moose use accrual accounting.

Answers

The main essence is to Moose, Inc. for $30,000 cash. Moose paid the entire amount upfront. Both companies, Nicky LLC and Moose, Inc., use accrual accounting.

Based on the information provided, on April 1, 2023, Nicky LLC sold a two-year cloud software subscription to Moose, Inc. for $30,000 cash.

Since the subscription is for two years, it covers the period from April 1, 2023, to March 31, 2025. However, since the sale was made on April 1, 2023, only a portion of the revenue should be recognized in that year.

To determine the revenue recognition for April 1, 2023, we need to allocate the revenue between the two accounting periods. Since the subscription covers 24 months in total, and April 1 to December 31, 2023, is 9 months, we can calculate the revenue recognition as follows:

Revenue for April 1, 2023:

($30,000 / 24 months) x 9 months = $11,250

Therefore, on April 1, 2023, Nicky LLC would recognize $11,250 in revenue for the cloud software subscription sold to Moose, Inc.

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On April 1, 2023, Nicky LLC sold a two-year cloud software subscription to Moose, Inc. for $30,000 cash. Both Nicky and Moose use accrual accounting. In this transaction, Nicky LLC recognizes the revenue from the sale of the software subscription on April 1, 2023, because that is when the sale took place.

This is in accordance with the revenue recognition principle in accrual accounting, which states that revenue should be recognized when it is earned, regardless of when the cash is received.

For Moose, Inc., they recognize the expense of the software subscription over the two-year period. Each month, Moose will record $1,250 ($30,000 divided by 24 months) as an expense on their income statement. This is known as the matching principle, which states that expenses should be recognized in the same period as the revenue they help generate.

In summary, Nicky LLC recognizes the revenue of $30,000 on April 1, 2023, while Moose, Inc. recognizes the expense of $1,250 per month over the two-year period. This ensures that both companies are following accrual accounting principles.

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You have observed the following returns on ABC 's stocks over the last four years: 1.25%,22.23%,−14.03%,17.01%, What is the geometric average returns on the stock over this four-year period. Note: Enter your answer in percentages rounded off to two decimal points. Do not enter \% in the answer box. For example, if your answer is 0.12345 then enter as 12.35 in the answer box.

Answers

The geometric average return on ABC's stock over the four-year period is approximately 5.82%.

To calculate the geometric average returns on ABC's stock over the four-year period, we use the following formula:

Geometric average return = [tex](1 + r1) * (1 + r2) * (1 + r3) * (1 + r4)^(1/n) - 1[/tex]

Where r1, r2, r3, and r4 are the annual returns for each year, and n is the number of years.

Given the annual returns: 1.25%, 22.23%, -14.03%, and 17.01%, we can calculate the geometric average return:

Geometric average return = [tex](1 + 0.0125) * (1 + 0.2223) * (1 - 0.1403) * (1 + 0.1701)^(1/4) - 1[/tex]

Calculating this expression gives us the geometric average return of approximately 5.82%.

Therefore, the geometric average returns on ABC's stock over the four-year period is 5.82%.

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Suppose, you start your own business which is a pet store. The total cost of purchasing supplies and hiring labor is $50,000 per year. To run the pet store, you quit your job that pays $45,000 per year and use the building that you already own (a building like yours rents out for $60,000 per year). Also, your car payment is $24,000 per year (you may use your car for the business sometimes). What is the total opportunity cost of opening up a pet store for a year?

Answers

The total opportunity cost of opening up a pet store for a year can be calculated by adding up the various costs and income that are forgone by choosing to open the pet store instead of keeping your current job.

First, let's calculate the cost of purchasing supplies and hiring labor, which is $50,000 per year. This is the direct cost of running the pet store.

Next, you need to consider the income you are giving up by quitting your job. Your current job pays $45,000 per year, so this is the income you would lose by starting the pet store.

Additionally, you are using a building that you already own instead of renting it out. The building typically rents out for $60,000 per year, so this is the income you would be forgoing.

Lastly, your car payment is $24,000 per year. Although you may use your car for the business sometimes, the full amount of the car payment is considered as an opportunity cost.

To calculate the total opportunity cost, you add up the costs and subtract the income you are giving up. In this case, it would be $50,000 (cost of supplies and labor) + $45,000 (lost income from quitting your job) + $60,000 (lost income from not renting out the building) + $24,000 (car payment) = $179,000.

Therefore, the total opportunity cost of opening up a pet store for a year is $179,000.

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Which of the following statements is FALSE?

A.

Duration considers the timing of all the cash flows of an asset by summing the product of the cash flows and the time of occurrence.

B.

Duration of a zero coupon bond is equal to the bond's maturity.

C.

The economic meaning of duration is the interest elasticity of a financial asset’s price.

D.

For a given maturity fixed-income asset, duration decreases as the market yield increases.

E.

Duration increases with the maturity of a fixed-income asset at a decreasing rate.

Answers

The statement that is FALSE among the given options is:

D. For a given maturity fixed-income asset, duration decreases as the market yield increases.

In reality, the relationship between duration and market yield is inverse but not necessarily proportional. The correct statement is that for a given maturity fixed-income asset, duration generally increases as the market yield decreases and decreases as the market yield increases.

Duration is a measure of the sensitivity of a fixed-income asset's price to changes in interest rates. It takes into account the timing and amount of all the cash flows associated with the asset. Duration considers both the coupon payments and the final principal payment at maturity.

When market yields increase, it means that interest rates are rising. In this scenario, the present value of future cash flows decreases, leading to a decrease in the price of fixed-income assets. However, the impact on duration depends on various factors such as the coupon rate, time to maturity, and yield curve shape. In general, as market yields increase, the duration of fixed-income assets tends to increase, indicating a higher sensitivity to interest rate changes.

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Based on the 21 Irrefutable Laws of Leadership book (Either the original edition or 10th Anniversary edition)

Assignment 1 – Chapters 1-3

1. Law of the Lid - The book's inside cover mentions that the Law of the Lid is THE most important lesson you will ever learn. Why do you think that is?

a. What company is highlighted in this chapter? Why is it interesting? (3 sentences)

b. What did Don Stephenson tell Maxwell? Why? Is this harsh? Why? (5 sentences minimum)

c. If you had your own company, what skills should you develop for yourself? For other key people in your company? Why? How is this illustrated by the brothers in the story? (5 sentences minimum)

2. Chapter 2 – Law of Influence

a. What is the only real way to measure leadership? How was this illustrated in the example of Lincoln? Give an example of this whether a famous one or one in your life. (5 sentences minimum)

b. Describe the five myths about leadership. I think #1 is the most important lesson for people. Why do you think I believe that? (5 sentences) Do you agree? Can you give examples for your reasoning? (5 sentences minimum)

i- Give an example about one of the 5 myths (3 sentences minimum)

3. Chapter 3 – Law of Process

a. The boxing stories on page 28 (page 30 in the tenth edition) are good. Can you think of an example of a time in your life when these applied? Didn’t? It’s about being prepared. (4 sentences minimum for each time.)

b. What are you preparing to be? Are you taking steps now to have positive results later? How? (5 sentences minimum)

c. Describe how the law of process is similar to the five myths about leadership from chapter 2 (3 sentences minimum)

Answers

For this problem, the Law of the Lid is considered the most important lesson in the book because it emphasizes that leadership ability determines a person's effectiveness in any area of life.

a. The company highlighted in this chapter is Avon. It is interesting because it started as a struggling perfume company but experienced tremendous growth and success under the leadership of Andrea Jung. Her visionary leadership and ability to motivate and inspire the sales force led to Avon becoming a global powerhouse in the cosmetics industry.

b. Don Stephenson told John Maxwell that he couldn't take the organization any higher because of Maxwell's limited leadership ability. While this may seem harsh, it was a necessary wake-up call for Maxwell to realize the importance of improving his leadership skills to unlock his potential and elevate his impact. Don's honesty pushed Maxwell to pursue personal growth and become a better leader.

c. If you had your own company, it would be essential to develop skills like effective communication, strategic thinking, problem-solving, adaptability, and emotional intelligence. These skills are necessary for leading and inspiring a team, making informed decisions, and navigating challenges. In the story of the two brothers, they both had different skills. One focused on sales, while the other concentrated on operations. They complemented each other's strengths, which led to the success of their company. Developing skills tailored to specific roles ensures a well-rounded and effective leadership team.

Influence is the only real way to measure leadership. Abraham Lincoln exemplified this through his ability to inspire and influence others during times of great turmoil. His speeches and actions mobilized the nation and united them towards a common goal. In our lives, we can observe this through influential leaders who have the power to motivate, persuade, and bring about positive change.

The five myths about leadership are: (1) The management myth, (2) The entrepreneur myth, (3) The knowledge myth, (4) The pioneer myth, and (5) The position myth. The first myth suggests that leadership is solely about managing people and processes, whereas true leadership involves inspiring and influencing others. I believe this is the most important lesson because many people mistakenly think that management is the same as leadership, but in reality, leadership goes beyond mere administration and involves guiding and empowering others. For example, a manager may focus on assigning tasks and ensuring deadlines are met, but a leader will inspire their team, set a compelling vision, and encourage personal growth.

The Law of Process emphasizes the importance of being prepared and continuously developing oneself. This aligns with the five myths about leadership because it dispels the notion that leadership is innate or acquired solely through experience.

Just as the boxing stories highlight the significance of disciplined training and preparation for success in the ring, the law of process emphasizes that leadership skills can be cultivated through intentional learning, practice, and growth. Both concepts emphasize the need for ongoing personal development to become an effective leader. By recognizing that leadership is a process and not a fixed state, individuals can proactively take steps to enhance their skills, acquire new knowledge, and consistently improve their leadership abilities.

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Jonathan is a patent attorney and is starting a legal practice. What form of business organization limits his liability to the amount he has invested in the business?
A. Partnership
B. Corporation
C. Propietorship
D. None of the above

Answers

The correct answer is B. Corporation.

A corporation is a form of business organization that provides limited liability to its owners or shareholders. This means that the personal assets of the shareholders are generally protected from the liabilities and debts of the corporation. In the event that the corporation faces legal claims or financial obligations, the shareholders' liability is limited to the amount they have invested in the corporation.

On the other hand, a partnership does not provide limited liability. In a partnership, the partners are personally liable for the debts and obligations of the business. Similarly, a proprietorship, which is a business owned and operated by a single individual, does not offer limited liability. In both cases, the owner's personal assets are at risk in the event of legal claims or financial difficulties faced by the business.

Therefore, for Jonathan, who is starting a legal practice and wants to limit his liability to the amount he has invested, forming a corporation would be the most suitable option.

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oppropriate foctor(s) from the tables provided ) For what amount will Markwell record the purchase of cquipment? Malkiple choice. 5911300 5948,918 $818,918 5962500

Answers

Markwell will record the purchase of equipment for $918,002. So, the correct answer choice is b. $918,918.

To calculate the amount Markwell will record for the purchase of equipment, we need to consider the cash payment and the noninterest bearing note.

Step 1: Calculate the present value of the noninterest bearing note using the appropriate factor(s) from the tables provided.
The note amount is $770,000, and the interest rate is 6%. Since it's a noninterest bearing note, the interest rate reflects the time value of money. Let's use the Present Value of an Annuity (PVA) factor.

From the tables, find the factor for 1 year at 6%. The factor is 0.9434.
Present Value of the note = $770,000 * 0.9434 = $726,502

Step 2: Add the cash payment to the present value of the note to find the total purchase amount.

Total purchase amount = $192,500 + $726,502 = $918,002

Therefore, Markwell will record the purchase of equipment for $918,002. Hence the correct answer choice is: b. $918,918.

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Complete Question:  

On July 1, 2021, Markwell Company acquired equipment. Markwell paid $192,500 in cash on July 1, 2021, and signed a $770,000 noninterest bearing note for the remaining balance which is due on July 1, 2022. An interest rate of 6% reflects the time value of money for this type of loan agreement (VLSI PVA 5) (Use

appropriate factor(s) from the tables provided.)

For what amount will Markwell record the purchase of equipment?

Multiple Choice,

a. $911,300.

b. $918,918

c. $818,918

d. $962,500

Describe and analyze the service offerings of SKANSKA.How should SKANSKA further develop its service offeringsto be more competitive in its business? Which parties need to be involved in this process?

Answers

SKANSKA's service offerings include construction and project development services, infrastructure development, and commercial property development. To be more competitive in its business, SKANSKA should focus on enhancing its innovation and sustainability initiatives, expanding its digital capabilities, and strengthening its client relationships. The parties involved in this process would include SKANSKA's management team, employees, clients, industry partners, and relevant stakeholders.

SKANSKA can further develop its service offerings by prioritizing innovation and sustainability. By investing in research and development, SKANSKA can explore new construction methods, materials, and technologies that improve efficiency, reduce costs, and minimize environmental impact. Additionally, incorporating sustainable practices such as energy-efficient designs, green building certifications, and renewable energy solutions can enhance SKANSKA's market competitiveness and appeal to environmentally conscious clients.

Expanding digital capabilities is another key area for SKANSKA's development. Embracing technologies like Building Information Modeling (BIM), virtual reality, and Internet of Things (IoT) can streamline project management, enhance collaboration, and improve decision-making processes. SKANSKA should invest in digital tools and training programs to empower its workforce and ensure they can leverage technology effectively.

Building strong client relationships is crucial for SKANSKA's success. The company should focus on understanding clients' needs, delivering exceptional customer service, and providing tailored solutions. This can involve proactive communication, regular feedback collection, and continuous improvement based on client feedback. By exceeding client expectations, SKANSKA can increase client loyalty, attract new business opportunities, and differentiate itself from competitors.

Overall, SKANSKA's development of its service offerings should involve its management team for strategic decision-making, employees for skill development and implementation, clients for feedback and requirements, industry partners for collaboration and innovation, and relevant stakeholders for support and alignment with sustainability goals.

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Discuss the logistics and Supply Chain issues of shipping coal internationally and how you would overcome these challenges as a local coal producer.

Answers

Shipping coal internationally can pose various logistics and supply chain challenges.

Here are some of the issues that may arise and possible ways to overcome them as a local coal producer:

1. Distance and transportation: Shipping coal over long distances requires efficient transportation networks. You could collaborate with reliable shipping companies that have experience in handling bulk cargo like coal.


2. Infrastructure and handling facilities: Ensure that the origin and destination ports have adequate infrastructure and handling facilities to efficiently load and unload coal.

3. Regulatory compliance: International shipping involves complying with various regulations and permits related to environmental standards, customs procedures, and trade restrictions.

4. Documentation and paperwork: Prepare accurate and complete documentation such as bills of lading, certificates of origin, and customs declarations.


5. Quality control: Implement strict quality control measures to ensure that the coal meets international standards.

6. Supply chain visibility: Establish a robust supply chain management system to track the movement of coal from production to delivery.

7. Risk management: Develop contingency plans to address potential disruptions such as bad weather, labor strikes, or political instability.

8. Sustainability and environmental concerns: Recognize the growing emphasis on sustainability and environmental stewardship.

By addressing these challenges, as a local coal producer, you can improve the efficiency and reliability of your international coal shipping operations. Collaboration, compliance, and continuous improvement will be key to successfully overcoming these logistics and supply chain issues.

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Time Warner has bonds that are selling for $1,114. The coupon interest rate on the bonds is 11.70 percent and they mature in 22 years. What is the yield to maturity on the bonds? What is the current yield? a. The yield to maturity on the bond is \%. (Round to two decimal places.) b. The current yeid is \%. (Round to two decimal places)

Answers

a. The yield to maturity on the bond is 10.51%. b. The current yield is 10.50%.

a. To calculate the yield to maturity (YTM) on the bonds, we need to use the present value formula and solve for the discount rate that equates the present value of the bond's cash flows to its current price.

The cash flows from the bond consist of periodic coupon payments and the face value received at maturity.

The coupon interest rate is 11.70%, and the bond matures in 22 years.

Let's calculate the yield to maturity (YTM):

Price of the bond = $1,114

Coupon interest rate = 11.70%

Face value of the bond = $1,000

Number of years to maturity = 22

Using a financial calculator or spreadsheet, we can solve for the YTM, which represents the discount rate.

The yield to maturity on the bond is approximately 10.51% (rounded to two decimal places).

b. To calculate the current yield, we divide the annual coupon payment by the current market price of the bond.

Annual coupon payment = Coupon interest rate * Face value

Annual coupon payment = 0.117 * $1,000

Annual coupon payment = $117

Current yield = Annual coupon payment / Price of the bond

Current yield = $117 / $1,114

The current yield on the bond is approximately 10.50% (rounded to two decimal places)

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The Kimmy J Social Beauty Company is struggling to meet its marketing objective despite the strong social media presence of its founder. To determine why the firm is failing to reach its performance targets, the company's executives are conducting a cost analysis in the hopes of identifying ways to reduce costs so that they can lower prices and promote the greater value of their products. Which of the following is NOT a fixed cost that is easily lowered?

Answers

Employees' salaries is the fixed cost that is NOT easily lowered compared to the other options provided. Therefore, option D) is correct.

The fixed costs are expenses that do not vary with the level of production or sales. They remain constant regardless of the company's output. The objective of the cost analysis in this scenario is to identify fixed costs that can be easily lowered to reduce overall expenses and enable the company to lower prices and enhance the value of its products.

Among the options provided, the fixed cost that is NOT easily lowered is D) Employees' salaries. Employee salaries are typically contractual obligations and are set based on factors such as job roles, qualifications, and market rates.

While there may be certain situations where companies can negotiate salary adjustments or implement cost-cutting measures, it is generally more challenging to reduce salaries compared to other fixed costs.

On the other hand, options A) Shipping costs, B) Material costs, C) Commissions, and E) Selling costs can often be more easily lowered through various strategies. For example, negotiating better rates with shipping providers, finding more cost-effective suppliers, adjusting commission structures, and implementing efficient sales strategies can help reduce these expenses.

Therefore, option D) is correct.

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Complete question is:

The Kimmy J Social Beauty Company is struggling to meet its marketing objective despite the strong social media presence of its founder. To determine why the firm is failing to reach its performance targets, the company’s executives are conducting a cost analysis in the hopes of identifying ways to reduce costs so that they can lower prices and promote the greater value of their products. Which of the following is NOT a fixed cost that is easily lowered?

The Kimmy J Social Beauty Company is struggling to meet its marketing objective despite the strong social media presence of its founder. To determine why the firm is failing to reach its performance targets, the company’s executives are conducting a cost analysis in the hopes of identifying ways to reduce costs so that they can lower prices and promote the greater value of their products. Which of the following is NOT a fixed cost that is easily lowered?

A. Shipping costs

B. Material costs

C. Commissions

D. Employees’ salaries

E. Selling costs

Compose your own definition of the term money management. Do not use book or powerpoint definition. #2. What are three components of money management? List and explain each component. #3. What are the 5 benefits of an organized system of keeping financial records and documents? Explain each in multiple sentences. \#4 What are some ways in which you could make savings easier in your own life? #5 Explain whether an envelope system, as shown in the video could work for you. Give the rational for your answer.

Answers

Money management refers to the practice of effectively managing one's finances to achieve financial goals and maintain a stable financial position. It involves making informed decisions about earning, spending, saving, and investing money.

2.Three components of money management are budgeting, saving, and investing. Budgeting involves creating a plan that outlines income and expenses, helping individuals allocate their money efficiently. Saving refers to setting aside a portion of income for future needs and emergencies. It helps build a financial safety net and achieve long-term goals. Investing involves putting money into various assets, such as stocks, bonds, or real estate, to generate additional income or increase wealth over time.

3.An organized system of keeping financial records and documents provides several benefits. Firstly, it helps individuals track income and expenses, allowing them to identify areas where they can cut back or save money. Secondly, it facilitates tax preparation by ensuring all necessary documents are readily available. Thirdly, it provides evidence in case of disputes or legal issues related to finances. Additionally, organized financial records help monitor debt, create a financial roadmap, and improve financial decision-making.

4.To make savings easier, individuals can adopt several strategies. These include automating savings transfers, setting specific savings goals, reducing unnecessary expenses, tracking spending, and avoiding impulsive purchases. Creating a budget and adhering to it can also help save money consistently.

5.The envelope system, as shown in the video, can work for some individuals. It involves allocating cash into different envelopes labeled for specific expenses. This method helps individuals visually see how much money is allocated for each category, promoting better control over spending. However, it may not be suitable for everyone, especially those who prefer digital methods or have varying income streams. It is important to choose a system that aligns with one's preferences and financial situation.

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(b) Describe carefully what action you will take to hedge your interest rate exposure using the December 2022 2-year Treasury-Note futures. Show all calculations and be judicious in your selection of a hedging model and appropriate futures maturity. (Assume that the underlying instrument for the 2-year T-note futures is a 6%, 2-year T-note with a $200,000 face value.)

(c) Repeat part (b), but assume instead you decide to hedge with the Dec 2022 5- year T-Note futures. (Assume that the underlying instrument for the 5-year T-note futures is a 6%, 5-year T-note with a $100,000 face value.)

Answers

To hedge your interest rate exposure using the December 2022 2-year Treasury-Note futures, you can follow these steps:

1. Determine the duration of the 2-year Treasury-Note futures contract. Duration measures the sensitivity of the price of the contract to changes in interest rates. Let's assume the duration is D.

2. Calculate the number of futures contracts needed to hedge your exposure. To do this, divide the dollar value of your exposure by the contract value. In this case, the face value of the 2-year T-note is $200,000. So, the number of contracts (N) can be calculated as N = Exposure Value / (Contract Value * D).

3. Determine the appropriate futures maturity. The December 2022 contract would be the appropriate choice as it aligns with the expiration date mentioned in the question.

Now, let's repeat the process for hedging with the December 2022 5-year T-Note futures:

1. Determine the duration of the 5-year T-Note futures contract. Let's assume the duration is D'.

2. Calculate the number of futures contracts needed. In this case, the face value of the 5-year T-note is $100,000. So, the number of contracts (N') can be calculated as N' = Exposure Value / (Contract Value * D').

3. Choose the December 2022 contract as the appropriate futures maturity.

It is important to note that the specific calculations for the number of contracts may vary depending on the specific terms and conditions of the futures contracts being used.

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Luthan Company uses a plantwide predetermined overhead rate of $22.30 per direct labor-hour. This predetermined rate was based on a cost formula that estimated $267,600 of total manufacturing overhead cost for an estimated activity level of 12,000 direct laborhours. The company incurred actual total manufacturing overhead cost of $267,000 and 12,400 total direct labor-hours during the period. Required: Determine the amount of manufacturing overhead cost that would have been applied to all jobs during the period.

Answers

The amount of manufacturing overhead cost that would have been applied to all jobs during the period is $275,720.

The applied manufacturing overhead is calculated by multiplying the predetermined overhead rate ($22.30) by the actual direct labor-hours (12,400). This gives us the amount of manufacturing overhead cost that should have been applied to all jobs during the period. In this case, the calculation results in an applied manufacturing overhead of $275,720. This represents the estimated overhead cost allocated to the production of goods based on the predetermined rate and the actual level of activity (direct labor-hours).

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the worthingtons love to travel, so when they retired they sold their house and purchased a motor home valued at $165,000. they tow their car, valued at $32,000 behind their motor home when they travel

Answers

The Worthingtons retired and sold their house to purchase a motor home worth $165,000. They also tow their car valued at $32,000. Their total travel setup, including the motor home and car, has a value of $197,000.

Let's break down the calculations step by step

The value of the motor home: $165,000

The value of the car: $32,000

To calculate the total value of their travel setup, including the motor home and the towed car, we add these two values:

Total value = Value of motor home + Value of car

Total value = $165,000 + $32,000

Total value = $197,000

Therefore, the total value of the Worthingtons' travel setup, including their motor home and towed car, is $197,000.

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--The given question is incomplete, the complete question is given below "the worthingtons love to travel, so when they retired they sold their house and purchased a motor home valued at $165,000. they tow their car, valued at $32,000 behind their motor home when they travel. Find their total travel setup value?  "--

the famous thought leader who developed models for creating value and competitive advantage taught in business schools worldwide is ent

Answers

Michael E . Porter is a renowned thought leader and Bishop William Lawrence University Professor at Harvard Business School. He is known for his models of creating value and competitive advantage.

American scholar Michael Eugene Porter is renowned for his thoughts on economics, corporate strategy, and social concerns. He is a founder of the consulting company The Monitor Group as well as the social impact consultancy FSG as well as the Bishop William Lawrence University Professor at the Harvard Business School.

According to Porter's argument, a country's ability to compete in a given industry depends on that sector's ability to innovate and modernize. He developed a theory to explain why some countries have greater competition in particular industries.

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You are borrowing $18,000 to buy a car. The terms of the loan call for monthly payments for 3 years at 7 percent interest. What is the amount of each payment? $543.53$425.32$555.79$485.92$339.68​

Answers

The amount of each monthly payment for a $18,000 car loan with a 3-year term at 7 percent interest is $543.53.

To calculate the monthly payment amount, we can use the formula for calculating the fixed monthly payment on a loan:

[tex]P= \frac{r\timesPV}{1-(1+r)^{-n} }[/tex]

Where:

P = Monthly paymentPV = Present value or loan amountr = Monthly interest raten = Total number of payments

In this case, the loan amount (PV) is $18,000, the interest rate (r) is 7 percent, and the number of payments (n) is 3 years or 36 months.

First, we need to convert the annual interest rate to a monthly rate by dividing it by 12 and converting it to a decimal:

Monthly interest rate = 7% ÷ 12 = 0.00583

Now we can plug in the values into the formula:

[tex]P= \frac{0.00583\times18000}{1-(1+0.00583)^{-36} }[/tex]

P ≈ $543.53

Therefore, the correct answer is a. $543.53.

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Which of the following criteria, when correctly used, give the same accept/reject decisions as NPV:
I. Payback
Il. Average return on book
Ill. Internal rate of return
IV. Profitability Index
A. I only B. l and Il C. I, Ill and IV D. Il and IV

Answers

The criteria that give the same accept/reject decisions as NPV (Net Present Value) are:

C. I, Ill, and IV

Explanation:

I. Payback: The payback period measures the time required to recover the initial investment. It focuses on the time taken to recoup the cash flows, without considering the time value of money. Payback accepts projects if the payback period is less than a specified cutoff period. Payback method can give the same accept/reject decisions as NPV when the cutoff period is equal to the point where the NPV becomes positive.

Ill. Internal Rate of Return (IRR): The internal rate of return is the discount rate at which the net present value of cash flows becomes zero. It represents the rate of return of an investment. If the IRR is greater than the required rate of return, the project is accepted. IRR and NPV give the same accept/reject decisions when comparing mutually exclusive projects.

IV. Profitability Index (PI): The profitability index is the ratio of the present value of cash inflows to the present value of cash outflows. If the profitability index is greater than 1, the project is accepted. The profitability index and NPV will give the same accept/reject decisions for independent projects when considering the same cutoff index value.

Il. Average return on book: The average return on book is not directly equivalent to NPV and may not give the same accept/reject decisions. It measures the average return generated by the investment relative to the book value of the investment. This criterion does not consider the time value of money or the cash flows generated by the investment, unlike NPV.

Therefore, the correct answer is C. I, Ill, and IV.

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helicopters provide a way to reach remote fire zones quickly. identify two safety precautions you should follow in a helicopter landing zone. prohibit smoking within 1,000 feet (300 m) of helicopter, fuel storage, and refueling equipment shine a signal light toward landing helicopters. wear eye and hearing protection. illuminate helicopters on the ground with searchlights and headlights. keep the landing zone dry. stay at least 100 feet (30 m) away unless authorized to approach by the pilot or crew.

Answers

Safety precautions in a helicopter landing zone include no smoking within 1,000 feet of the helicopter and maintaining a 100-foot distance unless authorized, ensuring fire prevention and personal safety.

Two safety precautions that should be followed in a helicopter landing zone are:

Prohibit smoking within 1,000 feet (300 meters) of the helicopter, fuel storage, and refueling equipment: Smoking poses a significant fire hazard, especially in areas with fuel and flammable materials.

Prohibiting smoking helps minimize the risk of accidental fires or explosions, ensuring the safety of personnel, equipment, and the helicopter itself.

Stay at least 100 feet (30 meters) away from the helicopter unless authorized to approach by the pilot or crew: Helicopters generate powerful downwash from their rotor blades, creating strong winds and debris that can pose a danger to individuals in close proximity.

Maintaining a safe distance minimizes the risk of being struck by flying debris or being affected by the turbulent air currents, ensuring the safety of both the ground personnel and the helicopter.

These precautions prioritize fire prevention, personal safety, and maintaining a safe operating environment in and around the helicopter landing zone. Adhering to these precautions helps mitigate potential risks and enhances the overall safety of helicopter operations in remote fire zones.

In summary: Two safety precautions to follow in a helicopter landing zone are prohibiting smoking within 1,000 feet (300 meters) of the helicopter and maintaining a safe distance of at least 100 feet (30 meters) from the helicopter unless authorized. These precautions reduce fire hazards and ensure personal safety in the landing zone.

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Rationalise on which CSR stance is evident in IkEAs furniture buyback programme or Zambia Sugar

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In the case of CSR, corporate social responsibility, companies should take into account both the interests of the business itself and the stakeholders involved. Sustainability is the key to modern CSR activities in business.

The business world has become more focused on corporate social responsibility and sustainability in recent years. CSR is becoming more important as the world becomes more environmentally conscious and customers begin to demand that companies behave in a socially responsible manner. CSR has an impact on corporate decision-making, as businesses must consider their responsibility to their shareholders and the environment. IKEA's furniture buyback program and Zambia Sugar's CSR stance are examples of how companies are adopting CSR practices to benefit both the environment and their stakeholders.IKEA has always been known for its environmentally friendly policies and practices.

One example of IKEA's CSR initiatives is its furniture buyback program, which aims to extend the lifespan of IKEA's products while reducing waste. Customers are given a store credit for any furniture that they no longer need, which they can use to purchase new IKEA furniture. IKEA then takes the furniture back and either sells it or donates it to charity. This is a great example of a business taking responsibility for its environmental impact and working towards a more sustainable future. This is a key example of a CSR stance.

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Recently in several countries even though nominal GDP increased from the year before their real GDP actually declined. Explain, using numerical example, how this is possible. 2 Marks
There is a danger that some countries will experience stagflation. Use a graph(s), define and explain stagflation and its consequences. 2 Marks
A news article stated that the unemployment rate decreased by 0.25 percent whilst the participation rate increased by 0.4 percent respectively. Explain if this is a positive for the economy.

Answers


This situation can occur when there is a high inflation rate. Nominal GDP measures the value of goods and services produced in current prices, while real GDP adjusts for inflation by using constant prices.

So, if the inflation rate is higher than the nominal GDP growth rate, the real GDP will decline.

Here's an example:
Suppose in Year 1, the nominal GDP is $ 10,000 and the inflation rate is 5%. In Year 2, the nominal GDP increases to $ 11,000, but the inflation rate jumps to 8%. As a result, the real GDP in Year 2 would be $11,000 / (1 + 0.08) = $10,185. Therefore, even though the nominal GDP increased, the real GDP declined.


Stagflation refers to a situation where there is a combination of high inflation and high unemployment rates, which is typically unexpected. It is a challenging economic condition because it contradicts the conventional relationship between inflation and unemployment. Stagflation can have several consequences, such as:

Reduced purchasing power: High inflation erodes the value of money, leading to a decrease in purchasing power for consumers.

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Examine each of the nine selection methods discussed and determine which of these would have their validity most and least affected by the type of validation design employed.

The nine selection methods are: Interviews, references, application blanks, background checks, physical ability tests, cognitive ability tests, personality inventories, work samples, and honesty tests/drug tests

Type of validation designs: Concurrent validation design and predictive validation design

Answers

Let's examine each of the nine selection methods and determine which ones would have their validity most and least affected by the type of validation design.

1. Interviews: Interviews are a common selection method where candidates are asked questions to assess their skills, qualifications, and fit for the job. The validity of interviews would be most affected by the type of validation design when using the predictive validation design. In predictive validation design, candidates are hired based on the results of the selection method and then their job performance is measured in the future.

2. References: References involve contacting previous employers or supervisors to gather information about a candidate's past job performance. The validity of references would also be most affected by the type of validation design when using the predictive validation design. By comparing the information obtained from references with the candidate's actual job performance, the validity of the reference method can be evaluated more effectively.

3. Application blanks: Application blanks are forms that candidates fill out, providing information about their education, work experience, and skills. In concurrent validation design, current employees are assessed using the same selection methods as candidates, and their job performance is measured simultaneously. By comparing the information provided on the application blanks with the performance of current employees, the validity of the application blank method can be evaluated.

4. Background checks: Background checks involve verifying a candidate's criminal record, education, and employment history. The validity of background checks would be most affected by the type of validation design when using the concurrent validation design. By comparing the results of background checks with the performance of current employees, the validity of the background check method can be evaluated.

5. Physical ability tests: Physical ability tests assess a candidate's physical capabilities required for the job. The validity of physical ability tests would be most affected by the type of validation design when using the concurrent validation design. By comparing the performance of current employees on physical ability tests with their job performance, the validity of the physical ability test method can be evaluated.

6. Cognitive ability tests: Cognitive ability tests assess a candidate's mental abilities, such as problem-solving and reasoning skills. The validity of cognitive ability tests would be most affected by the type of validation design when using the concurrent validation design. By comparing the performance of current employees on cognitive ability tests with their job performance, the validity of the cognitive ability test method can be evaluated.

7. Personality inventories: Personality inventories assess a candidate's personality traits and characteristics. The validity of personality inventories would be most affected by the type of validation design when using the concurrent validation design. By comparing the personality traits of current employees with their job performance, the validity of the personality inventory method can be evaluated.

8. Work samples: Work samples involve candidates completing tasks or projects that simulate actual job duties. The validity of work samples would be most affected by the type of validation design when using the predictive validation design. By assessing the job performance of candidates who performed well on work samples, the validity of the work sample method can be evaluated.

9. Honesty tests/Drug tests: Honesty tests and drug tests assess a candidate's honesty or drug usage. The validity of honesty tests and drug tests would be most affected by the type of validation design when using the concurrent validation design. By comparing the results of honesty tests or drug tests with the job performance of current employees, the validity of these tests can be evaluated.

In summary, the validity of each selection method would be most affected by the type of validation design employed. Interviews and references would have their validity most affected by the predictive validation design, while application blanks, background checks, physical ability tests, cognitive ability tests, personality inventories, work samples, and honesty tests/drug tests would have their validity most affected by the concurrent validation design. These validation designs allow for a comparison between the selection method results and subsequent job performance or current employee performance, respectively, which helps evaluate the validity of the methods.

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Waterway sells books, movies, and magazines to a wide customer base. In a typical month, about 40% of its sales volume is from books. 40% from movies, and 20% from magazines. The selling price and cost information for each of these product categories is as follows. In addition. Waterway incurs facility and administrative costs that average $31.620 per month. (a) Your answer is correct. Find the weighted-average contribution margin per unit for this company. (Round answer to 2 decimal places, eg. 15. 25.) Weighted average contribution margin per unit Determine how many units from each product category Waterway must sell to break even. (Round onswers to 0 decimals, eg. 15.) Books units Movies units Magazines units Waterway normally sells 3,200 books each month. Given the current sales mix, how many movies and magazines must it normally sell in a month? Books units Movies units Magazines units

Answers

A data lake is a large volume of data held in its natural format. It enables the storage of structured, semi-structured, and unstructured data in one single place.

This comprehensive and cost-effective storage solution is used to collate data from multiple forms and sources and allow fast, easy access to them through analytical engines such as Hadoop, Spark and other big data tools.

Data lakes offer businesses the benefit of scalability and flexibility while reducing storage costs. Since data lakes allow companies to store data effectively and tap into the data whenever they need it, companies can use data lakes to empower analytics and machine learning for better decision-making.

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Computing Fresent Values for Bonds, Notes, and Leases Broderick. Company entered into the followirg transactions in the curtont year. simiarrisk a 7h. includes the principat and al interent due in twoyears. Assume thar the market rote of etertst for this debt is 134. 31. The marist rate of a trerest for this lease is 6%. Required - Note: Round your answens to the nearele whole dellar - Note Do not ust a negative vign (.) with your antwers. (a) 5 (b) 5 (c)s

Answers

1. Determine cash flows and discount rate.

2. Calculate present value using PV = CF / (1 + r)^n formula.

1. Determine the cash flows: Identify the cash flows associated with the bond, note, or lease. This includes the principal amount, interest payments, and any other relevant cash flows.

2. Determine the discount rate: Determine the appropriate discount rate to use for calculating the present value. This can be the market interest rate or a predetermined rate specified in the agreement.

3. Calculate the present value: Use the present value formula to calculate the present value of the cash flows. The formula for calculating present value is:

  PV = CF1 / (1 + r)^1 + CF2 / (1 + r)^2 + ... + CFn / (1 + r)^n

  Where PV is the present value, CF1, CF2, ..., CFn are the cash flows in each period, r is the discount rate, and n is the number of periods.

4. Round the answer: Round the calculated present value to the nearest whole dollar or as specified in the question.

Please provide specific details or examples if you have a particular transaction or question you would like assistance with, and I'll be happy to help you with the calculations.

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Suppose you have just graduated and have a student Ioan balance of $6,500. The interest rate on your loan is 6 percent. You have also accumulated a credit card balance of $1,200, at an annual interest rate of 13 percent. You just got a graduation gift of $500 that you've decided to use toward either your student loan debt or your credit card debt. Instructions: Enter your answers as a whole number. a. If you use the full $500 for your student loan, what will your student loan balance be in one year? Assume no additional student loan payments during this time. $ What will your credit card balance be in one year? Assume no additional credit card payments during this time. b. If you put the full $500 toward your credit card, what will your student loan balance be in one year? Assume no additional student loan payments during this time. $ What will your credit card balance be in one year? Assume no additional credit card payments during this time. c. In one year, how much money will you have lost if you put the $500 toward your student loan compared to paying down your credit card? $

Answers

a. If the student uses the full $500 to pay off their student loan, the balance in one year will be $6,360.

b. If the student puts the full $500 towards their credit card debt, the student loan balance in one year will be $1,681.50.

c. By paying down the student loan instead of the credit card, the student would lose $959 in one year.

a. The student has a student loan balance of $6,500. If they use $500 to pay it off, their student loan balance will be $6,000.

The annual interest rate of the student loan is 6 percent, therefore: interest = balance x interest rate = $6,000 x 0.06 = $360.

Therefore, the student loan balance in one year would be $6,000 + $360 = $6,360.

Subtracting the $500 gift from the initial student loan balance gives: $6,500 - $500 = $6,000.

Therefore, the student loan balance after a year would be $6,360.

b. The student's credit card balance is $1,200 with an annual interest rate of 13 percent. If they use $500 to pay it off, their credit card balance will be $700.

The annual interest rate on the credit card is 13 percent, therefore: interest = balance x interest rate = $700 x 0.13 = $91.

Therefore, the credit card balance in one year would be $700 + $91 = $791. The student loan balance is still $6,500, and the annual interest rate is still 6 percent.

Therefore: interest = balance x interest rate = $6,500 x 0.06 = $390.

Therefore, the student loan balance in one year would be $6,500 + $390 = $6,890.

Adding the credit card balance and student loan balance together gives: $791 + $6,890 = $7,681.50.

Subtracting the $500 gift from the initial student loan balance gives: $6,500 - $500 = $6,000.

Therefore, the student loan balance after a year would be $7,681.50 - $6,000 = $1,681.50.

c. The difference in the amount of money lost by paying down the credit card debt versus the student loan debt is: $7,681.50 - $6,360 = $1,321.50.

Therefore, by paying down the credit card debt, the student would save $1,321.50 - $959 = $362.50.

Therefore, the student would have lost $959 by paying down the student loan debt instead of the credit card debt.

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kindly answer it with formula and solution, thankyou

1. Central bank imposes a 10% required reserve ratio, if the required reserve is 200,000 pesos, how much is the non-bank private sector deposit?

Answers

To calculate the non-bank private sector deposit, we can use the formula:

Non-Bank Private Sector Deposit = Required Reserve / Reserve Ratio

Given that the required reserve is 200,000 pesos and the required reserve ratio is 10%, we can substitute these values into the formula:

Non-Bank Private Sector Deposit = 200,000 / 0.10

Non-Bank Private Sector Deposit = 2,000,000 pesos

Therefore, the non-bank private sector deposit is 2,000,000 pesos.

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Someone in the 36 percent tax bracket can earn 8 percent annually on her investments in a tax-exempt IRA account. What will be the value of a one-time $18,000 investment in 5 years? 10 years? 20 years? You may use Appendix C to answer the questions. Do not round intermediate calculations. Round your answers to the nearest dollar. in 5 years: $ in 10 years: $ in 20 years: $ b. Suppose the preceding 8 percent return is taxable rather than tax-deferred and the taxes are paid annually. What will be the after-tax value of her $18,000 investment after 5,10 , and 20 years? Do not round intermediate calculations. Round your answers to the nearest dollar. in 5 years: $ in 10 years: $ in 20 years: $ Hide Feedback

Answers

In a tax-exempt IRA account with an 8 percent annual return and a 36 percent tax bracket, the investment grows to approximately $24,927 after 5 years, $40,248 after 10 years, and $86,974 after 20 years.

a. For the tax-exempt IRA account with an 8 percent annual return, we can use the future value formula to calculate the value of the $18,000 investment. The formula is:

\(FV = P \cdot (1 + r)^N\)

where FV is the future value, P is the initial investment ($18,000), r is the annual return rate (8 percent), and N is the number of years.

Using this formula, we can calculate the future values for the given time periods. The results are as follows:

- In 5 years: approximately $26,741

- In 10 years: approximately $43,219

- In 20 years: approximately $93,219

b. If the 8 percent return is taxable and taxes are paid annually, we need to consider the after-tax value of the investment. The after-tax value will be reduced by the taxes paid on the annual returns.

To calculate the after-tax value, we can multiply the annual return by (1 - tax rate) before compounding it with the formula used in part a.

Using the same formula and considering the 36 percent tax rate, we can calculate the after-tax values for the given time periods. The results are as follows:

- After 5 years: approximately $24,927

- After 10 years: approximately $40,248

- After 20 years: approximately $86,974

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A. Rational Behavior (10): Economists assume that human action is based on rational behavior, but many non-economists object to that assumption. Explain the five things that the authors say that rational behavior does not mean.

Answers

Rational behavior, as assumed by economists, is a concept that suggests individuals make decisions based on careful consideration and logic. However, there are certain misconceptions about what rational behavior entails. According to the authors, there are five things that rational behavior does not mean:

1. Rational behavior does not mean being completely self-interested: While rational behavior does consider personal interests, it does not imply that individuals act solely for their own benefit. People often take into account the well-being of others and engage in cooperative actions.

2. Rational behavior does not mean perfect foresight: Being rational does not mean individuals can accurately predict the future. It recognizes that decision-making is based on available information at a given time, and people may make mistakes or face uncertainties.

3. Rational behavior does not mean being emotionless: Contrary to popular belief, rational behavior does not exclude emotions. It acknowledges that emotions can influence decision-making, and individuals often take emotions into account when making choices.

4. Rational behavior does not mean having unlimited cognitive abilities: Rational decision-making assumes that individuals have a certain level of cognitive abilities, but it does not require them to possess unlimited mental capacity. People may have limitations in processing information or making complex calculations.

5. Rational behavior does not mean always maximizing utility or wealth: While rational behavior considers maximizing outcomes, it does not imply that individuals always aim to maximize their own utility or wealth. People have different preferences and may prioritize factors other than monetary gain, such as social connections or personal values.

In summary, rational behavior, as understood by economists, encompasses various factors beyond self-interest, incorporates emotions, acknowledges cognitive limitations, and considers diverse preferences and values.

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why is product cost important
why is period cost important
why is fixed cost important
why is variable cost important

please answer it and 4-5 sentence

Answers

Product cost is the expense associated with producing a product. Product cost comprises direct and indirect costs associated with the production of a product. This cost directly affects the profit margin of a business.


Period cost refers to the expense that businesses incur outside of production. These costs include administrative, selling, and marketing expenses.

Fixed cost is the cost that businesses incur, regardless of the volume of products or services produced. Examples of fixed costs include rent, insurance, salaries, and depreciation.

Variable cost is the cost that businesses incur based on the volume of products or services produced. For example, the cost of raw materials, labor, and shipping are variable costs.

Understanding these costs is important for businesses to ensure profitability and make informed decisions. Calculating and monitoring product cost, period cost, fixed cost, and variable cost can help businesses develop accurate financial projections and strategies to achieve their financial goals.

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