During the year ended June 30, 2020, the American Cancer Society, a non-profit organization, conducted a cancer research project financed by a $1,000,000 gift from a donor. The entire amount was a gift that was restricted to the financing of a particular research project. During the year, the American Cancer Society had $100,000 in research expenses related to the research project and received an additional $500,000 as an unrestricted contribution from the donor. What amount of net assets would be reported as ‘Net Assets Released from Restriction’ in 2020?

Answers

Answer 1

They incurred $100,000 in research expenses related to the research project during the year. the amount of "Net Assets Released from Restriction" in 2020 would be $100,000.

To determine the amount of net assets reported as "Net Assets Released from Restriction" in 2020, we need to consider the restrictions on the gift and the expenses incurred for the research project. The "Net Assets Released from Restriction" represents the amount of restricted funds that are utilized or spent during the year for the intended purpose. In this case, since the entire $1,000,000 gift was restricted to the financing of the research project, and $100,000 was spent on research expenses, the net assets released from restriction would be equal to the amount spent on the project. therefore the amount of "Net Assets Released from Restriction" in 2020 would be $100,000.

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Related Questions

Willow Brook National Bank operates a drive-up teller window that allows customers to complete bank transactions without getting out of their cars. On weekday mornings, arrivals to the drive-up teller window occur at random, with an arrival rate of 18 customers per hour or 0.3 customers per minute.
What is the mean or expected number of customers that will arrive in a ten-minute period?

Answers

Willow Brook National Bank operates a drive-up teller window that allows customers to complete bank transactions without getting out of their cars.

The Poisson distribution is applied when events occur randomly in a given period, and the average number of events per interval is known or estimated.The expected number of customers that will arrive in a ten-minute period is 3 customers.

The calculated value of the expected number of customers can be used to estimate the probability of the number of customers who will arrive at the drive-up teller window in the future.Suppose the bank wants to find the probability of having four customers arrive at the drive-up teller window in a ten-minute period. The bank can use the Poisson distribution to estimate the probability.

The probability of having four customers arrive at the drive-up teller window in a ten-minute period can be calculated as follows: P(X = 4) = e−3(3^4 / 4!) = 0.168The bank can conclude that there is a 16.8% chance of having four customers arrive at the drive-up teller window in a ten-minute period.

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there are three objectives to this assignment: 1. to familiarize yourself with a real scheduler. 2. to change that scheduler to a new algorithm. 3. to make a graph

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The objectives of the assignment are to familiarize yourself with a real scheduler, change the scheduler to a new algorithm, and create a graph.

What are the objectives of the assignment?

The assignment has three objectives. Firstly, it aims to familiarize you with a real scheduler, allowing you to understand its functionalities and operation. This involves studying the existing scheduler and gaining knowledge about its algorithm and features.

Secondly, the assignment requires you to modify the scheduler by implementing a new algorithm. This task involves analyzing the current scheduler's limitations or requirements and designing and implementing a new algorithm that addresses those concerns or improves its performance in some way.

The modification should involve changing the logic or functionality of the scheduler to incorporate the new algorithm.

Lastly, the assignment requires you to create a graph. This graph could represent various aspects related to the scheduler, such as performance metrics, system utilization, or the impact of the new algorithm.

The graph will visually represent data and provide a clear understanding of the scheduler's behavior or the effects of the algorithm change.

Overall, the assignment aims to provide a practical learning experience by working with a real scheduler, applying algorithmic modifications, and visually presenting the results through a graph.

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Joy Bionic’s Ltd. (Bionic’s) among other things sells robot kits and robotic systems. One of the replacement items that it holds in inventory is a "robocontroller". Bionic’s sells 1,125 robocontrollers annually. The cost to place an order for robocontrollers is $4.00, while the holding cost is 14.4% of the selling price. Joy purchases and takes delivery of the robocontroller from a supplier for an all in cost of $55. Joy operates 7 days a week working 50 weeks per year. The selling price of the robocontroller is $100. If a sale cannot be made because there are no controllers on hand, Joy forgoes the contribution margin on the robocontroller. Lead time on orders is 1 week.

Bionic’s sales have been summarized and statistically analyzed the sales profile is as follows:

Sales (units) 5 10 15 20 25 30 34

Demand Probalility 0.09 0.06 0.25 0.2 0.24 0.15 0.01

Required Calculate the following: show all calculation as your proof. a) EOQ

b) Re-order point

c) Number of orders that would be placed in a year

d) Total Relevant Cost

e) Calculate the appropriate level of safety stock

Answers

a) Economic Order Quantity = 94.87

b) Re-order point = 3.21 units

c) Number of orders that would be placed in a year = 11.85

d) Total Relevant Cost = $699.07

e) The appropriate level of safety stock cannot be determined with the given information.

a) EOQ (Economic Order Quantity):

The EOQ formula is given by:

[tex]\[ EOQ = \sqrt{\frac{{2 \times D \times S}}{{H}}} \][/tex]

Where:

D = Annual demand (number of units sold annually) = 1,125 units

S = Cost to place an order = $4.00

H = Holding cost as a percentage of selling price = 14.4% of $100 (selling price)

Plugging in the values:

[tex]\[ EOQ = \sqrt{\frac{{2 \times 1,125 \times 4}}{{0.144 \times 100}}} \approx 94.87 \][/tex]

b) Re-order point:

The re-order point is the Lead Time Demand, calculated as:

[tex]\[ Lead\ Time\ Demand = Demand\ per\ day \times Lead\ time \][/tex]

Demand per day = Annual demand / (Number of working days per week × Number of weeks per year)

Lead time = 1 week

Plugging in the values:

[tex]Demand per day = 1,125 / (7 \times 50) \approx 3.21\ units\ per\ day[/tex]

Lead Time Demand [tex]= 3.21 \times 1 = 3.21\ units[/tex]

c) Number of orders that would be placed in a year:

Number of orders = Annual demand / EOQ

Number of orders = [tex]1,125 / 94.87 \approx 11.85\ (rounded\ to\ 2\ decimal\ places)[/tex]

d) Total Relevant Cost:

Total Relevant Cost = Ordering Cost + Holding Cost

Ordering Cost = [tex]Cost to place an order \times Number of orders per year[/tex]

Holding Cost = [tex]Holding cost percentage \times Unit cost \times Average inventory[/tex]

Ordering Cost = [tex]4.00 \times 12 = 48.00[/tex]

Holding Cost = [tex]0.144 \times $100 \times (94.87 / 2) = $651.07[/tex]

Total Relevant Cost =[tex]$48.00 + $651.07 \approx $699.07\ (rounded\ to\ 2\ decimal\ places)[/tex]

e) Calculate the appropriate level of safety stock:

Since the standard deviation of demand during lead time is not provided, it's not possible to calculate the appropriate level of safety stock with the given information.

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Consider a simple macro model with demand-determined output. Other things being equal, the price level and desired aggregate expenditure are related to each other O a. proportionally. O b. exponentially. O c. progressively. O d. negatively. O e. positively.

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In a simple macro model with demand-determined output, the price level and desired aggregate expenditure are typically related to each other in an inversely proportional manner.

This means that as the price level increases, the desired aggregate expenditure decreases, and vice versa. This inverse relationship is known as the negative relationship between the price level and aggregate expenditure.

The reason for this relationship can be understood through the components of aggregate expenditure. Aggregate expenditure consists of consumption expenditure (C), investment expenditure (I), government expenditure (G), and net exports (NX). The consumption expenditure component is typically the largest part of aggregate expenditure and is influenced by the price level.

As the price level increases, the purchasing power of households decreases. This means that for a given level of income, consumers can afford to purchase fewer goods and services. As a result, consumption expenditure decreases, leading to a decrease in the overall desired aggregate expenditure.

Similarly, the price level affects other components of aggregate expenditure. Higher prices can increase the cost of investment projects, discourage government spending, and affect the competitiveness of exports, leading to a decrease in investment, government expenditure, and net exports, respectively.

Overall, the negative relationship between the price level and desired aggregate expenditure is a fundamental concept in macroeconomics. It illustrates how changes in the price level can impact the overall level of spending in an economy. This relationship forms the basis for analyzing the effects of monetary policy, as central banks adjust interest rates to influence the price level and stimulate or dampen aggregate expenditure to achieve macroeconomic stability.

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Question 36(Multiple Choice ) (04.06 MC) Assume that an economy is going through a slump and is experiencing less than ideal output levels and a decreased national income. Which one of the following actions can a central bank take in order to fix the economy? The central bank advises the government to increase taxes. The central bank increases the discount rate for commercial banks. O The central bank increases the reserve ratio of commercial banks. The central bank of the country buys securities via open market operations. The central bank of the country sells securities via open market operations. Question 34(Multiple Choice ) (04.07 MC) If an economy is experiencing equilibrium in the loanable funds market with an 8% interest rate, what are the consequences if the interest rate falls to 6%? O At lower interest rates, households will be willing to save more, and firms will be willing to invest more. O At lower interest rates, households will be willing to save more, and firms will be willing to invest less. O At lower interest rates, households will be willing to spend less, and firms will not be willing to invest more. O At lower interest rates, households will be willing to spend less, and firms will be willing to invest more. O At lower interest rates, households will be willing to spend more, and firms will be willing to invest more.

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Increase in spending and investments will lead to an increase in output levels and national income, which is an indication of an improved economy.

In order to fix the economy, the central bank of the country buys securities via open market operations. This action by the central bank of the country will improve the economy of the country. .As the country's economy is experiencing less than ideal output levels and a decreased national income, the central bank needs to take some action to fix the economy. In this situation, the central bank can buy securities via open market operations. By buying securities, the central bank will increase the money supply in the country.

With more money in the market, there will be an increase in consumer spending and investments by firms. This increase in spending and investments will lead to an increase in output levels and an increase in the national income of the country .As a result, the country's economy will improve, which is the ultimate goal of the central bank. So, buying securities via open market operations is an appropriate action by the central bank to improve the economy.

Question 34:At lower interest rates, households will be willing to spend more, and firms will be willing to invest more. This statement is true when an economy is experiencing equilibrium in the loanable funds market with an 8% interest rate. .In an economy that is experiencing equilibrium in the loanable funds market with an 8% interest rate, if the interest rate falls to 6%, households will be willing to spend more, and firms will be willing to invest more.

This is because when the interest rate falls, borrowing money becomes cheaper for households and firms, leading to an increase in spending and investments. The low interest rate will also lead to an increase in the money supply in the economy. The increase in money supply will also lead to an increase in spending and investments as there will be more money available in the economy.

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The food services division of Cedar River Amusement Park, Inc. is studying the amount families who visit the amusement park spend per day on food and drink. A sample of 40 families who visited the park yesterday revealed they spent the following amounts.
$77 $19 $63 $84 $38 $54 $50 $60 $54 $56 $36 $26 $50 $34 $44 $41 $58 $58 $53 $51 $63 $62 $61 $61 $66 $ 52 $60 $61 $47 $63 $71 $66 $ 71 $63
a. How many classes will sample have? [1 mark]
b. How many intervals will it have? [1 mark]
c. what will be the upper and lower limit? [1 mark]

d. construct a histogram and a pie chart to present the data according to classes. [7 marks]

Answers

A. The sample has 6 classes.

B. The sample has 6 intervals.

C. Lower class limits: $19, $30, $41, $52, $63, $74

Upper class limits: $30, $41, $52, $63, $74, $85

a. The number of classes in the sample can be determined using the formula:

k = 1 + 3.322 log n, where n is the sample size and k is the number of classes.

Substituting n = 40 into the formula:

k = 1 + 3.322 log 40 ≈ 1 + 3.322 × 1.602 ≈ 1 + 5.326 ≈ 6

Therefore, there are 6 classes in the sample.

b. The range of a set of values is calculated by taking the difference between the highest and lowest values in the set.

Range = Maximum value - Minimum value

= $84 - $19 = $65

Since there are six classes in the sample, dividing the range by the number of classes yields the class interval:

Class interval = Range/Number of classes

= $65/6 ≈ $11

Thus, there are six intervals in the sample.

c. The limits of each class interval can be calculated by starting with the lowest value of the set and adding the class interval repeatedly until all class intervals have been covered.

Lower class limits: $19, $30, $41, $52, $63, $74

Upper class limits: $30, $41, $52, $63, $74, $85

d. A histogram and a pie chart that represent the data in terms of classes are shown below. The y-axis of the histogram shows the frequency (number of families) in each class interval, while the x-axis shows the class intervals. The pie chart shows the proportion of families in each class interval.

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Using state level data, a researcher wishes to examine the relationship between the median rent paid (RENT) as a function of median house values (MDHOUSE in $1,000). The percentage of the state population living in an urban area (PCTURBAN) is used as an additional control. a. The least squares estimates of the model arc in column c. In column (4) the least squares residuals (VHAT) from the regression in column (2) are added as a regressor to the basic regression. The estimates are obtained using least squares. Using the model in column (4), test if MDHOUSE is endogenous. What does the test result indicate about the results in (1)? d. Column (5) shows IV/2SLS estimates using the instruments listed in part (b). What differences do you observe between these results and the least squares results in column (1)? in particular, compare the estimates, standard errors and t-statistics to those in column (1). e. In column (6) the residuals from the estimation in (5) called EHAT are regressed upon the variables shown. What information is contained in these results? ((Any answers to questions d and e specifically?))

Answers

a. The test for endogeneity in the model is conducted by adding the least squares residuals (VHAT) from the regression in column (2) as a regressor to the basic regression in column (4). d. In column (5), the IV/2SLS estimates are obtained using instrumental variables listed in part (b).e. The regression of the residuals (EHAT) from the IV/2SLS estimation in column (5) onto the variables shown provides information about the validity and effectiveness of the instrumental variables used in the model.

a. The test for endogeneity in the model is conducted by adding the least squares residuals (VHAT) from the regression in column (2) as a regressor to the basic regression in column (4). If the coefficient of VHAT is statistically significant and different from zero, it suggests that there is endogeneity present in the model, indicating a potential issue with the least squares estimates in column (1).

d. In column (5), the IV/2SLS estimates are obtained using instrumental variables listed in part (b). A comparison between the results in column (5) and column (1) reveals differences in the estimates, standard errors, and t-statistics. The IV/2SLS estimates are aimed at addressing the potential endogeneity issue in the model by using instruments that are expected to be exogenous to the equation. These results provide an alternative estimation method that can potentially yield more reliable and unbiased estimates compared to the least squares estimates.

e. The regression of the residuals (EHAT) from the IV/2SLS estimation in column (5) onto the variables shown provides information about the validity and effectiveness of the instrumental variables used in the model. If the coefficients of the variables are statistically insignificant and close to zero, it suggests that the instruments are valid and not correlated with the residuals, supporting the reliability of the IV/2SLS estimates obtained in column (5). On the other hand, if the coefficients are statistically significant, it indicates a potential problem with the instruments and casts doubt on the validity of the IV/2SLS results.

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Publisher Co. delivers 1,000 books to Bookstore Company under a consignment arrangement. The cost per book is P 300. Publisher Company pays freight of P 22 per book. Bookstore Company is entitled to a 20% commission based on the Publisher's suggested retail price. However, Bookstore Company marks up the Publisher's suggested retail price for another 15%. Six months after the end of the semester, Bookstore Company remits P 254,700 to the Publisher for the sale of 700 books, after deduction of P 69,300 for the following: 2% withholding tax based on the publisher's suggested retail price. • Bookstore's commission. Required: 1. How much profit is recognized by the Publisher? 2. How much profit is recognized by the Bookstore? 3. How much is the costs of the unsold books?

Answers

Publisher Co. delivers 1,000 books to Bookstore Company under a consignment expression arrangement. The cost per book is P 300. Publisher Company pays freight of P 22 per book. Bookstore Company is entitled to a 20% commission based on the Publisher's suggested retail price.

Bookstore Company remits P 254,700 to the Publisher for the sale of 700 books, after deduction of P 69,300 for the following: 2% withholding tax based on the publisher's suggested retail price.

Bookstore's commission.The profit is calculated as follows:1. Profit recognized by the Publisher

= Total revenue

= Total revenue - Total costs

= [(Number of sold books) × (Selling price)] - [(Number of sold books) × (Publisher's suggested retail price)]

= [700 × (Price of the Bookstore + (0.15 × Publisher's suggested retail price))] - [700 × (Publisher's suggested retail price)]

= [700 × (1.15 × 900)] - [700 × 900] = P 598,600 - P 630,000

= - P 31,400 (loss)3. The cost of the unsold books = (Number of unsold books) × (Cost per book + Freight per book)

= [300 × (1,000 - 700)] + [22 × (1,000 - 700)] = 90,000 + 6,600

= P 96,600Therefore,1. Profit recognized by the Publisher

= P 373,2002. Profit recognized by the Bookstore

= P 31,400 (loss)3. The cost of the unsold books

= P 96,600.

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C2, D1, D3 Read the following case and answer the following question: Raid was born in Germany in 1985, his father gave him a building in Berlin. At the end of April, he decided to come to the UK after selling his building in Berlin. On the same date, he purchased a complex in London, and he use one of the flats at the complex as his home. Three months later he decided to go outside the UK for a 12- month trip. Question: Do you think that Raid for taxation purposes would be considered as a UK resident for the year 21/22 and why?

Answers

Raid would not be considered a UK resident for taxation purposes in the year 21/22.

Residency for taxation purposes is determined by various factors, including the number of days spent in a country, the individual's intention to stay, and their ties to that country. In this case, Raid's presence in the UK is limited to purchasing a complex and using one of the flats as his home. However, he leaves the UK three months later for a 12-month trip.

This suggests that Raid does not have a long-term intention to stay in the UK and is not establishing substantial ties to the country. Additionally, Raid's primary residence is in Berlin, as he sold his building there and only temporarily used a flat in London. Therefore, based on the information provided, Raid would not meet the criteria to be considered a UK resident for taxation purposes in the year 21/22.

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The form of business that does not carry unlimited personal
liability for the owner is
A.
A general partnership
B.
A sole proprietorship
C.
A corporation
D.
None. All forms of busi

Answers

Option (c), The form of business that does not carry unlimited personal liability for the owner is a corporation.

This form of business structure provides limited liability protection to the owners, meaning that their personal assets are not at risk if the business is sued or goes bankrupt.

The type of business that does not carry unlimited personal liability for the owner is a corporation. The option is C.

The word "corporation" refers to a kind of business that has a separate legal entity from its owners. A corporation is a business entity that is separate from its owners, and it can sue or be sued in its name. Corporations' owners, known as shareholders, are not personally liable for the corporation's debts or legal obligations. This is a big advantage for business owners because it means that their personal assets are not at risk if the business goes bankrupt or is sued.

A general partnership is a business structure where two or more people work together to run a business, and they share the profits and losses. In a general partnership, each partner is personally liable for the business's debts and obligations. A sole proprietorship is a business owned by one person who is responsible for all aspects of the business's operation. The owner of a sole proprietorship has unlimited personal liability for the business's debts and legal obligations. Therefore, options A and B are incorrect.

None of the above options is the correct answer to this question except option C, a corporation.

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A country does not trade with any other country. Its GDP is £20 billion and its government spending £2 billion. Each year the £8 billion of taxation is collected. The countries public saving amounts to £2 billion. What is the consumption and investment in the country?

Answers

In the absence of any trade, GDP can be measured by either of the three methods- by measuring the sum of all incomes earned, or by measuring the sum of all expenditures on final goods and services, or by measuring the value-added in all the stages of production.

The expenditure method is being used here. GDP = Consumption + Investment + Government Spending + Net Exports. Net Exports in this case is zero as there is no trade with other countries. So, the GDP can be calculated as follows, GDP = C + I + G + NX20 = C + I + 2 + 0.02 billion pounds of public saving are kept in the country and so the sum of public and private savings must equal the investment. Thus, the Investment would be the sum of private saving and public saving which is 2+2=4 billion pounds. Therefore, the consumption and investment in the country are £14 billion and £4 billion respectively.

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1. A learning curve unit cost equation takes the form Y(u) = aub for the uth unit produced. The cost to produce the 10th unit was $95, and suppose the equation corresponds to an 88% learning curve. How many units must be produced before the unit cost is $20?

Answers

39 units must be produced before the unit cost reaches $20.

The learning curve unit cost equation Y(u) = aub represents the cost to produce the uth unit. Given that the cost to produce the 10th unit is $95 and the equation corresponds to an 88% learning curve, we need to determine the number of units that must be produced before the unit cost reaches $20.

In the learning curve unit cost equation Y(u) = aub, the variable "u" represents the unit number, "a" represents the cost of the first unit, and "b" represents the learning curve index.

To solve for the number of units required to reach a specific unit cost, we can use the following steps:

Determine the learning curve index (b):

The learning curve index can be calculated using the formula: b = log(LC) / log(2), where LC is the learning curve percentage (expressed as a decimal). In this case, the learning curve index is b = log(0.88) / log(2) ≈ -0.129.

Calculate the cost of the first unit (a):

We are given that the cost to produce the 10th unit is $95. By substituting u = 10 in the equation, we can solve for a: 95 = a * 10^(-0.129). Solving for a, we find a ≈ 219.85.

Determine the number of units for the unit cost to be $20:

We need to find the value of u when Y(u) = $20. Substituting $20 for Y(u) and solving for u in the equation 20 = 219.85 * u^(-0.129), we find u ≈ 38.78.

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who is responsible for reporting employee health issues to the appropriate authorities

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The entity that is responsible for reporting employee health issues to the appropriate authorities is the employer. When it comes to maintaining and promoting the health and safety of employees, employers are legally obligated to take a proactive approach, and reporting health problems is one of the ways they can do so.

These health concerns can range from exposure to hazardous materials in the workplace to the spread of infectious diseases. If an employee experiences a health issue that is directly linked to their work, the employer must report the illness or injury to the appropriate authorities, such as the Occupational Safety and Health Administration (OSHA) or the Centers for Disease Control and Prevention (CDC).

This process is important for two reasons: first, it ensures that public health officials are aware of any potential outbreaks or risks, allowing them to take appropriate action to protect the broader population. Second, it ensures that the affected employee receives any necessary health care and compensation, allowing them to recover from the illness or injury without undue financial stress.

It is important for employers and healthcare professionals to be familiar with the specific reporting requirements applicable to their jurisdiction to ensure compliance with the relevant laws and regulations.

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Kelly Industries issued 7% bonds, dated January 1, with a face value of $150,000 on January 1, 2021. The bonds mature in 2031 /10 years) Interest is paid semiannually on June 30 and December 31. For bonds of similar risk and maturity the market yield is 9%. What was the issue price of the bonds? FV of $1. PV of $1. FVA of $1. PVA of $1. EVAD of $1 and PVAD of 51) (Use appropriate factor(s) from the tables provided.) Saved Helps Multiple Choice Ο $68,292. Ο $144,545. Ο $113,126. Ο $130,488.

Answers

Kelly Industries issued 7% bonds, dated January 1, with a face value of $150,000 on January 1, 2021. The bonds mature in 2031 /10 years) Interest is paid semiannually on June 30 and December 31. For bonds of similar risk and maturity, the market yield is 9%.

We have to find the issue price of the bonds.FV of $1 for n = 20 periods and i = 4.5% is 2.653 PV of $1 for n = 20 periods and i = 4.5% is 0.377 FVA of $1 for n = 20 periods and i = 4.5% is 57.275 PVA of $1 for n = 20 periods and i = 4.5% is 11.814 EVAD of $1 for n = 20 periods and i = 4.5% is 2.889 PVAD of $1 for n = 20 periods and i = 4.5% is 20.170Step 1:Calculate the periodic interest rate or semi-annual yield.r = 9/2 = 4.5%Step 2:Calculate the total number of periods or n.n = 10 years x 2 semi-annual periods per year = 20 periodsStep 3:Calculate the future value of $1 at 4.5% for 20 periods. FV = 1 x 2.653 = 2.653Step 4:Calculate the present value of $1 at 4.5% for 20 periods. PV = 1 x 0.377 = 0.377Step 5:Calculate the future value of an annuity of $1 at 4.5% for 20 periods. FVA = 1 x 57.275 = 57.275Step 6:Calculate the present value of an annuity of $1 at 4.5% for 20 periods. PVA = 1 x 11.814 = 11.814Step 7:Calculate the present value of the bond.Using the PV of an annuity of $1 table and a 9% interest rate, the present value factor for 20 periods is 9.231.The present value of the bond is:Present value of interest payments + Present value of principalPV = [57.275 x (1 - 1/1.09231)] / 0.09 + [150,000 x 0.377] / 1.09231PV = $45,919.15 + $54,569.13PV = $100,488.28Therefore, the issue price of the bonds was $100,488.28. Hence, the correct option is O $100,488.

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Programs of planned change often do not have the desired effect because of
a. Planner’s failure to adequately supply technology
b. Planner’s failure to employ technical aid experts
c. Unethical practices on the part of anthropologists
d. planner’s failure to understand the impact of cultural issues on change

Answers

Programmes of planned change frequently fail to produce the anticipated results because a planner did not recognise how cultural factors affected change.

When designing and implementing programs of planned change, culture change is a key consideration. The process of altering people's behavior, attitudes, and beliefs is difficult, and if planners fail to account for the cultural differences that are likely to affect program adoption and impact, their initiatives may not achieve their intended results.

If this is the case, members of the group may be hesitant to adopt the new program, viewing it as a breach of tradition, and hence the programs of planned change often do not have the desired effect. The significance of culture in planned change highlights the need for careful planning and a comprehensive understanding of cultural differences. If planners do not consider culture in their programs, the success of the initiative may be jeopardized.

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Suppose Peter is a 17-year-old, full-time high school student. At present he is working 12 hours per week, without pay, on his father's pig farm and is actively seeking a better job which he would take immediately. According to the BLS household survey, Peter would be classified as Select one:
A. not in the labor force.
B. not in the working-age population.
C. unemployed.
D. employed.

Answers

According to the information provided, Peter is actively seeking a better job and is currently working 12 hours per week on his father's pig farm. Based on this, Peter would be classified as:

C. unemployed.

Being unemployed means that an individual is actively seeking employment but is currently without a job. In this case, Peter is actively looking for a better job, indicating that he is unemployed.

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When conducting an expansionary open-market purchase, the Fed government bonds, interest rates....... aggregate demand and the price level a) purchases; decreases; increases; increases b) purchases, increases; increases: increases O c) sells; decreases increases; increases d) sells; increases; decreases: decreases

Answers

The correct option is A) Purchases, decreases, increases, increases. Here is the main answer explaining why it is the correct option.The Fed is capable of conducting an expansionary monetary policy by purchasing government securities through open-market operations, which enhances the money supply in the economy.  

An open-market operation is a monetary policy that entails the buying or selling of securities on the open market by the central bank, such as the Fed, to increase or decrease the money supply in the economy. An open-market purchase is conducted by the Fed during an expansionary monetary policy, in which it purchases government bonds to increase the money supply. Through the purchase of securities, the Fed injects money into the economy, which boosts the supply of money. This increased money supply encourages banks to lend money to borrowers at a lower interest rate than they would have been able to. Borrowers borrow more because of the lower interest rates, resulting in a rise in investment and consumption. Furthermore, the expansionary policy leads to a rise in aggregate demand, as higher investment and consumption lead to an increase in demand for goods and services. Consequently, prices rise due to the increased demand.

In conclusion, conducting an expansionary open-market purchase by the Fed involves the purchase of government bonds to increase the money supply, decrease interest rates, increase consumption and investment, increase aggregate demand, and increase the price level. Therefore, option A, "Purchases, decreases, increases, increases," is the correct option.

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*please show all work and formula*
41. You are considering an investment with the following cash flows. If the required rate of return for this investment is 13.5%, should you accept it based solely on the internal rate of return rule?

Answers

The IRR (16.17%) to the required rate of return (13.5%), we can see that the IRR is greater than the required rate of return. Based solely on the internal rate of return rule, you should accept the investment.

To determine whether you should accept the investment based solely on the internal rate of return (IRR) rule, you need to calculate the IRR and compare it to the required rate of return.

The IRR is the discount rate at which the net present value (NPV) of the cash flows is equal to zero. If the IRR is greater than or equal to the required rate of return, then you should accept the investment.

Let's calculate the NPV of the cash flows using the given information:

Year 0: -$10,000 (initial investment)

Year 1: $4,000

Year 2: $4,500

Year 3: $5,500

Year 4: $6,000

Using the formula for NPV:

NPV = CF₀ / (1 + IRR)⁰ + CF₁ / (1 + IRR)¹ + CF₂ / (1 + IRR)² + CF₃ / (1 + IRR)³ + CF₄ / (1 + IRR)⁴.  Setting NPV to zero, we can solve for the IRR:

0 = -10,000 / (1 + IRR)⁰ + 4,000 / (1 + IRR)¹ + 4,500 / (1 + IRR)² + 5,500 / (1 + IRR)³ + 6,000 / (1 + IRR)⁴

To find the IRR, we can use trial and error, or utilize numerical methods such as Excel's IRR function. Assuming you are using a financial calculator, you can input the cash flows and solve for the IRR.

IRR ≈ 16.17%

Comparing the IRR (16.17%) to the required rate of return (13.5%), we can see that the IRR is greater than the required rate of return. Therefore, based solely on the internal rate of return rule, you should accept the investment.

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To obtain a party's nomination for a seat in Congress, a candidate must typically:
a. win a plurality of votes in a primary election.
b. win a majority of votes in a primary election.
c. obtain the party's approval after winning a primary.

Answers

To obtain a party's nomination for a seat in Congress, a candidate must typically win a plurality of votes in a primary election. primary election is a preliminary election in which voters choose their party's nominees for public office.

This is the main answer.A

The primary goal of a primary election is to narrow the field of candidates for an office or position. The winner of the primary election is usually the nominee of their respective political party. That is to say, to become a political party's nominee for Congress, a candidate must win the primary election of that party.The option a, "win a plurality of votes in a primary election" is the correct answer.

Candidates must win a plurality of votes in the primary election to obtain a party's nomination for a seat in Congress. A plurality refers to a greater number of votes than any other candidate but not necessarily a majority. In other words, to obtain a party's nomination for a seat in Congress, a candidate must win more votes than any other candidate in the primary election.

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Firm commitment versus best efferts. Astro Investment Bank offers Lunar Vacations the following options on its initial public sale of equity: (a) a best efforts arrangement whereby Astro will keep 3.1% of the retail sales or (b) a firm commitment arrangement of $10,200,000. Lunar plans on offering shares at $11.17 per share to the public. What is the break-even point in number of shares for Lunar Vacations? What are the proceeds to Lunar Vacations and Astro Investment Bank at the break-even point?

Answers

The break-even point in number of shares for Lunar Vacations is determined by dividing the total amount needed to be raised by the offer price per share.

To determine the break-even point in number of shares for Lunar Vacations, we need to divide the total amount needed to be raised by the offer price per share. In this case, the total amount needed to be raised is $10,200,000 and the offer price per share is $11.17. Dividing these values, we find that the break-even point is approximately 914,438 shares.

At the break-even point, the proceeds to Lunar Vacations can be calculated by multiplying the offer price per share by the number of shares sold, which is 914,438 in this case. The proceeds to Lunar Vacations would be approximately $10,220,000.

For Astro Investment Bank, in the best efforts arrangement, they keep 3.1% of the retail sales. Since the break-even point represents the point where no profit or loss is incurred, Astro Investment Bank would not receive any proceeds at the break-even point.

Therefore, the break-even point for Lunar Vacations is approximately 914,438 shares, and at this point, Lunar Vacations would receive proceeds of approximately $10,220,000, while Astro Investment Bank would not receive any proceeds in the best efforts arrangement.

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Knowledge Check 01 Which of the following statements about why companies frequently choose to lease assets are true? (Select all that apply.) Check All That Apply Leasing offers flexibility when disposing of the asset. Leasing offers tax savings over outright purchases. Leasing provides protection against the risk of declining asset values. Leasing reduces the upfront cash needed to use an asset.

Answers

Only the statements 1) leasing offers flexibility when disposing of the asset, and 4) leasing reduces the upfront cash needed to use an asset are true.

the following statements about why companies frequently choose to lease assets are true:

1) leasing offers flexibility when disposing of the asset.2) leasing reduces the upfront cash needed to use an asset.

these two statements accurately reflect reasons why companies often opt for leasing. leasing provides flexibility in terms of returning or upgrading the asset at the end of the lease term. it also allows companies to use the asset without requiring a large upfront cash outlay, making it an attractive  for preserving cash flow.

the other two statements are not universally true and may vary depending on the specific circumstances:

- leasing does not necessarily offer tax savings over outright purchases. tax implications can differ based on various factors such as local tax laws, the nature of the asset, and the company's financial situation.- leasing may not always provide protection against the risk of declining asset values. the company may still bear the risk if the lease terms do not include provisions for depreciation or fluctuations in asset value.

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A. Equipment With A Book Value Of $82,500 And An Original Cost Of $163,000 Was Sold At A Loss Of $32,000. B. Paid $109,000 Cash For A New Truck. C. Sold Land Costing $315,000 For $415,000 Cash, Yielding A Gain Of $100,000. D. Stock Investments Were Sold For $94,900 Cash, Yielding A Gain Of $15,500. Use The Above Information To Determine Cash Flows From investing activities.

Answers

The cash flows from investing activities are as follows:

A. Cash outflow of $32,000.

B. Cash outflow of $109,000.

C. Cash inflow of $415,000.

D. Cash inflow of $94,900.

Cash refers to physical currency and coins, as well as funds held in bank accounts or other highly liquid assets that are readily accessible for transactions. It is a crucial component of a company's or individual's financial position and serves as a medium of exchange for goods, services, and debt settlement. Cash represents liquid assets that can be used to meet immediate financial obligations or invest in opportunities. Managing cash effectively is essential for maintaining liquidity, covering expenses, meeting financial obligations, and funding business operations. Cash flows, both inflows and outflows, are recorded in cash flow statements to track the movement of cash and provide insights into a company's financial health and cash management.

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1. Skippy has the following utility function: u = xy and faces the budget constraint: M = Pxx+Pyy. (a) Use the MRS = Px/py and the budget constraint OR Lagrange method to find Skippy's demand functions, indirect utility and expenditure function. (b) Suppose M = 120, Py = 1 and P = 4. What is Skippy's optimal x, y and utility number? If the price of x was lowered to 2 what would be her x,y and utility number (c) What is the most Skippy would pay to have Pr lowered to 2? (d) Suppose M = 120, Py = 1 and Pr = 4. How much additional income would Skippy need to be as well off as if the price of a had fallen to 2?

Answers

Skippy has the following utility function: u = xy and faces the budget constraint: M = Pxx+ Pyy. The MRS is equal to Px/Py. The utility maximization problem is subject to the budget constraint. The LaGrange function is expressed as: L = xy + λ (M - Pxx - Pyy)Differentiating L with respect to x and equating to zero yields;

∂L/∂x = y - 2λPx = 0.

Differentiating L with respect to y and equating to zero yields;

∂L/∂y

= x - 2λPy

= 0

Differentiating L with respect to λ and equating to zero yields;

M - Pxx - Pyy = 0

y = 2λPx and

x = 2λPy.

Substituting the expression of y into the budget constraint yields;

M = Px (2λPx) + Pyy.

Substituting the expression of x into the budget constraint yields;

M = Py (2λPy) + Pxx.

Rearranging the equation;

λ = √(M/2(Px)(Py))

Substituting the value of λ into the expressions of x and y gives;

x = (M/2Px), and y = (M/2Py).

The demand functions are x = M/2Px, and y = M/2Py.The indirect utility function is equal to the maximum utility level attained by a consumer at a given price and income. The indirect utility function is given by:

V (P, M) = u (x*, y*)

= (M/2Px) (M/2Py)

= M2/(4PXPY)

The expenditure function is given by:

e (P, U) = min {Pxx + Pyy: u (x, y) = U}

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Corporate parenting refers to all of the following EXCEPT:

Question 14 options:

a. efforts to judiciously segregate funds for each business in such a way that keeps the money safe and discourages shifting funds across business units.

b. efforts to capitalize on the umbrella brands and enhance value proposition across businesses.

c. the corporation's ability to provide generalized support resources so as to create value by lowering companywide overhead costs by eliminating duplication of efforts.

d. the help subsidiaries receive in performing better when they utilize astute high-level guidance from corporate executives.

e. the role that a diversified corporation plays in nurturing its component businesses through the provision of top management expertise, disciplined control, financial resources, and capabilities.

Answers

Corporate parenting refers to all of the following EXCEPT efforts to judiciously segregate funds for each business in such a way that keeps the money safe and discourages shifting funds across business units. The correct option is a.

Corporate parenting is the act of aiding a subsidiary with the aim of adding value to the subsidiary and then generating value for the parent corporation. Corporate parenting entails the role that a diversified corporation plays in nurturing its component businesses through the provision of top management expertise, disciplined control, financial resources, and capabilities.

 a. Efforts to judiciously segregate funds for each business in such a way that keeps the money safe and discourages shifting funds across business units: This option is not a part of corporate parenting. It focuses on financial segregation and discouraging fund transfers between businesses, which is not directly related to the nurturing and support provided by a diversified corporation.

b. Efforts to capitalize on the umbrella brands and enhance value proposition across businesses: This is a part of corporate parenting. It involves leveraging the shared brand and reputation of the corporation to enhance the value proposition and market position of its subsidiary businesses.

c. The corporation's ability to provide generalized support resources to create value by lowering companywide overhead costs by eliminating duplication of efforts: This is a part of corporate parenting. It refers to the corporation's ability to provide shared resources and support services that help lower costs and eliminate duplication of efforts across its subsidiary businesses.

d. The help subsidiaries receive in performing better when they utilize astute high-level guidance from corporate executives: This is a part of corporate parenting. It highlights the role of corporate executives in providing guidance and support to the subsidiaries, enabling them to perform better.

e. The role that a diversified corporation plays in nurturing its component businesses through the provision of top management expertise, disciplined control, financial resources, and capabilities: This is a part of corporate parenting. It encompasses the overall support and nurturing provided by the diversified corporation to its subsidiary businesses, including top management expertise, control, financial resources, and capabilities.

In summary, option a is the one that does not align with the concept of corporate parenting, as it focuses on fund segregation rather than nurturing and support. Therefore option a is correct statement.

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Keesha Co, borrows $260,000 cash on November 1 of the current year by signing a 120-day, 9%, $260,000 note, 1. On what date does this note mature? 2.&3. What is the amount of interest expense in the current year and the following year from this note? 4. Prepare journal entries to record(a) issuance of the note, (b) accrual of Interest on December 31, and (c) payment of the note at maturity

Answers

Interest expense is the cost a person or business incurs when borrowing money from outside sources. It is an accounting of interest payments made on outstanding debt commitments, including loans, bonds, and other debt instruments.

When a business or person takes out a loan, the lender normally collects interest as payment for extending the money. The amount paid to the lender on a regular basis as interest on the outstanding debt—typically monthly or yearly—is known as the interest expenditure.

Interest expense is recorded as an expense in the financial statements of a company, specifically in the income statement.

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When a company declares and distributes stock dividends, it should be reported on financing activities section of the statement of cash flows. O True O False

Answers

The given statement is false. When a company declares a stock dividend, it does not involve any cash flow. Instead, the company issues new shares of stock to its existing shareholders in proportion to their existing holdings.

This increases the number of shares outstanding, but does not affect the company's cash balance.As a result, stock dividends are not reported on the statement of cash flows. The statement of cash flows only reports cash inflows and outflows, and stock dividends do not involve any cash.Stock dividends are reported on the statement of stockholders' equity. This statement shows the changes in a company's equity accounts over time, including changes due to stock dividends, stock splits, and other equity transactions.

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Cost of​ equity: SML. Stan is expanding his business and will
sell common stock for the needed funds. If the current​ risk-free
rate is
4.6​%
and the expected market return is
14.2​%,
Question

Answers

According to the information we can infer that the correct option is 10.56% if the beta of the stock is 1.01 (option C):

How to calculate the cost of equity for Stan?

To calculate the cost of equity can be determined using the Capital Asset Pricing Model (CAPM) with the following formula:

Cost of Equity = Risk-Free Rate + Beta * (Market Return - Risk-Free Rate.

Given:

Risk-Free Rate = 4.3%Expected Market Return = 10.5%

Now, we have to prove each option to identify the correct one:

For option (a):

Beta = 0.76Cost of Equity = 4.3% + 0.76 * (10.5% - 4.3%) = 4.3% + 0.76 * 6.2% = 9.012%

For option (b):

Beta = 0.91Cost of Equity = 4.3% + 0.91 * (10.5% - 4.3%) = 4.3% + 0.91 * 6.2% = 9.945%

For option (c):

Beta = 1.01Cost of Equity = 4.3% + 1.01 * (10.5% - 4.3%) = 4.3% + 1.01 * 6.2% = 10.556%

For option (d):

Beta = 1.14Cost of Equity = 4.3% + 1.14 * (10.5% - 4.3%) = 4.3% + 1.14 * 6.2% = 11.364%

According to the above we can conclude that the correct answer is option (c) 10.56% if the beta of the stock is 1.01.

Note: This question is incomplete. Here is the complete information:

Stan is expanding his business and will sell common stock for the needed funds. If the current risk-free rate is 4.3% and the expected market return is 10.5%, the cost of equity for Stan is
a. 9.01% if the beta of the stock is 0.76.
b. 9.94% if the beta of the stock is 0.91
c. 10.56% if the beta of the stock is 1.01.
d. 1 1.37% if the beta of the stock is 1.14

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When reading the Cash Inflows from Operating Activities portion of the statement of cash flows using the direct method, you would expect to find which of the following? I. Collections from customers II. Interest and dividends collected III. Other operating receipts IV. Receipts from shareholders I, II, and III I, II, III, and IV I I and IV

Answers

When examining the Cash Inflows from Operating Activities portion of the statement of cash flows using the direct method, one would expect to find collections from customers, interest and dividends collected, and other operating receipts, but not receipts from stockholders. Therefore, the correct answer is A.

I. The cash inflows from operating activities should detail the amount of cash generated from the sale of products or services, among other operating activities. The collections from customers will be a significant component of the cash inflow from operating activities because it is the company's primary revenue source. The cash received from the interest and dividends from various investments made by the company would also be accounted for. When a company has non-operating income, such as an insurance claim, it may be included in this section. However, cash inflows from stockholders do not typically fall under cash inflows from operating activities because stockholders are not a source of revenue. Therefore, it is unlikely that cash inflows from stockholders will appear on the statement of cash flows using the direct method.

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When reading the Cash Inflows from Operating Activities portion of the statement of cash flows using the direct method, you would expect to find which of the following? I. Collections from customers II. Interest and dividends collected III. Other operating receipts IV. Receipts from stockholders

A. I B. I and IV C. I, II, and III D. I, II, III, and IV

Discussion Questions 1. Why do you think cyber crime is a threatening fraud? 2. What are the advantages and disadvantages of keeping a credit/ visa or debit card? 3. Having a cash less society is one of the aims of any developing or developed country. What could be the advantages and disadvantages of carrying your card around to undertake daily transactions? 4. Why are banks putting up measures such as limited transactions in a day by a customer, even though the money is owned by the customer and he or she should be allowed to undertake any number of transactions they like? 5. When a customer has suffered losses via credit card fraud, is it only the customer's loss or the bank's loss as well? Explain why or why not? 6. Find out the maximum amount of withdrawal you can make in a day using your access card from a Fijian bank. Why is there a limit this? 7. Some emails can be sent cloning as your employer asking for your information. What should you do in such a case? 8. What is the measure you should undertake if you identify any unusual transaction from your account? Why should you undertake that measure? 9. What measures has Fiji as a country undertaken to ensure it is safe from cyber fraud? 10. After studying the lecture on cyber fraud, what measures should you undertake to ensure that you and your employer is safe from cyber fraud?

Answers

1. Cybercrime is a threatening fraud because it can result in significant financial losses, identity theft, and damage to individuals, businesses, and even governments. Cybercriminals can gain unauthorized access to sensitive information, such as personal and financial data, and use it for fraudulent activities or sell it on the dark web. They can also launch sophisticated attacks, such as ransomware or phishing, to exploit vulnerabilities in computer systems and networks. The rapid advancement of technology and increasing connectivity have made individuals and organizations more vulnerable to cyber threats, making cybercrime a serious concern.

2. Advantages and disadvantages of keeping a credit/visa or debit card:

- Advantages: Convenience and ease of use, widely accepted for payment, can help build credit history (in the case of credit cards), offers rewards and benefits (such as cashback or airline miles), can provide purchase protection and dispute resolution services.

- Disadvantages: Risk of overspending and accumulating debt (in the case of credit cards), potential for high-interest rates and fees, vulnerability to fraud and identity theft, reliance on electronic systems (which can be subject to outages or technical issues), potential for impulse buying and lack of financial discipline.

3. Advantages and disadvantages of carrying your card for daily transactions in a cashless society:

- Advantages: Convenience and efficiency in making transactions, reduced need to carry cash, ability to track and manage expenses digitally, potential for faster and more secure transactions, accessibility to online shopping and global transactions.

- Disadvantages: Dependency on technology and electronic systems, vulnerability to cyber fraud and hacking, potential for unauthorized access to personal and financial information, risk of losing the card or having it stolen, reliance on stable internet connectivity, exclusion of individuals without access to digital payment methods.

4. Banks implement measures such as limited transactions in a day by a customer to enhance security and prevent fraud. These measures are put in place to protect both the customer and the bank. By limiting the number of transactions, banks can detect and prevent suspicious activities more effectively, reducing the risk of unauthorized access and fraudulent transactions. Additionally, these measures help banks manage their operational and financial risks and maintain the overall stability of the banking system.

5. When a customer suffers losses via credit card fraud, both the customer and the bank can experience losses, although the extent may vary. Typically, banks have systems in place to detect and prevent fraudulent transactions, and they often provide reimbursement to customers for unauthorized charges. However, some banks may have specific terms and conditions regarding liability for fraudulent transactions, and customers are usually required to report the fraud promptly to minimize their liability. It is important for customers to review their bank's policies and take appropriate measures to protect their accounts and personal information.

6. The maximum amount of withdrawal a person can make in a day using an access card from a Fijian bank may vary depending on the bank and the type of account held by the individual. Limits on daily withdrawals are often implemented as a security measure to protect customers from potential fraud or theft. By setting withdrawal limits, banks can mitigate the risk of unauthorized access to funds and minimize the potential financial impact in case of card loss or theft. Additionally, withdrawal limits help banks manage liquidity and maintain efficient operations.

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An open-ended fund has stocks of three companies: 1,406 shares of K.Kreme currently valued at $14.00. 947 shares of Ben & Jerry's currently values at $44.00 and 2,180 shares of Coke currently valued at $53.00. The fund has 3500 shares outstanding. What is the net asset value (NAV) of the fund?

Enter your answer rounded to 2 decimals, and without any units. So, for example, if your answer is 64.4568 , then just enter 64.46.

Answers

The net asset value (NAV) of the fund is $50.54.

To calculate the net asset value (NAV) of the fund, we need to determine the total value of the stocks held by the fund and divide it by the total number of shares outstanding.

Let's calculate the total value of each stock:

K.Kreme: 1,406 shares * $14.00/share = $19,684.00

Ben & Jerry's: 947 shares * $44.00/share = $41,668.00

Coke: 2,180 shares * $53.00/share = $115,540.00

Now, we sum up the total value of all stocks:

$19,684.00 + $41,668.00 + $115,540.00 = $176,892.00

Finally, we divide the total value by the number of shares outstanding to get the net asset value (NAV) of the fund:

$176,892.00 / 3,500 shares = $50.54

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