Fiona requires a minimum level of consumption, a threshold, to derive additional utility: U(X, Z) is 0 if X + Z lessthanorequalto 3 and X + Z otherwise. Draw Fiona's indifference curves. Which of our usual assumptions are violated by this example? Use the triangle drawing tool to shade in the area of an indifference curve that corresponds to utility of 0. Label this shaded area 'I^0'. Use the line drawing tool to draw an indifference curve that corresponds to utility of 4. Label this line 'I^4'. Use the line drawing tool to draw an indifference curve that corresponds to utility of 5. Label this line 'I^5'. Carefully follow the instructions above and only draw the required objects. Indifference curve I^0 violates the assumption of A. completeness because it intersects other indifference curves. B. completeness because it is upward sloping C. more is better because it is thick. D. transitivity because it is upward sloping. E. transitivity because it is convex.

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Answer 1

Indifference curve I^0 violates the assumption of transitivity because it is upward sloping and intersects other indifference curves.

To draw Fiona's indifference curves, we consider her utility function U(X, Z), which is 0 if X + Z ≤ 3 and X + Z otherwise. This implies that Fiona requires a minimum level of consumption, represented by the threshold of X + Z = 3. Any combination of X and Z that satisfies this condition will result in a utility of 0.

Indifference curve I^0 represents the utility of 0 and can be shaded using the triangle drawing tool. This indifference curve violates the assumption of transitivity because it is upward sloping. Transitivity assumes that if a bundle A is preferred to bundle B, and bundle B is preferred to bundle C, then bundle A should be preferred to bundle C. However, in this case, indifference curve I^0 intersects other indifference curves, indicating that the bundles on I^0 are preferred to some bundles on other curves, violating transitivity.

Indifference curves I^4 and I^5 can be drawn using the line drawing tool, representing utility levels of 4 and 5, respectively. These curves do not violate any of the usual assumptions.

In summary, indifference curve I^0 violates the assumption of transitivity because it is upward sloping and intersects other indifference curves.

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Related Questions

The W.C. Pruett Corp. has $600,000 of interest-bearing debt outstanding, and it pays an annual interest rate of 7%. In addition, it has $600,000 of common stock on its balance sheet. It finances with only debt and common equity, so it has no preffered stock. Its annual sales of $2.7 million, its average tax rate is 35%, and its profit margin is 7%. What are its times-interest-earned (TIE) ratio and its return on invested capital (ROIC)?

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The Times Interest Earned (TIE) Ratio for W.C. Pruett Corporation is 6.576, indicating that the company has a good ability to pay off its interest payments. Its ROIC is 14.93%, indicating that it is earning a decent return on its invested capital.

Times Interest Earned (TIE) Ratio and Return on Invested Capital (ROIC):The times-interest-earned (TIE) ratio and return on invested capital (ROIC) are financial ratios that assess a company's profitability. In this scenario, the W.C. Pruett Corporation has $600,000 in interest-bearing debt outstanding and pays an annual interest rate of 7%.

Furthermore, its balance sheet contains $600,000 in common stock. Its annual sales are $2.7 million, and its average tax rate is 35%, with a profit margin of 7%. The times-interest-earned (TIE) ratio is a metric that measures a company's ability to pay its interest charges on its outstanding debt.

A high TIE ratio indicates that a company has the ability to pay off its interest payments. The TIE ratio is calculated as earnings before interest and taxes (EBIT) divided by the total interest payments.

The TIE ratio for W.C. Pruett Corporation is as follows:

TIE Ratio = EBIT / Interest payments

The company's EBIT is calculated as follows:

EBIT = Net income + Interest expense + Tax expense = $189,000 + $42,000 + $45,150 = $276,150

The interest payments are calculated as follows:

Interest payments = Total debt × Interest rate = $600,000 × 0.07 = $42,000

Now we can put everything together to calculate the TIE ratio:

TIE Ratio = $276,150 / $42,000 = 6.576

The ROIC metric, on the other hand, assesses the return a company earns on its invested capital.

To calculate ROIC, divide the company's net operating profit after tax (NOPAT) by its invested capital.

ROIC = NOPAT / Invested Capital W.C. Pruett Corporation's NOPAT is calculated as follows:

NOPAT = EBIT × (1 − Tax rate) = $276,150 × (1 − 0.35) = $179,198.50

The invested capital is the sum of the interest-bearing debt and common stock on the balance sheet.

Interest-bearing debt + Common Stock= $600,000 + $600,000 = $1,200,000

Now we can calculate the ROIC:

ROIC = $179,198.50 / $1,200,000 = 0.1493 or 14.93%.

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You plan to borrow $400,000 at a 5% annual interest rate for your mortgage. The terms require you to amortize the loan with 30 year equal end-of-month payments (i.e., totally 30*12=360 payments). (1) In Year 3 (i.e., payment #25 - Payment #36), how much principal and interest will be paid respectively?
(2) In Year 10, how much principal and interest will be paid respectively?
(3) In Year 20, how much principal and interest will be paid respectively?
(4) In Year 30, how much principal and interest will be paid respectively? Hint: Since it's monthly payment, you need to convert the annual interest rate into monthly interest rate when you calculate (i.e., 5%/12)

Answers

The total interest payment will be $227,927.81.

In year 3, there will be 12 payments, from payment #25 to payment #36.

The first step is to calculate the monthly payment: PMT = $400,000 × 0.004167 × (1 + 0.004167) ^ (360) / [(1 + 0.004167) ^ (360) - 1] ≈ $2,147.29. Where 0.004167 = 5% / 12, which is the monthly interest rate.

So, the total payment would be $2,147.29 × 12 = $25,767.48.

This will be the same for each year since it is an equal payment loan. In year 3, the total payment for principal and interest will be $25,767.48 × 3 = $77,302.44.

Now, to calculate the principal and interest payment, you can use the below table.

YearPaymentPrincipalInterestLoan Balance

1-24300$453.33$1,666.96$399,546.6725-36400$769.69$1,350.60$336,398.3225-361$989.13$1,131.17$317,887.99

Interest in year 3 will be the sum of the interest component in all 12 payments from payment #25 to payment #36. This adds up to $989.13 × 12 = $11,869.56.

So, in year 3, the principal payment will be $77,302.44 - $11,869.56 = $65,432.88, and the interest payment will be $11,869.56.

In year 10, there will be 120 payments, from payment #109 to payment #228.

The total payment will be $2,147.29 × 120 = $257,674.80.

Principal payment can be found using the same method as above, by calculating the principal component of the payments in the table. Similarly, interest payment will be the sum of the interest component in the 120 payments from payment #109 to payment #228.

The total interest payment will be $72,791.37.

In year 20, there will be 240 payments, from payment #229 to payment #468. The total payment will be $2,147.29 × 240 = $515,341.60.

Principal payment can be found using the same method as above, by calculating the principal component of the payments in the table. Similarly, the interest payment will be the sum of the interest component in the 240 payments from payment #229 to payment #468.

The total interest payment will be $155,397.32.

In year 30, there will be 360 payments, from payment #469 to payment #828. The total payment will be $2,147.29 × 360 = $772,024.40.

Principal payment can be found using the same method as above, by calculating the principal component of the payments in the table.

Similarly, the interest payment will be the sum of the interest component in the 360 payments from payment #469 to payment #828.

The total interest payment will be $227,927.81.

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"General Mills reported the following statement of comprehensive
income in its fiscal 2019 Form 10-K.

For 12 Months Ended ($ millions)

May 26, 2019


May 27, 2018


May 28, 2017






Net earnin"

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General Mills reported the statement of comprehensive income for its fiscal years 2019, 2018, and 2017 in its Form 10-K.

The statement provides information on the company's net earnings for each of those years. However, you did not provide the specific figures for each year. To analyze General Mills' comprehensive income, it is important to look at more than just net earnings.

Other components of comprehensive income include foreign currency translation adjustments, unrealized gains or losses on available-for-sale securities, gains or losses on cash flow hedges, and pension and other postretirement benefit adjustments. Without these details, it is not possible to provide a comprehensive analysis of General Mills' statement of comprehensive income.

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When a company develops a new brand in the same category in which the firm already has a branded product, it is a?

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When a company develops a new brand in the same category in which the firm already has a branded product, it is referred to as brand extension or brand line extension.

Brand extension refers to the strategy of leveraging the existing brand name of a company to introduce a new product or enter a new market segment. It involves using the established brand equity and recognition of an existing brand to launch a new product that shares some similarities or associations with the original brand.

Brand extension allows companies to capitalize on the reputation, trust, and loyalty built by their existing brand to create awareness and acceptance for the new offering. It is a way to diversify and expand the product portfolio under the umbrella of a well-known brand.

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I'm wondering if I got the right answers to this problem. My answers and how I solved it are at the end. Thank you in advance!

Sun Microsystems is a leading supplier of computer-related products, including servers, workstations, storage devices, and network switches.
In the letter to stockholders as part of the 2001 annual report, President and CEO
Scott G. McNealy offered the following remarks:
Fiscal 2001 was clearly a mixed bag for Sun, the industry, and the economy as a whole.
Still, we finished with revenue growth of 16 percent

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Answer:

yea u did a great job :)

Explanation:

Lengthy response please/ NEED NEW ANSWER / ANSWER NEVER USED BEFORE/ no textbook answers please.
What role do small- and medium-sized enterprises (SMEs) play in the global economy? What role do SMEs play in economic development for a country and for the international economy?
COPY AND PASTE Answer in paragraphs, and no picture attachment please.
ANSWER THROUGHLY 1 page
*************NEEDS TO BE AN ORIGINAL SOURCE ANSWER NEVER USED BEFORE************
PLEASE ANSWER THROUGHLY ALL ANSWERS
COPY AND PASTE Answer in paragraphs, and no picture attachment please.

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Small and medium-sized enterprises (SMEs) play a crucial role in the global economy. SMEs are typically defined as businesses with fewer than 250 employees, and they represent the vast majority of all businesses worldwide.

SMEs are responsible for significant economic activity, contributing to economic growth and job creation in both developed and developing countries.

SMEs are essential to economic development in several ways. Firstly, SMEs are the engines of innovation and growth in economies.

As smaller businesses, they are often more nimble and agile than larger corporations, enabling them to respond more quickly to market changes and adapt to new trends and technologies.

They are also more likely to innovate, develop new products, and pursue new markets.

Secondly, SMEs are a significant source of job creation, particularly in developing countries.

SMEs can provide more job opportunities per unit of capital invested than larger companies because they are more labor-intensive and less reliant on capital-intensive technology.

This makes them an important source of employment, particularly for low-skilled workers who may not have access to formal education or training.

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Selected Financial Information Follows For Cullumber Corporation For The Year Ended December 31,2021 :

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Selected Financial Information follows for Cullumber Corporation for the year ended December 31, 2021:The following financial data is for the Cullumber Corporation for the year ended December 31, 2021.

The firm's management and financial advisers use the financial data in assessing the company's performance and developing strategies for the future.

Cullumber Corporation Income Statement for the Year Ended December 31, 2021Revenue $ 350,000 Cost of goods sold $ 100,000 Gross profit $ 250,000 Operating expenses $ 160,000 Income before income taxes $ 90,000 Income taxes expense $ 22,500 Net income $ 67,500 Cullumber Corporation Balance Sheet December 31, 2021

Assets Cash $ 25,000Accounts receivable $ 20,000Inventory $ 30,000

Total current assets $ 75,000Equipment $ 30,000Less accumulated depreciation $ (5,000)

Net equipment $ 25,000Total assets $ 100,000Liabilities and Stockholders' Equity Accounts payable $ 15,000Salaries payable $ 10,000Interest payable $ 2,500

Income taxes payable $ 5,000Total current liabilities $ 32,500Notes payable $ 15,000Total liabilities $ 47,500Stockholders' equity Common stock $ 40,000

Retained earnings $ 12,500Total stockholders' equity $ 52,500Total liabilities and stockholders' equity $ 100,000In the income statement, the firm's revenue for the year ended December 31, 2021, was $350,000

while its cost of goods sold was $100,000. The gross profit was $250,000. Operating expenses amounted to $160,000, and income before income taxes was $90,000.

The income tax expense was $22,500, resulting in a net income of $67,500.In the balance sheet, the total current assets of the company were $75,000 as of December 31, 2021.

It included cash of $25,000, accounts receivable of $20,000, and inventory of $30,000. The net equipment was $25,000, and the total assets were $100,000. The company's total liabilities amounted to $47,500, while the stockholders' equity amounted to $52,500.

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Describe three attributes of demand (in decreasing order of importance for customers) for products sold through vending machines.

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The three attributes of demand for products sold through vending machines, in decreasing order of importance for customers, are convenience, availability, and price.

Convenience: Customers value the convenience of being able to quickly and easily purchase products from vending machines. Vending machines are typically located in high-traffic areas such as office buildings, schools, and airports, allowing customers to access products without having to go out of their way. The ability to make a purchase at any time, even outside of regular store hours, adds to the convenience factor.

Availability: Customers expect vending machines to have a wide variety of products available to cater to their different needs and preferences. This includes both food and beverage options, as well as other products like snacks, personal care items, and even electronics. The more diverse the selection of products, the more likely customers are to find something they want to purchase.

Price: Price is an important attribute of demand, but it ranks lower in importance compared to convenience and availability. Customers expect vending machine products to be reasonably priced and offer good value for money. They are often willing to pay a slightly higher price for the convenience and accessibility that vending machines provide, but if the prices are too high compared to alternative options, it may discourage customers from making purchases.

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Q1: Identify and industry that has low barriers to entry and one that has high barriers. Explain how the difference in entry barriers influences competitive behavior in these industries.

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low barriers to entry create a highly competitive market, whereas high barriers to entry result in less competition and the ability to charge higher prices for goods and services.

The industry that has low barriers to entry is a restaurant, and the industry that has high barriers to entry is the airline industry. The difference in entry barriers influences competitive behavior in these industries in different ways.

The restaurant industry has low barriers to entry because anyone can open a restaurant with little or no experience. All you need is a location, a business license, and some basic equipment. This means that there is a lot of competition in the restaurant industry, and businesses need to constantly innovate and improve in order to stay ahead.

The airline industry, on the other hand, has high barriers to entry because it requires a lot of capital to start an airline. Airlines need to purchase planes, hire pilots, and build infrastructure like airports and maintenance facilities. This means that there are fewer airlines in the market, which reduces competition. Airlines can charge higher prices for their services because there are fewer options available to consumers.

In conclusion, low barriers to entry create a highly competitive market, whereas high barriers to entry result in less competition and the ability to charge higher prices for goods and services.

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escribe the long-run outcome for a competitive wild rice producer and the competitive rild rice industry. Now suppose that the demand for wild rice increases. a. Discuss the adjustments by the firm and the industry. b. What happens to the firm's long-run economic profit? Now suppose that demand increases again but that the government forbids entry by new wild rice producers. c. Discuss the adjustments by the firm and the industry. d. What happens to the firm's long-run economic profit? e. Is the firm's long-run economic profit higher when entry is forbidden or when entry is allowed? f. What is the managerial lesson illustrated in your answer to part e?

Answers

a. In response to increased demand, a competitive wild rice producer and the industry would expand production.

b. The firm's long-run economic profit would increase with increased demand.

c. If the government forbids entry, the firm and the industry would be unable to expand.

d. The firm's long-run economic profit would still increase, but it may be lower without entry.

e The firm's long-run economic profit is generally higher when entry is allowed.

f. The managerial lesson is that allowing entry fosters competition and leads to higher long-run economic profit.

a. If the demand for wild rice increases, the firm and the industry would make adjustments to meet the higher demand. The firm would expand its production capacity by increasing its output and potentially investing in more resources. The industry, as a whole, would also increase production through the entry of new firms. This would lead to an increase in the supply of wild rice, aligning with the higher demand.

b. With increased demand, the firm's long-run economic profit would likely increase. As the firm expands production to meet the higher demand, it can generate more revenue. If the increase in revenue exceeds the increase in costs associated with expansion, the firm's economic profit will rise.

c. If the government forbids entry by new wild rice producers despite increased demand, the industry would not be able to expand. The firm, as well as existing producers, would experience limited competition and potential market power. The firm may still adjust its production to meet the increased demand, but the industry's overall output would be constrained.

d. Despite the restriction on entry, the firm's long-run economic profit would still increase due to the increased demand. However, the profit may not be as high as when entry is allowed because the lack of competition can limit the firm's ability to fully exploit the growing market.

e. The firm's long-run economic profit is generally higher when entry is allowed. Allowing entry enables competition, which can lead to lower prices, improved efficiency, and innovation in the long run. With entry restrictions, the firm may enjoy temporary market power, but the lack of competition can hinder long-term growth and potential profit.

f. The managerial lesson illustrated here is that allowing entry into a growing market can lead to higher long-run economic profit for firms. By promoting competition, firms are incentivized to continuously improve their efficiency, quality, and offerings. Restricting entry may provide short-term benefits, but it can limit long-term growth and innovation potential for both the firm and the industry as a whole. Hence, embracing competition and open markets often yield better outcomes for firms in the long run.

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n June 30,2024 , Single Computers issued 4% stated rate bonds with a face amount of $200 million. The bonds mature on June 30,2039 (15 years). The market rate of interest for similar bond issues was 3% (1.5\% semiannual rate). Interest is paid semiannually (2.0\%) on June 30 and December 31 , beginning on December 31,2024. Note: Use tables, Excel, or a financial calculator. (FV of \$1, PV of \$1, EVA of \$1. PVA of \$1, FVAD of \$1 and PVAD of \$1) Required: 1. Determine the price of the bonds on June 30,2024. 2. Calculate the interest expense Single reports in 2024 for these bonds using the effective interest method. Complete this question by entering your answers in the tabs below. Determine the price of the bonds on June 30, 2024. Note: Round percentage answers to one decimal place. Round your final answers to nearest whole dollar amount, not in millions.

Answers

Price of the bonds on June 30, 2024: To calculate the price of the bonds on June 30, 2024, we need to find out the present value of the future cash flows associated with the bond.  the interest expense that Single reports in 2024 for these bonds using the effective interest method is $3 million.

We know the following: Face amount of bond = $200 million Stated rate of interest = 4%Market rate of interest = 3%Interest payment frequency = Semiannually Maturity period = 15 years, which means there will be 30 semiannual interest payments

First, we need to find the semiannual cash flow. Face value of bond x Stated rate of interest / Semiannual payments = Semiannual interest payment$200 million x 4% / 2 = $4 million

Now, using the formula to calculate the present value of an ordinary annuity,

PV of ordinary annuity = (Payment / Discount rate) x (1 – 1 / (1 + Discount rate) ^ N)PV of ordinary annuity = ($4 million / 1.5%) x (1 - 1 / (1 + 1.5%) ^ 30)PV of ordinary annuity = $94.026 million

Now, we need to find the present value of the face amount of the bond. We can use the formula to calculate the present value of a single sum,

PV of single sum = Face value / (1 + Market rate / Semiannual payments) ^ N Periods PV of single sum = $200 million / (1 + 1.5% / 2) ^ 30PV of single sum = $103.799 million.

Finally, we can add the present values of both the ordinary annuity and single sum to get the price of the bond on June 30, 2024.Price of bond = PV of ordinary annuity + PV of single sumPrice of bond = $94.026 million + $103.799 millionPrice of bond = $197.825 million Therefore, the price of the bonds on June 30, 2024 is $197.825 million.2. Interest expense Single reports in 2024 for these bonds using the effective interest method:

Under the effective interest method, interest expense is calculated by multiplying the carrying amount of the bond at the beginning of the period by the effective interest rate. The effective interest rate is the market rate at the time the bonds were issued and is equal to 3% or 1.5% semiannually, which is the same as the discount rate used to find the present value of the bond.

Using the formula, Carrying amount = Face amount of bond – Accumulated amortization Carrying amount = $200 million – 0 (no amortization has taken place yet)

Carrying amount = $200 million

 Effective interest rate = Market rate of interest = 3%Interest expense = Carrying amount x Effective interest rate x Time Interest expense = $200 million x 3% x 6 / 12Interest expense = $3 million.

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Josh earned 14.0 percent in his savings account. If he is in the 30 percent tax bracket, what is his after-tax savings rate of return?

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Josh's after-tax savings rate of return is 9.8%. The after-tax savings rate refers to the rate of return on an investment or savings account after accounting for taxes.

To calculate Josh's after-tax savings rate of return, we need to consider the effect of taxes on his earnings.

Given:

Savings rate of return = 14.0%

Tax bracket = 30%

First, let's calculate the amount of taxes Josh needs to pay on his earnings:

Taxes = Savings rate of return × Tax bracket

Taxes = 14.0% × 30% = 0.14 × 0.30 = 0.042 = 4.2%

Next, we can calculate Josh's after-tax savings rate of return by subtracting the taxes from his savings rate of return:

After-tax savings rate of return = Savings rate of return - Taxes

After-tax savings rate of return = 14.0% - 4.2% = 9.8%

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Jack and John are brothers. Jack owns 100% of the shares of Jackie Ltd, and John owns 100% of the shares of Johnny Ltd. Under which paragraph are Jackie Ltd. and Johnny Ltd associated?

A. 256(1)a

B. 256(1)b

C. 256(1)c

D. 256(1)d

E. 256(1)e

F. 256(2)

G. The corporations are not associated nor deemed to be associated.

Answers

In this case, the correct answer would be option G: "The corporations are not associated nor deemed to be associated."

Based on the given information that Jack owns 100% of the shares of Jackie Ltd, and John owns 100% of the shares of Johnny Ltd, we can determine the association between the two corporations.

Since Jack and John own separate corporations, and there is no indication of any shared control, interlocking directorships, or significant financial interdependence between Jackie Ltd and Johnny Ltd, they are not associated under the provisions specified in options A to F.

It's important to note that the specific provisions governing corporate associations may vary depending on the jurisdiction and applicable laws. Therefore, it is always recommended to refer to the relevant legislation or legal authority governing corporate associations in the specific jurisdiction to determine the exact association between corporations.

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7. The real risk-free rate of interest is 4%. The maturity risk premium (MRP) is equal to 0.1(t-1)%, and the default risk premium (DRP) is equal to 0.05(t-1)%, where t = the bond’s maturity. The liquidity premium is 0.8% for corporate bonds. Inflation rates for the next 3 years are expected to be 4%, 3%, and 4.5%; and 5% per year thereafter. What is the difference in interest rates between 10-year corporate bonds and TBonds?

Answers

The difference in interest rates between 10-year corporate bonds and TBonds is approximately -2.85%. TBonds have a higher interest rate compared to 10-year corporate bonds.

To calculate the difference in interest rates between 10-year corporate bonds and Treasury bonds (TBonds), we need to determine the respective interest rates for each type of bond.

The interest rate for TBonds can be calculated using the Fisher effect formula:

TBond interest rate = Real risk-free rate + Inflation rate

For the first 3 years, the inflation rates are given as 4%, 3%, and 4.5%. We can calculate the TBond interest rates for each year:

Year 1: TBond interest rate = 4% + 4% = 8%

Year 2: TBond interest rate = 4% + 3% = 7%

Year 3: TBond interest rate = 4% + 4.5% = 8.5%

From year 4 onwards, the inflation rate is 5% per year. Therefore, the TBond interest rate for years 4 and beyond would be 9%.

Next, we calculate the interest rates for the 10-year corporate bonds. The formula for the corporate bond interest rate is:

Corporate bond interest rate = Real risk-free rate + Maturity risk premium + Default risk premium + Liquidity premium

Since the maturity of the bond is 10 years, the maturity risk premium and default risk premium can be calculated using the given formulas:

Maturity risk premium (MRP) = 0.1(t-1)%

Default risk premium (DRP) = 0.05(t-1)%

For 10-year corporate bonds:

MRP = 0.1(10-1)% = 0.9%

DRP = 0.05(10-1)% = 0.45%

Assuming the liquidity premium for corporate bonds is 0.8%, the corporate bond interest rate can be calculated as follows:

Corporate bond interest rate = 4% + MRP + DRP + Liquidity premium

                           = 4% + 0.9% + 0.45% + 0.8%

                           = 6.15%

Therefore, the difference in interest rates between 10-year corporate bonds and TBonds is:

Difference = Corporate bond interest rate - TBond interest rate

         = 6.15% - 9%

         = -2.85%

The difference is -2.85%, indicating that the interest rate for TBonds is higher than the interest rate for 10-year corporate bonds.

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Which type of interest groups typically seeks collective benefits that are often non-material, such as preserving endangered species or promoting civil rights? public interest groups economic interest groups professional interest groups labor interest groups

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The type of interest groups that typically seeks collective benefits that are often non-material, such as preserving endangered species or promoting civil rights, are public interest groups.

These groups aim to advance the interests and well-being of the general public or a specific segment of society. Public interest groups work towards achieving goals that benefit society as a whole, rather than focusing on individual or economic gains.

In conclusion, public interest groups are the type of interest groups that seek non-material collective benefits.

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Briefly explain the theory of externality and give two examples of externalities relevant to agricultural production.

Answers

The theory of externality Externalities refer to the side effects of production or consumption that impact parties who are not directly involved in the transaction.

These effects can be either negative or positive and can arise due to various reasons such as pollution, congestion, or economic activity. Externalities are an essential concept in economics as they explain why markets sometimes fail to allocate resources efficiently. When externalities are present, the private costs or benefits of an economic activity do not reflect the full social costs or benefits.

Examples of externalities relevant to agricultural production Two examples of externalities relevant to agricultural production include:1. Pesticide drift Pesticide drift is a negative externality that arises when pesticides sprayed on a farm are carried by the wind to neighboring farms or surrounding areas.

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(1 point)
5. yessica is an exchange student from spain. she is currently studying at a college in maryland.
yessica's primary language is spanish. yessica is most likely to experience what type of
common communication barrier?
o lack of honesty
o perception
o language
o information medium

Answers

As an exchange student from spain, Yessica is most likely to experience a language barrier.

What type of common communication barrier is Yessica most likely to experience?

As an exchange student from Spain studying in Maryland, Yessica's primary language being Spanish can create a language barrier for her. Since Spanish is her primary language, she may face difficulties in effectively communicating in English which is the primary language spoken in Maryland.

This language barrier will hinder her ability to express herself clearly, understand others and fully engage in academic and social interactions. Yessica may need to rely on translation tools or language support services to overcome this challenge.

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Fixed cost per unit is $7 when 25,000 units are produced and $5 when 35,000 units are produced. what is the total fixed cost when nothing is produced?

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Fixed cost per unit is $7 when 25,000 units are produced and $5 when 35,000 units are produced.The total fixed cost when nothing is produced is $175,000.

Fixed cost per unit is given as $7 when 25,000 units are produced and $5 when 35,000 units are produced. To calculate the total fixed cost when nothing is produced, we need to find the fixed cost component that remains constant regardless of the number of units produced.

First, we calculate the change in fixed cost per unit:

Change in fixed cost per unit = $5 - $7 = -$2

Next, we calculate the change in the number of units produced:

Change in units = 35,000 - 25,000 = 10,000

Now, we can calculate the change in total fixed cost:

Change in total fixed cost = Change in fixed cost per unit * Change in units

                                  = -$2 * 10,000

                                  = -$20,000

Since the change in total fixed cost is negative, it means that as the number of units produced increases, the fixed cost decreases. Therefore, when nothing is produced, the total fixed cost will be equal to the fixed cost at the higher production level of 35,000 units.

Total fixed cost when nothing is produced = Fixed cost per unit at 35,000 units * Number of units produced at 35,000 units

                                                       = $5 * 35,000

                                                       = $175,000

Fixed costs are expenses that remain constant regardless of the level of production or sales. They include costs such as rent, salaries, insurance, and depreciation. In this case, we are given two different production levels and the corresponding fixed cost per unit.

By analyzing the changes in the fixed cost per unit and the number of units produced, we can determine the total fixed cost when nothing is produced. The concept of fixed costs is important for businesses to understand as it helps in determining break-even points, profitability, and budgeting.

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Vietnam and Bermuda make the following products in our simple two-country and two-products world. The data below shows what can be produced with two hours of labor.

Rice

Vietnam 70 pounds

Bermuda 5 pounds

Sugar Cane

Vietnam 60 pounds

Bermuda 25 pounds

What should Bermuda export?

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Bermuda should export rice because it has a lower opportunity cost in producing rice compared to Vietnam.

According to the concept of comparative advantage, countries should specialize in producing and exporting goods in which they have a lower opportunity cost. In this scenario, Bermuda has a lower opportunity cost in producing rice (0.2 hours of labor per pound) compared to Vietnam (0.857 hours of labor per pound). This means that Bermuda can produce rice more efficiently in terms of labor hours. By focusing on rice production and exporting it, Bermuda can allocate its limited resources more effectively and benefit from trade. Vietnam, on the other hand, has a lower opportunity cost in producing sugar cane. Therefore, by exporting rice, Bermuda can maximize its gains from trade and take advantage of its comparative advantage in rice production.

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Which of the following restaurant choices are Pareto efficient for Sara and Jim? A. Blaze B. Chipotle C. Naf Naf D. Panera

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The decision of which restaurant choices are Pareto efficient for Sara and Jim depends on their specific preferences, dietary restrictions, and any other relevant factors.

To determine which restaurant choices are Pareto efficient for Sara and Jim, we need to consider their preferences and constraints. Pareto efficiency refers to a situation where no individual can be made better off without making someone else worse off.

Unfortunately, without any information about Sara and Jim's preferences or constraints, it is not possible to determine which restaurant choices would be Pareto efficient for them. Pareto efficiency is subjective and depends on individual preferences and circumstances.

However, I can provide some general information about the mentioned restaurants:

A. Blaze: Blaze Pizza is a fast-casual pizza chain that allows customers to customize their own pizzas.

B. Chipotle: Chipotle is a fast-food chain known for its Mexican-inspired cuisine, including burritos, bowls, and tacos.

C. Naf Naf: Naf Naf Grill is a fast-casual Middle Eastern restaurant specializing in falafel, shawarma, and other Mediterranean dishes.

D. Panera: Panera Bread is a bakery-cafe chain that offers a variety of soups, sandwiches, salads, and bakery items.

Ultimately, the decision of which restaurant choices are Pareto efficient for Sara and Jim depends on their specific preferences, dietary restrictions, and any other relevant factors.

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Prepare Wells Technical Institute's income statement for the year 3-b. Prepare Wells Technical Institute's statement of owner's equity for the year. The Welts, Capital account balance was 5111,527 on December 31 of the prior year, and there were no owner Investments in the current year -c. Prepare Wells Technical Institute's balance sheet as of December 31

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The income statement for Wells Technical Institute for year 3 shows total revenues minus total expenses, resulting in net income.

The statement of owner's equity shows the changes in the owner's capital account, considering net income, owner withdrawals, and the beginning capital balance. The balance sheet as of December 31 lists the institute's assets, liabilities, and owner's equity, providing a snapshot of its financial position at the end of the year. in the income statement, revenues and expenses are subtracted to determine net income. In the statement of owner's equity, net income, owner withdrawals, and the beginning capital balance are considered to calculate the ending capital balance. The balance sheet lists assets, liabilities, and owner's equity to provide an overview of the institute's financial position at year-end.

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As the CEO you hire multiple managers in various departments to operate the company. In order for the company fo run smoothly these managers must take decisions which are consistent with the company's mission statement and profile. Assemble a guide which you will use to brief managers, advising them on how to take decisions, specifically regarding the ethical standards of managers.

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As the CEO, it is important to ensure that managers in various departments of the company make decisions that align with the company's mission statement and profile.

1. Understand the company's mission statement and values: Managers should have a clear understanding of the company's mission, vision, and values. These provide the framework for making decisions that align with the company's overall goals and ethical standards.

2. Familiarize yourself with ethical principles: Managers should be aware of ethical principles such as honesty, integrity, fairness, and accountability. These principles should guide their decision-making process.

3. Consider the impact on stakeholders: Managers should consider the potential impact of their decisions on various stakeholders, including employees, customers, suppliers, and the community. They should aim to make decisions that prioritize the well-being and interests of all stakeholders.

4. Seek multiple perspectives: Managers should encourage open dialogue and diverse viewpoints when making decisions. This helps to identify potential ethical dilemmas and allows for a more comprehensive analysis of the situation.

5. Consult relevant policies and guidelines: Managers should be familiar with the company's policies and guidelines, including the code of conduct and any specific ethical guidelines. These documents provide a framework for decision-making and help ensure consistency and fairness.

6. Assess long-term consequences: Managers should consider the long-term consequences of their decisions. Ethical decision-making involves looking beyond short-term gains and considering the potential impact on the company's reputation, sustainability, and relationships with stakeholders.

7. Seek guidance when needed: Managers should not hesitate to seek guidance from higher-level executives, the CEO, or the company's legal department when faced with complex ethical dilemmas. This helps ensure that decisions are made with the best interests of the company and its stakeholders in mind.

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The balance in Accounts Receivable at the beginning of the period amounted to $2,000. During the period $7,520 of credit sales were made to customers. If the ending balance in Accounts Receivable amounted to $1,300, and uncollectible accounts expense amounted to $520, then the amount of cash inflow from customers that would appear in the operating activities section of the cash flow statement would be: Multiple Choice $9,520. $7700 $7.520. None of these answers are correct

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The correct answer is None of these answers are correct. The amount of cash inflow from customers that would appear in the operating activities section of the cash flow statement is $8,920.

To find the amount of cash inflow from customers that would appear in the operating activities section of the cash flow statement, we need to consider the changes in accounts receivable.
The formula to calculate cash inflow from customers is:
Cash Inflow = Credit Sales - Increase in Accounts Receivable + Decrease in Accounts Receivable
Given that credit sales were $7,520 and the beginning balance in accounts receivable was $2,000, we can calculate the increase in accounts receivable as follows:
Increase in Accounts Receivable = Ending Balance in Accounts Receivable - Beginning Balance in Accounts Receivable
Increase in Accounts Receivable = $1,300 - $2,000
Increase in Accounts Receivable = -$700 (negative because there was a decrease)
Now, we can calculate the cash inflow from customers:
Cash Inflow = $7,520 - (-$700) + (-$700)
Cash Inflow = $7,520 + $700 + $700
Cash Inflow = $8,920
Therefore, the correct answer is None of these answers are correct. The amount of cash inflow from customers that would appear in the operating activities section of the cash flow statement is $8,920.

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Which of the following statements is FALSE? A An F is short-funded when the maturity of its liabilities is less than the maturity of its assets. B. Matching the maturities of assets and liabilities supports the asset transformation function of Fls. C. If an FI holds long-term assets funded by short-term liabilities when interest rates rise, the market value of assets will fall by a greater amount than the market value of its liabilities. D. Unanticipated withdrawals by liability holders are a major part of liquidity risk. E. Firm-specific credit risk can be reduced by diversification.

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The FALSE statement among the options is D. Unanticipated withdrawals by liability holders are a major part of liquidity risk.

A. The statement A is true. An FI is short-funded when the maturity of its liabilities is shorter than the maturity of its assets. This can expose the FI to liquidity risk.

B. The statement B is true. Matching the maturities of assets and liabilities is a risk management strategy used by FIs to support the asset transformation function. By aligning the durations of assets and liabilities, FIs can mitigate the risk of interest rate changes.

C. The statement C is true. If an FI holds long-term assets funded by short-term liabilities, when interest rates rise, the market value of assets will generally fall more than the market value of its liabilities. This is due to the inverse relationship between interest rates and bond prices.

D. The statement D is FALSE. Unanticipated withdrawals by liability holders are not a major part of liquidity risk. Instead, liquidity risk primarily stems from the inability of an FI to meet its obligations due to funding mismatches or a lack of marketability of its assets.

E. The statement E is true. Firm-specific credit risk can be reduced by diversification. By holding a diversified portfolio of assets, FIs can spread their exposure to individual borrowers or counterparties, thereby reducing the impact of default risk on their overall portfolio.

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Discuss the importance of Business law and industrial laws both in domestic and global markets.

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Business law and industrial laws are of great importance in both domestic and global markets.

1. Domestic Markets: Business law and industrial laws provide a framework for regulating business activities within a country. They establish rules and regulations that govern various aspects of business operations, including contracts, property rights, intellectual property, employment, and competition.

Compliance with these laws ensures fairness, transparency, and legal protection for businesses and consumers, promoting trust and stability in domestic markets.

2. Global Markets: In the context of global markets, business law, and industrial laws become even more critical. They provide a basis for establishing legal frameworks and standards that govern international business transactions, cross-border investments, trade agreements, and intellectual property rights.

Harmonization of laws and adherence to international legal norms enhance predictability, reduce risks, and promote confidence among international businesses, facilitating global trade and economic integration.

In the global context, these laws play a crucial role in facilitating international trade, investment, and cooperation, fostering economic growth and stability on a global scale.

Business law and industrial laws are essential in both domestic and global markets as they provide the necessary legal structure for conducting business activities. They promote fairness, transparency, and legal protection, ensuring a level playing field for businesses and consumers.

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Mike and Mary Jane Lee have a yearly income of​ $73,379 and own a house worth $110,500, two cars worth a total of $19,115, and furniture worth $14,100. The house has a mortgage of ​$62,653 and the cars have outstanding loans of ​$2,009 each. Utility bills, totaling ​$169 for this month, have not been paid. Calculate to determine their net worth and explain what it means. How would the​ Lees' age affect your assessment of their net worth?

The value of Mike and Mary​ Jane's total assets is $?​(Round to the nearest​ dollar.)

The value of Mike and Mary​ Jane's total liabilities is $?​(Round to the nearest​ dollar.)

The value of Mike and Mary​ Jane's net worth is​$? (Round to the nearest​ dollar.)

How would the​ Lees' age affect your assessment of their net worth?

A.If the Lees sold off all their assets and paid off all their debts, they would have ​$76,875 in cash. You would expect net worth to increase with age.

B.If the Lees sold off all their assets and attempted to pay off all their debts, they would still owe ​$150,254. You would expect net worth to decrease with age.

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The value of Mike and Mary Jane's total assets is $144,715. The value of their total liabilities is $66,671. Therefore, their net worth is $78,044.

The Lees' age can affect the assessment of their net worth in different ways. If the Lees sold off all their assets and paid off all their debts, having $76,875 in cash suggests a positive net worth, indicating they have accumulated wealth over time. This implies that net worth tends to increase with age.

On the other hand, if the Lees sold off all their assets and attempted to pay off all their debts but still owed $150,254, it suggests a negative net worth. This scenario would indicate that their debts outweigh their assets, potentially due to excessive borrowing or financial mismanagement. In this case, net worth would be expected to decrease with age.

Overall, the assessment of the Lees' net worth is influenced by their age and the relative value of their assets and liabilities.

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you want to have $3410912 in your account when you retire so that you can buy a boat. you currently have $282808 in your retirement account. you commit to adding $1665 per month. you earn on average 7.1% APR compoubded monthly. how many years will yoj need to work before you can buy the boat

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The required time period is 34.1 years. Rounded off to one decimal place, the number of years required to work to buy the boat is approximately 34.1 years.

Given, Initial amount in the retirement account = $282808

Commitment to add = $1665 per month

Time period = ?

APR = 7.1% APR compounded monthly

Let's denote the time period required by t.

Using the compound interest formula, the final amount can be calculated.

The final amount can be calculated as:

[tex]FV = PV(1 + i / n)^(n*t) + PMT * ((1 + i / n)^(n*t) - 1) * n / i[/tex]

Where,

PV = Present value = $282808i = APR / 12 months = 7.1 / 12

n = Compounded months = 12PMT = $1665

FV = Future value = $3410912

By putting all the given values in the formula, we have:

[tex]FV = PV(1 + i / n)^(n*t) + PMT * ((1 + i / n)^(n*t) - 1) * n / i3410912 \\= 282808(1 + 0.071 / 12)^(12*t) + 1665 * ((1 + 0.071 / 12)^(12*t) - 1) * 12 / 0.071[/tex]

On solving the above equation, we get t = 34.1 years.

Rounded off to one decimal place, the number of years required to work to buy the boat is approximately 34.1 years.

Hence, the required time period is 34.1 years.

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What happens when management gives out mixed signals?
please answer in 50 words

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Mixed signals from management create confusion and inconsistency, leading to a lack of clarity, decreased employee morale, and inefficient decision-making.

When management gives out mixed signals, it creates a situation of confusion and inconsistency within an organization. Mixed signals occur when different messages or expectations are communicated, resulting in a lack of clarity for employees. This ambiguity can lead to decreased employee morale and engagement as individuals struggle to understand what is expected of them. It also hampers effective decision-making as employees may hesitate or make incorrect choices due to conflicting guidance. Mixed signals can erode trust in leadership and the overall organizational culture. To address this issue, it is crucial for management to align their messages and ensure consistent communication. Clear and transparent communication helps foster a sense of direction, boosts employee morale, and enables individuals to make informed decisions that align with the organization's goals.

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5. Thad Morgan, a motorcycle enthusiast, has been exploring the possibility of relaunching the Western Hombre brand of cycle that was popular in the 1930s. The retro-look cycle would be sold for $16,000 and at that price, Thad estimates 200 units would be sold each year. The variable cost to produce and sell the cycles would be $11,200 per unit. The annual fixed cost would be $768,000.What is the break-even in unit sales? b. What is the margin of safety in dollars? c. What is the degree of operating leverage? (Round your answer to 2 decimal places.) Thad is worried about the selling price. Rumors are circulating that other retro brands of cycles may be revived. If so, the selling price for the Western Hombre would have to be reduced to $14,400 to compete effectively. In that event, Thad would also reduce fixed expenses to $715,000 by reducing advertising expenses, but he still hopes to sell 200 units per year. d. What would the net operating income be in this situation? (Negative amount should be indicated by a minus sign.)

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a. The break-even in unit sales can be calculated by dividing the total fixed costs by the contribution margin per unit. The contribution margin per unit is the selling price per unit minus the variable cost per unit.

Break-even in unit sales = 160 units


Break-even in unit sales = Total fixed costs / Contribution margin per unit
Break-even in unit sales = $768,000 / ($16,000 - $11,200)
Break-even in unit sales = $768,000 / $4,800
Break-even in unit sales = 160 units

b. The margin of safety in dollars can be calculated by subtracting the break-even point sales dollars from the actual sales dollars.

Margin of safety in dollars = Actual sales dollars - Break-even point sales dollars
Margin of safety in dollars = (Actual unit sales * Selling price per unit) - (Break-even in unit sales * Selling price per unit)
Margin of safety in dollars = (200 * $16,000) - (160 * $16,000)
Margin of safety in dollars = $3,200,000 - $2,560,000
Margin of safety in dollars = $640,000

c. The degree of operating leverage can be calculated by dividing the contribution margin by the net operating income.

Degree of operating leverage = Contribution margin / Net operating income
Degree of operating leverage = ($16,000 - $11,200) / Net operating income

d. To calculate the net operating income in the new situation where the selling price is reduced and fixed expenses are reduced, we need to calculate the new contribution margin per unit and then subtract the new fixed expenses from the new contribution margin.

New contribution margin per unit = Selling price per unit - Variable cost per unit
New contribution margin per unit = $14,400 - $11,200

Net operating income = (New contribution margin per unit * Number of units) - New fixed expenses
Net operating income = ($14,400 - $11,200) * 200 - $715,000

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You are the marketing manager for a small company located in the United States that manufactures specialized parts for high-end ink-jet printers. The company’s largest customer (Hewlett-Packard) has asked your company to supply parts to 10 of its distribution and repair sites around the world. The company has never sold products outside the United States, so this represents a significant step for the company. a) What stage in the global experience learning curve is the company likely entering and why? b) Identify the activities the company should undertake at this stage.

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The company is likely entering the "initial expansion" stage in the global experience learning curve. This stage occurs when a company starts to expand its operations beyond its domestic market and enter international markets.

In this case, the company has never sold products outside the United States, so supplying parts to Hewlett-Packard's distribution and repair sites around the world represents a significant step for them. At this stage, the company should undertake several activities to ensure a successful expansion into international markets.


Market research: The company should conduct thorough research on the global market for ink-jet printer parts. This will help them understand the demand, competition, and customer preferences in different countries.
Legal and regulatory compliance: The company needs to understand and comply with the legal and regulatory requirements of the countries it plans to operate in.


International pricing and competitive analysis: The company should determine appropriate pricing strategies for different markets and conduct a competitive analysis to position itself effectively against competitors. the company can increase its chances of success in expanding its operations globally and meeting the demands of Hewlett-Packard's distribution and repair sites around the world.

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