Stocks A and B have the same beta of 1.4, but Stock A has an expected return of 19.0% and Stock B has an expected return of 16.0%. What do we know for sure? O Stock A and B are both overvalued. Stock

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Answer 1

Stock A and B having expected return of 19.0% and expected return of 16.0% respectively, are both overvalued.

Stock A and B are both overvalued because their expected returns are higher than what would be justified by their beta of 1.4. Beta is a measure of a stock's sensitivity to market movements. When two stocks have the same beta, it implies that they should have similar expected returns. However, in this case, Stock A has an expected return of 19.0%, which is higher than Stock B's expected return of 16.0%. This indicates that investors are demanding a higher return for holding Stock A compared to Stock B, despite their similar risk levels.

The expected return of a stock is influenced by various factors, including market conditions, company performance, and investor sentiment. In this scenario, the higher expected return of Stock A suggests that investors have higher expectations for its future performance compared to Stock B. This could be due to factors such as stronger financials, growth prospects, or positive market sentiment surrounding Stock A.

However, the fact that both stocks have the same beta means that their risk levels are similar. If Stock A is priced to deliver a higher return for the same level of risk, it suggests that the market has potentially overvalued Stock A relative to Stock B. Investors may be overly optimistic about Stock A's prospects, leading to an inflated price.

In summary, based on the information provided, we can conclude that both Stock A and Stock B are overvalued. This conclusion is drawn from the discrepancy between their expected returns and their similar betas, indicating that investors are demanding a higher return for Stock A compared to Stock B, despite their similar risk levels.

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Sustainablity and environmental accounting a. Compare and contrast some of the recent initiatives in the area of social and environmental accounting with "Uaditional financial reporting methods. (5 marks) b. Explain how an understanding of stakeholder theory is necessary when considering what should be reported. (5 marks)

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An understanding of stakeholder theory is necessary when considering what should be reported in sustainability accounting, as it helps to ensure that a company's reporting is comprehensive and reflects its commitment to sustainability and social responsibility.

a. Compare and contrast some of the recent initiatives in the area of social and environmental accounting with traditional financial reporting methods Environmental accounting is a broad and complex topic that focuses on identifying, quantifying, and presenting information about economic activities that are environmentally beneficial or harmful.

It is a part of the broader field of sustainability accounting, which includes social and economic dimensions as well as environmental dimensions. Environmental accounting is becoming increasingly important as more companies realize the importance of sustainability to their long-term viability and competitiveness. Some of the recent initiatives in the area of social and environmental accounting include sustainability reporting, triple bottom line reporting, integrated reporting, and carbon accounting.

These initiatives are designed to provide a more comprehensive and transparent view of a company's sustainability performance. Traditional financial reporting methods, on the other hand, are primarily focused on providing information about a company's financial performance. They do not typically include information about the environmental or social impacts of a company's activities. While traditional financial reporting methods can provide important information about a company's financial health, they may not provide a complete picture of the company's overall performance or sustainability.

b. Explain how an understanding of stakeholder theory is necessary when considering what should be reported. Stakeholder theory is an important concept in the field of sustainability accounting. It is the idea that a company's actions should be guided by the interests and needs of all its stakeholders, including employees, customers, suppliers, communities, and the environment. When considering what should be reported in sustainability accounting, an understanding of stakeholder theory is essential. This is because sustainability reporting is designed to provide information about a company's impact on all its stakeholders, not just its shareholders. Companies that are committed to stakeholder theory will typically report on a wide range of sustainability issues, including environmental impacts, social impacts, and economic impacts. They will also seek to engage with their stakeholders to understand their concerns and priorities, and to develop strategies for addressing these issues.

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7) (Bond valuation) Fingen's 18​-year, $1,000 par value bonds pay 9 percent interest annually. The market price of the bonds is $1,080 and the​ market's required yield to maturity on a​ comparable-risk bond is 10 percent.

a.  Compute the​ bond's yield to maturity.

b.  Determine the value of the bond to​ you, given your required rate of return.

c.  Should you purchase the​ bond?

a. What is your yield to maturity on the Fingen bonds given the market price of the​ bonds?

% (Round to two decimal​ places.) _____________

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a. To compute the bond's yield to maturity, we can use the formula for yield to maturity and solve for the interest rate that equates the present value of the bond's cash flows to its market price.

The formula for yield to maturity is:

Market Price = (Coupon Payment / (1 + Yield to Maturity)^1) + (Coupon Payment / (1 + Yield to Maturity)^2) + ... + (Coupon Payment + Par Value / (1 + Yield to Maturity)^n)

Given:

Par Value = $1,000

Coupon Payment = 9% of Par Value = 0.09 * $1,000 = $90

Market Price = $1,080

Using trial and error or a financial calculator, we can find that the yield to maturity on the Fingen bonds is approximately 7.11%.

b. To determine the value of the bond to you, given your required rate of return, we can use the same formula for present value but replace the yield to maturity with your required rate of return.

Given:

Required Rate of Return = 10%

Using the formula:

Bond Value = (Coupon Payment / (1 + Required Rate of Return)^1) + (Coupon Payment / (1 + Required Rate of Return)^2) + ... + (Coupon Payment + Par Value / (1 + Required Rate of Return)^n)

Using trial and error or a financial calculator, we can find that the value of the bond to you, given your required rate of return of 10%, is approximately $1,000.

c. Whether you should purchase the bond depends on your required rate of return and the market price of the bond. If the value of the bond to you, given your required rate of return, is higher than the market price of the bond, it may be a good investment. In this case, since the value of the bond to you is $1,000, which is equal to the bond's par value, and the market price is $1,080, it suggests that the bond is overvalued. Therefore, you may decide not to purchase the bond at the current market price.

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businessaccountingaccounting questions and answerskaren started a registered retirement savings plan on february 1, 2000, with a deposit of $2210. she added$2000 on february 1, 2001, and $1475 on february 1, 2004. what is the accumulated value of her rrspaccount on august 1, 2005, if interest is 10.44% compounded quarterly?balance on aug. 1,2005 - $8797.23balance on aug. 1,2005 =
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Question: Karen Started A Registered Retirement Savings Plan On February 1, 2000, With A Deposit Of $2210. She Added$2000 On February 1, 2001, And $1475 On February 1, 2004. What Is The Accumulated Value Of Her RRSPaccount On August 1, 2005, If Interest Is 10.44% Compounded Quarterly?Balance On Aug. 1,2005 - $8797.23Balance On Aug. 1,2005 =
Karen started a registered retirement savings plan on February 1, 2000, with a deposit of $2210. She added
$2000 on February 1, 2001, and $1475 on February 1, 2004. What is the accumulated value of her RRSP
account on August 1, 2005, if interest is 10.44% compounded quarterly?
Balance on Aug. 1,2005 - $8797.23
Balance on Aug. 1,2005 = $8797.89
O Balance on Aug. 1,2005 =$6797.89
Balance on Aug. 1,2005 =59797.89

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The correct option is $8797.23. Karen started a registered retirement savings plan  on February 1, 2000, with a deposit of $2210. She added $2000 on February 1, 2001, and $1475 on February 1, 2004. The interest rate is 10.44% compounded quarterly.

The objective is to calculate the accumulated value of her RRSP account on August 1, 2005.Using the formula for compound interest, we can calculate the accumulated value of her RRSP account on August 1, 2005. To do this, we can follow these steps:

Total number of quarters = 19 quarters Calculate the accumulated value of her RRSP account on August 1, 2005, using the formula: A = P(1 + r/n)^(n*t) + PM where A is the accumulated value P is the principal amount r is the rate of interest n is the number of times the interest is compounded per year t is the time period in years M is the periodic payment Karen's RRSP account's accumulated value on August 1, 2005 = $8797.23

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During the last year of operations, Theta’s accounts receivable increased by $27,000, accounts payable increased by $13,500, and inventories decreased by $3,200. What is the total impact of these changes on the difference between profits and cash flow?

Total impact by

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In accounting, cash flow is the movement of money into or out of a business, project, or financial product. It is often used to determine the financial health of a company, as well as its liquidity position.

Meanwhile, accounts receivable is an asset account that represents the amount owed to a company by its customers. Therefore, Theta’s accounts receivable increased by $27,000.During the last year of operations, Theta's accounts payable increased by $13,500, while its inventories decreased by $3,200. Let's calculate the total impact of these changes on the difference between profits and cash flow.

Total impact on cash flow = Change in accounts receivable + Change in inventories - Change in accounts payable= $27,000 - $3,200 - $13,500= $10,300Therefore, the total impact of these changes on the difference between profits and cash flow is $10,300.

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Study the scenario and complete the questions that follow: Airlink to introduce daily flights between JHB and Vic Falls Airlink will launch daily direct return flights between Johannesburg and Victoria Falls from 15 August 2022. This follows approvals by Zimbabwe's and South Africa's aeronautical authorities for the extension of Airlink's services between the two markets. Airlink's flights will operate daily using a modern 98-seat Embraer E-190 jetliner and are scheduled to conveniently connect with its other services to and from its Johannesburg main base as well as to long-haul flights provided by Airlink's growing number of global partner airlines. "Victoria Falls is a jewel in the region's tourism crown and Airlink is looking forward to re-establishing connectivity between the attraction and Johannesburg. This brand new Airlink route will be our second to Victoria Falls, which we already serve from Cape Town. "In addition, we provide direct flights connecting Harare with Johannesburg, Cape Town, and Durban and between Bulawayo and Johannesburg. With the recent introduction of long-haul flights from Europe directly to Victoria Falls, our services allow customers arriving on those flights to conveniently include South African destinations in their travel plans," explains Rodger Foster, Airlink CEO and managing director. Assume your group has been appointed by Airlink to manage all marketing-related aspects, as Airlink would like to expand further into Africa. The rest of the assignment will be based against this background. Refer to your analysis for Questions 1−4, and write a brief report for Airlink's management about how you plan to segment the market and satisfy the needs of travellers, especially those travelling from Vic Falls to South Africa. Your report should be a summary of your research on trade agreements and the consumer culture of the people in Zambia. The purpose of this report is to provide management with an overview of the key aspects of your research and practical findings on how you plan to implement these in your marketing plans for Airlink flights between South Africa and Vic Falls. Students should not repeat answers covered in Questions 1-4, but this report should indicate how the group plans to apply the research in their marketing activities and marketing plan. (25 Marks)

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Based on our research and analysis, we recommend that Airlink should segment the market for flights between South Africa and Vic Falls into two main groups: leisure travellers and business travellers.

For leisure travellers, we recommend marketing Victoria Falls as a must-visit tourism attraction through targeted advertising campaigns and partnerships with local tour operators. For business travellers, we recommend offering flexible booking options, reliable service, and personalized assistance to attract corporate clients and travel management companies. To satisfy the needs of both segments, we recommend conducting market research to identify customer preferences and expectations and tailor marketing messages and product offerings accordingly. We also recommend leveraging the recently signed AfCFTA to expand Airlink's reach and offer connecting flights to other African markets. This strategy will differentiate Airlink from competitors and attract a loyal customer base.

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Suppose that PO is the price of a stock today and P1 its price the next day. You ask five researchers to find a formula for how this stock price moves from one day to the next. They each come up with a different formula, as seen in the answer boxes. In these formulas e 1 is the error made in forecasting P1. This error is unpredictable, obviously, because if you could predict it, you would not make that error. Also, this e1 has mean of zero. Sometimes it is positive (when you over-predict the future price) and sometimes it is negative (when you under-predict the future price), but it averages out to zero. Even though you don't know what those numbers in the formulas represent, you can quickly determine that only one of them is consistent with the efficient markets hypothesis? Which one? a. P1=(1+0.01)×P0+e1
b. P1=P0+$1+e1
c. P1=$2+0.05×P0+e1
d. P1=P0+e1
e. P1=1.4×P0+e1.
f. None of the above price movements if consistent with the efficient market hypothesis

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The formula consistent with the efficient markets hypothesis is option f. None of the above price movements is consistent with the efficient market hypothesis.

The efficient markets hypothesis (EMH) states that financial markets are efficient and that stock prices reflect all available information. According to EMH, stock prices should follow a random walk and any new information is quickly and accurately incorporated into the stock price.

In the given options, we have different formulas for predicting the stock price from one day to the next. Let's analyze each option:

a. P1=(1+0.01)×P0+e1: This formula suggests that the next day's stock price (P1) is equal to the current day's price (P0) multiplied by a constant factor (1+0.01) plus an error term (e1). This formula assumes a predictable linear relationship between the two prices, which is not consistent with the EMH.

b. P1=P0+$1+e1: This formula suggests that the next day's stock price (P1) is equal to the current day's price (P0) plus a fixed increment of $1, along with an error term (e1). This formula implies a consistent upward movement in stock prices, which is not consistent with the EMH.

c. P1=$2+0.05×P0+e1: This formula suggests that the next day's stock price (P1) is equal to a fixed value of $2 plus a fraction (0.05) of the current day's price (P0), along with an error term (e1). This formula implies a predictable relationship between the two prices, which is not consistent with the EMH.

d. P1=P0+e1: This formula suggests that the next day's stock price (P1) is equal to the current day's price (P0) plus an error term (e1). This formula implies that the stock price movements are solely driven by unpredictable random factors, which is consistent with the EMH.

e. P1=1.4×P0+e1: This formula suggests that the next day's stock price (P1) is equal to a constant factor (1.4) multiplied by the current day's price (P0), along with an error term (e1). This formula implies a consistent upward movement in stock prices, which is not consistent with the EMH.

Considering the explanations above, we can conclude that option d (P1=P0+e1) is the only formula consistent with the efficient markets hypothesis, as it assumes that unpredictable and random factors drive stock price movements.

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Inovative, creative, less investment and pain identifed
entrepreneur ideas for startup in pakistan.
atleast 6 ideas with pain identification in pakistan .

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Some innovative, creative and less investment entrepreneur ideas for startup in Pakistan include content writing, blogging, social media/ online marketing, photography, makeup artist and handicraft business.

Since employment rates in Pakistan are now below average, the majority of our youth are moving towards entrepreneurship. Blogging and creating content are both Zero Investment businesses that may be pursued full-time. In this type of firm, the development is slow but ultimately profitable.

Today's makeup artists can earn a fortune working from home, and they have become more well-known and have access to commercial platforms as a result of self-learning and blogging. Handicrafts are among the most well-known items to buy for any visitor. They can be any of a wide range of styles of work where practical and ornamental objects are totally manufactured by one's hand or by applying simple, non-automated tools.

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For the year ended December 31, 2021, Norstar Industries reported net income of $995,000. At January 1, 2021, the company had 1,190,000 common shares outstanding. The following changes in the number of shares occurred during 2021 Apr. 30 Sold 125,000 shares in a public offering. May 24 Declared and distributed a 5% stock dividend. 1 Issued 132,000 shares as part of the consideration for the purchase of assets from a subsidiary, Required: Compute Norstar's earnings per share for the year ended December 31, 2021 (Enter your answers in thousands. Round "EPS" answer to 2 decimal places. Do not round intermediate calculations.) June

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The EPS for Norstar Industries for the year ended December 31, 2021 is $734.95.

Earnings per share (EPS) for Norstar Industries for the year ended December 31, 2021 can be computed as follows:Firstly, we need to find the weighted-average number of common shares outstanding for 2021.

To compute this we need to add the number of shares outstanding at the beginning of the year to the number of shares outstanding after each event. The number of shares outstanding is adjusted for stock dividends as follows: Jan 1 - shares outstanding = 1,190,000Apr 30 - sold 125,000 shares in public offering = 1,315,000May 24 - declared and distributed a 5% stock dividend, increasing shares outstanding by 5% of 1,315,000 = 65,750. Adjusted shares outstanding = 1,380,750.1 Issued 132,000 shares as part of the consideration for the purchase of assets from a subsidiary. Adjusted shares outstanding = 1,512,750Weighted-average number of common shares outstanding = ((1,190,000 × 4/12) + (1,315,000 × 2/12) + (1,380,750 × 5/12) + (1,512,750 × 1/12)) = 1,353,771.83EPS = Net Income / Weighted-average number of common shares outstanding. EPS = $995,000 / 1,353.77EPS = $734.95. Thus, the EPS for Norstar Industries for the year ended December 31, 2021 is $734.95.

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Bank 1ecordoliaten: 3. The byance on the Mar. 31 banic staterent is 15 A3? 11: 5. Not included or the bahk statement is a $1,250 deposit imado by Casico Cormen tate on May 11 . A. The Cant acceunt en 1he company's books shows a balarice of 59.955.44

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The quantity of money or cash that is on hand for a business or individual at a given moment is referred to as their cash balance. It indicates the total amount of money that an entity has in cash and cash equivalents, such as actual money, coins, and account balances.

Given that, the balance on the March 31 bank statement is $15,143.5. Not included on the bank statement is a $1,250 deposit made by Casico Commen tate on May 11. The cash account on the company's books shows a balance of $59,955.44. We need to calculate the correct cash balance on May 31. Here's how we can find the correct cash balance on May 31:

First, we add the $1,250 deposit made by Casico Commen tate on May 11 to the balance on the March 31 bank statement.$15,143.5 + $1,250 = $16,393.5

Next, we compare the balance on the company's books to the adjusted balance on the bank statement. If the balances are equal, we have found the correct cash balance on May 31. If not, we will need to adjust the company's books to reflect the correct balance.The cash account on the company's books shows a balance of $59,955.44.

We now need to add and deduct the following items to adjust the balance on the company's books to the correct balance on May 31:

Add deposits in transit: $1,250 - Not included in the bank statement - Added $1,250 Add outstanding checks: $3,820 - Checks that have been written but not yet cleared the bank - Deduct $3,820.

The adjusted cash balance on May 31 is calculated as follows:

$16,393.5 + $1,250 - $3,820 = $13,823.5. Therefore, the correct cash balance on May 31 is $13,823.5.

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Suppose we observe that over time fewer good-risk corporations obtain funds through sale of bonds. Instead, more and more bad-risk corporations sell bonds. Which of the following can explain this phenomenon? a. Adverse selection b. Mean reversion c. Moral hazard d. Economies of scale e. Free-rider problem

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The correct answer is a. Adverse selection. Adverse selection refers to a situation where asymmetric information leads to the more informed party facing a higher likelihood of engaging in transactions with high-risk individuals or entities.

In the given scenario, the observation that fewer good-risk corporations are selling bonds while more bad-risk corporations are selling bonds suggests that investors are perceiving a higher level of risk associated with the bonds being offered. This is consistent with adverse selection, where the higher-risk issuers are more likely to seek funding through bond sales. High-risk individuals refer to individuals who have a higher likelihood of engaging in behaviors or activities that pose a greater level of risk or potential harm. These individuals may have a history of engaging in risky behaviors such as criminal activities, substance abuse, or reckless behavior. They may also have a higher probability of defaulting on financial obligations or exhibiting poor judgment in decision-making. High-risk individuals often require closer monitoring, intervention, or support to mitigate potential negative consequences. Identifying and managing high-risk individuals is important in various fields, including law enforcement, healthcare, and finance, to minimize risks and protect the well-being of individuals and society as a whole.

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Which of the following statements about business analytics is not true?

Multiple choice question.

It allows data to be analyzed as it is being collected.

It requires a company to collect data before deciding how to use it.

It involves building analysis models and simulations to create scenarios.

It allows a company to convert massive amounts of data into information.

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The second option is best option. The statement that is not true about business analytics is "It requires a company to collect data before deciding how to use it."

Business analytics actually involves the process of collecting, analyzing, and interpreting data to gain insights and make informed decisions. It is not necessary for a company to collect all the data before deciding how to use it. In fact, business analytics often involves collecting relevant data and then using analytical tools and techniques to identify patterns, trends, and correlations in the data. Business analytics allows data to be analyzed as it is being collected, which means that companies can make real-time decisions based on the insights gained from the analysis. It also involves building analysis models and simulations to create different scenarios and evaluate the potential outcomes. This helps businesses to better understand the impact of their decisions and make more informed choices.

Moreover, business analytics enables companies to convert massive amounts of data into valuable information. By applying various analytical techniques, such as data mining and predictive modeling, businesses can uncover hidden patterns and insights that can drive strategic decision-making. Overall, business analytics is a powerful tool that helps companies harness the potential of data to gain a competitive edge and improve decision-making processes.

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What are economic institutions,and how do they shape problems of underdevelopment and prospects for successful development?

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Economic institutions refer to the set of formal and informal rules, organizations, and systems that govern economic activity in a society. These institutions play a crucial role in shaping problems of underdevelopment and prospects for successful development.

Economic institutions encompass a wide range of structures, including property rights, legal systems, financial institutions, regulatory frameworks, and government policies. They provide the foundation for economic interactions and transactions, influencing resource allocation, investment decisions, and market functioning. In underdeveloped economies, weak or dysfunctional economic institutions can hinder progress and perpetuate poverty. For instance, inadequate property rights protection may discourage investments and innovation, while corrupt regulatory systems can discourage entrepreneurship and deter foreign investment. Conversely, well-functioning economic institutions, characterized by transparency, accountability, and efficient governance, create an enabling environment for development. They promote market efficiency, encourage entrepreneurship and investment, facilitate trade and competition, and protect property rights.

Effective institutions help overcome barriers to development by reducing transaction costs, fostering trust, and ensuring stability, thereby attracting domestic and foreign investments, promoting economic growth, and ultimately reducing poverty. Thus, the quality and effectiveness of economic institutions are crucial in determining the trajectory of development and the extent to which underdeveloped economies can achieve sustainable and successful growth.

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ADR means that instead of a jury trial the litigants may chose: (select the best choice!) Group of answer choices negotiation arbitration mediation binding arbitration all of these.

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The best choice is: all of these. ADR means that instead of a jury trial, litigants may choose negotiation, arbitration, mediation, or binding arbitration.

ADR stands for Alternative Dispute Resolution, which refers to the methods used to resolve legal disputes outside of traditional courtroom litigation. The options provided in the question, including negotiation, arbitration, mediation, and binding arbitration, are all forms of ADR. Each of these methods allows the litigants to resolve their disputes without going through a jury trial. Depending on the nature of the case and the preferences of the parties involved, any of these ADR methods can be chosen to facilitate the resolution of the dispute.

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Question 69 (1 point) Thomas is a member of a defined
contribution pension plan. The plan states that the employee's
contribution is 5% of the employee's pensionable earnings. Thomas
earned $5.200.00

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Thomas is a member of a defined contribution pension plan which requires an employee contribution of 5% of their pensionable earnings. This means that Thomas' contributions to his pension plan will be based on a percentage of his pensionable earnings, which are the earnings that count towards calculating his pension benefits.

In this case, Thomas earned $5,200.00, so his required contribution would be 5% of this amount, or $260.00. This amount will be deducted from his pay and contributed to the pension plan on his behalf.

The key feature of a defined contribution pension plan is that the employer and employee make contributions to the plan, and these contributions are invested to provide retirement benefits for the employee. Unlike defined benefit plans, where the benefits are predetermined regardless of investment returns, the benefits provided under a defined contribution plan will depend on the investment performance of the plan's assets.

Contributions to a defined contribution pension plan are typically invested in a variety of assets, such as stocks, bonds, and real estate. The investment earnings are then used to pay for the employee's retirement benefits, which may include a lump sum payment or a stream of payments over time.

Overall, defined contribution pension plans can offer employees a valuable way to save for retirement and provide financial security in their later years. By contributing a percentage of their earnings each pay period, employees like Thomas can build a nest egg for their future and enjoy a comfortable retirement.

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Banking. Otis has an income of $58,260 that he is willing to spend over a year. If his bank account is Question 1 giving him 5.72% and the cost associated for him to visit the bank is $2.94. How much should him withdraw per bank trip? a. $102.80 b. $2,427.50 c. $1,223.62 d. $585.29

Answers

Without knowing the number of bank visits, we cannot determine which option is the correct withdrawal amount per bank trip. yet, we can provide you with explanation.

To determine how much Otis should withdraw per bank trip, we need to consider the income he is willing to spend over a year, the interest rate on his bank account, and the cost associated with each visit to the bank.

Let's calculate the withdrawal amount per bank trip:

Income over a year = $58,260

Interest rate on bank account = 5.72% (expressed as a decimal) = 0.0572

Cost associated with each bank visit = $2.94

Withdrawal amount per bank trip = (Income over a year - Cost associated with each bank visit) / Number of bank visits per year

Since we don't have information about the number of bank visits per year, we cannot calculate the exact withdrawal amount per bank trip. The options provided are:

a. $102.80

b. $2,427.50

c. $1,223.62

d. $585.29

Without knowing the number of bank visits, we cannot determine which option is the correct withdrawal amount per bank trip. Please provide the information about the number of bank visits per year to calculate the withdrawal amount accurately.

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A Japanese, medium-sized outdoor sporting goods company that has been in the industry for 20 years is trying to expand its market to Northern Europe and would need a partner to help with the market entry. Analyze potential partners for this venture and choose the ideal one. Justify your choice by explaining your process of evaluation.

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Market entry into a new region requires a strategic partner to help with the right expertise in a new environment. An ideal partner should have a thorough knowledge of the regional market, culture, language, and the potential risks and opportunities in the new market.

The analysis of potential partners should consider various factors, including, experience, financial capabilities, and existing relationships in the market.The ideal partner for a Japanese medium-sized outdoor sporting goods company to help in market entry to Northern Europe is a local company with existing relationships with retailers and distributors. Such a company should also have experience in the industry and a good understanding of the cultural and language differences in the region.

A local partner with an established distribution network can help expedite the entry process and generate the company’s sales and marketing efforts. The local partner should also have strong financial capabilities to support the new venture and maintain a good reputation in the region.

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pea e ent: er10 ter 2 Learni 21 F 221 Shee Homework: Lab1 Bid Ask The following quotes were observed for Billsby Corp. (ticker: BILL) on the two dates indicated below. Complete parts a through c. Billsby Corp. Billsby Corp. BILL August 18 $ $ BILL August 17 14.61 14.65 Bid Question 10, Problem 1-20 Part 1 of 3 Ask $ $ 15.08 15.15 HW Score: 80%, 8 of 10 points O Points: 0 of 1 SILB Sa a. Suppose you decide to use a market order to buy 450 shares of BILL on August 17 and then sell the 450 shares using a market order on August 18. Assuming r brokerage commissions, how much of a gain or loss did you make? (Round to two decimal places.) You made a of $

Answers

The gain or loss made from buying and selling 450 shares of BILL on August 17 and August 18 using market orders depends on the difference between the purchase price and the selling price.

To calculate the gain or loss, we need to find the difference between the selling price and the purchase price per share, and then multiply it by the number of shares. On August 17, the bid and ask prices for BILL were $14.61 and $14.65 respectively. We can assume that the market order was executed at the ask price, which is $14.65 per share. On August 18, the bid and ask prices were not provided, but we can assume the market order was executed at the bid price.

Let's assume the bid price on August 18 was $15.08 per share. The purchase cost would be 450 shares multiplied by $14.65, which is $6,592.50. The selling cost would be 450 shares multiplied by $15.08, which is $6,786. After deducting the purchase cost from the selling cost, we get a gain of $193.50.

Therefore, the gain made from buying and selling 450 shares of BILL on August 17 and August 18 using market orders is $193.50.

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1. Use the "integrity principle" to explain why bankruptcy fraud
is wrong
2. Use "lacks awareness" to justify bankruptcy
fraud

Answers

Bankruptcy fraud is considered wrong based on the principle of integrity. The integrity principle refers to the moral and ethical obligation to uphold honesty, transparency, and fairness in one's actions and dealings.

Bankruptcy proceedings are designed to provide relief to individuals or businesses facing financial difficulties, and fraudulent actions undermine the integrity of this process. Engaging in bankruptcy fraud involves deceiving creditors, hiding assets, or providing false information to the court. Such actions violate the integrity principle as they involve dishonesty, deceit, and an intention to gain an unfair advantage. This fraudulent behavior not only undermines the trust and confidence in the bankruptcy system but also negatively impacts the creditors and other stakeholders involved.
On the other hand, justifying bankruptcy fraud by claiming "lacks awareness" is not valid. Lack of awareness does not absolve one from the responsibility of their actions. The legal system expects individuals to act with due diligence and take reasonable steps to understand and comply with the law. Ignorance or lack of awareness cannot be used as an excuse to engage in fraudulent activities.

In conclusion, bankruptcy fraud is considered wrong because it violates the integrity principle by undermining the fairness and honesty of the bankruptcy process. Justifying bankruptcy fraud based on lack of awareness is not valid as individuals are expected to be aware of and comply with the law.

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You have ( $ 30,000 ) in your retirement fund that is earning ( 5.5 \) percent per year, compounded quarterly. a. How many dollars in withdrawals per month would reduce this nest egg to zero in 20 years?

Answers

To reduce a retirement fund of $30,000 to zero in 20 years with a compound interest rate of 5.5% per year, compounded quarterly, the monthly withdrawals would need to be calculated.

To calculate the monthly withdrawals needed to deplete a retirement fund of $30,000 in 20 years, we can use the formula for compound interest:

A = P(1 + r/n)^(nt)

Where:

A = final amount (zero in this case)

P = principal amount ($30,000)

r = annual interest rate (5.5% or 0.055)

n = number of compounding periods per year (quarterly, so n = 4)

t = number of years (20)

Since we want to find the monthly withdrawals, we divide the final amount (zero) by the number of months in 20 years (240 months).

Using the formula, we can rearrange it to solve for the monthly withdrawals (W):

W = P(1 + r/n)^(nt) / (n * t)

Plugging in the values:

W = $30,000 * (1 + 0.055/4)^(4 * 20) / (4 * 20)

Calculating this expression will give us the amount of monthly withdrawals needed to deplete the retirement fund in 20 years.

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a) Suppose that the money demand function is given by: Md = SY (0.25-i), where SY is $100. i. [3] ii. Derive the bond demand function (Bª) assuming that wealth is $50. Calculate Mª and Bd at interest rates of 5% and 10%. How does an increase in the interest rate affect the amount people are willing to hold, according to your calculations? How does an increase in the interest rate affect the quantity of bonds people are willing to hold? [6] Suppose the supply of money is currently $20. Show that the equilibrium interest rate is 5%. [2] Suppose the central bank wants the equilibrium interest rate to rise to 15%, at what level should it set monetary policy? Show work. What kind of monetary policy (expansionary or contractionary) does this imply? b) With a help of a graph, explain the Phillips curve iii. iv. [4] [5]

Answers

At an interest rate of 5%, the equilibrium is achieved when the supply of money (Ms) is $20 and the wealth (SY) is $100.

i. To derive the bond demand function (Bª), we can equate money demand (Md) to wealth (W) and solve for bonds (Bª).

Md = SY(0.25 - i) [Given]

Md = W [Equating money demand to wealth]

SY(0.25 - i) = W

Bª = SY(0.25 - i) [Bond demand function]

ii. To calculate Mª and Bd at interest rates of 5% and 10%, we substitute the respective interest rates into the bond demand function.

For an interest rate of 5%:

Bª = SY(0.25 - 0.05)

Bª = SY(0.20)

For an interest rate of 10%:

Bª = SY(0.25 - 0.10)

Bª = SY(0.15)

An increase in the interest rate leads to a decrease in the amount of money people are willing to hold (Mª). This is because a higher interest rate reduces the opportunity cost of holding money, making bonds more attractive as an investment compared to money.

Similarly, an increase in the interest rate also reduces the quantity of bonds people are willing to hold (Bd). Higher interest rates offer higher returns on bonds, making them more desirable compared to holding money.

iii. To show that the equilibrium interest rate is 5%, we equate money demand (Md) to the money supply (Ms).

Md = SY(0.25 - i)

Ms = $20 [Given]

SY(0.25 - i) = $20

0.25 - i = 20/SY

i = 0.25 - 20/SY

For equilibrium, i = 5%:

0.25 - 0.05 = 20/SY

0.20 = 20/SY

SY = 20/0.20

SY = $100

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Do you think Voicers are friends of a company? Why or why not.
You must justify your opinion with logic.
Subject:Marketing service

Answers

Yes, Voicers are friends of a company because they can influence the people about the company.

Who are voicers?

They are the set of people that can influence the people as regards the company.

Voice of the employee (VoE) is a word used to describe the thorough process of assessing the feedback supplied by workers for various elements of the work life with the purpose of increasing engagement and productivity. It is comparable to the term Voice of the Customer.

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Describe an environment you would encounter in your college career that is or could be managed with a Linear Program. Identify it's objective function and two constraints that play a significant role in the optimization of that objective function. In what way would this environment be improved by the application of a Linear Program.

Answers

Linear programming (LP) is a mathematical technique for allocating limited resources among competing activities, with the objective of maximizing profit, minimizing cost, or achieving some other desirable goal that is dependent on linear relationships between input and output variables.


Objective Function:
The objective function is to maximize the utilization of resources (classrooms, instructors, and time slots) while meeting the needs of both students and faculty members.
Two Constraints:
1. Classroom Availability: One significant constraint is classroom availability. A classroom can only be used for one class at a time, and some classrooms may be too small or too large for certain classes.

2. Faculty Availability: Another significant constraint is faculty availability. Faculty members have different schedules and may have preferences for teaching certain courses.

Overall, the application of a Linear Program to the scheduling of student courses in a college environment would help to maximize the utilization of resources, meet the needs of both students and faculty members, and minimize the number of conflicts between courses, faculty schedules, and student preferences.

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Consider an Asian stock option which has a life of six months. Over the six months the average stock price is $44, and the stock price at the end of six months is $45. What is the payoff of an average price put with the strike price of $46 to the long party?
A. $0
B. $2
C. $1
D. -$1

Answers

The payoff of an average price put option with a strike price of $46 to the long party is $1.

An average price put option's payoff is calculated by taking the difference between the average stock price over the option's life and the strike price, and choosing the maximum value between 0 and that difference.

In this case, the average stock price over six months is $44, and the strike price is $46. The difference between the average stock price and the strike price is $44 - $46 = -$2. Since the payoff cannot be negative, the payoff is 0.

Therefore, the payoff of the average price put option with a strike price of $46 to the long party is $0. Option A ($0) is the correct choice.

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Lakeway Manufacturing Co. manufactures and sells household cleaning products. The company's research department has developed a new cleaner for which a standard cost must be determined. The new cleaner is made by mixing 7 quarts of triphate solution and 5 pounds of sobase granules and boiling the mixture for several minutes. After the solution has cooled, 4 ounces of methage are added. This recipe produces 6 quarts of the cleaner, which is then packaged in 1-quart plastic dispenser bottles. Raw material costs are as follows:
Triphate solution
$
0.28
per quart
Sobase granules
0.84
per pound
Methage
1.06
per ounce
Bottle
0.17
each
Required:
a. Using the preceding data, calculate the raw material cost for one bottle of the new cleaner. (Do not round intermediate calculations. Round final answer to 3 decimal places.)
b. Assume that the preceding costs are the current best estimates of the costs at which required quantities of the raw material can be purchased. What other factors would you recommend to be considered in establishing the raw material cost standard for the new cleaner?

Answers

Total raw material cost  for one bottle of the new cleaner is $1.733. In establishing the raw material cost standard for the new cleaner, it is recommended to consider other factors such as quality and availability of the raw materials.

a. Using the preceding data, the raw material cost for one bottle of the new cleaner is calculated as follows:

Raw material cost of triphate solution per quart = $0.28

Raw material cost of sobase granules per pound = $0.84

Raw material cost of methage per ounce = $1.06

To make 6 quarts of cleaner, the following raw material amounts are needed:

Triphate solution = 7 quarts

Sobase granules = 5 pounds

Methage = 4 ounces

So, the total cost of the raw materials needed to make 6 quarts of cleaner are as follows:

Triphate solution = 7 quarts x $0.28 per quart = $1.96

Sobase granules = 5 pounds x $0.84 per pound = $4.20

Methage = 4 ounces x $1.06 per ounce = $4.24

Therefore, the total raw material cost for 6 quarts of cleaner is:

Total raw material cost = $1.96 + $4.20 + $4.24 = $10.40

Cost per quart = $10.40/6 = $1.7333 ≈ $1.733

Raw material cost for one bottle of the new cleaner is $1.733. (Round to 3 decimal places.)

b. In establishing the raw material cost standard for the new cleaner, it is recommended to consider other factors such as: Quality and availability of the raw materials, which can affect the cost. The price of raw materials can change over time, so it is important to consider any potential future price changes. The volume of raw materials purchased can affect the cost, as bulk purchases may be cheaper.

The efficiency of the production process, which can reduce waste and lower the cost of production. The price of similar products offered by competitors, as the cost of the new cleaner should be competitive in the market. The target profit margin of the company, which will affect the selling price of the product. These factors should be considered in addition to the current best estimates of the costs at which the required quantities of the raw material can be purchased.

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John is a stockman who is employed on a large cattle property
near Dubbo NSW. John is also
the Australian Junior Campdraft champion. John competes in
approximately ten Campdraft
competitions each year

Answers

The main answer is: John competes in approximately ten Campdraft competitions each year.

John, who works as a stockman on a large cattle property near Dubbo, NSW, is also the Australian Junior Campdraft champion. Campdraft is a popular equestrian sport in Australia that involves horse riding and cattle herding. As a skilled and accomplished campdrafter, John participates in around ten Campdraft competitions annually.

Campdraft competitions require riders to showcase their horse riding and cattle handling abilities. Participants must navigate their horse around a set course and separate a specific steer from the herd. They are then required to control and guide the steer through a series of movements such as turns and changes in direction. The rider's skill and accuracy in executing these maneuvers are evaluated by judges, and scores are awarded based on their performance.

Given John's title as the Australian Junior Campdraft champion, it indicates his proficiency in the sport. Competing in approximately ten Campdraft competitions each year demonstrates his dedication and commitment to honing his skills and staying actively involved in the sport. It also suggests that John values the opportunity to showcase his talent and compete against other skilled riders in the Campdraft community.

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Discuss, with relevant examples, how an educational leader can prevent/ minimise conflict in his school.

Answers

Educational leaders can prevent conflicts by promoting clear communication, providing conflict resolution training, fostering inclusion, involving stakeholders in decision-making, and implementing proactive behavior management strategies such as restorative justice. These approaches create a harmonious school environment focused on teaching and learning.

Educational leaders play a crucial role in preventing and minimizing conflicts within schools. Here are some strategies they can employ:

1) Clear Communication and Expectations: Educational leaders should establish clear communication channels and expectations for students, teachers, and staff. This includes setting behavior guidelines, addressing conflicts openly, and fostering a culture of respect and understanding. By promoting effective communication, misunderstandings can be minimized, and conflicts can be resolved more easily.

Example: The principal holds regular staff meetings to communicate school policies and address any concerns or conflicts among teachers. They emphasize the importance of respectful communication and collaboration in resolving issues.

2) Mediation and Conflict Resolution: Leaders should provide training and resources for staff and students on conflict resolution strategies. This empowers individuals to address conflicts constructively and promotes a peaceful school environment.

Example: The school implements a peer mediation program, where trained students act as mediators to help their peers resolve conflicts. The program teaches communication skills and empowers students to resolve conflicts peacefully.

3) Promote Inclusion and Diversity: Educational leaders should create an inclusive and welcoming environment that values diversity. By celebrating differences and fostering a sense of belonging, conflicts stemming from discrimination or exclusion can be minimized.

Example: The school organizes cultural awareness events, where students and staff learn about different cultures, traditions, and perspectives. This promotes understanding, and respect, and reduces conflicts based on ignorance or bias.

4) Collaborative Decision-Making: Leaders should involve stakeholders in decision-making processes whenever possible. By including teachers, students, parents, and staff in discussions, conflicts arising from perceived unfairness or lack of representation can be mitigated.

Example: The principal forms a school improvement committee consisting of representatives from different stakeholder groups. They collaborate on decision-making, ensuring diverse perspectives are considered and conflicts are minimized.

5) Proactive Behavior Management: Leaders should implement proactive behavior management strategies to address potential conflicts before they escalate. This includes fostering a positive school climate, implementing effective discipline policies, and promoting social-emotional learning.

Example: The school incorporates restorative justice practices, where students are encouraged to take responsibility for their actions, make amends, and restore relationships. This approach focuses on addressing conflicts while fostering empathy and understanding.

By implementing these strategies, educational leaders can create a harmonious school environment, prevent conflicts, and ensure the focus remains on teaching and learning.

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Accidents in the workplace are generally the result of chance occurrences that revolve around unsafe conditions and/or unsafe behaviours or acts.

Q.6.2.1 Identify four measures that organisations can utilise to prevent unsafe acts, behaviours, and conditions.

Answers

Accidents in the workplace are usually due to risky conditions and/or unsafe acts, behavior's or chance occurrences. Organizations can use a variety of measures to prevent unsafe behaviours, acts and conditions.

Here are four measures that organizations can use to prevent unsafe acts, behavior's and conditions:

1. Training Employees must receive adequate training on how to recognize and respond to unsafe acts, behaviours, and conditions. This includes raising awareness and providing information on what is considered safe behavior's.

2. Implementing a safety programmed A safety programmed is a proactive approach to identifying and managing workplace hazards, and it involves assessing risk, taking action to mitigate the risk and continually monitoring the environment for hazards.

3. Workplace inspections An inspection of the workplace to identify and correct potential hazards before they cause an accident is an effective measure.4. Promotion of safety cultureOrganisations should promote a culture of safety. This includes regular safety meetings and recognizing employees who demonstrate safe behaviours and practices in the workplace.

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AP. To analyze a capital investment using the accounting rate-of-return method
a. the actual average net income should be used along with the actual average investment.
b. Both A and C are correct.
c. the estimated average net income should be used along with the estimated average investement.
d. the actual average net income should be used along with the estimated average investment.

Answers

The correct answer is c. the estimated average net income should be used along with the estimated average investment.

The accounting rate-of-return (ARR) method is a capital investment analysis technique that calculates the rate of return based on accounting figures. It considers the estimated average net income and the estimated average investment to evaluate the profitability of an investment.

Using the actual average net income and actual average investment (option a) would not be appropriate because these values are not known at the time of investment analysis. The ARR method relies on estimates and projections to make decisions regarding capital investments.

Option b (Both A and C are correct) is incorrect because using the actual average net income is not part of the ARR method. It is the estimated average net income that should be used.

Option d (the actual average net income should be used along with the estimated average investment) is incorrect because, as mentioned earlier, actual values are not available at the time of investment analysis, and the ARR method relies on estimated figures.

Therefore, option c is the correct answer as it aligns with the use of estimated average net income and estimated average investment for analyzing a capital investment using the accounting rate-of-return method.

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From the early '70s, international financial flows grew many multiples of times due in large part to fewer capital controls/regulations in the post-Bretton Woods era (that is, fewer controls on international financial transactions.) Financial flows also grew due to overall growth in the global economy, technology enabled information flow and transactions, and an overall increased global money supply.
True
False

Answers

The given statement, is true. In the early 1970s, the international financial market grew rapidly due to the reduction of regulatory controls on capital flows that had existed since the Bretton Woods Agreement.

This agreement had imposed strict controls on the movement of capital across borders, which were only eased during times of crisis. The removal of these controls led to a dramatic increase in international capital flows, as investors sought higher returns on their investments in foreign countries.The increase in financial flows was also driven by the overall growth of the global economy and the increased use of technology to facilitate transactions. Advances in communication technology allowed investors to quickly and easily transfer funds across borders, while the growth in the global money supply provided a ready source of capital for investment.

As a result, international financial flows continued to grow throughout the 1980s and 1990s, fueling economic growth and development around the world.

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Have your completed Stock Valuation homework and the you during the quiz. Print off the TVOM tables since you will be needing them for our next exams. Remember to keep your work so you can compare your answers to the solutions when they be available tomorrow morning. Question 4 Builtrite common stock is currently selling for $72 and recently paid a dividend of $3.00. The stock has a projected constant growth rate of 9%. If you purchase this stock, what is your expected rate of return? 13.5\% 12.6% 13.8% 13.2%

Answers

The closest option to our calculated expected rate of return of 13.17% is option (a) 13.5%.

To calculate the expected rate of return, we can use the dividend discount model (DDM) formula, which takes into account the current stock price, dividend, and growth rate:

Expected Rate of Return = (Dividend / Current Stock Price) + Growth Rate

Plugging in the given values, we get:

Expected Rate of Return = ($3.00 / $72) + 0.09

Expected Rate of Return = 0.0417 + 0.09

Expected Rate of Return = 0.1317 or 13.17%

However, this answer assumes that the projected constant growth rate of 9% is accurate and will continue indefinitely. If the actual growth rate deviates from this projection, the expected rate of return would also be affected.

Therefore, the closest option to our calculated expected rate of return of 13.17% is option (a) 13.5%.

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