(2) suppose that you can either invest into a two-year bond described above, or invest into a 1-year bank deposit with an annual interest rate of 7.1%. as in (a), your investment horizon is 1 year. which option would you choose and why?

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Answer 1

If my investment horizon is only 1 year, I would choose to invest in the 1-year bank deposit with an annual interest rate of 7.1%.

This is because the return on investment for the 2-year bond would not be realized until the end of the second year. By investing in the 1-year bank deposit, I would be able to access the return on investment at the end of the first year, which is more in line with my investment horizon.

Additionally, the interest rate on the 1-year bank deposit is relatively high, which would provide a satisfactory return on investment in the short term. It is important to match the investment horizon with the type of investment in order to maximize returns and minimize risks.

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Related Questions

the united states economy is considered by the institute for management development to be the most competitive economy because part 2 a. of a high saving rate. b. of widespread entrepreneurship. c. of selected restrictions on imports from japan and europe. d. americans are willing to work harder than anyone else is.

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The United States economy is considered by the Institute for Management Development to be the most competitive economy because of widespread entrepreneurship. Correct option is b.

What is Management Development?

Management development refers to the process by which an organization improves the performance of its employees by developing their knowledge, abilities, and skills. Training programs, coaching, and mentoring are all examples of management development.

Companies employ a variety of techniques to assist employees in reaching their full potential and enhancing their professional skills.

The Institute for Management Development (IMD) is an organization that conducts research into management development and offers a variety of executive education programs, including MBA programs and training courses for corporate executives.

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a treasury bill that settles on may 18, 2019, pays $100,000 on august 21, 2019. assuming a discount rate of 5.23 percent, what are the price and bond equivalent yield? use excel to answer this question. (round your price answer to 2 decimal places. enter your yield answer as a percent rounded to 3 decimal places.)

Answers

The price of the treasury bill is $98,620.00, and the bond equivalent yield is 1.400%.

To calculate the price and bond equivalent yield of a treasury bill that settles on May 18, 2019, and pays $100,000 on August 21, 2019, with a discount rate of 5.23 percent, follow these steps:
Step 1: Calculate the days to maturity
First, determine the number of days between the settlement date (May 18, 2019) and the maturity date (August 21, 2019). There are 95 days between these two dates.
Step 2: Calculate the discount period
Next, divide the number of days to maturity by 360, as treasury bills use a 360-day year for discounting purposes.
Discount period = 95 days / 360 days = 0.2639 (rounded to 4 decimal places)


Step 3: Calculate the price of the treasury bill
To find the price, use the following formula:
Price = Face value * (1 - (Discount rate * Discount period))
Price = $100,000 * (1 - (0.0523 * 0.2639))
Price = $100,000 * (1 - 0.0138)
Price = $100,000 * 0.9862
Price = $98,620 (rounded to 2 decimal places)
Step 4: Calculate the bond equivalent yield (BEY)
To find the BEY, use the following formula:
BEY = (Face value - Price) / Price * (360 / Days to maturity) * 100
BEY = ($100,000 - $98,620) / $98,620 * (360 / 95) * 100
BEY = $1,380 / $98,620 * 3.7895 * 100
BEY = 0.013998 * 100
BEY = 1.3998 %. =  1.400%( rounded to 3 decimal place)


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the price of soda has decreased by 2 percent, leading to an increase in the quantity demanded of potato chips by 10 percent. the cross-price elasticity of demand between soda and potato chips is:

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The cross-price elasticity of demand between soda and potato chips is -5%.

To calculate the cross-price elasticity of demand, we use the following formula:

Cross-price elasticity of demand = (% change in quantity demanded of product A) / (% change in price of product B)

In this case, product A is potato chips and product B is soda. We know that the price of soda has decreased by 2 percent, which is the change in price of product B. The change in the quantity demanded of product A (potato chips) is an increase of 10 percent.

Therefore, the cross-price elasticity of demand between soda and potato chips is:

Cross-price elasticity of demand = (10% / -2%) = -5

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summer leasing received $10,100 from a customer to cover 24 months of rent in advance. how should summer record this transaction? multiple choice debit rent expense; credit cash debit prepaid rent; credit rent expense debit cash; credit deferred revenue debit cash; credit service revenue

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Summer Leasing should record the transaction by debiting Cash and crediting Prepaid Rent; therefore, the correct answer is debit Cash; credit Prepaid Rent

Summer Leasing has received $10,100 from a customer to cover 24 months of rent in advance. The transaction would be recorded in the books of the leasing company to show that the business has received $10,100 and that it owes the customer 24 months of rent. The revenue for the next two years has been earned in advance, and so the $10,100 should be classified as an advance payment of rent.The way that Summer Leasing should record this transaction is by debiting Cash and crediting Prepaid Rent, which is a current asset account. By doing this, Summer Leasing recognizes the fact that the $10,100 is not yet a revenue; it is a liability until the two years of rent have been earned, which is then recognized as revenue. The correct answer is debit Cash; credit Prepaid Rent.

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wilson co. has three segments -- tennis, golf, and fishing. the tennis segment is currently producing 2,000 units annually that sell for $200 each and cost $110 per unit to produce. product design costs are $100,000 each year and the segment is allocated $200,000 of annual facility-level costs. calculate the differential revenue if wilson co. eliminates the tennis segment.

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The given information is used to calculate the differential revenue if Wilson Co. eliminates the tennis segment.Wilson Co. has three segments which are tennis, golf, and fishing. Therefore, the differential revenue if Wilson Co. eliminates the tennis segment is $220,000.

Tennis segment is currently producing 2,000 units annually that sell for $200 each and cost $110 per unit to produce. Product design costs are $100,000 each year and the segment is allocated $200,000 of annual facility-level costs. To calculate the differential revenue if Wilson Co. eliminates the tennis segment, the following formula should be used: Differential revenue = revenue with the tennis segment – revenue without the tennis segment.

Revenue with the tennis segment can be calculated as follows: Revenue = price × quantity Revenue = $200 × 2,000Revenue = $400,000Revenue without the tennis segment can be calculated as follows: Revenue without the tennis segment = (price – variable cost) × quantity.Without the tennis segment, the variable cost will only include the cost of production, which is $110 per unit. Revenue without the tennis segment = ($200 – $110) × 2,000.

Revenue without the tennis segment = $90 × 2,000Revenue without the tennis segment = $180,000Using the formula above: Differential revenue = revenue with the tennis segment – revenue without the tennis segment Differential revenue = $400,000 – $180,000Differential revenue = $220,000.

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a company's sales equal $60,000 and cost of goods sold equals $20,000. its beginning inventory was $1,600 and its ending inventory is $2,400. the company's inventory turnover ratio equals: multiple choice 30 times. 20 times. 5 times. 10 times.

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The company's inventory turnover ratio equals is 10 times (option d).

Now, let's dive into the details of the given scenario. The company's sales are $60,000, and the cost of goods sold (COGS) is $20,000. COGS is the direct cost of producing the goods that are sold, including the cost of materials, labor, and overhead expenses.

To calculate the inventory turnover ratio, we need to use the following formula:

Inventory turnover ratio = COGS / Average inventory

Average inventory can be calculated by adding the beginning and ending inventory and dividing it by two. In this case, the beginning inventory is $1,600, and the ending inventory is $2,400. So, the average inventory is ($1,600 + $2,400) / 2 = $2,000.

Plugging in the values we have, we get:

Inventory turnover ratio = $20,000 / $2,000 = 10 times

So, the correct option is (d).

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whipple corporation just issued 285,000 bonds with a coupon rate of 6.05 percent paid semiannually that mature in 30 years. the bonds have a ytm of 6.49 percent and have a par value of $2,000. how much money was raised from the sale of the bonds? (round your intermediate calculations to two decimal places and final answer to the nearest whole dollar amount.) multiple choice

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The total amount raised from the sale of the bonds is approximately $708,336,650.

To calculate the amount of money raised from the sale of the bonds, we need to determine the present value of the bond using the Yield to Maturity (YTM). Here are the steps to do that:

1. Convert the coupon rate to a semiannual rate: 6.05% / 2 = 3.025%
2. Convert the YTM to a semiannual rate: 6.49% / 2 = 3.245%
3. Calculate the number of semiannual periods: 30 years * 2 = 60 periods
4. Calculate the semiannual coupon payment: ($2,000 * 3.025%) = $60.50
5. Calculate the present value of the coupon payments: [tex]$60.50 * [(1 - (1 + 3.245)^{-60}) / 3.245] = 1,769.87[/tex] (rounded to two decimal places)
6. Calculate the present value of the par value: [tex]$2,000 / (1 + 3.245)^{60} = 719.02[/tex] (rounded to two decimal places)
7. Add the present value of the coupon payments and the par value: $1,769.87 + $719.02 = $2,488.89
8. Multiply the present value of the bond by the number of bonds issued: $2,488.89 * 285,000 = $708,336,650

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to test the effectiveness of controls, an auditor ordinarily selects from a variety of techniques, including inquiry and analytical procedures. comparison and confirmation. reperformance and observation. inspection and verification.

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Auditors typically use a variety of techniques, including inquiry and analytical procedures, comparison and confirmation, reperformance and observation, and inspection and verification, to test the effectiveness of controls. Here option E is the correct answer.

Auditors use a variety of techniques to test the effectiveness of controls, depending on the nature of the control and the risks associated with the control. However, some of the commonly used techniques are inquiry and analytical procedures, comparison and confirmation, reperformance, observation, inspection, and verification.

Inquiry involves asking questions of management or staff responsible for control to understand how the control operates and how it is designed to prevent or detect errors or fraud. Analytical procedures involve analyzing data or trends to identify unusual or unexpected results that may indicate control weaknesses.

The comparison involves comparing data or transactions to supporting documentation, such as invoices or purchase orders, to verify accuracy and completeness. Confirmation involves obtaining independent verification of data or transactions, such as from a third party or bank statements.

Reperformance involves independently testing control to verify that it operates as intended. Observation involves directly observing the control in operation to assess its effectiveness. The inspection involves examining documentation or physical assets to verify their existence, completeness, or accuracy. Verification involves obtaining evidence to support the accuracy of data or transactions, such as through reconciliations or cross-checks.

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Complete question:

Which of the following techniques are typically used by auditors to test the effectiveness of controls?

A) Inquiry and analytical procedures

B) Comparison and confirmation

C) Reperformance and observation

D) Inspection and verification

E) All of the above

the riskfree rate of return is 1.9 percent and the market risk premium is 6.6 percent. what is the expected rate of return on a stock with a beter of 1.16

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The market risk premium is 6.6 percent, while the risk-free rate of return is 1.9 percent. A company with a beta of 1.16 is anticipated to return 9.66%.

The expected return is a projection of the typical return that a portfolio of assets or a single investment should produce over a specific time frame. Riskier investments often demand a greater projected return to make up for the added risk.

Given previous rates of return and the likelihood of specific returns under various scenarios, the anticipated rate of return, also known as expected return, is the profit or loss an investor anticipates from an investment. The formula for anticipated returns predicts possible future returns.

Expected return = (Return A ) + (Return B x probability B).

expected rate (e) = 1.9 + ( 6.6.+ 1.16)

expected rate (e) =  9.66%

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the vertical campus of baruch college, the largest and most expensive construction project for any business school facilities in the u.s. when completed in 2001, was financed by: a. the municipal bonds issued by the state of new york. b. donors of alumni and business community. c. the u. s. treasury bonds. d. the new york state tax money

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In this case, the entity which financed the project is: b. donors of alumni and business community.

What is the vertical campus of Baruch College?

The Baruch College Vertical Campus is a building that serves as the headquarters for Baruch College. It is located in the Gramercy Park neighborhood of Manhattan, New York City.

The construction of the vertical campus of Baruch College is one of the largest and most expensive projects ever completed for any business school facilities in the United States.

The financing of the Vertical Campus of Baruch College

The Baruch College Vertical Campus is financed by donors of alumni and the business community.

This building is not financed by municipal bonds issued by the state of New York, the US Treasury Bonds, or New York State tax money.

The donors, alumni, and business community have provided the funding for the construction of the vertical campus of Baruch College. When completed in 2001, the Vertical Campus of Baruch College became one of the most significant facilities for any business school facilities in the US.

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lincoln park co. has a bond outstanding with a coupon rate of 5.82 percent and semiannual payments. the yield to maturity is 6.9 percent and the bond matures in 24 years. what is the market price if the bond has a par value of $2,000?

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Lincoln Park Co. has an outstanding bond with a 5.82 percent interest rate and semiannual installments. The bond has a 24 year maturity and a 6.9% yield to maturity. If the bond has a par value of $2,000, the market price is $58.1.

There is an outstanding bond from Lincoln Park Co. with semi-annual interest payments and a coupon rate of 5.82 percent. The bond matures in 24 years, and the yield to maturity is 6.9%.

The face value of a bond plus any yearly or semi-annual coupon payments due to bondholders by the debt's issuer is the bond's par value.

Discount rate = 6.9%

Interest = 2,000*5.82%*6/12 = 58.2

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which of the following insurance products is considered a covered product under aml laws? a auto insurance b a fixed annuity c term life insurance d health insurance

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Term life insurance is considered a covered product under AML (Anti-Money Laundering) laws.

Insurance products that are considered "covered products" under AML laws are those that have a cash value or investment component, such as fixed or variable annuities, whole or universal life insurance, and endowment policies.

These products have investment or cash value features and can be used to launder money or conceal the proceeds of illegal activities. Therefore, insurance companies and agents who sell these products are subject to AML regulations and are required to implement appropriate AML programs to prevent money laundering and terrorist financing activities. Auto insurance and health insurance, on the other hand, are not typically considered covered products under AML laws as they do not have an investment or cash value component.

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suppose that when a firm increases output by 50%, long-run total cost increases by less than 50%. the firm will experience

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Assume that a company's long-term overall cost rises less than 50% when production grows by 50%. Economies of scale will be experienced by the company.

The cost advantages that businesses acquire as a result of their size of operation are known as economies of scale in microeconomics. They are usually quantified by the quantity of output generated in a given amount of time. Scale can be increased when the expense per unit of production decreases. Technical, statistical, operational, or other connected variables to the level of market control may be at the core of economies of scale. This is only a brief explanation of the idea. Economies of scale can be applied to a wide range of organizational and commercial circumstances and at different levels, such as production, facility, or an entire company. The emergence of economies of scale is signaled by a decline in typical costs as production rises. Several scale economies, like the initial expense of production

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suppose that when a firm increases output by 50%, long-run total cost increases by less than 50%. the firm will experience___________

while the industry for tablet computers is in the growth stage, the laptop industry is in its shakeout stage. what does this imply?

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If the laptop industry is in the shakeout stage, it implies that the industry is experiencing slower growth, increased competition, and possible market consolidation.

The growth stage is the phase in which an industry experiences rapid growth in demand and sales. In this stage, companies strive to capture market share and establish their position in the market.

The growth stage is characterized by intense competition, significant innovation, and increased profitability. In contrast, the shakeout stage is when the industry growth slows down, and the competition becomes more intense as the weaker firms start to exit the market. The shakeout stage is characterized by price wars, mergers, and acquisitions.

Therefore, if the tablet industry is in the growth stage, it implies that the industry is experiencing significant demand, increased sales, and innovation.

This phase is an opportunity for companies to establish a strong foothold in the market, develop their brand and product portfolio, and enjoy increased profitability. Companies in this phase should focus on streamlining their operations, reducing costs, and differentiating their product to remain competitive.

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For the issuer of a ten-year term bond, the amount of amortization using the interest method would increase each year if the bond was sold at a
Discount Premium
a) No No
b) Yes Yes
c) No Yes
d) Yes No

Answers

For the issuer of a ten-year term bond, the amount of amortization using the interest method would increase each year if the bond was sold at a discount and would not increase if the bond was sold at a premium.Therefore the correct answer is option d)

Amortization is a method of accounting that gradually reduces the book value of an asset or liability over time. It is calculated for intangible assets such as patents, trademarks, and goodwill as well as for tangible assets such as property, plant, and equipment.

The interest method of amortization is a method of accounting that is used to amortize the premium or discount on a bond over the term of the bond. Interest method amortization occurs when the effective interest rate differs from the stated interest rate.

This technique requires that the bond discount or premium be amortized over the bond's life by modifying the bond's interest expense to include the amortization. The bond's carrying value is updated each year to reflect the amortization of the discount or premium, as well as the payment of interest.  The correct answer is option d)

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what is wigand's response for why he was fired? choose all that apply.
a. he doesn’t like to be pushed around
b. when he gets angry, he has difficulty censoring himself
c. he was not a team player
d. he did not proved value to the research team

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Wigand's response for why he was fired includes the following reasons: he was not a team player and he did not provide value to the research team is not mentioned as a reason for his termination. The correct options are c and d.

When Jeffrey Wigand was fired, he was the Vice President of Research and Development for a tobacco company. Wigand was fired because he refused to keep silent about the unethical behavior of the tobacco industry that he witnessed.

Wigand didn't like to be pushed around, but he was still fired because he refused to participate in unethical activities. He was also fired because when he got angry, he had difficulty censoring himself.

These two options are not the response for why Wigand was fired. Therefore, the correct options are c and d.

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using a perpetual inventory system, the sale of inventory on account will have what effect on the financial statements?

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Using a perpetual inventory system, the sale of inventory on account will have an increase in cost of goods sold and a decrease in inventory on the financial statements.

Perpetual inventory system is an accounting method that maintains continuous, up-to-date records of inventory levels and transactions.

It allows a business to have an accurate understanding of the quantity and value of inventory available at any given time. When a company sells inventory on account, it decreases its inventory balance and increases its cost of goods sold account.

As a result, there will be a decrease in assets and an increase in expenses, which will have an impact on the company's income statement and balance sheet.

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under what circumstances should a company's management team attempt to seriously compete with rivals to supply private-label footwear to chain retailers in one or more geographic regions?

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A company's management team should try to seriously contest capacity planning to supply private-label footwear to chain retailers when they accept that doing so will be profitable and strategically useful for the firm.

If the company has strong production abilities that allow it to deliver high-quality footwear at a low cost, it may be able to compete virtually in the private-label footwear demand.

If the company's core competencies help align with the requirements of chain merchants, it may make feeling to follow private-label supply as a way to heighten its connection with those vendors and ensure a better durable basis of revenue.

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which testing approach would be used to predict whether certain cases should be evaluated as having fraud or no fraud?

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Fraud investigation and detection are more expensive than fraud prevention Prevention is preferable to cure. Fraud prevention lowers the costs associated with fraud investigation and detection.

The following are some possible fraud prevention methods that the business could implement and

finding the sources assessing hazards Putting in place detective controls using both internal and external auditors to provide unbiased assessments based on performance.

The people who will probably spot the fraud are the corporate entity's managers and employees. Hence, it is crucial that they are informed on the methods for preventing and monitoring the incidence of fraud. Fraud is the deliberate use of false or misleading information in an effort to wrongfully deny money, property, or legal rights to another person or organisation. Fraud is when one party makes a false statement with the intent to deceive the other party, knowing or believing.

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c. assume the howells' short-term capital loss carryover from prior years is $84,100 rather than $4,100 as indicated above. if this is the case, how much short-term and long-term capital loss carryover remains to be carried beyond 2022 to future tax years?

Answers

The Howells have $46,100 of short-term capital loss carryover and $20,000 of long-term capital loss carryover that remains to be carried forward beyond 2022 to future tax years.

Short-term capital loss carryover:

$84,100 (prior year carryover)

$38,000 (short-term capital loss in 2022)

= $46,100 short-term capital loss carryover to future years

Long-term capital loss carryover:

$0 (no prior year carryover)

$20,000 (long-term capital loss in 2022)

= $20,000 long-term capital loss carryover to future years

Capital loss carryover is a tax provision that allows individuals or businesses to offset capital losses from previous years against capital gains in the current year. When an individual or business sells an asset for less than its original cost, this is known as a capital loss. This loss can be carried forward to future years to offset any capital gains that may occur in those years.

There are limitations to capital loss carryover. For individuals, the maximum amount of capital loss that can be deducted in any given year is $3,000, with any unused amount carried forward to future years. Businesses may be subject to different rules and limitations depending on their structure and tax status.

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the federal funds rate is the interest rate that group of answer choices banks charge one another for loans. banks charge the fed for loans. the fed charges banks for loans. the fed charges congress for loans.

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The Federal Funds Rate is the interest rate that banks charge one another for loans. The option a is the correct answer.

The Federal Funds Rate is the interest rate that banks charge one another for loans. This rate is used by banks to balance their books and ensure that they have enough money on hand to meet their obligations.

The Federal Reserve sets the federal funds rate as part of its monetary policy.

By adjusting the federal funds rate, the Federal Reserve can influence the overall level of interest rates in the economy. If the Federal Reserve raises the federal funds rate, it will make it more expensive for banks to borrow money from one another.

This, in turn, will increase the interest rates that banks charge their customers for loans.

The Federal Reserve can also lower the federal funds rate if it wants to stimulate the economy.

When the Federal Reserve lowers the federal funds rate, it makes it cheaper for banks to borrow money from one another. This, in turn, will lower the interest rates that banks charge their customers for loans.

The correct answer is option a.

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Complete Question

The federal funds rate is the interest rate that group of answer choices

a. banks charge one another for loans.

b. banks charge the fed for loans.

c. the fed charges banks for loans.

d. the fed charges congress for loans.

a(n) is a document in which sellers describe what they will do to meet the requirements of a buyer

Answers

The document being referred to in the question is known as a proposal. It is a formal and structured document that sellers use to present their solutions to meet the requirements of a buyer.

In this document, sellers outline the steps they will take to deliver the goods or services that the buyer needs, including the cost, delivery schedule, and any other relevant information.


The requirements of a buyer typically include specific features, functions, or performance characteristics that they are seeking in a product or service. Buyers want to ensure that their needs are met while keeping costs and risks at a minimum. Therefore, the proposal should demonstrate how the seller will meet these requirements while providing value and quality.


To create an effective proposal, sellers must conduct thorough research on the buyer's needs, preferences, and expectations. They must also ensure that their proposed solutions are feasible, scalable, and in line with industry standards. By doing so, sellers can increase their chances of winning the buyer's business and building a long-term relationship.

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when no taxes are due until the required time and the payments are held off, the action is called: installment payments distribution penalty tax-deferred lump-sum

Answers

When no taxes are due until the required time and the payments are held off, the action is called the action is called "tax-deferred".

When no taxes are due until the required time and the payments are held off, the action is called tax-deferred. What are taxes? Taxes are financial charges or levies imposed on citizens, corporations, or other legal entities by the government to fund public spending. Taxes are typically imposed by a state, local government, or other authority. Taxes may be levied on income, capital gains, property, or other variables, such as goods and services purchased.

Deferred tax assets arise when taxes have been paid or carried forward but not yet recognized in the income statement. The amount of deferred tax assets is the difference between book income and taxable income. For example, deferred taxes may arise when tax companies recognize income or expenses at a different time than accounting standards require. Deferred tax assets help reduce a company's future taxes.

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sim medium which ingredient(s) could be eliminated if this medium were used strictly for testing indole production? explain.

Answers

By removing the elements not directly involved in indole formation, the Sim medium can be made simpler to test indole production.

Because they serve as supplies of sulfur and tryptophan for different metabolic processes, respectively, the components cysteine and tryptophan can be removed. The only component need for this test is indole, which is created when the enzyme tryptophanase breaks down tryptophan.

While maintaining the conditions required for indole manufacture, removing superfluous chemicals can simplify the process and lower expenses. Nonetheless, it is significant to highlight that the whole Sim medium would be required if other metabolic processes are being examined.

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what should you pay for a stock if next year's annual dividend is forecast to be $5.25, the sustainable growth rate is 2.85%, and the market requires a 15.5% rate of return? group of answer choices $42.68 $41.50 $38.87 $31.25

Answers

The amount you should pay for the stock if next year's annual dividend is forecast to be $5.25, the sustainable growth rate is 2.85%, and the market requires a 15.5% rate of return is $41.50. Therefore, the correct option is 2.

A stock is a term that refers to a type of security that represents ownership in a corporation and a claim on a portion of the corporation's assets and earnings. People buy stocks because they want to own a portion of a corporation that has the potential to grow and earn profits. If the corporation grows and earns profits, the stockholders may profit as well.

A dividend is a payment that is made by a corporation to its shareholders, which is typically paid out of the company's profits. Dividends are usually paid out in the form of cash or additional shares of stock.

To calculate the price you should pay for a stock with given information, we can use the Dividend Discount Model (DDM). The formula for the DDM is:

Stock Price = (Next Year's Dividend) / (Required Rate of Return - Sustainable Growth Rate)

Given the information:

- Next Year's Annual Dividend: $5.25
- Sustainable Growth Rate: 2.85% or 0.0285
- Market Requires Rate of Return: 15.5% or 0.155

Plug these values into the DDM formula:

Stock Price = ($5.25) / (0.155 - 0.0285)

Stock Price = $5.25 / 0.1265

Stock Price = $41.50

So, you should pay $41.50 for the stock. Hence, option 2 is the correct answer.

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what is the yield to maturity on a treasury strips with 6 years to maturity and a quoted price of 88.621? (do not round intermediate calculations. enter your answer as a percent rounded to 2 decimal places.)

Answers

Treasury strips, also known as zero-coupon bonds, are securities that do not pay regular interest payments. Instead, they are sold at a discount from their face value and provide a return to the investor upon maturity.

The yield to maturity (YTM) is the total return anticipated on a bond if held until it matures.


In the given scenario, the treasury strips has 6 years to maturity and a quoted price of 88.621. To calculate the YTM, we need to use a financial calculator or a spreadsheet program such as Excel.


Using Excel, we can use the formula "=RATE(6,0,-88.621,1000)" where 6 is the number of years to maturity, 0 represents no interest payments, -88.621 is the present value of the bond, and 1000 is the face value. This calculation results in a YTM of 2.34%.



This means that if an investor purchases this treasury strips for $886.21 today and holds it until maturity, they can expect to receive $1,000 at maturity, resulting in a total return of 2.34%. It is important to note that this yield assumes that the investor holds the bond until maturity and that the interest rate environment remains constant.


Overall, treasury strips can provide investors with a unique investment opportunity as they offer a way to receive a fixed return without having to rely on regular interest payments. However, it is important to carefully consider the risks and uncertainties associated with this type of investment before making a decision.

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which measure of labor productivity compares the price paid for labor with the revenue generated in a food service operation?

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Labor cost percentage measure of labor productivity compares the price paid for labor with the revenue generated in a food service operation.

A measure of economic performance called labor productivity contrasts the amount of output with the amount of labor required to produce that output. Physical capital, human capital, and technological advancement are the primary determinants of labor productivity. These can also be seen as essential elements of economic development.

A country can only sustain real wage increases without losing its competitiveness if its labor productivity grows, making it the key to higher living standards. Production and employment are related by labor productivity. It does not only gauge labor's unique contribution.

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alana operates a wedding preparation service that helps brides-to-be in the planning of their weddings. to maintain a quality image and a standardized offering, alana provides extensive training for each of her employees. what unique aspect of services is alana trying to address?

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Alana gives each of her workers thorough training. Inconsistency is a distinct element of services that alana is attempting to address.

Training is the process of imparting knowledge and abilities that pertain to particular practical competencies, either to oneself or to others. The purpose of training is to increase one's ability, capacity, productivity, and effectiveness. Professionals in talent development assist people in enhancing their success at work through formal training. Development is a manner of acquiring information, abilities, or attitudes that equips humans with the essential traits for demanding duties. Training is the deliberate effort to help workers develop the particular abilities, desired behaviors, and knowledge required to do their jobs well.

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periodic allocations of funds to departments or agencies are generally called appropriations. allotments. apportionments.

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The correct answer is (d). i.e. I II and III. Appropriations,  Allotments, Apportionments.

An agency may split an apportioned sum into allotments, sub allotments, and allocations. An appropriation is a legal clause (not always in an appropriations act) that permits the use of money for a specific reason. An appropriation usually, but not always, gives budget power. The division of sales, expenses, or money into separate accounts, divisions, or subsidiaries is known as an apportionment. The phrase is specifically used to describe how a company allocates profits to particular regions of its business, which has an impact on the taxable income that is reported to different governments.

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Question-

i. Appropriations.

ii. Allotments.

iii. Apportionments.

a) III only

b) I and II

c) II and III

d) I II and III

young inc. produces plastic bottles. production of 16-ounce bottles has a standard unit quantity of 0.45 ounce of plastic per bottle. during the month of june, 240,000 bottles were produced using 110,000 ounces of plastic. the actual cost of plastic was $0.042 per ounce, and the standard price was $0.045 per ounce. there is no beginning or ending inventories of plastic. required: calculate the total variance for plastic for the month of june. enter the amount as a positive number and select favorable or unfavorable.

Answers

The total variance for plastic can be calculated using the following formula:

Total Variance = (Actual Quantity x Actual Price) - (Standard Quantity x Standard Price)

First, let's calculate the actual and standard quantities of plastic used in June:

Actual Quantity = 110,000 ounces

Standard Quantity = 0.45 ounces per bottle x 240,000 bottles = 108,000 ounces

Next, we can calculate the actual and standard costs of plastic:

Actual Cost = 110,000 ounces x $0.042 per ounce = $4,620

Standard Cost = 108,000 ounces x $0.045 per ounce = $4,860

Now, we can plug in these values into the formula to calculate the total variance:

Total Variance = ($4,620) - ($4,860)

Total Variance = -$240

Since the actual cost is lower than the standard cost, this represents a favorable variance of $240. Therefore, the total variance for plastic for the month of June is $240 favorable.

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