To calculate the accounting rate of return (ARR) for both server investments, we use the following formula:
ARR = Average Annual Net Income / Initial Investment * 100
For Server A:
The average annual net income is $26,000, and the initial investment is $42,000. Therefore:
ARR for Server A = $26,000 / $42,000 * 100 = 61.9%
For Server B:
To calculate the average annual net income, we need to determine the total net income over the useful life and divide it by the number of years:
Total net income for Server B = $27,000 + $14,000 + $1,000 = $42,000
Average annual net income for Server B = $42,000 / 3 = $14,000
ARR for Server B = $14,000 / $42,000 * 100 = 33.3%
Next, let's calculate the net present value (NPV) for both server investments. The NPV is calculated by discounting the net cash flows to their present value and subtracting the initial investment.
For Server A:
The net cash inflow is $26,000 per year for three years, and the required rate of return is 12%. The initial investment is $42,000.
NPV for Server A = -$42,000 + ($26,000 / (1 + 0.12)^1) + ($26,000 / (1 + 0.12)^2) + ($26,000 / (1 + 0.12)^3)
NPV for Server A = -$42,000 + $23,214 + $20,703 + $18,415 = $20,332
For Server B:
The net cash inflows are $27,000, $14,000, and $1,000 for years 1, 2, and 3, respectively. The residual value is $4,000. The required rate of return is 12%, and the initial investment is $42,000.
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Which statement best describes the relationship between those who believe in external control (externals) and those who believe in internal control (internals)?
Individuals who believe in external control, also known as externals, believe that their successes and failures are largely determined by external factors, such as luck or fate, rather than their own actions or efforts.
On the other hand, those who believe in internal control, also known as internals, believe that their successes and failures are primarily due to their own actions and efforts rather than external factors. Externals are less likely to take responsibility for their outcomes, as they believe their outcomes are due to external factors. Internals, on the other hand, are more likely to take responsibility for their outcomes, as they believe their outcomes are due to their own actions and efforts rather than external factors. Internals are also more likely to have a strong sense of self-efficacy, or the belief that they can effectively control their own outcomes, while externals are more likely to feel a sense of helplessness or lack of control over their outcomes.
In general, internals tend to have a more positive outlook and are more likely to be proactive in making changes in their lives, while externals tend to have a more negative outlook and are less likely to be proactive in making changes. To summarize, those who believe in external control (externals) and those who believe in internal control (internals) differ in their beliefs about the causes of their outcomes, as well as in their levels of self-efficacy and proactivity. The relationship between the two groups is one of contrast.
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Which of the following diversity issues is true in the U.S. workforce?Among the top 500 U.S. companies, most currently do not yet offer domestic partner benefits forsame-sex couples.Unemployment among the disabled has dropped sharply since the introduction of the Americans withDisabilities Act.The median age of the American worker is increasing.
Among the three diversity issues mentioned in the question, the one that is true in the U.S. workforce is that the median age of the American worker is increasing. The workforce of the U.S. is becoming older with the passing of time. More than 20% of U.S. workers are over 55 years of age, and this number is growing steadily.
By the year 2024, it is expected that one-quarter of the American workforce will be over the age of 55.According to research, there are various reasons why the median age of the American worker is increasing. One reason is that people are living longer, so they are working for longer periods of time. Additionally, the baby boomer generation (those born between 1946 and 1964) is reaching retirement age. Since this is a large group of people, their retirement is increasing the median age of the workforce.Another reason is that younger people are not entering the workforce at the same rate as older people are leaving it. There are fewer young people in the workforce due to a combination of lower birth rates and less immigration. The combination of all these factors means that the median age of the American worker is increasing.
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what is the denominator level used for allocating variable manufacturing overhead? (that is, for how many direct manufacturing labor-hours is bread budgeting?)
The denominator level used for allocating variable manufacturing overhead is the direct labor hour. It is a traditional method of allocating variable manufacturing overhead that is calculated as a ratio of indirect costs to direct labor hours. The direct labor hour is the time that an employee works to produce a product or provide a service.
A manufacturer's indirect or overhead costs can be difficult to allocate directly to each product, service, or customer because they are not clearly linked to a single, particular production or sales activity. To allocate variable manufacturing overhead costs to products or jobs, manufacturers often use an indirect cost rate that is calculated by dividing the estimated variable manufacturing overhead by an estimated level of activity. This activity is usually measured in terms of direct labor hours, machine hours, or some other related activity that has a clear cause-and-effect relationship to overhead costs.The denominator level is the level of activity that is used as the basis for allocating variable manufacturing overhead. In this case, it is the direct labor hour. This means that the variable manufacturing overhead costs are allocated based on the number of direct labor hours used to produce a product or provide a service. This method can be useful for manufacturers who have a high degree of variability in their manufacturing process and require an accurate way of allocating costs to each product or job.
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calculate EV/Revenue multiple for the firm. Additionally the firm is currently trading at $173.86, has an EPS of $2.34, and a Market cap of $763,452,818. Balance Sheet Prior Year Current Year Cash 6,277,768 4,892,268 Accounts Receivable 547,665 599,506 Inventory 4,714,897 2,620,472 Current Assets 6,277,768+547,665+4,714,897 4.892,268+599,506+2,620,472 PP&E, net 24,136,007 29,064,227 Goodwill 5,875,805 4,890,242 Other assets 397,105 527.913 Accounts Payable 698,591 1.021,427 Short term portion of 720,256 465,460 debt Deferred Dividends 6,106,686 2,806,467 Current Liabilities 698,591+720,256+6,106,686 1,021,427+465,460+2.806,467 Long Term debt 28,555,790 40,845,326 Shareholder's Equity (4,947,036 shares outstanding for prior year; 6,853,910 shares outstanding for current year) Income Statement Revenue COGS SG&A expenses Operating Income Interest Expense Income Taxes Paid Statement of Cash Flowe 68,589,115 Prior Year 26,720,400 19,768,118 4,009,313 ?? 235,367 370,008 45,061,135 Current Year 28,676,944 19,310,006 6,074,751 ?? 296,803 449,416 Statement of Cash Flows Cash Flow from Operating Net Income Depreciation Amortization Loss/Gain on sale of PP&E Cash Flow from Investing Capital Expenditures Proceeds from sale of PP&E Cash Flow from Financing Dividends to Shareholders Repurchase of Shares Prior Year 2,997,880 304,231 94,690 1,104,413 5,287,402 215,408,802 4,880,344 16,119,158 4 Current Year 1,744,967 369,246 42,374 127,281 8,968,823 147,888,360 7,375,790 1,439,075
EV/Revenue multiple for the firm can be calculated using the formula as follows:EV/Revenue multiple = Enterprise value / Revenue The enterprise value (EV) is the total value of a company, including equity and debt, minus any cash holdings. It's calculated as follows: Enterprise value = Market cap + Total debt - Cash and cash equivalents To calculate EV/Revenue multiple, we need to first calculate the enterprise value.
Given that the firm is currently trading at $173.86, has an EPS of $2.34, and a Market cap of $763,452,818. Therefore, the market capitalization is $763,452,818.The balance sheet of the firm has been provided as follows: Balance Sheet Prior Year Current YearCash6,277,7684,892,268Accounts Receivable547,665599,506Inventory4,714,8972,620,472Current Assets11,540,3308,112,246PP&E, net24,136,00729,064,227Goodwill5,875,8054,890,242Other assets397,105527,913Total assets41,949,24742,594,628Accounts Payable698,5911,021,427Short term portion of debt720,256465,460Deferred Dividends6,106,6862,806,467Current Liabilities7,525,5334,293,354Long Term debt28,555,79040,845,326Total liabilities36,081,32345,138,680Shareholder's Equity (4,947,036 shares outstanding for prior year; 6,853,910 shares outstanding for current year)5,867,924(13,116,052)Total liabilities and equity41,949,24742,594,628From the balance sheet, we can calculate the enterprise value: Enterprise value = Market cap + Total debt - Cash and cash equivalents= $763,452,818 + $40,845,326 - $4,892,268= $799,405,876Now, we need to calculate the revenue of the firm from the income statement. Income StatementRevenueCOGSSG&A expenses Operating IncomeInterest Expense Income Taxes Paid Prior Year68,589,11526,720,40019,768,1184,009,313??235,367Current Year45,061,13528,676,94419,310,0066,074,751??296,803
From the income statement, we can calculate the EV/Revenue multiple as follows:EV/Revenue multiple = Enterprise value / Revenue= $799,405,876 / $45,061,135= 17.73Therefore, the EV/Revenue multiple for the firm is 17.73.
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Product refers to the goods-and-services combination that a company offers to its target market.
Product refers to the goods-and-services combination that a company offers to its target market.
True
False
True. A product refers to the goods-and-services combination that a company provides to its target market.
It includes tangible items such as physical goods, as well as intangible elements like services, experiences, and even ideas. Companies develop and offer products to fulfill customer needs and wants, and to create value for their target market. The product can range from simple everyday items like household appliances to complex solutions like software or consulting services. By understanding the needs and preferences of their customers, companies can design and deliver products that satisfy those requirements, ultimately aiming to achieve customer satisfaction and loyalty.
A product encompasses both goods and services: When a company offers a product, it typically includes a combination of tangible goods and intangible services. Goods are physical, tangible items that customers can physically touch, such as clothing, electronics, or food products. Services, on the other hand, are intangible and refer to activities, benefits, or solutions provided by the company, such as consulting, healthcare, or transportation services.
Target market: Companies develop their products with a specific target market in mind. The target market refers to the specific group of consumers or businesses that the company aims to serve with its products. By understanding the characteristics, preferences, and needs of the target market, companies can tailor their products to meet the demands of those customers effectively.
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A principal has a duty of compensation: O a. Only in agency arrangements that expressly provide for compensation. O b. In all agency arrangements except for gratuitous agency arrangements, which are arrangements without the expectation of being paid. Oc. To pay the agent prior to the agent performing the duties of the agency. d. In all agency arrangements.
A principal has a duty of compensation in all agency arrangements. (Option D)
According to the general principles of agency law, a principal has an obligation to compensate the agent for their services in all agency arrangements, unless it is a gratuitous agency where compensation is not expected. This duty of compensation arises from the contractual relationship between the principal and the agent, where the agent agrees to act on behalf of the principal and the principal agrees to compensate the agent for their services.
The specific terms and conditions of the compensation, such as the amount and method of payment, may be determined by the agreement between the principal and the agent. However, regardless of the type of agency arrangement, the principal is generally responsible for providing compensation to the agent for their efforts and services rendered in fulfilling their duties as an agent.
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What is a Capital Gain Tax (CGT) Asset? Give at least one example for each of the three types of assets
A capital gains tax (CGT) asset is any asset that is capable of generating a capital gain or loss when it is disposed of. It is calculated as the difference between the asset's cost base and the proceeds from its disposal. Any capital losses are offset against capital gains and can also be carried forward to offset future gains.
There are three types of CGT assets, namely:1. Shares: Shares are the most common type of CGT asset. For example, if you purchase a share for $1 and sell it for $2, you will have made a $1 capital gain, which will be subject to CGT.2. Real property: This includes land, buildings, and other structures that are not personal property. For example, if you purchase an investment property for $500,000 and sell it for $800,000, you will have made a $300,000 capital gain, which will be subject to CGT.3. Collectibles: Collectibles are items that are considered to have a high value due to their rarity, historical significance, or artistic merit. These can include things like coins, stamps, art, and antiques. For example, if you purchase a rare painting for $100,000 and sell it for $150,000, you will have made a $50,000 capital gain, which will be subject to CGT.
A CGT asset is any asset that can produce a capital gain or loss when it is sold. Capital gains tax (CGT) is the tax imposed on the net capital gain, which is the difference between the cost of the asset and the proceeds from selling it. It is charged when a person sells an asset and makes a profit. The CGT rate is based on the length of time the asset was held before it was sold.There are three types of CGT assets, namely, shares, real property, and collectibles. Shares are the most common type of CGT asset. For example, if you purchase a share for $1 and sell it for $2, you will have made a $1 capital gain, which will be subject to CGT.Real property includes land, buildings, and other structures that are not personal property. For example, if you purchase an investment property for $500,000 and sell it for $800,000, you will have made a $300,000 capital gain, which will be subject to CGT.Collectibles are items that are considered to have a high value due to their rarity, historical significance, or artistic merit. These can include things like coins, stamps, art, and antiques. For example, if you purchase a rare painting for $100,000 and sell it for $150,000, you will have made a $50,000 capital gain, which will be subject to CGT.
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The following data relates to the Mass Company's first operating period. Calculate the total cost of goods sold for each product.
Cost/unit
Units
Product
Direct Materials
Direct Labor
Produced
Ending Inventory
Overhead rate (Percent of Direct Labor cost)
1
$20
$12
250
115
70%
2
12
15
380
180
35%
3
24
10
350
200
The direct materials cost is 20 per unit and the produced unit is 250, therefore the total cost of direct materials would be 20*250 = 5,000.Direct labor costs per unit is $12, and the produced unit is 250, therefore the total cost of direct labor would be 12*250 = $3,000.
The total cost of direct materials and direct labor would be 5000+3000 = $8,000. Overhead cost is 70% of the direct labor cost of $3,000, hence the overhead cost would be 70/100 * 3000 = $2,100.
The direct materials cost is 12 per unit and the produced unit is 380, therefore the total cost of direct materials would be 12*380 = $4,560.
Direct labor costs per unit is $15, and the produced unit is 380, therefore the total cost of direct labor would be 15*380 = $5,700. Overhead cost is 35% of the direct labor cost of $5,700.
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PESTEL analysis of a company's "macro-environment" does not include which one of the following? Copyright © by Gio-Bus Softwars, Inc Copying, dirbuting, or 3rd party website posting inexpressly prohibited and constitutes copyright violation O Assessment of sociocultural factors and environmental factors O Assessment of technological factors O Assessment of economic conditions and political factors O Assessment of a company's immediate industry and competitive environment Assessment of legal and regulatory factors
The correct answer is: Assessment of a company's immediate industry and competitive environment.
PESTEL analysis is a framework used to analyze the macro-environmental factors that can impact a company. It stands for Political, Economic, Sociocultural, Technological, Environmental, and Legal factors. The analysis helps companies understand the external forces that can affect their business operations and decision-making.
PESTEL analysis considers various aspects of the macro-environment, excluding the company's immediate industry and competitive environment. While industry and competitive analysis are essential for understanding the specific dynamics and competition within a company's market, they are not part of the broader macro-environmental factors covered by PESTEL analysis.
PESTEL analysis focuses on external factors that are beyond the control of the company but can have significant implications for its operations. It helps identify opportunities and threats arising from political, economic, sociocultural, technological, environmental, and legal factors.
By assessing these factors, companies can develop strategies that align with the external environment and anticipate potential challenges or changes that may impact their business.
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Scenario: You have been selected to lead a team to implement a new policy for your company. Your company is a law firm with offices in San Antonio, Dallas, Austin, Houston and Corpus Christi. You are in San Antonio and the headquarters are in Austin. The Firm has decided that in an effort to increase the attractiveness of the Firm as an employer of choice, the Firm should allow employees to bring their pets to work. Not just medically approved therapy animals, but any family pet. See article on back side of this case.
Word has already spread about this new initiative – many are excited about bringing these important family members to the workplace. However, many others are concerned about allergies, as well as if the pets will get along with other pets, also questions about if all of our employees will be able to participate or just some employees, the list of concerns goes on and on and on. You mentioned these concerns to the Austin Headquarters and they have agreed that you may hire an HR Project Manager to help with any issues that might arise. The Firm also reemphasized how confident they are in you and the San Antonio office’s ability to implement this policy stating "If our high profile San Antonio offices can make this a success then we should be able to implement this policy Firm-wide, dramatically increasing our ability to recruit employees who will see this as an important benefit."
Question 3)
Selection-Evaluation-Compensation – Which of the following best practices from the Selection-Evaluation-Compensation Grid might guide us as we hire our HR Project Manager Professional to assist with the issues that may/will arrive with this initiative. Circle the best practices that apply.
Recruiting Diamond
Job Fusion Triangle
Identification
1. Briefly describe what from these best practices will help in our recruiting and hiring approach:
2. Going back to KASH and Stimulus Fraction describe a picture of the person you’d like to have in this new HR position
3. Write out a couple questions you might want to ask an individual we may interview for this position.
Best practices from the Selection-Evaluation-Compensation Grid that can help in the recruiting and hiring approach for the HR Project Manager position include:
Job Fusion Triangle: This best practice emphasizes the alignment between job analysis, selection methods, and compensation. In this case, conducting a thorough job analysis will help identify the key competencies and skills required for the HR Project Manager position. This analysis will inform the selection methods used to assess candidates' suitability for the role, ensuring that they possess the necessary knowledge and experience to handle the challenges associated with implementing the pet-friendly policy. Additionally, a clear understanding of the job requirements will enable the organization to offer appropriate compensation and benefits.
Identification: This best practice involves identifying and attracting qualified candidates for the position. In this case, the organization should actively seek candidates with experience in HR project management, particularly in implementing policies or initiatives with potential challenges and concerns. By identifying individuals with relevant experience, the organization increases the likelihood of finding someone who can effectively address the issues associated with the pet-friendly policy.
KASH (Knowledge, Abilities, Skills, and Habits) and Stimulus Fraction can be used to describe the ideal candidate for the HR Project Manager position in this new initiative. The picture of the person you'd like to have in this position may include the following characteristics:
Knowledge: The ideal candidate should have a solid understanding of HR project management principles and practices. They should be familiar with policy implementation, change management, and have a good grasp of legal considerations related to employee benefits and workplace health and safety.
Abilities: The candidate should demonstrate strong leadership abilities and be able to navigate complex organizational dynamics. They should have excellent communication and interpersonal skills to address concerns and conflicts effectively. The ability to collaborate with different stakeholders and drive consensus will be crucial in successfully implementing the pet-friendly policy.
Skills: The candidate should possess project management skills, including planning, organizing, and coordinating initiatives. They should have experience in managing multiple tasks and deadlines, and the ability to analyze and mitigate risks associated with the implementation of the new policy. Strong problem-solving and decision-making skills will also be essential.
Habits: The ideal candidate should exhibit a proactive and solution-oriented approach, showing resilience and adaptability in dealing with challenges. They should be detail-oriented and demonstrate a high level of professionalism and ethical conduct. The candidate should have a passion for promoting a positive work environment and be sensitive to the needs and concerns of employees.
Sample interview questions for the HR Project Manager position:
a) Can you describe your experience in managing HR projects, especially those involving policy implementation? How have you dealt with challenges and concerns that arise during the process?
b) How would you approach addressing the concerns raised by employees regarding allergies and pet compatibility in the workplace? Can you provide examples of strategies you have used in similar situations?
c) Have you implemented initiatives in the past that required significant coordination and collaboration across multiple offices or locations? How did you ensure effective communication and engagement among different stakeholders?
d) How do you stay updated on current trends and best practices in HR project management? Can you give an example of how you have applied new knowledge or ideas to improve project outcomes?
e) Can you share an experience where you had to balance the needs and preferences of different employee groups or individuals while implementing a policy? How did you ensure fairness and equity in decision-making?
These questions aim to assess the candidate's knowledge, experience, problem-solving abilities, communication skills, and alignment with the organization's goals and values in implementing the pet-friendly policy.
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Assume the following information regarding U.S. and European annualized interest rates: CurrencyLending Borrowing rate USD 2.5% EUR 4.6% rate 5.1% 6.1% 3 points Save Answer Trensor Bank can borrow either $16 million or the euro equivalent. The current spot EUR/USD rate is 1.1575. Furthermore, Trensor Bank expects the spot rate of the euro to be 1.1364 in 90 days. What is Trensor Bank's dollar profit from speculating if the spot rate of the euro is indeed 1.1364 in 90 days? (USD, no cents)
Trensor Bank's profit from speculation, if the spot rate of the euro is indeed 1.1364 in 90 days, is $104,166.67.
What is Speculation?
Speculation is the process of engaging in a trade-in attempt to profit from changes in a stock's price, exchange rate, or commodity's price. This often involves predicting the future price movements of security using technological and statistical analysis.
In this scenario, Trensor Bank speculates that the Euro/USD exchange rate will fall to 1.1364 in 90 days. Calculation of Trensor Bank's dollar profit from speculating if the spot rate of the euro is indeed 1.1364 in 90 days:
Let's begin with the calculation of Trensor Bank's revenue from selling 16 million Euros for US Dollars:
16 million/1.1575 USD/EUR = $13,834,951.46This is the number of dollars that Trensor Bank will receive when it converts the Euros back to US dollars. Now, let's calculate the cost of converting those dollars back to Euros in 90 days using a forward contract.
The cost of converting $13,834,951.46 to Euros can be found using the forward rate of 1.1364 dollars per euro:$13,834,951.46 / 1.1364 USD/EUR = 12,157,616.35 EURThis is the number of Euros that Trensor Bank will get in 90 days when it uses the forward contract to buy Euros at 1.1364 dollars per euro. The profit that Trensor Bank makes is the difference between the revenue it gets from selling the 16 million Euros and the cost of buying those 16 million Euros back in 90 days. The revenue was $13,834,951.46, and the cost was $13,730,784.79, which gives us a profit of $104,166.67.
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Suppose that the cost of installing an overhead pedestrian walkway in a college town is $50,000. If the walkway is expected to reduce the risk of fatality by 0.5 percent and the cost of a human life is estimated at $5 million, what would the town do?
a. The town would install the walkway because the estimated benefit is twice the cost.
b. The town would install the walkway because the estimated benefit equals the cost.
c. The town would not install the walkway since the cost is twice the estimated benefit.
d.The town would install the walkway since the cost of even a single life is too great.
The town would install the walkway because the estimated benefit of reducing fatalities exceeds the installation cost. So the option (a) is correct.
The estimated benefit of installing the pedestrian walkway is determined by the reduction in the risk of fatality. It is stated that the walkway would reduce the risk of fatality by 0.5 percent.
To calculate the estimated benefit, we need to consider the value of a human life. Given that the cost of a human life is estimated at $5 million, we can calculate the monetary value of reducing the risk of fatality by 0.5 percent.
0.5 percent of the population in the college town is expected to benefit from the reduced risk of fatality. So, the estimated benefit can be calculated as follows:
Estimated Benefit = 0.005 (0.5 percent) * Population * Value of a human life
Since the population is not provided in the question, we cannot calculate the exact estimated benefit. However, if the estimated benefit exceeds the installation cost of $50,000, then the town would install the walkway.
Considering that the estimated benefit is typically much higher than the installation cost, it is reasonable to assume that the town would install the walkway (option a). The cost of a single human life is considered too great, and even a small reduction in the risk of fatality can outweigh the installation cost.
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When someone asks whether they could improve their circumstance with a little more or less of something, they are taking into account the principle. marginal X cost-benefit opportunity cost interdependence
When someone asks whether they could improve their circumstance with a little more or less of something, they are taking into account the principle of the marginal cost-benefit.
What is the principle of marginal cost-benefit? The principle of marginal cost-benefit is the concept of adding or subtracting a small amount from an action or decision to determine its effects. It is the incremental cost of a decision or action, as well as the incremental benefit of the decision or action. Marginal cost refers to the cost of producing one more item, while marginal benefit refers to the benefit of one more item. Marginal cost and marginal benefit are used in economics to determine the most efficient use of resources and to make informed choices about production, spending, and investment. When someone inquires if they can improve their situation with a little more or less of something, they are taking into account the principle of marginal cost-benefit. The reason for this is that they are considering the incremental expense or benefit of adding or removing a little amount from their decision.
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Which of the following is true about the Constitution Act 1982 ?
a) It restructured the three main branches of the government .
b)incorporated the Canadian Charter of Rights and Freedoms to the Constitution .
c)It amended the Constitution Act 1867 and provided the division of powers between the federal and provincial government .
d) It allowed for the public to be able to elect members of the judiciary
The statement that is true about the Constitution Act 1982 is that it incorporated the Canadian Charter of Rights and Freedoms to the Constitution.
The Constitution Act 1982 is a portion of the Constitution of Canada that was enacted by the Parliament of the United Kingdom. It incorporated the Constitution Act, 1867, and the Canada Act 1982, which was passed by the Canadian Parliament. The Constitution Act 1982 is the most recent amendment to the Canadian Constitution.
The Canadian Charter of Rights and Freedoms is a constitutional document that outlines the fundamental rights and freedoms of Canadian citizens. It is included in the Constitution Act 1982. The Charter contains a series of provisions that protect the rights of Canadian citizens, including freedom of expression, freedom of religion, and the right to a fair trial. The Charter is often referred to as the "Bill of Rights" for Canadians.
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. In 1995, the actual unemployment rate was 5.6%, the natural unemployment rate was 5.3%, and potential GDP was 9,216.4 billion. Determine the actual output in 1995 applying Okun's 2+ law. +
Okun's law describes the relationship between unemployment and GDP; specifically, it implies that as unemployment decreases, GDP rises, and vice versa.
Arthur Okun, an American economist, first proposed this theory in the 1960s. According to Okun's Law, for every 1% increase in the unemployment rate above the natural unemployment rate, there is a 2% decrease in output below potential GDP. Let's calculate the potential output:
Actual unemployment rate = 5.6%
Natural unemployment rate = 5.3%
Potential GDP = 9,216.4 billion
Natural output = (1 - 5.3%) x 9,216.4 billion = 8,721.45 billion
Since the actual unemployment rate is higher than the natural unemployment rate, there is a gap between the potential GDP and the actual GDP. To determine the actual output, we will use Okun's 2+ law:2*(Actual output - Potential output)/Potential output = (Actual unemployment rate - Natural unemployment rate)/Natural unemployment rate2*(Actual output - 8,721.45 billion)/8,721.45 billion = (5.6% - 5.3%)/5.3%2*(Actual output - 8,721.45 billion)/8,721.45 billion = 0.0566/0.0530Actual output - 8,721.45 billion = (0.0566/0.0530) * 8,721.45 billion - 8,721.45 billionActual output - 8,721.45 billion = 522.19 billion Actual output = 9,243.64 billion
Therefore, the actual output in 1995 applying Okun's 2+ law is 9,243.64 billion.
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A positive differentiation factor based on a product's experience or credence characteristics typically presents sellers with less of communication challenge compared with search characteristics. Select one: O True O False
True.
The statement is true. A positive differentiation factor based on a product's experience or credence characteristics typically presents sellers with less of a communication challenge compared to search characteristics.
Search characteristics are those attributes of a product or service that can be easily observed and evaluated by consumers before making a purchase decision. These attributes can be communicated effectively through advertising, packaging, or other marketing channels. Sellers can provide detailed information about search characteristics to help consumers make informed choices.
On the other hand, experience or credence characteristics are attributes that are difficult to evaluate or verify even after purchase. Consumers rely on trust, reputation, or past experiences to assess these characteristics. Communication about experience or credence characteristics may require more effort from sellers, as they need to establish trust and credibility through testimonials, reviews, or other means. However, positive differentiation based on experience or credence characteristics can also create a competitive advantage and build customer loyalty over time.
Overall, while communication challenges may exist for both types of characteristics, positive differentiation based on experience or credence characteristics generally presents sellers with relatively fewer communication challenges compared to search characteristics.
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Assuming James were to take on a sole investor who gives him a total of $100,000 for a 60 percent stake in his company, how much is James’ business valued at?
Part 4. The value of James' business is $166,667. option A
Part 5. the most favorable trade credit term for James would be "2/10, Net 30. Option A
Part 4: To calculate the value of James' business, we can use the concept of valuation based on the investor's stake. If the investor is giving James $100,000 for a 60 percent stake in the company, we can set up a proportion to find the total value of the business.
Let "x" be the total value of the business. We can write the proportion as:
$100,000 / x = 60% / 100%
Simplifying the proportion, we have:
$100,000 / x = 0.6
Cross-multiplying, we get:
0.6x = $100,000
Dividing both sides by 0.6, we find:
x = $100,000 / 0.6
x = $166,667
Therefore, the value of James' business is $166,667.
The correct answer is A) $166,667.
Part 5: As James markets his bike tires to sporting goods manufacturers, the most favorable trade credit terms for him would be those that provide a shorter payment period and offer an early payment discount. This allows James to receive payment quickly and potentially benefit from a discount.
Among the options provided, the trade credit term that would be most favorable to James is "2/10, Net 30." This means that if the manufacturers pay within 10 days, they can take a 2% discount, and if they don't take the discount, the full payment is due within 30 days.
This gives James the advantage of receiving payment earlier if the manufacturers choose to take the discount, or receiving the full payment within a reasonable timeframe if they don't.
Therefore, the most favorable trade credit term for James would be "2/10, Net 30."
The correct answer is "2/10, Net 30."
Option A
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Note the complete question is:
Finance & Banking - HW Savel Help Save & Exit Required information 17 7d. Assuming James were to take on a sole investor... Part 4 of 5 Assuming James were to take on a sole investor who gives him a total of $100,000 for a 60 percent stake in his company, how much is James' business valued at? 434 points Multiple Choice $166667 $100,000 $60,000 $1000.000 Required information 18 As James markets his bike tires to sporting goods manufacturers, what trade credit terms would be the most favorable to him not the manufacturers? Part 5085 Multiple Choice 4.34 points Net 15 Net 30 2/10, Net 60 Net 50 2/10. Net 30
3. Can you think of a reason why people in general do not lend money to one another? How would your answer explain the existence of financial intermediaries? Explain in not more than three sentences. [)
People in general do not lend money to one another because of the lack of trust. They do not know whether they will get their money back or not.
The existence of financial intermediaries is because of the need for a trustworthy and reliable third party who will act as a mediator and provide security to the lender's money and ensure repayment.Due to a general lack of confidence, people seldom give money to one another. They are unsure of whether or not they will receive their money back. The requirement for a trustworthy and dependable third party to act as a mediator, provide security for the lender's money, and assure repayment led to the creation of financial intermediaries.
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2) The index model has been estimated for stocks A and B with the following results:
RA = 0.06 + 0.5RM + eA. RB = 0.12 + 0.39RM + eB. σM = 0.25; σ(eA) = 0.16; σ(eB) = 0.20.
a) What is the covariance between the returns on stocks A and B? [10 marks]
b) Without performing any calculation, determine which of the two stocks has higher systematic risk? Explain your answer. [10 marks]
c) Compute the two components (firm-specific and systematic) of the total risk for each of stock A and B? [25 marks]
d) Assuming that the risk-free rate is constant at 3%, calculate the new intercept for the non-modified version (in terms of total returns r instead of excess returns R ) of the SIM model for stock A.
a) The covariance between the returns on stocks A and B can be calculated using the formula:
Cov(A, B) = βA * βB * Cov(M, M) + βA * Cov(M, eB) + βB * Cov(M, eA) + Cov(eA, eB)
From the given information, we have:
βA = 0.5
βB = 0.39
Cov(M, M) = σM^2 = (0.25)^2 = 0.0625
Cov(M, eA) = 0 (since the index model assumes no covariance between the market and the firm-specific error)
Cov(M, eB) = 0 (since the index model assumes no covariance between the market and the firm-specific error)
Cov(eA, eB) = 0 (since the index model assumes no covariance between the firm-specific errors of different stocks)
Using these values, we can calculate the covariance between the returns on stocks A and B:
Cov(A, B) = (0.5) * (0.39) * (0.0625) + (0.5) * (0) + (0.39) * (0) + (0) = 0
Therefore, the covariance between the returns on stocks A and B is 0.
b) The systematic risk of a stock is represented by its beta (β). A higher beta indicates higher systematic risk. Comparing the given betas, we can see that βA = 0.5 and βB = 0.39. Since βA > βB, stock A has higher systematic risk than stock B.
c) The total risk of a stock can be divided into two components: systematic risk and firm-specific risk.
For stock A:
Total Risk (σA^2) = (βA^2) * (σM^2) + (σ(eA)^2)
Total Risk (σA^2) = (0.5^2) * (0.25^2) + (0.16^2)
Total Risk (σA^2) = 0.03125 + 0.0256
Total Risk (σA^2) = 0.05685
Systematic Risk (βA^2 * σM^2) = (0.5^2) * (0.25^2) = 0.03125
Firm-Specific Risk (σ(eA)^2) = (0.16^2) = 0.0256
For stock B:
Total Risk (σB^2) = (βB^2) * (σM^2) + (σ(eB)^2)
Total Risk (σB^2) = (0.39^2) * (0.25^2) + (0.20^2)
Total Risk (σB^2) = 0.0380625 + 0.04
Total Risk (σB^2) = 0.0780625
Systematic Risk (βB^2 * σM^2) = (0.39^2) * (0.25^2) = 0.0380625
Firm-Specific Risk (σ(eB)^2) = (0.20^2) = 0.04
d) To calculate the new intercept for the non-modified version of the SIM model for stock A, we need to convert the excess returns to total returns by adding the risk-free rate.
New Intercept = Intercept - (βA * Risk-Free Rate)
New Intercept = 0.06 - (0.5 * 0.03)
New Intercept = 0.06 - 0.015
New Intercept = 0.045
Therefore, the new intercept for the non-modified version of the SIM model for stock A is 0.045.
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The following option prices were observed for calls and puts on a stock on July 6 of a particular year. The stock was priced at $163.85. The expirations are July 17, August 21 and October 16. The continuously compounded risk free rates associated with the three expirations are 0.0207, 0.0229 and 0.0255. The standard deviation is 0.33. A strip is variation of a straddle involving two puts and a call. Construct a short strip using the August 170 options. Hold the position until the options expire. The stock price at expiration is 160. Use the Click to open: model to solve this Compute the following by typing in your answers below (i) Provide all the inputs that you will enter in the Excel. (ii) Identify the break even stock prices at expiration minimum profits (ii) Compute the Calls Puts Strike Jul Aug Oct Jul Aug 160 5.15 7.25 10.25 0.18 1.95 165 1.85 4.60 7.25 1.60 3.95 170 0.20 2.60 5.35 4.95 6.70 Oct 3.70 5.95 8.20
Short Strip using the August 170 options is constructed as follows: Short Strip Constructed Strike Price Option Sold/PurchasedCost 170 Put Purchased 2.6 170 Call Sold 5.35 160 Put Purchased 1.95 Net Cost of Options-1.8
For a Short Strip using August 170 options, break-even stock prices at expiration minimum profits is computed as follows: Break-even stock prices = Strike price + Net cost of options= 170 - 1.8= 168.2Minimum profits= $0To compute the following, we will use the Black-Scholes formula with the inputs provided in the question.Black-Scholes Formula for European Call and Put OptionsCall Option Price[tex]= S_tN(d1) - Xe^(-r(T-t))N(d2)[/tex] Put Option Price [tex]= Xe^(-r(T-t))N(-d2) - S_tN(-d1)[/tex] where: S_t = Current stock price = $160X = Strike price of the option = $170T-t = Time to expiration = 0.163 r = Continuously compounded risk-free rate = 0.0229σ = Standard deviation of stock return = 0.33
The Call and Put options using the Black-Scholes formula are computed as follows:For Call options:For Put options:Using the above formulas, we have:Call option price= $0.75Put option price= $10.49Therefore, we can say that the Call option price is $0.75, while the Put option price is $10.49.
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Choose one of the leaders from the "Leaders with values" video. I choose Barack Obama
Describe the leadership obstacles this person faced.
Describe the actions or behaviors that he/she did that showed leadership attributes.
What showed that this person was a leader?
Explain what stood out to you that made you choose this individual?
Obama's leadership style, characterized by effective communication, resilience, inclusiveness, and inspiration, made him a standout leader.
Barack Obama faced several leadership obstacles throughout his career, particularly during his tenure as the 44th President of the United States. One significant obstacle was the deep partisan divide and political polarization within the country.
Obama inherited a nation grappling with economic recession, wars in Iraq and Afghanistan, and a divided Congress. These circumstances posed challenges to his ability to enact policy changes and implement his vision for the country.
Despite these obstacles, Obama displayed numerous leadership attributes through his actions and behaviors. He demonstrated strong communication skills, delivering inspiring speeches that resonated with people from diverse backgrounds.
His ability to articulate a vision for progress and unite people around common goals showcased his leadership qualities.
Obama also exhibited resilience and determination in the face of opposition. He remained focused on his objectives and worked tirelessly to navigate through political hurdles and secure policy victories, such as the Affordable Care Act and the economic stimulus package.
Additionally, Obama demonstrated empathy and inclusiveness in his leadership approach. He prioritized listening to different perspectives and engaging in dialogue with individuals and groups who held differing viewpoints. He aimed to bridge divides and find common ground, emphasizing the importance of unity and understanding.
What stood out about Barack Obama as a leader was his ability to inspire and mobilize people. His charisma, intellect, and ability to connect with diverse audiences made him a compelling figure.
He embodied the values of integrity, empathy, and a commitment to progress. His historic election as the first African American President of the United States also symbolized a significant milestone in the country's history.
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according to the functional distribution of income, in the united states
According to the functional distribution of income, in the United States, the income is distributed among the four primary factors of production. These factors are labor, capital, land, and entrepreneurship.
Functional distribution of income refers to the division of national income among the primary factors of production in an economy. It determines the portion of the total income received by different factors of production such as labor, capital, land, and entrepreneurship.In the United States, the largest share of income is earned through labor. The income earned by employees in exchange for their work is known as wages.
As such, most Americans receive their income from labor-related activities, which is the primary source of personal income for most people.
Capital income is the second-largest source of income in the United States. This type of income is earned from ownership of assets like stocks, real estate, bonds, and other investments. People who receive capital income are not directly involved in the production process.
Entrepreneurship income, on the other hand, is earned by individuals who create businesses and take the risk to earn profits or incur losses. This income is not as widespread as the other two types of income.Finally, land income is the income received by landowners for the use of their land. This is considered a minor source of income compared to the other factors.
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.On 31.12.2019, a company sells a machine at a price of 30000€ excluding VAT of 17% which was initially acquired at a price of 100000€ excluding VAT. The machine was amortized up to 50000€ at the end of 2018. The useful life of the machine is 10 years, and it has no residual value. Moreover, the depreciation for the current year has not yet been recorded.
Indicate whether the sale has ended in a benefit or a loss.
Please record the journal entries related to these transactions.
To determine whether the sale of the machine has resulted in a benefit or a loss, we need to compare the selling price with the carrying value of the machine.
The carrying value of the machine at the end of 2019 is the initial cost minus the accumulated depreciation up to that point:
Carrying value = Initial cost - Accumulated depreciation
Carrying value = €100,000 - €50,000 = €50,000
Since the selling price of the machine is €30,000, which is less than the carrying value of €50,000, the sale has ended in a loss.
The journal entries for these transactions would be as follows:
To record the sale of the machine:
Debit: Accounts Receivable - Sales (€30,000)
Credit: Sales Revenue (€30,000)
To remove the carrying value of the machine from the books:
Debit: Accumulated Depreciation (€50,000)
Credit: Machine (€50,000)
To record the loss on the sale:
Debit: Loss on Sale of Machine (€20,000)
Credit: Machine (€20,000)
Note: VAT is not considered in these journal entries as it is not mentioned in the given information. Please consult with a professional accountant or refer to specific accounting regulations in your jurisdiction for the appropriate treatment of VAT in this transaction.
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In which of the following cases does a class action occur?
A) There are no factual disputes to be decided by the jury.
B) The defendant has multiple grounds for appeal.
C) A group of plaintiffs collectively brings a lawsuit against a defendant.
D) The plaintiff does not reply to the defender's cross-complaint
A class action occurs when a group of plaintiffs collectively brings a lawsuit against a defendant. Thus, the correct option among the following cases in which a class action occurs is option C.
A class action lawsuit is brought by a large group of people who have been similarly harmed or affected by a particular defendant. The plaintiff or the person who initiates the lawsuit will bring the suit on behalf of the entire group or class of people.In a class action lawsuit, the class is represented by a lead plaintiff who serves as the primary point of contact for the plaintiffs and the court. Class actions occur when multiple people have been similarly affected by a defendant's actions, such as in a product liability case where a defective product caused harm to multiple individuals.
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You buy a TIPS at issue at par for $1,000. The bond has a 5% coupon. Inflation turns out to be 4%, 6%, and 6% over the next 3 years. The total annual coupon income you will receive in year 3 is *Round your answer to the nearest two decimals. *Do not include the $ symbol. *Hint: The question refers to the monetary value of the coupor pressed in dollar terms.
The total annual coupon income you will receive in year 3 is$50.00 + $4.00 = $54.00. This can be divided into two parts: a fixed coupon payment of $50.00 and an inflation adjustment of $2.80Rounding this amount to the nearest two decimals, the answer is $52.80..
Inflation-Protected Securities (TIPS) are bonds whose principal and coupon payments are adjusted for inflation. In this scenario, you purchased a TIPS bond at its issue price of $1,000, with a 5% coupon rate. The coupon payment is calculated based on the bond's par value, which in this case is $1,000, and the coupon rate. Therefore, the annual coupon income is $1,000 * 5% = $50.00.
The TIPS bond's coupon payment is adjusted for inflation each year. Over the next three years, inflation rates are 4%, 6%, and 6%. To calculate the inflation adjustment, we sum up the inflation rates and multiply them by the coupon payment. This gives us (4% + 6% + 6%) * $50.00 = 16% * $50.00 = $8.00. However, the question asks for the total annual coupon income in year 3, so we divide the inflation adjustment by 2, resulting in $8.00 / 2 = $4.00 per year.
Finally, we add the fixed coupon payment of $50.00 and the inflation adjustment of $4.00 to get the total annual coupon income in year 3: $50.00 + $4.00 = $54.00. Rounding this amount to the nearest two decimals, the answer is $52.80.
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The company bought a machine for TL 10,000 on January 1st, 2018. The useful life of the machine was 5 years. At the end of 2020, the company realized that the production level was very low that year because of the Covid-19 Pandemic, and the useful life of the machine had changed. The company estimated that the remaining useful life for the machine was 4 years, starting with the 2020 financial statements. The company is using the straight-line depreciation method. Find the depreciation amounts for the relevant years. please show all work, steps, and explanations how you find the depreciation amount for each year! Date Depreciation Amount Explanation December 31,2018 December 31,2019 December 31,2020 December 31,2021 December 31,2022 December 31,2023
As the company has bought a machine for TL 10,000 on January 1st, 2018, with the useful life of the machine as 5 years and it is using the straight-line depreciation method.
It needs to find the depreciation amounts for the relevant years according to the given data. The depreciation amount is given by the formula: Depreciation Amount = (Cost of Asset - Salvage Value) / Useful LifeWhere, Cost of Asset = TL 10,000 Salvage Value = 0 Useful Life = 5 (for 2018, 2019, 2020), 4 (for 2021, 2022, 2023)
December 31, 2018: At the end of the year 2018, the machine was in use for only one year. Depreciation Amount for the year 2018 = (TL 10,000 - 0) / 5= TL 2,000. Thus, the Depreciation Amount for the year 2018 is TL 2,000 December 31, 2019: At the end of the year 2019, the machine was in use for two years. Depreciation Amount for the year 2019 = (TL 10,000 - 0) / 5= TL 2,000.
Thus, the Depreciation Amount for the year 2019 is TL 2,000December 31, 2020: At the end of the year 2020, the company realized that the production level was very low that year because of the Covid-19 Pandemic, and the useful life of the machine had changed.
The company estimated that the remaining useful life for the machine was 4 years, starting with the 2020 financial statements. As per the estimation, the remaining useful life for the machine is 4 years. Therefore, the Depreciation Amount for the year 2020 = (TL 10,000 - 0) / 5= TL 2,000Depreciation Amount for the year 2021 = (TL 10,000 - 0) / 4= TL 2,500
Thus, the Depreciation Amount for the year 2020 is TL 2,000 and for the year 2021 is TL 2,500 December 31, 2022:Depreciation Amount for the year 2022 = (TL 10,000 - 0) / 4= TL 2,500
Thus, the Depreciation Amount for the year 2022 is TL 2,500 December 31, 2023:Depreciation Amount for the year 2023 = (TL 10,000 - 0) / 4= TL 2,500.
Thus, the Depreciation Amount for the year 2023 is TL 2,500 Hence, the Depreciation Amount for the years 2018, 2019, 2020, 2021, 2022, and 2023 is TL 2,000, TL 2,000, TL 2,000, TL 2,500, TL 2,500, and TL 2,500, respectively.
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A municipal bond has a coupon rate of 6.04 percent and a YTM of 5.67 percent. If an investor has a marginal tax rate of 39 percent, what is the equivalent pretax yield on a taxable bond?
A) 3.46%
B) 9.90%
C) 3.68%
D) 6.49%
E) 9.30%
Coupon rate = 6.04%YTM = 5.67%Marginal Tax Rate = 39%To find: Equivalent pretax yield on a taxable bond The equivalent pre-tax yield on a taxable bond is calculated using the formula; After-tax yield of municipal bond = Pre-tax yield of taxable bond × (1 − Marginal tax rate)
We have the following formula to find out equivalent pre-tax yield on a taxable bond: After-tax yield of municipal bond = Pre-tax yield of taxable bond × (1 − Marginal tax rate)The After-tax yield on Municipal bond is given as: After-tax yield of municipal bond = 6.04% − (6.04% × 0) = 6.04%The Pre-tax yield on a taxable bond can be calculated as follows:6.04% × (1 − 0.39) = 6.04% × 0.61 = 3.6864% ≈ 3.68%Therefore, the equivalent pre-tax yield on a taxable bond is 3.68%.Hence, the main answer is option C) 3.68%.
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In the country of Greenlandia the public holds $10 billion in currency but most transactions are
electronic. Bank reserves equal $50 billion. The central bank is increasing the reserve
requirement from 10 to 15 percent and they want to avoid any chance in the money supply. By
how much must the central bank increase bank reserves to keep the money supply the same? In
practice, how can the central bank increase the amount of bank reserves?
The central bank of Green landia wants to increase bank reserves from 10% to 15%, without changing the money supply.
The public has $10 billion in currency, and bank reserves equal $50 billion. In order to keep the money supply the same, the central bank must increase bank reserves by $12.5 billion. This is calculated as follows: Initial Required Reserve Ratio = Required Reserves / Deposit Total Deposits = $50 billion / 0.10Total Deposits = $500 billion If the required reserve ratio increases to 15%, then the required reserves will increase to $75 billion. Total Deposits = $75 billion / 0.15Total Deposits = $500 billion If the total deposits remain constant, then the central bank will need to increase bank reserves to $62.5 billion to meet the new reserve requirement. This is an increase of $12.5 billion. The central bank can increase bank reserves in a number of ways: By lending directly to banks, By purchasing government bonds from banks, By lowering the discount rate.
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You hedged your exposure to declining interest rates by buying one December call on Eurodollar deposit futures at the premium quoted below. Call Strike price Call premium in basis points Maturity 975000 29.75 December How much did you pay for the call in dollars if you chose the strike price of 975000? (remember that each basis point is worth $25)
Given that a person hedged their exposure to declining interest rates by buying one December call on Eurodollar deposit futures at the premium quoted below. The call Strike price is 975000. The Call premium is in basis points 29.75. The Maturity date is December.
We need to find out how much did you pay for the call in dollars if you chose the strike price of 975000? (remember that each basis point is worth $25). The solution to the given problem is as follows: It is given that each basis point is worth $25.
Therefore, we can calculate the premium value of the call in dollars by multiplying the basis points by the worth of each basis point. So, the premium of the call can be calculated as follows:
Call premium (in dollars) = Call premium (in basis points) × $25
Now, let us put the given values into the above equation and calculate the premium value of the call: Call premium (in dollars) = 29.75 × $25 = $743.75
Therefore, the person paid $743.75 for the call in dollars if he chose the strike price of 975000. Hence, option (c) is the correct answer. Key Points:
In options trading, a call option is a contract that gives the buyer the right to buy an asset, such as a stock, commodity, or currency, at a specified price (strike price) within a specified period (expiry date).
Eurodollar futures are financial derivatives that track the expected interest rates of U.S. dollar-denominated deposits held in banks outside the United States.
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Accumulated Depreciation-Building
$365,000
Peter Bronsky, Capital
Peter Bransky, Drawing
$530,000
Administrative Expenses
Buliding
810,000
Sales
15,000
Cash
70,000
Sales Tax Payable
1,437,000
Cast of Merchandise Sold
775,000
Selling Expenses
4.500
Interest Expense
6,000
Store Supplies
160.000
Merchandise Inventory
115,000
Store Supplies Expense
16,000
Notes Payable
21.500
Prepare the July 11, 2019, sing entries for Serbian Intenors Company in the order as presented in the chape
For a compound transaction, an amount box does not require an entry leave blank
July 31
This journal entry, as below, records the repayment of notes payable in cash. These journal entries for Serbian Interiors Company on July 11, 2019 are as follows.
What are the journal entries for Serbian Interiors Company on July 11, 2019?Journal Entries:
Accumulated Depreciation - Building $365,000Building $365,000(This entry records the depreciation expense on the building).
Peter Bronsky, Capital $530,000Peter Bronsky, Drawing $530,000(This entry records Peter Bronsky's capital and his drawing from the business}.
Administrative Expenses $810,000Cash $810,000(This entry records the payment of administrative expenses in cash).
Sales $15,000Cash $15,000(This entry records the cash sales made by the company(
Sales Tax Payable $1,437,000Cash $1,437,000(This entry records the collection of sales tax payable in cash).
Cost of Merchandise Sold $775,000Merchandise Inventory $775,000(This entry records the cost of merchandise sold and reduces the merchandise inventory).
Selling Expenses $4,500Cash $4,500(This entry records the payment of selling expenses in cash).
Interest Expense $6,000Cash $6,000(This entry records the payment of interest expense in cash).
Store Supplies $160,000Cash $160,000(This entry records the purchase of store supplies in cash).
Merchandise Inventory $115,000Store Supplies Expense $115,000(This records the consumption of store supplies as an expense and reduces the merchandise inventory).Notes Payable $21,500Cash $21,500(This entry records the repayment of notes payable in cash)
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