A trader opens a large position in one contract of eurodollar futures. When the futures contract quote rises by 6 basis points, the trader makes a profit of $150.
A large position in an ED futures market is essentially a short call on the interest rate for the 90-day LIBOR period. In the previous illustration, the implied LIBOR rate dropped besides 8 percentage points, from 8. 0% to 7. 92%, resulting in a profit of 8 x 25 = $200 on the long position. The implied 3-month US dollar LIBOR rate of interest is subtracted from 100 to depict the price of Eurodollar futures in numbers. In this manner, a $96.00 price for a eurodollar futures contract represents an implied 4% settlement interest rate, or 100 less 96. Inversion of price and yield.
( A trader enters into a long position in one Eurodollar futures contract. How much does the trader gain when the futures price quote increases by 6 basis points?
A. $6
B. $150
C. $60
D. $600)
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The main goal of the ________ is to motivate employees to improve team- or company-level efficiency.
Answer:
ProMES
Explanation:
Which best describes a central bank’s primary goals?
Limiting inflation and reducing unemployment.
Reducing unemployment and maintaining cash flow.
Controlling stagflation and reducing unemployment.
Managing credit and ensuring the money supplies liquidity.
Answer: A-limiting inflation and reducing unemployment
Explanation: edeg2020
The primary goal of the central bank of a country is to:
Limiting inflation and reducing unemployment.What is the central bank?The central bank is the highest bank of the country. This is the bank that is in charge of all other banks in the nation.
The bank is responsible for the control of the country's currency. They are also responsible for the supply of liquidity.
But their main function in the economy is to Limit inflation and reduce unemployment.
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krysta wants to take piano lessons. she asked a teacher how many new pieces she could expect to learn each month. the teacher gave an estimate of 3. write an equation that shows how the total number of pieces krysta would learn, y, depends on the number of months of piano lessons, x.
The required equation is y = 3x which represents the total number of pieces Krysta would learn, where x months of piano lessons.
What is the Linear equation?A linear equation is defined as an equation in which the highest power of the variable is always one.
Krysta wants to learn to play the piano. She inquired with an instructor about the number of new pieces she could anticipate studying each month. The teacher estimated three.
Let y represent the total number of pieces Krysta would learn,
And x represent depends on the number of months of piano lessons,
According to the given situation, we can write the equation would be as:
⇒ y = 3x
Therefore, the required equation is y = 3x which represents the total number of pieces Krysta would learn.
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a bond has a par value of $1,000, a time to maturity of 20 years, and a coupon rate of 7.50% with interest paid annually. if the current market price is $750, what will be the approximate capital gain of this bond over the next year if its yield to maturity remains unchanged?
The approximate capital gain of this bond over the next year if its yield to maturity remains unchanged is $0.86.
The value of a bond is derived from the present value of its future cash flows. The present value of a bond's future cash flows is determined by the yield to maturity (YTM). A bond's yield to maturity is determined by the discount rate that makes the bond's present value equal to its market price.
Capital gain is defined as the increase in an investment's value over time. It is the difference between the purchase price and the current market price. Capital gain is computed as follows:
Capital gain = Current market price - Purchase price
According to the question, a bond has a par value of $1,000, a time to maturity of 20 years, and a coupon rate of 7.50% with interest paid annually. If the current market price is $750, the approximate capital gain of this bond over the next year if its yield to maturity remains unchanged is computed as follows:
PV of the bond= 75/0.075 - (1000/1.075^20)
PV of the bond= $749.14
Capital gain = Current market price - Purchase price = $750 - $749.14 = $0.86
Thus, the approximate capital gain of this bond over the next year if its yield to maturity remains unchanged is $0.86.
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Which is most likely to happen to consumers with good credit? Check all that apply.
They can be approved for loans.
They are denied a mortgage.
They can receive lower interest rates.
They are denied an unsecured loan.
They can use credit in emergencies.
They are forced into high interest rates.
Answer:
They can be approved for loans.
They can receive lower interest rates.
They can use credit in emergencies.
Explanation:
Good credit history is a result of sound debt management habits. A person with good credit is disciplined in the use of credit facilities. They are characterized by
They pay their debts on time.They do not miss installment payments.Are not overwhelmed by too many debts at a time.Lenders consider an individual with good credit as low-risk customers. Due to this reason, they are advanced loans at lower interest rates. Customers with good credit get their credit approvals within a short period.
Statements that explains things that most likely to happen to consumers that has good credit are;
They can be approved for loans.
They can receive lower interest rates.
They can use credit in emergencies.
A consumer credit system can be considered as one that give room to the consumers to borrow money or incur debt.It enable them to defer repayment of the money over time, and with good credit lower interest rates can be accessed.Learn more at
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assume that, on average, national banks engaged primarily in mortgage lending have their assets diversified in the following proportions: 60 percent residential, 15 percent commercial, 5 percent international, and 20 percent mortgage-backed securities. a local bank has the following distribution of mortgage loans: 50 percent residential, 30 percent commercial, and 20 percent international. how does the local bank differ from national banks?
The local banks differs from national banks in terms of asset diversification. The percentage of asset is different in these banks.
What is the difference between national bank and local bank?National banks engaged primarily in mortgage lending have their assets diversified in the following proportions: 60 percent residential, 15 percent commercial, 5 percent international, and 20 percent mortgage-backed securities. A local bank has the following distribution of mortgage loans: 50 percent residential, 30 percent commercial, and 20 percent international.
The local bank differs from national banks in terms of asset diversification. The national banks' assets are diversified as follows: 60% in residential loans. 15% in commercial loans. 5% in international loans. 20% in mortgage-backed securities. On the other hand, the local bank's assets are diversified as follows: 50% in residential loans. 30% in commercial loans. 20% in international loans. The national bank's asset diversification is more diverse than that of the local bank.
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a company in your portfolio just paid a $1 per share dividend. you expect the dividend to grow steadily at a rate of 4% per year indefinitely. if the cost of capital for the stock is 10%, what is the expected stock price in 2 years?
The expected stock price in 2 years is $150.
The expected stock price in 2 years can be calculated using the Gordon Growth Model. This model assumes that the dividend will grow at a steady rate indefinitely.
Calculate the dividend in 2 years.
Given that the dividend is currently $1 per share and is expected to grow at a rate of 4% per year, we can calculate the dividend in 2 years using the formula:
Dividend in 2 years = Dividend * (1 + Growth rate)^Number of years
Dividend in 2 years = $1 * (1 + 0.04)^2 = $1.0816 (rounded to four decimal places)
Calculate the expected stock price in 2 years.
The expected stock price in 2 years can be calculated by dividing the dividend in 2 years by the cost of capital minus the growth rate.
Expected stock price in 2 years = Dividend in 2 years / (Cost of capital - Growth rate)
Expected stock price in 2 years = $1.0816 / (0.10 - 0.04) = $150
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Consider a simple economy that produces only pies. The following table contains information on the economy's money supply, velocity of money, price level, and output. For example, in 2019, the money supply was $360, the price of a pie was $9.00, and the economy produced 800 pies.
The velocity of money in 2019 based on the information will be 20 and the nominal GDP is $7200.
From the complete information, the velocity will be calculated thus:
= Price level × Quantity / Quantity of money
= (9 × 800) / 360.
= 20
The nominal GDP will be:
= Price level × Quantity
= 9 × $800
= $7200
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Which of the following is not a true statement about value webs?
Group of answer choices
Value webs involve a collection of independent firms that use information technology to coordinate their value chains.
Value webs are inflexible and cannot adapt quickly to changes in supply and demand.
Value webs operate in a less linear fashion than traditional value chains.
Value webs are more customer-driven than traditional value chains.
Value webs involve highly synchronized industry value chains.
The correct answer is option b. Value webs are inflexible and cannot adapt quickly to changes in supply and demand is not a true statement about value webs.
Value webs are networks of businesses, suppliers, and clients connected to one another to form a flexible and adaptable value chain.
Information technology enables this network of businesses, enabling them to coordinate their operations and react swiftly to changes in supply and demand. Value webs enable clients to access a variety of goods and services from many providers, making them more customer-driven than traditional value chains.
Value webs also function less linearly than conventional value chains, enabling businesses to swiftly modify their strategy and operations in reaction to shifting market conditions.
Value webs can therefore respond to changes in supply and demand more effectively than traditional value chains because they are more flexible and adaptive.
Complete Question:
Which of the following is not a true statement about value webs?
Group of answer choices
a. Value webs involve a collection of independent firms that use information technology to coordinate their value chains.
b. Value webs are inflexible and cannot adapt quickly to changes in supply and demand.
c. Value webs operate in a less linear fashion than traditional value chains.
d. Value webs are more customer-driven than traditional value chains.
e. Value webs involve highly synchronized industry value chains.
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Whats needed to do an investment
Answer:
Bank account, ID and money
In order to effectively use price competition as a sustainable competitive advantage, a firm must have _____. Group of answer choices
Answer:
the lowest cost
Explanation:
the lowest cost
the lowest cost Is correct answer
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A company's managers should almost always give serious consideration to making significant adjustments in its camera/drone strategies and competitive approaches when
Such significant adjustments should be made when: All or most of its competitors are using mostly copycat competitive approaches that make it difficult for any of these companies to capture sales volumes and revenues big enough to earn profits large enough to meet investor expected EPS, ROE, and stock price appreciation targets.
Camera Strategies and Competitive ApproachesIt is noteworthy to know that, a company's management should always give serious consideration to creating significant adjustments in its camera strategies and competitive approaches when all or most of its competitors are inclined towards the copycat competitive approaches. Hence, making it difficult for any of such companies to capture sales volumes and revenues large enough to earn profits large enough to satisfy investor expected return on investment.
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How can the government be both a producer and a consumer in respect to its relationship with business
Answer:
they gonna tinda and be kind to the coatumets
Answer:
they are gonna tinda and be nice to the caotmautes
Explain the hipp of the primary sources below source: letter written by john rolfe
The correct answer to this open question is the following.
Explain the HIPP of the primary sources below source: "letter written by John Rolfe."
"H" stands for Historical context. John Rolf was an important component in the foundation and success of the Jamestown, Virginia colony, in the North American territory. In the letter, he explains the Governor of the colony, Thomas Dale, his reasons to marry Pocahontas, a Native American Indian woman.
"I" stands for the Intended audience. The Governor of Jamestown, Virginia colony, Thomas Dale. The intention of John Rolfe was to clearly explain his motives, trying to maintain his intact reputation before the people of Jamestown.
"P" stands for Purpose. Rolfe wanted the approval of the Governor, knowing that in those years, Native American Indians were considered savages that first needed to be converted to the Christian religion to be accepted in the colonial society.
"P" stands for Point of view. In this part, we have to understand the point the author is trying to convey. In this case, John Rolfe, an English man, and an important figure that brought the toc¿bacco seed from the Caribbean Islands to grow tobacco crops in Jamestown and made tobacco the king of crops in Virginia wanted to justify his actions but not wanted to compromise his position before the Jamestown society.
if disbursements are greater than receipts in anytime period the entrepeneur must either borrow funds or have cash in a bank account quizle
When disbursements are greater than receipts, entrepreneurs must either borrow funds or use cash reserves in a bank account to meet the shortfall.
If disbursements are greater than receipts in any time period, it means that the entrepreneur is spending more money than they are earning. In such a situation, the entrepreneur has two options: they can either borrow funds or use the cash they have in a bank account to cover the shortfall.
Borrowing funds is a common solution for entrepreneurs who face temporary cash flow challenges. They can approach financial institutions or lenders to obtain loans or credit lines to bridge the gap between their expenses and revenues.
By borrowing funds, entrepreneurs can ensure that they have enough capital to meet their obligations and continue operating their business.
Alternatively, entrepreneurs can use the cash they have in a bank account to cover the deficit.
This assumes that the entrepreneur has maintained sufficient cash reserves or savings to handle unexpected expenses or periods of reduced revenue. By utilizing their existing cash reserves, entrepreneurs can avoid incurring debt or interest charges associated with borrowing.
Choosing between borrowing funds or using existing cash reserves depends on various factors, including the entrepreneur's financial situation, creditworthiness, and the duration of the cash flow imbalance.
It's essential for entrepreneurs to carefully evaluate their options and consider the potential impact on their overall financial health, interest costs, and repayment terms before making a decision.
In summary, if disbursements exceed receipts, entrepreneurs must either borrow funds or utilize cash reserves in a bank account to cover the shortfall.
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The WTO has a __________________ that rules on trade disputes, giving the WTO an enforcement mechanism, something the GATT did not have.
The WTO has a Dispute Settlement Body (DSB) that rules on trade disputes, giving the WTO an enforcement mechanism, something the GATT (General Agreement on Tariffs and Trade) did not have.
The Dispute Settlement Body (DSB) is a key component of the World Trade Organization (WTO) and serves as the forum for resolving trade disputes among member countries.
It is an enforcement mechanism that was introduced by the WTO, and it has a formalized process for settling disputes based on established rules and procedures. The DSB plays a crucial role in maintaining the rules-based international trading system by providing a forum for member countries to resolve trade disputes in a fair and transparent manner.
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If you are a candidate for a position you should:
Answer:
Highlight the unique ways that you’ll be able to contribute in the role. Next, try to find the overlaps between your background and their needs. Look at your recent work, your education, and everything else you bring to the table. Think of everything from their point of view. your objective is to sell yourself to the hiring manager and convince him or her that you are a unique and strong candidate.
Explanation:
journal
March 01 March 03 March 09 March 15 March 27 Debit balance of Binod account Rs.25,000. Sold goods to Binod Rs.20,000. Sold goods for cash Rs. 10,000. Cheque received f
Journal entries of the given transactions are as follows.
Debit balance of Binod account Rs.25,000.Binod A/C.......Dr 25000
To cash A/C 25000
Sold goods to Binod Rs.20,000.Binod A/C.......Dr 20000
To Sales A/C 20000
Sold goods for cash Rs. 10,000.cash A/C.......Dr 10000
To Sales A/C 10000
A journal entry is the act of recording any transaction, whether one that is economic or not. An accounting diary that displays the debit and credit balances of a corporation lists transactions. Multiple recordings, each of which is either a debit or a credit, may be included in the journal entry.
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If you have easy access to a computer, your job search efforts should be limited to the Internet. Please select the best answer from the choices provided
Answer:
false
Explanation:
Answer: false
Explanation:
What is an exhibit?
A. An example of a similar case that took place before
B. A summary provided after a case is over
C. A document, record, or other object formally introduced as
evidence in the court
D. Any individual involved in a case
Answer:
exhibition for companies in a specific industry to showcase and demonstrate their new products and services. ... Also, an exhibition of businesses offering franchises and/or business opportunity packages for sale.
Answer:
c
Explanation:
i just took the test and you can find the answer on g.oo.gle
A document, photograph, object, animation, or other device formally introduced as evidence in a legal proceeding.
- Unemployment that is caused by changes in technology or reduced demand for certain products.
- Example: an example of this would be typewriter repairmen who are out of work because of the popularity of computers
Unemployment caused by changes in technology or reduced demand for certain products is often referred to as technological or structural unemployment.
This type of unemployment occurs when advances in technology or shifts in consumer preferences result in a decreased demand for specific goods or services, leading to job losses in those industries.
For instance, the example you provided of typewriter repairmen losing their jobs due to the rise in the popularity of computers is a classic illustration of technological unemployment. As computers became more prevalent and typewriters became obsolete, the demand for typewriter repair services declined significantly. Consequently, many typewriter repairmen found themselves unemployed because their skills were no longer in demand.
This type of unemployment highlights the need for workers to adapt and acquire new skills that are in demand in the changing job market. It also emphasizes the importance of investing in education and training programs that help individuals transition to new industries or occupations.
Therefore, unemployment caused by changes in technology or reduced demand for certain products is a significant challenge that can result in job displacement for individuals in specific industries. Adapting to these changes and acquiring new skills is crucial for individuals to remain employable in a rapidly evolving economy.
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Assume your balance is back at $0. You desperately want a TV for your bedroom, but you don’t have any money saved. You put the $229 TV on your credit card and make the minimum monthly payment each month.
How much is that minimum payment?
Answer:
19.0833333333
Explanation:
Since there is 12 months a year in total, it will cost $19.0833333333 a month
Answer:
$19.08
Explanation:
Welfare includes all of the following EXCEPT
(a) Social Security
(b) Medicare
(c) Occupational Safety and Health Administration
(d) Medicaid
Answer:
(C) Occupational Safety and Health Administration
will and bill both enjoy sunshine, water, and surfboards. thus, the two friends decided to create a business together renting surfboards, paddle boats, and inflatable devices in california. will and bill will equally share in the decision making and in the business profits or losses. which type of business did they create if they both have full personal liability for the firm's debts? question 7 options: sole proprietorship limited partnership corporation joint stock company general partnership
General partnership business they will create if they both have full personal liability for the firm's debts. In this, each partner is responsible for the business decisions made by the partnership.
A general partnership is a type of commercial agreement when two or more people concur to split the duties, resources, earnings, and legal and fiscal liabilities of a jointly owned company. In a general partnership, partners consent to personally bear potentially limitless liability. Liabilities are not limited, as they are in, say, a firm organized as a partnership with limited liability. In addition to the prospect of an owner's assets being seized, partners are accountable for the debts. Additionally, any partner could be held liable for the company's debts. A general partnership is pass-through organization, meaning that all revenue accrues to the owners directly. As such, each partner must record their portion of partnership gains or losses on their individual tax returns. The partnership itself isn't subject to tax.
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Why is it important to use the right strategies to beat competition?:
Answer:
Therefore, competitive strategy is essential for the survival of the product in the market. Having a new competitive strategy to beat rival companies or their products by renaming or redesigning their products will help the company to be more profitable and create an image new on the market.
When stock and other corporate securities are sold directly to insurance companies, pension funds, or large institutional investors it is said that a(n) ____ has been made.
Answer: private placement.
Explanation:
what is the purpose of the health insurance portability and accountability ac?
The Health Insurance Portability and Accountability Act (HIPAA) is a federal law that was enacted in 1996 with the purpose of protecting patients' healthcare information privacy and security.
It was designed to improve the efficiency and effectiveness of the healthcare system by creating national standards for electronic healthcare transactions and privacy protections for individual health information.
HIPAA has two main objectives: portability and accountability. Portability refers to the ability of individuals to keep their health insurance coverage when they change jobs or health plans, regardless of pre-existing conditions. This means that individuals are no longer tied to a specific employer for healthcare coverage.
Accountability refers to the responsibility of healthcare providers, insurance companies, and other entities that handle health information to safeguard patient data and maintain privacy.
HIPAA has helped to establish standards for the handling and storage of electronic health information, ensuring that patient data is secure and private. The law requires healthcare providers and insurance companies to use standardized codes for billing and other transactions, making it easier to track and monitor healthcare costs.
Overall, HIPAA has played a critical role in improving the healthcare system by promoting efficiency, protecting patient privacy and security, and ensuring accountability among healthcare providers and insurance companies.
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What can a boosted post help an advertiser achieve?
A boosted post helps an adviser to connect with the audience and gain trust.
Boosted post is a kind of post that is used on social media platforms in order to enhance the page of the platform and to attract audience to the page. Boosted post can help better communication with the audience along with the increase in a greater number of messages, calls and texts. Boosted posts help for better advertisements of the product. For example, A Chocolate brand may use Boosted posts to gain audience as well as consumers. Boosted posts helps an adviser to be discovered among people, to establish a benchmark in the market and to gain more and more customers. It's a kind of marketing strategy used for publicity purpose.
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The use of replacement cost of assets for purposes of calculating return on investment (ROI) has the advantage of: Group of answer choices Objectivity. Consistency with generally accepted accounting principles (GAAP). Historical accuracy. Avoiding the need for developing estimates of current cost. Being a relevant measure of the level of investment in a continuing business.
The use of replacement cost of assets for calculating return on investment (ROI) has the advantage of: Consistency with generally accepted accounting principles (GAAP).
The concept of replacement cost aligns with the principle of conservatism in accounting, which states that assets should be recorded at the lower of their cost or replacement cost.
Generally accepted accounting principles (GAAP) emphasize the importance of providing relevant and reliable financial information to users.
By using the replacement cost of assets, the ROI calculation adheres to the principle of conservatism and ensures consistency with GAAP.
The advantage of using the replacement cost of assets for ROI calculation is that it aligns with GAAP principles, providing consistency and reliability in financial reporting.
It accurately reflects the potential economic impact of asset replacement, which is essential for making informed investment decisions.
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Using a budget is a good way to what?
A.)stay out of debt
B.)avoid risky investments
C.)pay for utility bills
D.)earn dividends
Answer: A. stay outta debt
Answer:
A stay out of debt
Explanation:
A budget gives you an action plan and clear picture of where your money is ending up each month. Budgeting will help you achieve the goals you’re working toward whether that’s getting out of debt, saving for retirement, or just trying to keep your grocery bill from getting out of hand.