Bonds Payable were issued to purchase a Building. This transaction would be reported in the statement of cash flows in: 1) the cash flows from operating activities section. 2) a separate schedule as a noncash investing and financing activity. 3) the cash flows from investing activities section. 4) the cash flows from financing activities section.

Answers

Answer 1

The transaction of issuing Bonds Payable to purchase a Building would be reported in the statement of cash flows in the cash flows from financing activities section (4).

The issuance of Bonds Payable to purchase a Building represents a financing activity rather than an operating or investing activity. In the statement of cash flows, cash flows from financing activities include transactions related to obtaining or repaying capital from owners or creditors. Bonds Payable are a form of long-term debt financing, and the funds raised from issuing these bonds are used to finance the acquisition of the Building.

Hence, the transaction would be reported in the cash flows from financing activities section (4) of the statement of cash flows. This section typically includes activities such as issuing or repurchasing stocks, issuing or retiring debt, and payment of dividends. The issuance of Bonds Payable to purchase a Building falls under the category of raising long-term debt capital and would be disclosed in this section to provide a comprehensive view of the company's financing activities during the reporting period.

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Related Questions

when a company starts a new division and recruits people to do the work, which aspect of its internal environment is it most directly changing? owners culture physical environment employees

Answers

When a company starts a new division and recruits people to do the work, it is most directly changing its employees, which is an aspect of its internal environment.

The internal environment of a company refers to the factors and conditions that exist within the organization and directly influence its operations and performance. It encompasses various elements, including the company's culture, physical environment, employees, and more.

However, when a company starts a new division and hires individuals to work in that division, the most immediate and direct change occurs in the employees aspect of the internal environment. The addition of new employees brings in fresh talent, skills, and perspectives into the company. It affects the composition of the workforce, leading to changes in the dynamics, teamwork, and overall capabilities of the organization.

The new division and the recruitment process can also have indirect effects on other aspects of the internal environment. For example, it may impact the company's culture as the new division's employees contribute their own values, work styles, and attitudes. Additionally, the physical environment may be altered to accommodate the needs of the new division, such as providing office space, equipment, or resources specific to their work.

However, it is important to note that all aspects of the internal environment are interconnected, and changes in one aspect can have ripple effects on others. Therefore, while the immediate and direct change occurs in the employees aspect, the introduction of a new division and recruitment process can have broader implications on the overall internal environment of the company.

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A U.S. corporation builds an amusement park in France. Its expenditures are U.S. a. foreign portfolio investment that increase U.S. net capital outflow. b. foreign portfolio investment that decrease U.S. net capital outflow. c. foreign direct investment that increase U.S. net capital outflow. d. foreign direct investment that decrease U.S. net capital outflow.

Answers

Answer:

C)Foreign direct investment that increase US net capital outflow

Explanation:

From the question we are informed about A U.S. corporation who builts an amusement park in France. In this case, Its expenditures are U.S. Foreign direct investment that increase US net capital outflow. An expenditure can be regarded as payment used in purchasing goods or services either with cash or credit. It is regarded as money been spent on something. A foreign direct investment (FDI) can be regarded as an investment which is been set up by a firm or individual in ones country having business interests which is been located in another country. foreign direct investment do occur when foreign business operations is been set up by an investor or the investor is a able to acquire business assets in particular

foreign company.

Which of the following statements is true?

Answers

Answer:

True

Explanation:

Find the risk-free rate given that the expected return on a stock is 17.88%, the expected market return is 16%, and the beta for the stock is 1.2. a. 5.72% b. 6.6% c. 4.99% d. 3.83%

Answers

The risk-free rate for this question is 5.72%, which is option (a). The risk-free rate can be calculated using the Capital Asset Pricing Model (CAPM) formula, which is:
Expected return on stock = Risk-free rate + Beta x (Expected market return - Risk-free rate)

In this case, we know that the expected return on the stock is 17.88%, the expected market return is 16%, and the beta for the stock is 1.2. To find the risk-free rate, we can rearrange the formula as follows:
Risk-free rate = (Expected return on stock - Beta x (Expected market return - Risk-free rate))
We can then substitute the values we know and solve for the risk-free rate:
Risk-free rate = (17.88% - 1.2 x (16% - Risk-free rate))
Risk-free rate = 5.72%
Therefore, the answer is option (a) 5.72%.

The CAPM formula is commonly used to calculate the expected return on an investment by taking into account the risk-free rate, the expected market return, and the beta of the investment. Beta measures the sensitivity of an investment's returns to changes in the overall market. The risk-free rate represents the theoretical return an investor would receive on an investment that carries zero risk, such as a government bond.
In conclusion, the risk-free rate for this question is 5.72%, which is option (a).

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Trade Barrier protect jobs? True or false

Answers

Answer:

your awnser is false if im wrong messages me:)

3 Kate sells goods on credit to Kylie. Kate does not allow cash discount. On 1 May Kylie
owed Kate $350.
The following documents were exchanged in May:
$
May 4
invoice .
420
112
92
8 debit note
10 credit note
19 cheque
26 invoice
350
170
How much did Kylie pay on 31 May to settle her account?
A $148
B $386
C $498
D $610

Answers

The amount that Kylie paid on May 31 to settle her account is D. $610.

What are debit and credit notes?

A debit note is a commercial paper issued by the buyer in exchange for a credit note from the seller. A credit note can be issued by the seller in exchange for a debit note from the buyer. The seller can also issue debit notes to buyers if the buyers are undercharged or the seller has sent additional goods on previous invoices.

Data and Calculations:

Beginning balance on May 1 = $350

May 4    invoice                         $420

May 8 debit note                          112

May 10 credit note                       (92)

May 19 check                             (350)

May 26 invoice                            170

Ending balance                        $610

Thus, the amount that Kylie paid on May 31 to settle her account is D. $610.

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Question 7 of 10
Which of the following is a tax-advantaged savings plan designed to
encourage savings for future college costs?
A. University plan
B. 529 plan
C. Scholarship plan
D. 592 plan

Answers

It is the 529 plan to save money for college.

Answer:

It is the 529 plan to save money for college.

Explanation:

Your brother has asked you to help him with choosing an investment. He has $5,000 to invest today for a period of two years. You identify a bank term deposit that pays an interest rate of 4.25 percent with the interest being paid quarterly. What will be the value of the investment in two years?

Answers

How to Apply the Rule of 72. According to the Rule of 72, $1 invested at a 10% yearly constant interest rate would increase to $2 after 7.2 years ((72/10) = 7.2). In reality, a 10% investment will double in 7.3 years ((1.107.3 = 2)).

How much entertainment, compounded annually, would it take to double a fund in six years?

You may also calculate it backwards: divide 6 by 72 to get that a hobby charge of roughly 12 percent will be needed if you want to quadruple your money in six years.

What hobby costs how much per year if you want to double your money in three years?

How to Apply the Rule of 72. For instance, the Rule of 72 stipulates If you want to double your money in three years, your investments must provide annual returns of between 21% and 24% (72/3 years). Similar to this, if you want to double your money in five years, your assets must grow at a rate of about 14.4% per year (72/5).

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imagine that a country has 870.2 million people employed, 60 million people unemployed, 12 million people in prison, and 30 million people younger than age 16. what is the country's unemployment rate?

Answers

6.45 percent is the country's unemployment rate.

When expressed as a percentage of the labor force, the unemployment rate shows how many individuals are unemployed (the labor force is the sum of the employed and unemployed). By multiplying (Unemployed Labor Force) by 100, one may find the unemployment rate.

What equation is used to get the labor force participation rate?

The labor force is divided by the total population of people who are working-age to determine the labor force participation rates. Ages 15 to 64 are considered to be the working age population. The percentage of each age group is used to calculate this indicator, which is split down by age.

1946 to 1964. Consider a nation where there are 870.2 million people in employment, 60 million people without jobs, 12 million people incarcerated, and 30 million children under the age of 16. How much unemployment is there in the nation? [60 + 870.2] 100 = 6.45 percent.

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Kenneth films documentaries for a children’s learning channel. Kenneth’s career falls into what pathway of the Arts, AV Technology, and Communication cluster?
a. AV Technology and Film
b .Printing Technology
c. Journalism and Broadcasting
d. Performing Arts

It is C according to the test

Answers

Answer:

Answer is B.

Explanation:

Stomp me if im wrong

Answer:

Journalism and broadcast

Explanation:

i got 100% on the test

Y = GDP = C + I + G + NX. If NX = 0, this could mean: Choose the right answer (2 points)
a. The economy is closed - there are no imports and no exports
b. The economy is open, but the value of exports equals the value of imports
c. Both a and b are plausible
d. There is not enough information to answer the question
2. Say there was a change in nominal GDP in Country A between 2000 and 2004 which happens to use
dollars as its main currency. In year 2000, the nominal GDP of Country A was $1000. In year 2004,
nominal GDP in country A was $1500 or a rise 50%. Actual total production, Q, in Country A also increased
by 50% between 2000 and 2004. (2 points for each correct answer)
a. What can you say about the change in the price
level of Country A between 2000 and 2004?
b. If real GDP was $1000 in year 2000, what will the
amount of real GDP be in Country A in year 2004?
c. If year 2000 was the base year for the GDP Deflator,
what number would the GDP deflator be in year 2000?
d. What number would the GDP deflator be in year 2004?

Answers

a. Cannot be determined. b. $1500. c. 100. d. Cannot be determined.

Question 1: If NX = 0, what does it imply about the economy? (a, b, c, or d) Question 2: In year 2000, nominal GDP was $1000 and Q increased by 50%. Determine the change in price level, real GDP in 2004, the GDP deflator in 2000, and the GDP deflator in 2004.

c. Both a and b are plausible.

If NX (Net Exports) is equal to 0, it means that the value of exports (X) equals the value of imports (M). This implies that there are no net exports, and the economy can be either closed (a) with no imports and exports or open (b) with imports and exports but with equal values, resulting in a balanced trade.

The change in the price level of Country A between 2000 and 2004 cannot be determined with the given information. The nominal GDP increased by 50%, but this does not provide insight into whether the increase is due to changes in prices or changes in the quantity of goods and services produced.

If real GDP was $1000 in year 2000 and the actual total production (Q) increased by 50% between 2000 and 2004, the amount of real GDP in Country A in year 2004 would also be $1500.

If year 2000 was the base year for the GDP deflator, the GDP deflator for that year would be 100. The GDP deflator is calculated by dividing nominal GDP by real GDP and multiplying by 100.

The GDP deflator in year 2004 cannot be determined with the given information. The GDP deflator requires knowledge of both nominal GDP and real GDP in the specific year to calculate the price level.

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according to supporters of supply-side economics, lowering taxation would actually create more government revenue and stimulate the economy because ______.

Answers

According to supporters of supply-side economics, lowering taxation would actually create more government revenue and stimulate the economy because it would incentivize individuals and businesses to work harder and invest more, leading to increased economic activity and ultimately more tax revenue.

This theory is based on the idea that lower taxes would increase disposable income, which would lead to increased consumption and investment, thereby expanding the overall size of the economy.

Additionally, proponents argue that lower tax rates would make it easier for businesses to hire and retain employees, which would lead to increased productivity and economic growth.

Ultimately, the goal of supply-side economics is to create a more efficient and dynamic economy that generates more wealth and opportunities for everyone.

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In online reverse auctions, ______ are competing for the business of the ______ by offering their products or services at ______ prices.

Answers

In online reverse auctions, Sellers compete for the business of the buyers by offering their products or services at the lowest prices.

What are reverse auctions?

An auction type where the typical roles of the buyer and seller are switched around is called a reverse auction (also known as a buyer-determined auction or procurement auction). There is one buyer and numerous sellers who may be interested. In a regular auction, commonly referred to as a forward auction, buyers compete for products or services by putting forth progressively larger prices. In a reverse auction, on the other hand, the vendors compete with one another for the buyer's business, and prices often decline as the sellers underbid one another.

Because the fundamental idea is the same in all types of auctions, a reverse auction is comparable to a unique bid auction; nevertheless, a unique bid auction closely resembles a conventional auction because each bid is kept secret and a single, distinct winner is determined after the sale concludes.

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or placing trade restrictions on other countries to shield domestic industries from
competition, takes many forms.
are taxes imposed on imported goods and services.
place limits on the amount of a good that can be imported from a particular country.
Early in the twentieth century, the United States imposed
Y agricultural
goods. While this measure protected US farmers, it caused European governments to impose
tariffs
on US products. Heavy tariffs on imports led to a drastic decline in international trade, which further weakened the
global economy and aggravated the Depression.
Today, some US workers believe the government should
protectionism to protect their industries from
foreign competition and prevent job
in the United States. This thought is shared by
some business owners as well.

Answers

Answer: protectionism, tariffs, quotas, tariffs, European,

retaliatory, increase, cheaper, losses

Explanation: Plato / Edmentum

this is due today hep is needed

this is due today hep is needed

Answers

Explanation:

In order to determine the nature and type of discount to offer in our direct mail campaign, I would conduct market research to assess the customer base and determine the most attractive coupon offer. This research could be both qualitative and quantitative in nature.

For the qualitative research, I would conduct focus groups and surveys to gauge customer sentiment on the types of discounts they would prefer and the types of discounts they would be most likely to respond to. This would help us to better understand the motivations and behaviors of our customers.

For the quantitative research, I would use analytical tools such as customer segmentation, data mining, and market basket analysis to identify potential consumer groups, determine the potential customer lifetime value, and understand the buying patterns of our customers. This would help us to better understand which types of discounts would be the most effective in driving sales.

I have been asked to be a part of research in the past. The research was mainly qualitative in nature, as researchers were looking to gain a better understanding of customer preferences and attitudes towards different products and services. They asked me to participate in a survey and focus group discussions to provide insights into my buying habits and opinion on the various products and services on offer.

Bob has a collision deductible of $500. He has Bodily Injury Liability coverage limit of $25,000. He hits another driver and injures her severely. The case goes to trial and there is a verdict to compensate the injured person for $40,000
a. How much does Bob have to pay?
b. How much does his insurance pay?

Answers

Bob will have to pay $500 for his collision deductible and additional $15,000 for the portion of bodily injury liability that exceeds his coverage limit $15,000. Therefore, Bob will have to pay a total of $15,500.

What is liability?

Liability refers to the legal responsibility for one's actions or omissions that result in harm, damage, or loss to another party. In simple terms, liability means being accountable for something. Liability can arise from a wide range of circumstances, such as a car accident, a breach of contract, or a defective product. The party that is found to be liable is responsible for compensating the other party for any harm, damage, or loss they have suffered. Liability can be determined through various legal mechanisms, including contract law, tort law, and criminal law. In business, liability is an important concept to understand, as it can have significant financial and reputational consequences. Properly managing liability is essential for protecting oneself and one's business from potential legal claims.

Liability that exceeds= $40,000 - $25,000 = $15,000

Total= $500+ $15,000=$15,500

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will maintain that ratio in perpetuity. The cost of debt is 5% and the tax rate is 35%. Answer the following questions. Part 1 What is the levered cost of equity after the repurchase? (Express your answer in percentage form rounded to one decimal place.) Cost of equity =% Part 2 What is the company's WACC after the repurchase? (Express your answer in percentage form rounded to one decimal place.) WACC =□ Part 3 What is the DCFIWACC value of the levered firm after the repurchase? (Express your answer in millions of dollars rounded to the nearest million.) Value of the firm =$ Part 4 What is the stock price after the repurchase? (Express your answer in dollars and round to two decimal places.) Stock price =}

Answers

We can use the following formula to calculate the stock price:Stock price = (value of the firm - market value of debt) / number of shares outstandingWhere:number of shares outstanding = market value of equity / stock price= $100 million / Stock priceUsing the value of the firm and market value of debt from above:Stock price = ($397 million - $60 million) / ($100 million / Stock price)= $337 million / ($100 million / Stock price)= $3.37Therefore, the stock price after the repurchase is $3.37.Answer:Part 1: Cost of equity = 10.04%Part 2: WACC = 6.3%Part 3: Value of the firm = $397 millionPart 4: Stock price = $3.37

Part 1Calculating the levered cost of equity after the repurchase:To find the levered cost of equity, we can use the CAPM formula as follows:Cost of equity = RFR + beta * (expected market return - RFR)First, we need to find the beta of the firm after the repurchase. We can use the following formula to find the new beta:Unlevered beta = Levered beta / (1 + (1 - tax rate) * (debt / equity))= 1.2 / (1 + (1 - 0.35) * (40 / 160))= 0.96Using the new unlevered beta and the other given information:RFR = 3.5%Expected market return = 10%Cost of equity = 3.5% + 0.96 * (10% - 3.5%)= 10.04%Therefore, the levered cost of equity after the repurchase is 10.04%.Part 2Calculating the company's WACC after the repurchase:We can use the following formula to calculate the WACC:WACC = (E / V) * Re + (D / V) * Rd * (1 - Tc)Where:E = market value of equity after the repurchase = $160 - $60 = $100 millionD = market value of debt after the repurchase = $60 millionV = total market value of the firm = $100 million + $60 million = $160 millionRe = levered cost of equity = 10.04%Rd = cost of debt = 5%Tc = corporate tax rate = 35%WACC = ($100 million / $160 million) * 10.04% + ($60 million / $160 million) * 5% * (1 - 35%)= 6.3%Therefore, the company's WACC after the repurchase is 6.3%.Part 3Calculating the DCFIWACC value of the levered firm after the repurchase:We can use the following formula to calculate the DCFIWACC value:Value of the firm = (FCFF / WACC) * (1 + g) / (WACC - g)Where:FCFF = free cash flow to the firm after the repurchase = $15 millionWACC = 6.3%g = perpetual growth rate = 3%Value of the firm = ($15 million / 6.3%) * (1 + 3%) / (6.3% - 3%)= $397 millionTherefore, the DCFIWACC value of the levered firm after the repurchase is $397 million.Part 4Calculating the stock price after the repurchase:We can use the following formula to calculate the stock price:Stock price = (value of the firm - market value of debt) / number of shares outstandingWhere:number of shares outstanding = market value of equity / stock price= $100 million / Stock priceUsing the value of the firm and market value of debt from above:Stock price = ($397 million - $60 million) / ($100 million / Stock price)= $337 million / ($100 million / Stock price)= $3.37Therefore, the stock price after the repurchase is $3.37.Answer:Part 1: Cost of equity = 10.04%Part 2: WACC = 6.3%Part 3: Value of the firm = $397 millionPart 4: Stock price = $3.37

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Question 5
What are the mandatory marketing tactics?

Question 5What are the mandatory marketing tactics?

Answers

The mandatory marketing tactics are b. Web site and the two most likely social media sites your customer uses.

How are these mandatory marketing?

A website is integral for a business in the current digital era, given that it presents an opportunity to inform potential customers about its services or products.

Further, social media strategies offer powerful marketing avenues where firms can interact with clients, promote their wares and augment brand visibility. Nonetheless, companies should allocate resources wisely by targeting social media platforms most proximate to their target market instead of attempting to disseminate content over several sites.

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What would the minimum monthly payment be for each credit card for balance of $180, and $300?

What would the minimum monthly payment be for each credit card for balance of $180, and $300?

Answers

Credit Card A: Minimum monthly payment: $15 or 10% of balance

Credit Card B: Minimum monthly payment: $15 or 10% of balance

Credit Card C: Monthly balance must be paid in full each month

Credit Card D: Minimum monthly payment: $25 for Card D with $65 annual fee, $35 for Card D with $85 annual fee.

How we get these values?

Credit Card A:

- APR: 3.999% for transferred balances, 13.25% for all other purchases

- Minimum monthly payment: $15 or 10% of balance

- For a balance of $180, the minimum monthly payment would be $18 (10% of $180 is $18, which is higher than the $15 minimum)

- For a balance of $300, the minimum monthly payment would be $30 (10% of $300 is $30, which is higher than the $15 minimum)

Credit Card B:

- APR: 0.00% for 6 months, 19.8% for remaining lifetime of card

- Monthly balance must be paid in full each month

- For a balance of $180, the entire balance would need to be paid off in full

- For a balance of $300, the entire balance would need to be paid off in full

Credit Card C:

- APR: 14.99%

- Minimum monthly payment: unknown (not provided in information given)

Credit Card D:

- APR: 0.00% for the first year, 19.9% for remaining lifetime of card

- Minimum monthly payment: $25 for Card D with $65 annual fee, $35 for Card D with $85 annual fee

- For a balance of $180, the minimum monthly payment would be $25 for Card D with $65 annual fee, or $35 for Card D with $85 annual fee

- For a balance of $300, the minimum monthly payment would be $25 for Card D with $65 annual fee, or $35 for Card D with $85 annual fee

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you would like your database to automatically update when you update your spreadsheet you should ?

Answers

If you would like a database to automatically update when you update your spreadsheet, you should link them to other file. You can directly link it with an external source.

What is a database?

A database is an information that is set up for easy access, management and updating. Computer databases typically store aggregations of data records or files that contain information, such as sales transactions, customer data, financials and product information. Databases are used for storing, maintaining and accessing any sort of data. They collect information on people, places or things.

That information is gathered in one place so that it can be observed and analyzed. Databases can be thought of as an organized collection of information.

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do you think the government should help businesses like SJD? justify your answer​

Answers

Answer:

yes

Explanation:

coz we're not getting any help

A student in public administration wants to determine the mean amount members of city councils earn. The error in estimating the mean is to be less than $100 with a 99% level of confidence. The student found a report by the department of labor that estimated the standard deviation to be $1000. What is the required sample size?

Answers

Answer:

663.58

Explanation:

From the problem:

E, the maximum allowable error, is $100

The value of z for a 99 percent confidence level is 2.576

Estimate of standard deviation is $1,000.

n = [(z x s)/ E] ^ 2

n = [(2.576 x 1000) / 100}^2

= 25.76^2

=663.58

china is a monopoly supplier of pandas to the world's zoos and rents out a pair of pandas for $1 million a year. suppose china lowers the price and rents out more pairs of pandas. what would happen to average revenue?

Answers

The average revenue will decrease because lowering the price of the rent will eventually lower the revenue.

Is a marketplace with the "absence of competition", developing a state of affairs in which a particular individual or organization is the simplest dealer of a specific thing.A monopoly is a company that's the only dealer of its product, and in which there aren't any near substitutes. An unregulated monopoly has marketplace electricity and may affect prices.A marketplace shape is characterized by a dealer, promoting a completely unique product withinside the marketplace. In a monopoly marketplace, the vendor faces no competition, as he's the only dealer of products without a near substitute.The best example of Monopoly is Electricity board, Railways, etc.

Thus, a monopoly is a market situation where there is only one seller and many buyers and the seller sells unique goods and has price discrimination and when the monopoly supplier lowers the prices of pair of pandas then the result is clear that the revenue will decrease.

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The price of a stock $120 today. It is expected to pay a dividend of $2 per share in two months, $2.5 in five months, and 3$ in eight months. The risk-free rate of interest is 5% per annum with continuous compounding for all maturities. An investor has just taken a long position in a six-month forward contract
on the stock.
a) What are the forward price and the initial value of the forward contract?
b) Three months later, the price of the stock is $100 and the risk-free rate of interest is 10% per annum. What are the forward price and the value of the long position in the forward contract?

Answers

a) The initial value of the forward contract is zero since the investor has just taken a long position in the contract, b) Since the initial forward price was zero, the value of the long position is equal to the new forward price.

a) To determine the forward price, we need to calculate the present value of the future dividends. Using the formula for present value of a dividend stream:

\(PV = D1 * e^(-r1t1) + D2 * e^(-r2t2) + D3 * e^(-r3*t3)\)

where:

D1, D2, D3 are the dividend payments ($2, $2.5, $3),

r1, r2, r3 are the risk-free interest rates (5% per annum),

t1, t2, t3 are the time periods (2 months, 5 months, 8 months).

Calculating the present value of the dividend stream:

\(PV = $2 * e^(-0.05*(2/12)) + $2.5 * e^(-0.05*(5/12)) + $3 * e^(-0.05*(8/12))\)

The forward price is calculated by subtracting the present value of dividends from the current stock price:

Forward price = $120 - PV

The initial value of the forward contract is zero since the investor has just taken a long position in the contract.

b) Three months later, the time remaining in the contract is 6 - 3 = 3 months. The new forward price can be calculated using the formula:

Forward price = Spot price * e^(r*t)

where:

Spot price = $100 (current stock price)

r = 10% per annum (risk-free interest rate)

t = 3/12 (3 months)

Forward price = $100 * e^(0.10 * (3/12))

The value of the long position in the forward contract is determined by the difference between the new forward price and the initial forward price:

Value of long position = Forward price - Initial forward price

Since the initial forward price was zero, the value of the long position is equal to the new forward price.

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why can a monopoly make a positive economic profit even in the long run? a monopoly can make positive economic profit in the long run because _____.

Answers

A monopoly can make positive economic profit in the long run because barriers to entry prevent other firms from entering the market and sharing the profit.

Why is it possible for a monopoly to generate economic profit over time?

Due to hurdles to entry, monopolists can eventually generate a profit. Monopolies result in a welfare loss because, at their profit-maximizing output level, the extra benefits of expanding output would outweigh the extra costs.

Even in the long run, businesses are prevented from joining the market by the presence of significant entry barriers. Because of this, it is possible for the monopolist to evade competition and carry on reaping long-term economic gains.

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6
A company that is located in the U.S. and sells its product to customers in Mexico is participating in what?
A. Demographics
B. News media
C. The global marketplace
D. Web marketing

Answers

Answer:

c

Explanation:

the global marketplace

Answer:

C

Explanation:

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In the "pay yourself first" budgeting strategy, what is the first thing you do with your money each month
Treat yourself to an item you've been wanting to buy
Put money into your savings account
Pay all of your bills
Take cash out to have in your wallet

Answers

Answer:

Put money in a savings account

Explanation:

While t’s critical to pay all your bills on time, planning for your future can’t always take the back seat. When you pay yourself first, you pay yourself (usually via automatic savings) before you do any other spending. In other words, you are prioritizing your long-term financial well-being.

You may not immediately see the benefit of paying yourself first, but don't get discouraged. If a financial emergency arises, this strategy can help you weather the storm. Ultimately, paying yourself first is about putting yourself first, which helps make sure you’re prepared for whatever’s yet to come.

When will the Mini Toolbar appear?

when you type text
when you press the Delete key
when you select text
when you first open a file

Answers

Answer:

It is C on edge 2021

Explanation:

Answer:

(c) when you select text

Explanation:

The tool bar appears when you select text to provideoptions depending on what you would like to do with the text.

A declaration or public statement of professional standards of right and wrong conduct- subscribed to by the members of an association-defines a(n)?

Answers

A declaration or public statement of professional standards of right and wrong conduct- subscribed to by the members of an association-defines Code of Ethics.

What is Code of Ethics?

A code of ethics is a set of rules intended to help professionals conduct themselves in an honest and morally upright manner. A code of ethics document may describe the goals and objectives of the corporate or organization, the methods that experts should use to unravel challenges, the moral standards that the company or organization upholds, and other information.

An "ethical code," often referred to as a code of ethics, may cover topics including corporate ethics, a code of professional practice, and an employee code of behavior.An organization's ethical standards and best practices for honesty, integrity, and professionalism are outlined during a code of ethics.The consequences of breaking the organization's code of ethics for members might include termination.

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Problem 1
1) After researching various term deposit products, you have found that you can deposit your money in either Commonwealth Bank or Westpac Bank. Commonwealth Bank is offering a deposit rate of 10.5% compounded monthly, while Westpac Bank is offering 11% compounded quarterly. Which bank offers the better rate?
2) You would like to have $100,000 in 10 years’ time. To achieve your target, you plan to invest equal amount of money each year in the stock market. Assume the return from the stock market is 10% per year. Your first payment will be made immediately. How much should you invest annually?
3)Ten years ago, you took out a $300,000, 30-year mortgage loan to finance your house purchase. The interest is 6%, compounded monthly, and the monthly payment is $1,800. What is the outstanding balance on your current loan immediately after you make the 120th payment?

Answers

1. Westpac Bank offers the better rate with a 11% interest compounded quarterly.

2. To have $100,000 in 10 years, you need to invest approximately $7,153 annually.

3. After making the 120th payment on your 30-year mortgage loan, the outstanding balance will be approximately $112,188.

1. To determine which bank offers the better rate, we compare the effective annual rates. The effective annual rate (EAR) takes into account the compounding frequency. In this case, Commonwealth Bank offers a rate of 10.5% compounded monthly, while Westpac Bank offers 11% compounded quarterly. By calculating the EAR for each bank, we find that Westpac Bank has the higher rate, making it the better choice.

2. To achieve a target of $100,000 in 10 years with equal annual investments, we use the formula for the future value of an annuity. Given a 10% return per year and the first payment being made immediately, the annual investment required is approximately $7,153. This amount, invested annually for 10 years, will accumulate to $100,000.

3.With a $300,000 mortgage loan at 6% interest compounded monthly, and a monthly payment of $1,800, we can calculate the remaining balance after 120 payments. Using the formula for the future value of an ordinary annuity, we find that the outstanding balance on the loan will be approximately $112,188. This calculation considers the principal amount, interest accrued, and the reduction in outstanding balance with each payment.

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