Question 10 What is true when economic profit is negative? Accounting profit must be negative. Accounting profit must be positive. Accounting profit must be equal to 0. None of the above. 1 pts

Answers

Answer 1

When the economic profit is negative, accounting profit must be positive. The given statement "When economic profit is negative, accounting profit must be positive" is True. What is the economic profit?

The economic profit is the profit which is measured by considering the opportunity. of the inputs that are being used in production. It is obtained by subtracting explicit costs from the revenue, minus the implicit costs of the inputs. It is an indication of how efficiently resources are being allocated. The formula for calculating the economic profit is given by: Economic Profit = Total Revenue − Explicit Costs − Implicit Costs What is the accounting profit? Accounting profit is defined as the profit calculated by deducting explicit costs from total revenue.

Explicit costs are the costs that the firm incurs in the production process. This includes expenses like wages, rent, salaries, raw materials, depreciation, and other expenses. It does not account for implicit costs like the opportunity cost of the inputs used in the production process. The formula for accounting profit is given by: Accounting Profit = Total Revenue − Explicit Costs When the economic profit is negative, accounting profit must be positive because the implicit cost is not considered while calculating the accounting profit.

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Related Questions

what’s one project step a salesforce business analyst engages in? 2 when is a business analyst brought into a project?

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Business analysts for Salesforce are only required once a project has begun. BAs are included from the beginning of Salesforce initiatives. Many people believe that they are only necessary once a project has begun.

Why is Salesforce so popular?

Salesforce is particularly well-known for its capabilities in the areas of marketing campaign development and tracking, customer problem tracking based on escalation and solution levels, graphic dashboards, and robust reporting functions.

What is the precise purpose of Salesforce?

The top customer relationships management (CRM) platform in the world is Salesforce. We make it possible for your marketing, sales, commerce, support, and IT employees to collaborate remotely so you can satisfy your consumers worldwide.

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BHP Billiton, an Australian company, just paid $0.85 as a dividend, which is expected to grow at 6.0 per cent. Its most recent stock price is $82. Further, the company has a debt issue outstanding with 23 years to maturity that is quoted at 95 per cent of face value. The issue makes semiannual payments and has an embedded cost of 6 per cent annually. It considers a debt-equity ratio of 0.60 and a 25 per cent corporate tax rate. In this year, the company has an EBIT of $3.15 million. Depreciation, the increase in net working capital, and capital spending were $265,000,$105,000, and $495,000, respectively. Therefore, you expect that over the next five years, EBIT will grow at 15 per cent per year, depreciation and capital spending will grow at 15 per cent per year, and NWC will grow at 10 per cent per year. It also has $19.5 million in debt and 400,000 shares outstanding. After Year-5, the adjusted cash flow from assets is expected to grow at 3.50 per cent indefinitely. Answer the following five (5) questions based on the above information and enter only the number as an answer, for example, 1234.56. Two (2) marks for each correct answer, a total of ten (10) marks.
What is the cost of equity (%)?
What is the cost of debt (%)?
What is the WACC (%)?
What is the value of the company value ($)?
What is the price per share ($)?

Answers

What is the cost of equity (%)?The dividend just paid is D0 = $0.85, and the growth rate is 6.0 percent. The stock price is $82. Therefore, the cost of equity is:Rs = D1 / P0 + gRs = $0.85(1 + 0.06) / $82 + 0.06Rs = 0.0635 + 0.06Rs = 0.1235 or 12.35%What is the cost of debt (%)?The bond's price is quoted as a percentage of face value, which is $1,000. As a result, the price of the bond is:P0 = 0.95($1,000)P0 = $950Next, we must calculate the semiannual payments. The coupon rate is 6.0 percent, and the face value is $1,000, so the semiannual payment is: PMT = ($1,000 × 0.06) / 2 = $30Finally, we can use the bond valuation formula and the calculator to find the bond's yield to maturity (YTM):$950 = $30 / (1 + YTM / 2)^1 + $30 / (1 + YTM / 2)^2 + ... + $30 / (1 + YTM / 2)^46Bond's YTM = 6.73%

Therefore, the cost of debt is 6.73%.What is the WACC (%)?Here, the debt-equity ratio is given as 0.60, which means that the debt ratio is 0.60 / (1 + 0.60) = 0.375, and the equity ratio is 1 - 0.375 = 0.625. Therefore, the WACC is:WACC = (E / V) × Rs + (D / V) × Rd × (1 - Tc)WACC = 0.625 × 12.35% + 0.375 × 6.73% × (1 - 25%)WACC = 8.85%What is the value of the company value ($)?Since we have the WACC and the free cash flows, we can use the corporate valuation model to estimate the enterprise value of the company. We can assume that the adjusted cash flow will grow at a 3.5% rate beyond Year-5, and we can use the formula for the growing perpetuity:PVGO = FCFN+1 / (WACC - g)PVGO = $60,574,800 / (8.85% - 3.5%)PVGO = $1,512,867,300The present value of the free cash flows in Year 1 through 5 is:$3,615,000 / (1 + 8.85%)^1 + $4,153,725 / (1 + 8.85%)^2 + $4,766,784 / (1 + 8.85%)^3 + $5,473,792 / (1 + 8.85%)^4 + $6,295,851 / (1 + 8.85%)^5PV of FCFs = $16,961,902

The total enterprise value of the company is the sum of the present value of the cash flows in Year 1 through 5 and the present value of the growing perpetuity:Enterprise value = PV of FCFs + PVGOEnterprise value = $16,961,902 + $1,512,867,300Enterprise value = $1,529,829,202What is the price per share ($)?The value of the firm (equity plus debt) is:Value of the firm = $1,529,829,202 + $19,500,000Value of the firm = $1,549,329,202The number of shares outstanding is 400,000, so the price per share is:Price per share = Value of the firm / Number of sharesPrice per share = $1,549,329,202 / 400,000Price per share = $3,873.32 (rounding to the nearest penny)Hence, the cost of equity is 12.35%, the cost of debt is 6.73%, the WACC is 8.85%, the value of the company is $1,529,829,202 and the price per share is $3,873.32.

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What do you mean by ECONOMIC ​

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Answer:

Economics is a social science concerned with the production, distribution, and consumption of goods and services.

you find a zero coupon bond with a par value of $10,000 and 19 years to maturity. the yield to maturity on this bond is 4.1 percent. assume semiannual compounding periods. what is the dollar price of the bond

Answers

The dollar price of a zero coupon bond can be calculated using the present value formula, where the present value is the dollar price of the bond, the future value is the par value of the bond, the interest rate is the yield to maturity, and the number of periods is the total number of compounding periods until maturity.

Using the information given in the question, we know that the par value of the bond is $10,000 and the yield to maturity is 4.1 percent, which is equivalent to 0.041 when expressed as a decimal. The total number of compounding periods until maturity is 19 years multiplied by 2 since we are assuming semiannual compounding periods, which gives us 38 periods.

Using the present value formula, the dollar price of the bond is calculated as follows:

Present value = Future value / (1 + interest rate)^number of periods
Present value = $10,000 / (1 + 0.041/2)^38
Present value = $10,000 / (1.0205)^38
Present value = $10,000 / 1.9668
Present value = $5,075.43

Therefore, the dollar price of the zero coupon bond with a par value of $10,000 and 19 years to maturity and a yield to maturity of 4.1 percent, assuming semiannual compounding periods, is $5,075.43. This means that an investor can purchase the bond for $5,075.43 today and receive the par value of $10,000 at maturity in 19 years.

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Who will end up with the largest amount of money invested at an annual rate of return of​ 9% over the next 42​ years?

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The person who will earn the largest amount of money invested based on the annual rate of return given is Jim.

What is annual rate of return?

The annual rate of return is computed by taking the amount that's gained or lost at the end of a fiscal year which is then divided by the initial investment given.

From the complete question, the individual who will earn the largest amount of money invested at an annual rate of return of 9% will be Jim.

In this case, he saves $1200 for the first 14 years and then stops putting money into the account for the next 28 years.

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Womack Toy Company’s stock is currently trading at $25 per share. The stock’s dividend is projected to increase at a constant rate of 7 percent per year. The required rate of return on the stock, ks, is 10 percent. What is the expected price of the stock 4 years from today?

Answers

Answer: $32.77

Explanation:

Given the following :

Current price of stock = $25

Growth rate of Dividend per annum= 7%

Required return on stock = 10%

Period = 4 years

Expected price of stock after 4 years can be calculated using the relation :

Current price × ( 1 + growth rate)^period

Expected price = $25(1 + 7%)^4

Expected price :

$25 × ( 1+ 0.07)^4 = $25 × (1.07)^4

= $25 × 1.31079601

= $32.76990025 = $32.77

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Answer:

Hey will you marry me? serious question

refer to the cost data given above. how much is the firm's total fixed costs? A) $900B) $500C) $400D) Cannot be determined from the given data

Answers

The given data does not include any information on the firm's fixed costs, so the answer is D) Cannot be determined from the given data.

The cost data given above likely includes information on the firm's variable costs, such as the cost per unit of production, but it does not provide any information on the firm's fixed costs, which are costs that do not vary with the level of production. Examples of fixed costs include rent, salaries, and insurance. Without information on the firm's fixed costs, it is impossible to calculate the firm's total costs or make any definitive statements about its profitability or financial health.

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Taran Company incurred the following costs for the months of January and February: Type of Cost January February Insurance $5,000 $5,000 Utilities 4,000 5,000 Depreciation 3,500 3,500 Materials 10,000 20,000 If output was 5,000 units in January and 10,000 units in February, we can assume that: a. output decreased from January to February. b. insurance is a mixed cost. c. output stayed the same from January to February. d. insurance and depreciation are fixed costs

Answers

We can assume that option c. "output stayed the same from January to February" is incorrect based on the given information.

The correct answer is option a. "output decreased from January to February." This can be inferred from the significant increase in materials cost from $10,000 in January to $20,000 in February. Typically, an increase in materials cost indicates a higher level of production or output. Since the cost of materials doubled while other costs remained relatively constant, it suggests that more units were produced in February compared to January.

Option b. "insurance is a mixed cost" cannot be determined solely based on the given information. A mixed cost includes both fixed and variable components, but we do not have sufficient data to determine the variable portion of the insurance cost.

Option d. "insurance and depreciation are fixed costs" is also incorrect. Although depreciation is constant at $3,500 for both January and February, the insurance cost is shown as $5,000 in both months. This indicates that the insurance cost is not strictly fixed and could potentially have variable elements.

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What is less liquid, Cash or Stocks and why?

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Cash is considered to be highly liquid because it's already in its most liquid form and doesn't need to be converted, while money you have in stocks is slightly less liquid because there are more steps involved in converting it to cash.

Which term generally refers to the standard of care a business is expected to exercise in preparation for a business transaction?

Answers

Due diligence generally refers to the standard of care a business is expected to exercise in preparation for a business transaction. Option D

This is further explained below.

What is Due diligence?

Generally, Before entering into an agreement or contract with another party or doing an act that requires a particular level of care, a reasonable company or individual is typically required to conduct an inquiry or exert a specific level of care. This is known as "due diligence."

In conclusion, In the context of business, "due diligence" often refers to the level of care that an organization is supposed to conduct in advance of engaging in a commercial transaction. The D Option

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complete  question

Which term generally refers to the standard of care a business is expected to exercise in preparation for a business transaction?

A. Due care

B. Incident response

C. Acceptable use

D. Due diligence

The following data are based on information from Domestic Affairs. Let x be the average number of employees in a group health insurance plan, and let y be the average administrative cost as a percentage of claims

Answers

The relationship between the average number of employees in a group health insurance plan (x) and the average administrative cost as a percentage of claims (y) is being analyzed based on data from Domestic Affairs.

In order to understand the relationship between the average number of employees in a group health insurance plan (x) and the average administrative cost as a percentage of claims (y), it is important to analyze the data provided by Domestic Affairs. By examining the data, we can explore how changes in the number of employees impact the administrative cost as a percentage of claims.

To delve deeper into this relationship, statistical analysis techniques can be employed. For instance, a regression analysis can be conducted to determine the nature and strength of the relationship between x and y. The results of the analysis can provide insights into whether there is a positive or negative correlation, or if there is no significant relationship between the variables.

The findings from this analysis can have important implications for understanding the cost dynamics of group health insurance plans. For example, if there is a positive relationship between x and y, it suggests that as the average number of employees in a plan increases, the administrative costs as a percentage of claims also tend to increase. This information can help insurance providers and policymakers make informed decisions regarding plan design and cost management strategies.

In summary, the analysis of the relationship between the average number of employees in a group health insurance plan (x) and the average administrative cost as a percentage of claims (y) based on data from Domestic Affairs can provide valuable insights into the cost dynamics of group health insurance plans, aiding in decision-making processes.

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One common element of all mass media (whether it is a news article, TV commercial, book or anything intended for a large audience) is that the message is:

A. Emotional
B. Objective
C. Constructed

Answers

Answer:

C

Explanation:

most of mass media tries to advertise the people that are watching or looking at it a product of some sort

Banks do not hold a lot of their assets in the form of cash mainly because of:
a. regulation.
b. the fear of being robbed.
c. the opportunity cost of holding cash, cash does not earn interest.
d. it can encourage employee theft.

Answers

Banks do not hold a lot of their assets in the form of cash mainly because of  the opportunity cost of holding cash, cash does not earn interest.  The correct option is C.

Opportunity costs are the possible advantages that a person, investor, or company forgoes while deciding between two options. It is necessary to weigh the advantages and disadvantages of each choice offered in order to correctly assess opportunity costs.

The interest that could have been made if the cash had been used to buy bonds instead is the opportunity cost of keeping any money balance.

Therefore, due to the  opportunity cost of holding cash and cash does not earn interest banks does nor prefer to hold a lot of their assets in the form of cash .

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the disclaimer in spike t points out that caffeine should be used in moderation. this is likely

Answers

Answer:

Explanation:

due to the fact that consuming too much caffeine can have negative effects on the body, such as increased heart rate, high blood pressure, anxiety, and sleep disturbances. It is important for individuals to be aware of their caffeine intake and consume it in moderation to avoid these negative effects.

The disclaimer in Spike T is reminding consumers to use caffeine in moderation. This is likely because excessive consumption of caffeine can have negative side effects such as jitters, anxiety, and trouble sleeping. Therefore, it is important to consume caffeine in moderation to avoid these negative effects and ensure safe consumption.


The disclaimer in Spike T points out that caffeine should be used in moderation. This is likely because excessive consumption of caffeine can lead to negative side effects, such as increased heart rate, insomnia, and anxiety. By using caffeine in moderation, one can enjoy its benefits, such as increased focus and alertness, while minimizing potential risks.

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Alton Inc. Is working at full production capacity producing 20,000 units of a unique product. Manufacturing costs per unit for the product are:

Direct materials = $9

Direct labor = $8

Manufacturing overhead = $10

--------------------------------------------------

Total manufacturing cost per unit $27

The unit manufacturing overhead cost is based on a $4 variable cost per unit and $120,000 fixed costs. The nonmanufacturing costs, all variable, are $8 per unit, and the sales price is $45 per unit.

Sports Headquarters Company (SHC) has asked Alton to produce 5,000 units of a modification of the new product. This modification would require the same manufacturing processes. SHC has offered to share the nonmanufacturing costs equally with Alton. Alton would sell the modified product to SHC for $35 per unit. Required Set up an Excel spreadsheet to answer the following questions.

1. Should Alton produce the special order for SHC? Why or why not?

2. Suppose that Alton Inc. Had been working at less than full capacity to produce 16,000 units of the product when SHC made the offer. What is the minimum price that Alton should accept for the modified product under these conditions? Explain.

3. Use Goal Seek to determine the minimum price that Alton should accept for the special sales order

Answers

Alton should be accept the special sales order if SHC offers a price of $30.50 or higher.

To calculate the relevant costs and compare them to the revenue generated by the special sales order.

To determine if Alton should produce the special order for SHC, we need to calculate the incremental cost of producing the additional 5,000 units.

Direct materials = $9 x 5,000 = $45,000

Direct labor = $8 x 5,000 = $40,000

Manufacturing overhead = ($4 + $120,000/20,000) x 5,000 = $65,000

Total incremental manufacturing cost = $150,000

Nonmanufacturing costs shared by SHC = $8 x 5,000 / 2 = $20,000

Total incremental cost = $170,000

Revenue generated = $35 x 5,000 = $175,000

Since the revenue generated by the special order exceeds the incremental cost, Alton should produce the special order for SHC.

If Alton had been working at less than full capacity to produce 16,000 units of the product when SHC made the offer, the minimum price that Alton should accept for the modified product is the variable cost per unit plus the nonmanufacturing cost per unit, which is $4 + $8 = $12. This is because Alton would not incur any additional fixed manufacturing overhead costs and could use the idle capacity to produce the special order.

To use Goal Seek in Excel to determine the minimum price that Alton should accept for the special sales order, we can set up the following calculation:

Incremental cost = Direct materials + Direct labor + Manufacturing overhead + Nonmanufacturing costs shared by SHC

Incremental cost = $9 x 5,000 + $8 x 5,000 + ($4 + $120,000/20,000) x 5,000 + $8 x 5,000 / 2

Incremental cost = $150,000

Revenue generated = Price per unit x Number of units

Revenue generated = Price per unit x 5,000

We want to find the minimum price per unit that would make the revenue generated equal to the incremental cost. To do this, we can use Goal Seek as follows:

Click on the Data tab in the Excel ribbon.

Click on What-If Analysis in the Data Tools group.

Click on Goal Seek.

Set the Set cell to the revenue generated cell.

Set the To value to the incremental cost.

Set the By changing cell to the price per unit cell.

Click OK.

Excel will then find the minimum price per unit that would make the revenue generated equal to the incremental cost, which in this case is $30.50. Therefore, Alton should accept the special sales order if SHC offers a price of $30.50 or higher.

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What needs to happen to the money supply to recession?

Answers

Answer:

In order for your money suppy to recession you need credit.

Explanation:

Your credit needs to be good.

Principles of Investment
Pre-Test Active

Which statement is true of the relationship between risk and return?

O The greater the risk, the greater the potential return.
O The relationship between risk and return is always the same.
O The greater the risk, the lower the potential return.
O The relationship depends on the individual investment.

Answers

Answer: A.The greater the risk, the greater the potential return.

Explanation: EDG 2023

Answer:A: the greater the risk, the higher the return

Explanation: edg 2023

A brewery wants its ads displayed to men ages 21-45 when penalties occur during sports games, and wants to segment its audience based on fans of particular sports. How should the brewery efficiently set up this campaign

Answers

The brewery efficiently should  set up this campaign by: Using a Face-book Marketing Partner.

Who is a Marketing partner?

Marketing partner are companies or organization  that specialized in marketing or advertising products for people  so as to generate sales for them.

Based on the given scenario the brewery should efficiently set up this campaign by using face-book marketing partner as this market partner are  expert when it comes to advertising product for companies or individuals.

Inconclusion the brewery efficiently should  set up this campaign by: Using a Face-book Marketing Partner.

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highlight four reasons why a seller would prepare a proforma invoice???​

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Answer:

Pro forma invoices are sent to buyers ahead of a shipment or delivery of goods or services. Most pro forma invoices provide the buyer with a precise sale price. A pro forma invoice requires only enough information to allow customs to determine the duties needed from a general examination of the included goods.

Explanation:

hope i help

The pursuit of organizational goals efficiently and effectively by integrating the work of people through planning, organizing, leading, and controlling the organization’s resources is the definition of _____.

Answers

Answer:

Management

Explanation:

Management can be defined as the discipline that involves the use of a firm's resources (labor, capital) in an efficient and effective way, in order to attain the firm's objectives.

Those firm's objectives are also set by management, and the main task of management is to coordinate efforts accross the firm divisions (marketing, operations, HR, accounting, finance) to achieve those goals.

The pursuit of organizational goals efficiently and effectively by integrating the work of people through planning, organizing, leading, and controlling the organization’s resources is the definition of management.

What is management?

Management refers to the process of planning, organizing, coordinating, and controlling resources to achieve specific goals and objectives within an organization. It involves making decisions, allocating resources, and guiding and directing individuals or teams to accomplish tasks and meet targets. Effective management involves overseeing various functions such as setting objectives, making strategic plans, allocating resources, coordinating activities, monitoring progress, and making adjustments as needed.

Management encompasses multiple roles and responsibilities, including setting goals, making decisions, organizing and allocating resources, leading and motivating employees, communicating effectively, problem-solving, and ensuring the efficient use of resources to achieve organizational objectives.

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the " sales pitch" used during infomercials is an example of

Answers

The persuasive communication technique known as direct marketing. Infomercials are designed to capture the attention of potential customers and persuade them to purchase a product or service through a well-crafted sales pitch.

This type of marketing is often used for products that require a more detailed explanation, such as exercise equipment or household gadgets. The sales pitch used during an infomercial is often structured to highlight the benefits of the product, present real-life examples of how it can be used, and offer special promotions or discounts for viewers who make a purchase within a specific timeframe. Direct marketing can be an effective way to reach a targeted audience and generate sales, but it is important for businesses to use ethical marketing practices and ensure that their claims about a product or service are truthful and accurate.

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Which of the following types of transactions would be reported as a cash flow from investing activity on the statement of cash flows?

Answers

The type of transactions that would be reported as a cash flow from investing activity on the statement of cash flows is the Purchase of noncurrent assets. Thus, option D is correct.

Operating, investing, and financing operations are the three main categories under which the statement of cash flows is broken down. Depending on the type of cash inflows or withdrawals and the accompanying financial statement accounts impacted, transactions are classified as activities.

The acquisition of noncurrent assets is the kind of transaction that would be included as a cash flow from investing activity on the statement of cash flows. Therefore, it can be concluded that option D is correct.

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Your question was incomplete, probably the complete question was.....

(a) Issuance of bonds payable

(b) Issuance of common stock

(c) Purchase of treasury stock

(d) Purchase of noncurrent assets.

if the government put a price floor of $12.75 on both of the markets, which market would have a greater surplus or shortage?

Answers

If the government put a price floor of $12.75 on both markets, the market that would have a greater surplus or shortage would depend on the current equilibrium price for each market. If the current equilibrium price in one market is already above $12.75, then the price floor would not have any effect on that market. However, if the current equilibrium price in one market is below $12.75, then a price floor would create a surplus of goods in that market as suppliers would be unable to sell all their goods at the new higher price.

On the other hand, in a market where the equilibrium price is already above $12.75, there would be no effect or perhaps a shortage of goods as consumers would be willing to buy more goods at the new higher price. Ultimately, the market with the greater surplus or shortage would depend on the initial equilibrium price in each market before the price floor was introduced.

To determine the market with a greater surplus or shortage, follow these steps:

1. Identify the equilibrium price in both markets without the price floor.
2. Compare the equilibrium price to the price floor in each market.
3. Analyze the effects of the price floor on supply and demand in each market.
4. Determine the market with the greater surplus or shortage based on the changes in supply and demand.

When the government sets a price floor above the equilibrium price, it causes a surplus in the market, as the quantity supplied exceeds the quantity demanded. If the price floor is below the equilibrium price, there would be no effect on the market.

To provide a specific answer, we would need information about the supply and demand curves for each market. Once this information is available, follow the steps outlined above to determine which market would have a greater surplus or shortage due to the imposed price floor of $12.75.

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Look at the following email (attached). Name two good email netiquette practices used in the
email. Name two poor email netiquette practices

Look at the following email (attached). Name two good email netiquette practices used in theemail. Name

Answers

Two good email etiquettes practices used in email are:

Inserting a SubjectKeep the email short and restricted to three paragraphs.

Two bad email etiquettes used in the email above are:

Indiscriminate use of the exclamation markDiscussing personal issues in a formal email.

What are email etiquettes?

The use of acceptable language, standards, and politeness in an email is referred to as email etiquette. Business emails often need formal language as well as rigorous respect to appropriate grammar and spelling.

Five useful E-mail Etiquette are:

Address your addressee appropriately. Check, double-check, and triple-check that you have the right spelling of the recipient's name and title.Proper greetings and closing statements should be used.Format correctly.Avoid using ALL CAPS.Large files should be compressed.

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Which stage in project management involves team members working on the assigned tasks as described in the project plan?

A.
initiation
B.
monitoring
C.
execution
D.
closure
E.
planning

Answers

Answer:

C.  execution

Explanation:

The execution stage is 3rd stage in project management lifecycle is usually is longest phase as during which the teams develops the product or services and presents the final end product to the clients. Here the team members work on the same set of guidelines that are assigned or designed in a project.

Consider a four-year bond with face value F = 1000 and coupon rate c = 10% paid semi-annually. Answer the following questions: a. (2) Compute the yield to maturity on this bond if it is traded at a price of B = 900. b. (1) Explain the meaning of speculation and how it is related to the bond pricing rule. C. (2) Suppose you bought the bond at the end of year 3. How much would you pay for this bond if the market interest rate is 4%?

Answers

Answer:

a. To compute the yield to maturity (YTM) on the bond when traded at a price of $900, we can use the YTM formula and solve for the yield:

YTM = (Annual Coupon Payment + [(Face Value - Purchase Price) / Number of Years]) / [(Face Value + Purchase Price) / 2]

Given:

Face Value (F) = $1000

Coupon Rate (c) = 10% (paid semi-annually)

Price (B) = $900

Number of Years = 4

First, let's calculate the annual coupon payment:

Annual Coupon Payment = (Coupon Rate / 2) * Face Value

Annual Coupon Payment = (0.10 / 2) * $1000

Annual Coupon Payment = $50

Now we can plug in the values into the YTM formula:

YTM = ($50 + [($1000 - $900) / 4]) / [($1000 + $900) / 2]

YTM = ($50 + $25) / $950

YTM = $75 / $950

YTM ≈ 0.0789 or 7.89%

Therefore, the yield to maturity on this bond, when traded at a price of $900, is approximately 7.89%.

b. Speculation refers to making investment decisions based on expectations of future price movements or market conditions. In the context of bond pricing, speculation can influence the bond's market price. The bond pricing rule states that the price of a bond is determined by the present value of its future cash flows, discounted at the prevailing market interest rate.

c. If you bought the bond at the end of year 3 and the market interest rate is 4%, you can calculate the bond's price using the present value of its remaining cash flows. Since there is only one more year until maturity, you need to calculate the present value of the final coupon payment and the face value.

The final coupon payment is calculated as (Coupon Rate / 2) * Face Value, which is (0.10 / 2) * $1000 = $50.

The present value of the final coupon payment is calculated as:

Present Value of Final Coupon Payment = Coupon Payment / (1 + Market Interest Rate)^n

where n is the number of periods remaining until the final coupon payment. In this case, n = 1.

Present Value of Final Coupon Payment = $50 / (1 + 0.04)^1

Present Value of Final Coupon Payment = $50 / 1.04

Present Value of Final Coupon Payment ≈ $48.08

The present value of the face value is calculated as:

Present Value of Face Value = Face Value / (1 + Market Interest Rate)^n

In this case, n = 1.

Present Value of Face Value = $1000 / (1 + 0.04)^1

Present Value of Face Value = $1000 / 1.04

Present Value of Face Value ≈ $961.54

Therefore, the amount you would pay for the bond at the end of year 3, given a market interest rate of 4%, is approximately $48.08 (for the final coupon payment) + $961.54 (for the face value) = $1009.62.

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A mutual fund has a net asset value per share of $12.00. the maximum offering price per share is:_______
a. $13.11
b. $13.85
c. $14.30
d. $14.56

Answers

A mutual fund has a net asset value per share of $12.00. the maximum offering price per share is $13.11.

Net asset value (NAV) represents a fund's per-share intrinsic value. It is similar in some ways to the book value of a company. NAV is calculated by dividing the total value of all the cash and securities in a fund's portfolio, minus any liabilities, by the number of outstanding shares. Net asset value, or NAV, represents the value of an investment fund and is calculated by adding the total value of the fund's assets and subtracting its liabilities. Mutual funds and ETFs use NAV to calculate the price per share of the fund. Net asset value per share (NAVPS) is calculated by dividing the net asset value by the number of shares outstanding. NAV is calculated by dividing the total value of all the cash and securities in a fund's portfolio, minus any liabilities, by the number of outstanding shares.

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Could someone help me please?

Answers

Answer: Yes Definitely. But i need the question

Explanation:

you can get the solution on Brainly straightly.

In a recent meeting with the CEO and top executive management team, an HR manager was asked to present several possible HR responses to the economic downturn, including layoffs. This responsibility best illustrates the HR manager's role as

Answers

The responsibility expected from the HR manager's such as possible HR responses during economic downturn is known as change partner.

Basically, the change partner in the case means that the HR is expected to play a dual role in change decision-making in the organization.

The human resources manager is expected to play a dual role in change management by initiating and leading the change in the organzation during critical moment.

Hence, the responsibility expected from the HR manager's such as several possible HR responses during e economic downturn is known as change partner.

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Answer:

Providing employees with advice about compensation

Explanation:

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