$920.00 The bond's parity price, first find the number of shares the debenture can be converted into (the conversion ratio) by dividing the par value by the conversion price ($1,000 x $25 = 40 shares).
Next, divide the conversion ratio by the current common price. The bond's parity price is the result (40 shares minus $23 = $920).
The present value of the liability divided by the market interest rate is the effective interest. The amount of actual interest paid is equal to the bond's face value divided by the number. of Issued Bonds x Coupon Rate
What is the convertible bond value formula?
The following formula can be used by investors to arrive at convertible bond valuations: The value of a convertible bond is the sum of the independent values of a straight bond and a conversion option.
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on october 11, your firm receives a $7,500 down-payment toward a $15,000 video your firm will produce, and you book it in unearned revenue. if, at year-end, 20% of the work is completed, what adjusting entry will you record?
Adjusting entries are a group of journal entries made at the conclusion of the accounting period to ensure that the balances of all the accounts are current and accurate. Simple applications of the accrual basis of accounting are adjusting entries.
What does the accounting term "adjustment" mean?Simply said, an adjusting entry is a change you make to your books to better match your revenue and expenses with your financial statements. At the conclusion of the accounting period, adjusting entries are made. This can happen towards the conclusion of the month or the year.
Utility bills, salaries, and taxes are a few examples of expenses that are typically billed at a later time after they have been incurred. An adjustment entry is made to eliminate the account payable that was previously recorded together with the accumulated expense when the cash is paid.
Main Points : At the conclusion of an accounting period, adjusting journal entries are written in a company's general ledger to comply with the matching and revenue recognition standards. Accruals, deferrals, and estimations are the three most typical types of adjusting journal entries.
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carol's amt base is $250,000. of this amount, $35,000 represents long-term capital gain income from investments that had a preferential rate for regular tax purposes of 15%. calculate her tentative minimum tax resulting from amt calculations
Carol's tentative minimum tax resulting from Alternative Minimum Tax calculations will be $58,550.
For some people, estates, and trusts, the federal government of the United States levies an additional tax known as the alternative minimum tax.
Making the AMT calculation is difficult. Taxpayers first determine their "normal" adjusted gross income before reimbursing some expenses. To arrive at a "tentative minimum" tax, they first subtract the applicable AMT exemption amount, multiply it by the appropriate AMT tax rate, and then subtract the AMT foreign tax credit.
Calculations:
AMT base = $240,000
Less Long-term capital gain = $35,000
Remaining taxable amount under AMT rate will be= $205,000
AMT max rate = 28%
AMT min rate = 26%
AMT tax liability :
$205,000 x 26% = $53,300
Capital gain tax liability:
$35,000 x 15%=$5,250
Carol's tentative minimum tax:
$53,300 + $5,250= $58,550
Hence, Carol's tentative minimum tax coming from AMT (Alternative Minimum Tax) calculations will be $58,550.
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The correct question is:
Carol's AMT base is $240,000. Of this amount, $35,000 represents long-term capital gain income from investments that had a preferential rate for regular tax purposes of 15%. Calculate her tentative minimum tax resulting from AMT calculations Multiple choice question. $58,652 $58,550 $62,650 $53,402
the records of california marine products, incorporated, revealed the following information related to inventory destroyed in an earthquake: inventory, beginning of period$ 300,000 purchases to date of earthquake160,000 net sales to date of earthquake450,000 gross profit ratio30% the estimated amount of inventory destroyed by the earthquake is:
$145000 be estimated amount of inventory destroyed by the earthquake
Inventory, beginning of period =$300,000
Purchase to date of earthquake=$160,000
Total amount=$460,000
Less Cost of sales
Net Sales to date of earthquake=$450000
Less: Gross Profit= $450000*30%
=$135000
Total amount=$450000-$135000
=$315000
Estimated amount of inventory destroyed by earthquake=$460000-$315000
=$145000
Estimated amount =$145000
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which type of marketing channel includes a retailer or other intermediaries in the delivery of goods and services to consumers? multiple choice question. single-stage online direct indirect
The type of marketing channel that includes a retailer or other intermediaries in the delivery of goods and services to consumers is: Indirect.
What is the indirect channel method?The indirect method of distribution often involves the intermediaries who are put in place to ensure that the goods reach the final consumers.
This indirect channel of distribution is important because it releases the manufacturer from the load of promoting the goods to ensure that they get to the final consumer. This is taken over by third parties who now do the job.
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bga has 265,000 shares outstanding that sell for $22 per share. the company plans a 5-for-6 reverse stock split. how many shares will be outstanding after the split?
The Effects of Stock Splits. The outcome would be the same if the company chose to split the stock 6:5, which would mean that shareholders would ultimately possess six shares of stock for every five they presently own.
outstanding after the split, 53,000 shares outstanding that sell for $110 per share.
What Does reverse split mean in Stocks?Each outstanding share of a corporation is reduced to a fraction of a share when a reverse stock split is completed. For instance, if a business announces a one-for-ten reverse stock split, every ten of your shares will be changed into one share.The Effects of Stock Splits. The outcome would be the same if the company chose to split the stock 6:5, which would mean that shareholders would ultimately possess six shares of stock for every five they presently own.The amount of the dividend is also decreased as a result of the split if this company pays equity dividends. Therefore, in theory, there is no practical benefit to purchasing shares before or after the split.To learn more about : Stock Splits
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nadia is going to receive $1,000 from her grandparents next year. according to the time value of money, the gift of $1,000 is worth a gift of $1,000 if she received it today. less than more than the same as twice as much as
The worth of $1,000 gift that Nadia is going to receive next year will be less than current value because as per time value of money current money has more worth than same money in future.
The idea of the time value of money (TVM) states that a monetary amount is valuable more now than it would be at a later point in time owing to its potential for earnings in the meantime. A fundamental idea in finance is the time value of money. Amount of money in your possession is considerably more valuable than a similar sum that will be delivered in the future. The discounted present value is another name for the time value of money.
Therefore, the value of gift will be less than $1000, if she is going to receive the same gift worth $1,000, in future due to the concept of time value of money.
The complete question is here:
Nadia is going to receive $1,000 from her grandparents next year. according to the time value of money, the gift of $1,000 is worth a gift of $1,000 if she received it today
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how does it benefit retailers when customerhow does it benefit retailers when customers order products online but pick them up in the store?s order products online but pick them up in the store? multiple choice question. it requires fewer allocation systems. it reduces the need to offer coupons. it allows for lower inventory levels. it leads to additional sales.
BOPIS is for reducing inventory levels. The abbreviation BOPIS means "buy online, pick up in-store."
Other names for the BOPIS approach include click and collect, curbside pickup, and ROPIS (reserve online, pick up in-store). With BOPIS, customers can avoid high shipping costs, protracted delivery times, and the need to ship back goods that don't fit or live up to their expectations.
The BOPIS model is being used by retailers all over the world to satisfy consumer expectations. This well-liked retail strategy combines online and in-person pickup to give customers the best of both worlds.
You may bridge the gap between the conventional brick-and-mortar and online purchasing experiences by offering the option to buy online and pick up in store.
The pandemic has sped up the increase of BOPIS sales revenue, which was already up an average of 35% during the 2019 holiday season.
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assume that a hypothetical economy with an mpc of .8 is experiencing severe recession. by how much would government spending have to increase to shift the aggregate demand curve rightward by $25 billion? how large a tax cut would be needed to achieve the same increase in aggregate demand? why the difference? determine one possible combination of government spending increases and tax decreases that would accomplish the same
According to given situation, the government spending must be increase by $5 billion and the tax cut should be $6.25 billion to achieve increase in demand.
Given information:
Marginal propensity to consume (MPC) = 0.8
Spending multiplies formula = 1/(1-MPC)
= 1/ (1-0.8)
= 5
Government spending must therefore increase by $5 billion in order to shift the aggregate demand curve to the right by $25 billion.
To boost aggregate demand by $25 billion, starting spending must shift by $5 billion. The following expression can be used to estimate how much tax relief is required to boost consumption by $5 billion.
Marginal propensity to consume (MPC) = 0.8
Expenditure (consumption) = $5 billion
Let assume income be Y,
Marginal propensity to consume (MPC) = Consumption/Y
Y = $5 billion/ 0.8 = $6.25 billion.
So, the tax cut needed by government is $6.25 billion.
Possible combination of government spending and tax decrease-
Following are some ways that a $5 billion tax break would boost consumption:
Consumption is equal to MPC times a tax reduction.
0.8 * $5 billion = $4 billion
A $5 billion tax deduction will therefore result in a $4 billion rise in private consumption.
Government spending must be expanded to meet the outstanding initial spending required to alter the aggregate demand curve by $25 billion.
The difference between the price tax-induced consumption rises and $5 billion (that might change AD by $25 billion) introduces various government spending:
=$5billion - $4 billion
=$1 billion
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14. baxtra, inc. pays $20,000 in cash as interest to its lenders during 2015. according to u.s. gaap, in which section of the statement of cash flows would this payment be reflected? the operating section the financing section the investing section depends on whether cash flow statement is direct or indirect method
The payment of interest is regarded as an operating activity under U.S. GAAP. Therefore, the statement of cash flows' operating section would show the interest payment.
Cash Flow Statement: By monitoring an organization's cash flow, a cash flow statement is a crucial tool for managing finances. This report is one of the three crucial ones that determine a company's performance, together with the income statement and the balance sheet.
To assess the liquidity and solvency of the company, organisations should monitor and analyse three different types of cash flow: cash flow from operating operations, cash flow from investing activities, and cash flow from financing activities. The cash flow statement of a corporation includes all three.
Example:
Organizations should track and analyse three main types of cash flow: cash flow from operating operations, cash flow from investment activities, and cash flow from financing activities in order to determine the company's liquidity and solvency. All three are shown in a company's cash flow statement.
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yamaha incorporated hires a new chief financial officer and promises to pay him a lump-sum bonus four years after he joins the company. the new cfo insists that the company invest an amount of money at the beginning of each year in a 7% fixed rate investment fund to insure the bonus will be available. to determine the amount that must be invested each year, a computation must be made using the formula for:
To determine the amount that must be invested each year, a computation must be made using the formula for the future value of an annuity due. The future value of an annuity can be described as the sum of the future value of each payment.
Investing can be defined as the process of buying assets that increase in value over time and provide returns in the form of income capital gains or payments. The equation for the future value of an annuity due is the sum of the geometric sequence, or can be written as A(1 + r)1 + A(1 + r)2 + ... + A(1 + r)n.
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exxon pays for 40% of its raw materials purchases in the month of purchase and 60% in the following month. if the budgeted cost of raw materials purchases in july is $256,550 and in august is $278,050, then in august the total budgeted cash disbursements for raw materials purchases is closest to:
The total budgeted cash outlays for raw material purchases are close to $265,150.
What is budgeted cost?A budgeted cost is a projected future expense that the company expects to incur. In other words, it is an estimated expense that management expects to incur in the future based on projected revenues and sales. The difference between your static budget and the actual figures for your company's income and expenses is referred to as "budget vs. actual." Budget vs. actual is bookkeeping jargon for budget vs. actual variance analysis. Cost budgets detail the costs of running your business, managing a project, or developing a product. It tells you how much money you expect to pay out over a specific time period and includes items like labour and utility costs.Therefore,
Catano Corporation pays 40% of its raw material purchases in the month of purchase and 60% in the month following. If the budgeted cost of raw material purchases in July is $256,550 and $278,050 in August,
Cash disbursements:
From July= 256,550 × 0.60 = 153,930
From August= 278,050 × 0.4 = 111,220
Total= $265,150
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what is the optimal pigouvian tax to address the externality? b) after the tax in (a) is imposed, what are the levels of cs, ps, environmental damage, and tax revenue?
At the quantity of pollution that is socially optimal, the optimal Pigouvian tax is equal to the marginal social cost of pollution.
How does a Pigouvian tax resolve the issue of externality?
Pigouvian taxes are primarily used to combat market inefficiencies by raising the marginal private cost by the negative externality's generated amount. The total social cost of the economic activity will be reflected in the final cost (original cost minus tax).
To deal with a positive externality, what is the pigovian solution?
A pigouvian subsidy is one that is used to encourage behavior that benefits society as a whole or other people who are not involved. Positive externalities are behaviors or actions that benefit people who are not involved in the transaction.
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the contrast error occurs when a rater scores an employee high on all job criteria because of performance in one area. question 39 options: true false
The leniency bias means the rater is being "too lenient" with the individual they are rating. It is exactly what it sounds like.
What are the raters' most frequent mistakes?Strictness or leniency, central tendency, halo effect, and regency of occurrences are four of the more frequent rating errors (Deblieux, 2003; Rothwell, 2012). Some managers have a propensity to regularly give all of their employees negative or high ratings. The terms "strictness" and "leniency" errors describe these.
What is the name of the rating error that makes workers think that there is nothing about their performance that needs to be improved?The strictness error refers to the flaw in the rating system used when all employees are evaluated severely against the standards established by the company.
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che contracted with a software development team to create a program for his company. he wants to review the budget and schedule for the project every week. which project team member should he contact for this information?
The project team member which Che should contact for information on budget and schedule for the project every week is a: C. Project manager.
What is project management?Project management simply refers to the strategic process of designing, planning, developing, leading and execution of a project plan or activities using a set of skills, tools, knowledge, techniques and experience to achieve the set goals and objectives of creating a unique product or service.
Who is a project manager?A project manager can be defined as an individual who is saddled with the responsibility of assembling a team that have common aims, goals, and objectives, in order to successfully execute and implement a project.
In conclusion, we can reasonably infer and logically deduce that a project manager would have all of the information pertaining to weekly budget and schedule for a project it is in charge of or managing.
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Complete Question:
Che contracted with a software development team to create a program for his company. He wants to review the budget and schedule for the project every week. Which project team member should he contact for this information?
A. IT department
B. Designer
C. Project manager
D. Programmer
Different types of competition have various impacts on businesses. As a business owner, you may encounter other businesses that compete with yours directly or indirectly, or even as substitutes to your business. Suppose your business is a gym and you specifically focus on offering personal training to hardcore weightlifting enthusiasts for customized workouts. How would similar businesses impact your business? What types of business would be considered direct, indirect, and substitute businesses to compete with yours? What would be your competitive advantage? Explain the impact, give one example of each type of competitor, and identify your competitive advantage
Similar businesses would impact negatively because they can take customers away from me, direct businesses would be other gyms close to mine, indirect businesses would be other gyms in a further distance, and substitutes would be those gyms that focus on weightlifting. My advantage would be my focus on weightlifting and personalized training.
What is the competition?Competition is an economic term that refers to the condition in which different economic agents that participate in a market must apply different strategies to maximize their profits compared to other economic agents. There are three types of competencies:
Direct competition: This refers to those economic agents that offer an equal service very similar to that of another economic agent and their range of spatial influence is close. For example, when there are two bakeries in the same neighborhood and both make the same bread at the same price.Indirect competition: This refers to those economic agents that offer a service fairly similar to that of another economic agent and their range of spatial influence reaches a part of the other economic agent. For example, when there is a bakery in one neighborhood and another bakery in the mud across the street that offer the same products at the same price.Substitute competition: This refers to those economic agents that offer a service specifically equal to another economic agent and their area of influence is the same. For example, when there are two dealerships of different car brands next to each other.Based on the above, it can be inferred that:
How would similar businesses impact our business?Other businesses would have different impacts depending on the type of competition they represent for my business. Although in general terms they can have a negative impact because they can take away my clients.
What types of businesses would be considered direct, indirect, and substitute businesses to compete with yours?The direct businesses would be other gyms close to mine, the indirect ones would be other gyms in a further distance, and the substitutes would be those gyms that focus on weightlifting.
What would be your competitive advantage?My advantage would be my focus on weightlifting and custom training.
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using the rule of 70, calculate by how many percent per year output per worker has grown now. annual growth rate of real gdp: % c. as the economy of androde moves from point a to point c, what share of the annual productivity growth is due to higher total factor productivity? input as a percentage instead of a fraction. share of annual productivity growth due to total factor productivity:
The growth due to total productivity is 50%
As physical capital worker rises to 900 the real GDP per capita rises to 200. Then the output doubles up to 2 times in 70 years. Then output doubles up in 35 years
g=2%
In terms of time, a day, a year, or a life are all limited. Productivity refers to a person's, group's, or organization's ability to work effectively within that time range in order to maximize output.
Motivation, personality, inherent skill, education or training, environment, peer support, time management, and even luck all contribute to high productivity.
As the country moves from A to C the output rises by 300% the output growth due to only capital was only 100% by method 1
100%
gy = ga +gk
1 = ga/gy + gk/gy
ga/gy = 1 -0.5 = 0.5
= 50%
Therefore 50 % of the growth was due to total productivity.
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true or false: if market testing returns with positive results, the firm is then ready to introduce the product to the entire market, which is called a product launch.
The answer is true. There are several techniques to assess your product's potential. Consignment testing, paid surveys, market research smartphone apps, and independent market researchers, for instance, are all affordable alternatives to test-market your product.
Before releasing a new product, it pays to collect user input. After the product and its marketing plan are finalized, the following phase entails determining how marketable the suggested product is. The examination and techniques of the new product's projected sales, costs, and profits are part of this step in the new product development process. the procedure used to launch a new product onto the market for initial sales.
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monopolists are criticized because they are inefficient. what is meant by this statement? group of answer choices monopolists don't innovate enough to control pollution. monopolists could use their resources better elsewhere. monopolists produce a large quantity of waste. monopolists charge too high a price. monopolists usually don't produce at the minimum of the atc.
Most people criticize monopolies because they charge too high a price, but what economists object to is that monopolies do not supply enough output to be allocatively efficient. To understand why a monopoly is inefficient, it is helpful to compare it with the benchmark model of perfect competition.
What are monopolies?
When there is just one seller in the market, it is called a monopoly. The monopoly case is typically viewed as the complete antithesis of perfect competition in economic research. The industrial demand curve, which slopes downward, is, by definition, the demand curve that the monopolist faces.
A monopoly is when one business and its product control a whole sector, there is little to no competition, and customers are forced to buy the particular products or service from the one business.
Examples of natural monopolies include corporations that provide utilities such as electricity and natural gas. They are monopolies because it is expensive to enter the market and because newcomers are unable to offer the same services in numbers and at costs similar to the dominant enterprise.
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carrie bought a house five years ago for $120,000. at that time she borrowed $110,000 from her bank. the house is now worth $142,000. her pmi will automatically be dropped when her mortgage balance drops to:
The sum of all a person or company's assets, minus any obligations or liabilities, is their net worth.
What is the formula for net worth?
All assets are subtracted from all liabilities to determine net worth. Assets are things owned that have monetary value, while liabilities are things like loans, accounts payable (AP), and mortgages that use up resources.
Is a high net worth a sign of wealth?
Well, Americans believe that a person is considered wealthy if they have a net worth of $1.9 million, as stated in Schwab's 2021 Modern Wealth Survey (opens in new tab).Your net worth is the difference between your assets and liabilities.)
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which theory was based on the observation that early in the development of a commodity, all the parts and labor come from the area in which it was invented
The concept of product life-cycle was based on the observation that, early in a commodity's development, all the components and labor originate in the region where the commodity was invented.
Explain the concept of product life-cycle ?A product's "life cycle" can be regarded as the period from when a good is initially made available to consumers until it is withdrawn from circulation. When deciding whether it is appropriate to improve advertising, cut pricing, enter new markets, or change packaging, management and marketing experts use this concept as a decision aspect.
Products have life cycles just like individuals do. Introduction, growth, maturity, and decline are the four processes in a product's life cycle.
An concept becomes a product, but under the constraints of contemporary business, it is unlikely to advance until it has undergone research and development (R&D) and been determined to be practicable and potentially profitable. The product is then created, advertised, and launched.
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the instruments used in capital markets are either blank loans, in which a corporation sells stock to investors, or blank loans in which a firm borrows money. multiple choice question. debt; equity equity; debt credit; debit debit; credit
A liability that typically has a credit balance is long-term debt. Therefore, to completely eliminate the long-term debt from the books, the long-term debt account must be debited up until it is fully repaid.
On the other hand, there is a cash outflow, so the cash account needs to be paid. Opening Balance Equity is debited; Capital Stock is credited. The starting entry is the rise in all of the balance sheet accounts, which is subtracted from the opening balance equity account when we switch from traditional record keeping to QuickBooks. As a result, the opening balance equity must be increased, which requires crediting Capital Stock, debiting Accounts Receivables, and adjusting Cash, Bank, etc. Thus, it is clear that is erroneous since accounts payables are increased leading to a debit entry of opening balance equity, the capital stock is adjusted against opening balance equity. The following is the journal record for the specified transaction:
$50,000 in cash to pay off immediate debt $10,000 to $40,000 in long-term debt (Being the raised of loan is recorded)
For recording this, we increased the assets by debiting cash and increasing the liabilities by crediting short-term and long-term debt.
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xyz corporation is a well-known seasoned issuer (wksi) and is planning to expand operations. xyz will need additional capital in stages for this expansion. if xyz does a shelf offering, how much time will it have to issue additional shares before it has to refile?
The well-known, seasoned issuer xyz organization intends to grow its business. In stages, xyz will require additional funding for this expansion long will xyz have to issue further shares after a shelf offering before it must refile.
8,500,000 shares of XYZ will be the total number of shares outstanding.
The term "shares outstanding" refers to the total number of a business's shares that are held by its shareholders, institutional investors, and insiders, as well as its restricted shares, excluding the treasury shares that the company itself holds.
Following is what we can infer from the question: organization
7,000,000 shares were issued in the initial public offering.
Purchased Treasury Stock = 500,000
Shares sold prior to the offering's expiration date plus an additional 3 million shares equals 2,000,000.
Therefore, the following formula can be used to determine the number of shares outstanding: Shares issued in the IPO less shares bought with Treasury stock plus shares outstanding Shares exchanged prior to the expiration date of organization.
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which of the following is true of a robust process? multiple choice question. variation in input variables leads to a large number of defects. variation in environmental variables leads to a large number of defects. variation in input variables does not lead to large amount of variation in outcome variables. variation in input variables causes large amount of variation in outcome variables
A graph used to examine how a process evolves over time is the control chart. Data are plotted according to time. variation in environmental variables leads to a large number of defects.
An average line in the middle, an upper line for the upper control limit, and a lower line for the lower control limit are always present on a control chart. These curves were created using historical data.
Give the process to the operators to manage. environmental variables Enhance process control to reduce output fluctuation, reduce unit costs, and boost processing capacity. Establish a single language so that all employees can talk about and improve procedures. Control charts cannot take the place of action.
If a process can withstand changes in input and ambient factors without developing a flaw, it is robust. The term "systematic variation" in research and experimental contexts typically refers to an anomaly or error in observations that is caused by variables not under statistical control environmental variables.
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variation in input variables does not lead to large amount of variation in outcome variables
robust process means there's not much variation or at least not enough to affect the process
. what would be the value of the bond described in question a. if, just after it has been issued, the expected inflation rate rose by 3 percentage points, causing investors to require a 13 percent return? would we now have a discount or a premium bond
The bond's value is $837.213, and it is a discount bond or a premium bond
Solution
Due to that
13%, which is higher than the coupon rate, represents the rate of return.
This indicates that investors expect a return that is greater than the return offered by bonds. As a result, the bond's value drops and it turns into a discount bond.
Now,
Listed below is the bond's value:
[Coupon rate in year 1 / (1 + Investor return)] = Bond value
(1 + Investor return) / (1 + Coupon rate in year 2)
[1 + Investor return / 2 + Coupon rate in year n] Par value + (Investor Return + Par Value)n
Thus,
= [ $100 / (1 + 0.13)1 + $100 / ( 1 + 0.13)
2... $100 / ( 1 + 0.13)10 ] + $1000 / ( 1 + 0.13 ) 10
= $542.62 + 294.58
= $837.21
Bond value will be $837.213.
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a milling machine is used to process an automobile part. the processing time per part is 3 seconds. after producing 195 units of the part, the milling machine requires a 32 second maintenance process. demand for the part is 11 units per minute. what is the maximum inventory of a part (in units)?
The maximum inventory per minute is 8 units
What is inventory?
Both the materials used in manufacturing and the finished goods that are offered for sale are included in the definition of inventory. One of a company's most valuable assets is its inventory because it is one of the main sources of generating revenue and, consequently, a source of profits for the equity assets. There are three different types of inventory: finished goods, work-in-progress, and raw materials. On the balance sheet of a company, it is listed as a current asset. Inventory is a crucial asset for any business. It is described as the assortment of raw materials or finished products that a company maintains throughout the normal course of its operations.
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Which of the following is true if a credit card company does not charge any interest?
A: The APR is 1%
B: The APR is 10%
C: The APR is 100%
D: The APR is 0%
Answer:
Explanation:
Here, the answer will be option D. The APR is 0%
A 0% APR means that you pay no interest on any transactions during a certain period of time.
APR represents the annual rate charged for earning or borrowing money. It stands for annual percentage rate and refers to interest on a credit account.
Credit card APR generally refers to the interest applied to your account during a given billing cycle. This is how APR is calculated for credit cards:
[daily rate] x [average daily balance] x [days in billing cycle] = credit card interest
Daily rate: You can find this by dividing your credit card’s purchase annual percentage rate by 365 (the number of days in a year). For example, if your APR is 18 percent, your daily rate is .00049 percent.
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If a credit card company does not charge any interest than the APR is 0%. APR represents the total yearly cost of a loan to the borrower, including all fees.
The APR is stated as a percentage, just like an interest rate. It does, however, contain other costs or fees such mortgage insurance, the majority of closing costs, discount points, and loan origination fees, unlike an interest rate. The best credit card APR is one that is around 10%, but you might need to visit your neighborhood bank or credit card union to discover one. An APR that is lower than the average would also be regarded favorably by the Federal Reserve, which monitors credit card interest rates.
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on january 1, year 1, miller company purchased equipment for $36,000. residual value at the end of an estimated six-year service life is expected to be $8,000. the company uses the double-declining balance method. for how much would each item below be reported at the end of year 2?
The item that would be reported at the end of year 2 after depreciation will be at $8,000
Finding the rate of depreciation -
= Year one/The useful life of the equipment
= 1/6
= 0.166
As per the double declining method -
The rate is double = 0.333%
In year 1,
Original cost is $36,000, so the depreciation is $12,000 after applying the 33.33% depreciation rate
In year 2 -
(36,000 - 12,000) × 33.33%
= 24,000 × 33.33%
= 7999.2 or
= 8,000
The depreciation expense is $8,000
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assume you have an offer from the dealer to trade in your used vehicle for $20,000 and another offer from a friend for $21,000. also assume that you live in seminole county where there is a 7% sales tax. the dealer will offset the trade in value against your new car purchase price reducing the amount of sales tax you will pay. if you sell the car to a friend, there is no sales tax offset. which is the better deal?
The better deal will be to trade with third party at $20,000, because that will lead to a reduction in sales tax that we will be paying.
Calculation:
Trading with friend = $21000
Sales tax to be paid = $21,000*7% = $1470
Trading with 3rd party = $20,000
Sales tax = $20,000*7% = 14000
and this sales tax will get reduced when we will new car, hence dealing with third party is much better idea.
A sales tax is a fee that is paid to the government when particular goods and services are sold. Typically, laws permit the vendor to charge the customer the tax at the time of purchase. Use taxes are generally used to indicate taxes on goods and services that customers pay directly to a governing authority.
The complete question is here:
Assume you have an offer from the dealer to trade in your used vehicle for $20,000 and another offer from a friend for $21,000. Also assume that you live in Seminole County where there is a 7% sales tax.
The dealer will offset the trade in value against your new car purchase price reducing the amount of sales tax you will pay. If you sell the car to a friend, there is no sales tax offset.
Which is the better deal?
Group of answer choices
The trade in value of $20,000The 3rd party sale for $21,000Learn more about sales tax here:
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dontae's employer has offered him the following employment package. salary $ 400,000 health insurance 10,000 dental insurance 1,500 membership to heflin country club 20,000 season tickets to atlanta braves games 5,000 tuition reimbursement for graduate courses 4,000 housing allowance (for a mcmansion in his neighborhood of choice) 40,000 what is dontae's gross income from his employment?
400,000 is is dontae's gross income from his employment for the given question
gross income is the incomes you get without deducting taxes, insurance etc.. net income is the income you get considering every single of the mentioned. In Dontae's case, the gross income is his salary (400,000 which is the answer to your question), and the net income is 400,000 - Health insurance ( 10,000) - dental insurance ( 1,500) - country club membership( 20,000) -season tickets ( 5,000) - graduate courses (4000) - housing (40,000) which gives us 319,500 as net income
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the real risk-free rate is 3.00%. inflation is expected to be 1.75% this year and 4.00% during the next 2 years. assume that the maturity risk premium is zero. what is the yield on 2-year treasury securities? do not round intermediate calculations. round your answer to two decimal places. % what is the yield on 3-year treasury securities? do not round intermediate calculations. round your answer to two decimal places. %
The maturity risk premium is zero then Yield on 2 year treasury securities are . r=5.87%
Yield on 3 year treasury securities are . r= 6.25%
On 2 year treasury securities
r= 3.00%+((1.75%+4.00%)/2)
r=5.87%
On 3 year treasury securities
r = 3.00%+((1.75%+4.00%+4.00%)/3)
r= 6.25%
We have take average inflation premium in average. Formula for calculating yield on treasury securities are R+IP
Where R is risk free rate and IP is inflation premium
According to the maturity length, a Treasury yield is the effective annual interest rate that the United States government pays on the money it borrows to raise capital through the sale of Treasury bonds, also known as Treasury notes or Treasury bills.
The U.S. Department of the Treasury issues debt obligations under the name "Treasury securities," which includes Treasury bills, notes, and bonds. Because they are backed by the full faith and credit of the United States government, Treasury securities are among the safest investments.
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