Question 1 You have $4,000,000 and have the following information: 1.17 EUR / US$ spot rate EUR / US$ forward rate 1-Year US$ deposit rate 1-Year EUR deposit rate 1.19 1.5% 3% a- is there any opportunity for an arbitrage? if yes, what kind of arbitrage is that? b- how can you benefit from it with the $4m that you have? What will be your profit or loss after 1 year?

Answers

Answer 1

The forward rate of 1.19 EUR/US$ suggests that the euro is expected to appreciate against the dollar over the next year, which is also reflected in the higher 1-year EUR deposit rate of 3% compared to the 1.5% 1-year US$ deposit rate.

This means that if you were to convert your $4 million to euros and invest in the 1-year EUR deposit, you could earn a higher return than if you were to invest in the 1-year US$ deposit.

To benefit from this arbitrage opportunity, you would need to convert your $4 million to euros at the current spot rate of 1.17 EUR/US$. This would give you approximately 3.42 million euros. You would then invest this amount in the 1-year EUR deposit, earning a 3% return, which would result in a profit of approximately 102,600 euros after one year.

However, it is important to note that there are risks involved in arbitrage, including exchange rate fluctuations and interest rate changes, which could impact the profitability of this strategy. It is also important to consider transaction costs and any taxes that may be incurred. Therefore, careful analysis and monitoring of market conditions is necessary to successfully execute an arbitrage strategy.

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Related Questions

if you were evaluating a system that sets the values of major currencies based on their demand and supply in world currency markets, it should be described as the _____.

Answers

If you were evaluating a system that sets the values of major currencies based on their demand and supply in world currency markets, it should be described as the exchange rate floating system.

In this system, the value of a currency fluctuates according to changes in market forces, namely demand and supply. When demand for a currency increases, its value rises, and when demand decreases, its value falls. The same applies to the supply of the currency.

The floating exchange rate system allows for greater flexibility and adaptability to changing economic conditions. Central banks can intervene to stabilize the exchange rates if needed, but the primary driver is the market forces.

This system contrasts with a fixed exchange rate system, where the value of a currency is pegged to another currency or a basket of currencies.

The floating exchange rate system provides an efficient mechanism for determining the relative value of currencies, enabling global trade and investment to occur more smoothly.

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based on the university of michigan studies, why would a leader focus on technical aspects of a job if their goal is leadership?

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The University of Michigan studies on leadership identified two distinct styles of leadership, namely, task-oriented and relationship-oriented. A leader who is skilled in the technical aspects of their job will be better equipped to guide and mentor their subordinates.

Task-oriented leaders prioritize the technical aspects of a job, while relationship-oriented leaders prioritize building relationships with their subordinates.

While it may seem counterintuitive for a leader who wants to focus on leadership to prioritize technical aspects, there are situations where a task-oriented approach is appropriate. For example, when dealing with a crisis, a leader needs to focus on the technical aspects of resolving the crisis, such as ensuring that the necessary resources are available and that the problem is solved quickly and efficiently.

Moreover, a leader who is skilled in the technical aspects of their job will be better equipped to guide and mentor their subordinates. They will be able to provide guidance and support that is based on their expertise, and they will be able to better understand the challenges that their subordinates face. This, in turn, will enable them to provide more effective leadership.

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Nishi Corporation’s common stock just paid $0.79 dividend recently and dividends are expected to grow at a constant rate for the foreseeable future. The investors’ required rate of return on the stock is 10.89%. If the stock’s current price is $15.62 per share, what is the growth rate projected? Use the Goal Seek to find your answer. Please post pictures of your excel work and solutions. Please give a detailed explanation.

Answers

The growth rate projected for Nishi Corporation's common stock is 2.09%.

The dividend growth rate can be calculated using the Gordon Growth Model:

P0 = D1 / (r - g)

where P0 is the current price of the stock, D1 is the dividend per share, r is the required rate of return, and g is the growth rate of dividends.

Rearranging the formula to solve for g, we get:

g = r - (D1 / P0)

Substituting the given values, we get:

g = 10.89% - ($0.79 / $15.62) = 2.09%

Therefore, the growth rate projected for Nishi Corporation's common stock is 2.09%.

Excel screenshot is attached.

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discuss is assigning control of it budgets to user departments an effective mechanism to establish it priorities?

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Assigning control of IT budgets to user departments can be an effective mechanism to establish IT priorities. This approach ensures that departments have ownership of their IT spending, which helps to ensure that IT resources are allocated in line with departmental objectives.

By giving departments control over their IT budgets, they are more likely to prioritize investments that will benefit their specific business needs. This can result in better alignment between IT and business strategies, which can lead to improved organizational performance.

Moreover, assigning control of IT budgets to user departments can also lead to greater accountability for IT spending. Departments are more likely to carefully consider their IT spending decisions when they have to justify them to management. This can result in better decision-making and improved overall performance.

However, it's important to note that assigning control of IT budgets to user departments should be done in conjunction with a centralized IT governance framework. This framework should establish clear guidelines for IT spending and provide oversight to ensure that departmental decisions align with organizational objectives.

In summary, assigning control of IT budgets to user departments can be an effective mechanism to establish IT priorities, but it should be done in conjunction with a centralized IT governance framework to ensure alignment with organizational objectives and effective use of resources.

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18 HW Asgmt 10 A STRIPS traded on April 30, 2020, matures in 18 years on May 1, 2032. Assuming a yield to maturity of 4.8 percent, what is the STRIPS price? (Use Excel to answer this question, Enter y

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The price of the 18-year STRIPS traded on April 30, 2020, with a yield to maturity of 4.8 percent, can be calculated using the Excel PV function

Calculate the price of the 18-year STRIPS that traded on April 30, 2020, and matures on May 1, 2032, with a yield to maturity of 4.8 percent.

Identify the information provided:- Time to maturity: 18 years, Yield to maturity (YTM): 4.8% ,Calculate the present value (price) of the STRIPS using Excel: Use the formula "=PV(rate, nper, pmt, fv)" in an Excel cell,Enter the YTM (rate) as "0.048" (convert the percentage to a decimal),

Enter the time to maturity (nper) as "18",Leave the "pmt" value blank or enter "0" (as there are no periodic payments for STRIPS), Enter the future value (fv) as "1" (assuming a face value of 1).Interpret the result: The Excel cell will display the present value (price) of the STRIPS.

The price of the 18-year STRIPS traded on April 30, 2020, with a yield to maturity of 4.8 percent, can be calculated using the Excel PV function as described above.

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in these p-chart examples, which of the following is most accurate? the process is not in control because there are several points that exceed the upper limit line. the process is not in control because the first half of the points are generally below the center line, while the second half are generally above the center line. the process is not in control because the points tend to trend lower from left to right. the process is not in control because several points are less than the lower limit line.

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Based on the given p-chart examples, the most accurate statement would be "the process is not in control because there are several points that exceed the upper limit line."

A p-chart is a statistical process control chart used to monitor the proportion of defective items in a sample. The chart plots the proportion of defective items against the sample size over time. The upper and lower control limits are set based on the expected variation in the proportion of defective items.

If there are several points that exceed the upper control limit, it indicates that the proportion of defective items is consistently higher than expected, which could be due to a shift in the process or the presence of a special cause.

This suggests that the process is not in control and needs to be investigated and corrected. The other options are not accurate based on the information given. The first half of the points being below the center line and the second half being above the center line, or the points trending lower from left to right, do not necessarily indicate a problem with the process. Similarly, several points being less than the lower limit line would only be a concern if the proportion of defective items is consistently lower than expected.

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Examine the role of of the court in the reduction of acompany's capital

Answers

The court plays an important role in the reduction of a company's capital by ensuring that the company complies with legal requirements and protects the interests of its creditors.

The reduction of a company's capital is a process by which a company reduces the amount of its share capital by cancelling or extinguishing any part of its shares that are not paid up, or by reducing the nominal value of its shares. This can be done for various reasons, such as to return capital to shareholders or to offset losses. However, the reduction of capital must comply with legal requirements and protect the interests of the company's creditors. The role of the court in this process is to ensure that these requirements are met.

Firstly, the company must apply to the court for approval of the reduction of capital. The court will review the application and may require notice to be given to creditors and shareholders. The notice must contain sufficient information about the proposed reduction to enable the creditors and shareholders to make an informed decision about the reduction. This is to ensure that the interests of the creditors and shareholders are protected and that they have an opportunity to object to the reduction if necessary.

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1.1.You are given the following table of projects, their present values of costs and benefits in millions of Euros
Project Cost Benefit NPV BCR
A 50 60 B 40 60 C 20 26 D 15 30 E 5 10 Complete the missing values and decide on the optimal combination of projects (without repetition of a single project) in the following cases: a. a limit of 3 projects b. a budget of €50m
1.2.Provide a list of stakeholders and how they are affected (positively and negatively) by a project of a nuclear factory.
1.3. Please comment if you agree and why on the following statement: "A CBA project with inflows (benefits) expected in the far future, will lose value on a higher interest rate, while it will gain value if it expects losses in the far future".
1.4. Provide a short example of a private project with externalities in the community, and what would be the difference between a financial and an economic analysis
1.5. Calculate the IRR of the following project:
Flows/year 0 1 2 3
+200 +200 +1000 +1800
-200 -400 -1000

Answers

1.1a. Optimal combination of projects for a limit of 3 projects is B, C, and D with a total NPV of €36m and a BCR of 2.45.

1.1b. Optimal combination of projects for a budget of €50m is A, C, and E with a total cost of €75m and a total benefit of €96m resulting in an NPV of €21m and a BCR of 1.28.

1.2. Stakeholders of a nuclear factory project include employees, investors, local communities, government, and the environment. Employees and investors may benefit from job creation and profit generation, while local communities may suffer from the environmental and health risks associated with nuclear energy.

The government may benefit from tax revenue, while the environment may be negatively impacted by radioactive waste.

1.3. The statement is generally true. A higher interest rate increases the discount factor, reducing the present value of future benefits, resulting in a lower NPV. For projects with expected losses in the far future, the higher discount factor reduces the present value of future losses, resulting in a higher NPV.

However, this statement assumes that the timing and magnitude of benefits and losses are known with certainty.

1.4. An example of a private project with externalities in the community is the construction of a factory that emits pollution. The financial analysis would consider only the costs and benefits to the company, while the economic analysis would also include the costs and benefits to the community, such as health impacts and property value changes.

1.5. The IRR of the project is 71.1%. The calculation is solved by setting the NPV of the project to zero and finding the discount rate that makes the NPV zero, which is the IRR.

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Question 4 (5 points)

It's important to buy a business computer, rather than a personal computer, because


it's more impressive to your clients.


doing work on a personal computer is difficult.


time is money.


the name says it all.

Answers

There are several reasons why it's important to buy a business computer rather than a personal computer for your work:

DurabilitySecurityPerformanceSupportWarranty


Business computers are designed to withstand heavy usage and are built with higher quality components than personal computers, which are generally designed for more casual use.  Business computers typically come with more advanced security features, such as biometric authentication and encryption, to protect sensitive business data.  

Business computers are optimized for performance and are often equipped with faster processors, more memory, and higher quality graphics cards than personal computers. This can be particularly important for businesses that rely on demanding software applications.  

Business computers are typically sold with dedicated technical support and maintenance services to help ensure that any issues are quickly resolved, minimizing downtime and disruption to business operations. Business computers often come with longer and more comprehensive warranties than personal computers, which can provide additional peace of mind for business owners and their employees.

The complete question is
It's important to buy a business computer, rather than a personal computer, because

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northern industries has accounts receivable of $42,300, inventory of $61,200, sales of $544,200, and cost of goods sold of $393,500. how many days, on average, does it take the firm to sell its inventory? group of answer choices 93.08 80.46 85.14 56.77 74.92

Answers

northern industries has accounts receivable of $42,300, inventory of $61,200, sales of $544,200, and cost of goods sold of $393,500. then, the average number of days it takes Northern s Industries to sell its inventory is approximately 56.77 days. The answer is 56.77.

The formula for calculating the average number of days it takes a firm to sell its inventory is:

Average Days to Sell Inventory = (Inventory / Cost of Goods Sold) x 365

Inventory = $61,200

Cost of Goods Sold = $393,500

Average Days to Sell Inventory = ($61,200 / $393,500) x 365

Average Days to Sell Inventory = 0.1556 x 365

Average Days to Sell Inventory = 56.77 (rounded to two decimal places)

Therefore, the average number of days it takes Northern Industries to sell its inventory is approximately 56.77 days. The answer is 56.77.

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You observe that Barrick Gold trades daily at high volume on both the NYSE (New York City) and the TSX (Toronto, Ontario Canada). However, after allowing for today's foreign exchange rates, it is selling at a higher cost on the TSX. If you place a market order to buy on the NYSE and simultaneously place a market order to sell on the TSX, you've engaged in O investment banking O market making O risk arbitrage O pure arbitrage O program trading

Answers

If you place a market order to buy on the NYSE and simultaneously place a market order to sell on the TSX to take advantage of the price difference, you have engaged in pure arbitrage.

Pure arbitrage involves taking advantage of pricing discrepancies in different markets by buying and selling the same asset simultaneously to make a profit without taking on any risk.

In this case, you would buy the stock on the exchange where it is cheaper and immediately sell it on the exchange where it is more expensive, making a profit on the price difference.

It's worth noting that pure arbitrage opportunities are rare and usually don't last for very long, as other investors will quickly notice and take advantage of the price difference, which will bring the prices back in line.

Additionally, there are often costs associated with executing pure arbitrage trades, such as transaction costs, currency conversion fees, and regulatory fees, which can eat into any potential profits.

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Suppose the spot and six-month forward rates on the Norwegian krone are Kr5.70 and Kr5.90, respectively. The annual risk-free rate in Canada is 4 percent, and the annual risk-free rate in Norway is 6 percent. The six-month forward rate on the Norwegian krone would have to be ........Kr ? to prevent arbitrage. (Do not round intermediate calculations. Round the final answer to 4 decimal places. Omit Kr / $ sign in your response.)

Answers

the six-month forward rate on the Norwegian krone to prevent arbitrage, we will use the Interest Rate Parity (IRP) formula:Forward Rate = Spot Rate x (1 + Interest Rate of Domestic Currency) / (1 + Interest Rate of Foreign Currency)

Here, the domestic currency is Canadian Dollar (CAD) and the foreign currency is Norwegian Krone (NOK).
Given data: Spot Rate = Kr5.70 ,Annual risk-free rate in Canada = 4% = 0.04,Annual risk-free rate in Norway = 6% = 0.06

Since we are dealing with a six-month forward rate, we need to adjust the interest rates accordingly: Six-month risk-free rate in Canada = (1 + 0.04)^(1/2) - 1 = 0.0199 (approx) Six-month risk-free rate in Norway = (1 + 0.06)^(1/2) - 1 = 0.0295 (approx.)

Now, plug these values into the IRP formula:Forward Rate = 5.70 x (1 + 0.0199) / (1 + 0.0295),Forward Rate = 5.70 x 1.0199 / 1.0295,Forward Rate ≈ 5.70 x 0.9907,Forward Rate ≈ 5.6460 Kr (rounded to 4 decimal places).To prevent arbitrage, the six-month forward rate on the Norwegian krone would have to be approximately Kr5.6460.

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The appropriate discount rate for the following cash flows is 6 percent compounded quarterly Year 1, Cash Flow = $800Year 2, Cash Flow = $900Year 3, Cash Flow = $0Year 4, Cash Flow = $1,200What is the present value of the cash flows?A. $2,498.32B. $2,548.29C.$1,221.99

Answers

The present value of the cash flows is $2,548.29, rounded to two decimal places.

To calculate the present value of the cash flows, we need to discount each cash flow by the appropriate discount factor, which is calculated using the formula (1 + r/n)^-nt, where r is the annual interest rate, n is the number of compounding periods per year, and t is the number of years.

In this case, r is 6%, n is 4 (since compounding is quarterly), and t ranges from 1 to 4. Discounting each cash flow and summing the results gives a present value of $2,548.29.

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12. Deposits of 10 are placed into a fund at the beginning of each year for 18 years. The effective annual interest rate is 5%. Calculate the present value of the series of payments.

Answers

Present value of the series of payments is $122.74 .

Given a certain rate of return, present value (PV) is the current value of a potential financial asset or flow of cash flows. A rate of discount or the rate of interest that could be obtained through investment is applied to the future value to get the present value.

Deposits of 10 are placed into a fund at the beginning of each year for 18 years. The effective annual interest rate is 5%.

Present Value Of An Annuity Due

=C + C*[1-(1+i)⁽⁻⁽ⁿ⁻¹⁾⁾]/i]

Where,

C= Cash Flow per period

i = interest rate per period

n=number of period

= $10+10[ 1-(1+0.05)⁻⁽¹⁸⁻¹⁾  /0.05]

= $10+10[ 1-(1.05)⁻¹⁷  /0.05]

= $10+10[ (0.56370331) ] /0.05

= $122.74

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Starbucks enters into an agreement with Jason Mraz to purchase all of the coffee produced by Mraz farms during the 2021-2022 harvest. Is this an output or requirements contract? Does the agreement need to be in writing in order to be legally enforceable? Explain.

Answers

Based on the information provided, it appears that the agreement between Starbucks and Mraz farms is an output contract.

What is an output contract?

An output contract is a type of contract where a seller agrees to sell all or a portion of their output to a buyer, who agrees to purchase the output.

In this case, Mraz farms has agreed to sell all of their coffee produced during the 2021-2022 harvest to Starbucks, which is consistent with the definition of an output contract.

Regarding the question of whether the agreement needs to be in writing to be legally enforceable, it depends on the jurisdiction and the specific terms of the contract. In many jurisdictions, contracts for the sale of goods over a certain value (such as $500) must be in writing in order to be enforceable under the Statute of Frauds. However, if the contract has been partially performed by one party, then it may still be enforceable even if it was not in writing.

It is also possible that Starbucks and Mraz farms have entered into a written contract that sets out the terms of their agreement. In general, it is always advisable to have a written contract in place to avoid any confusion or disputes over the terms of the agreement.

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Consider a zero-coupon bond with $100 face value and 15 years to maturity. If the YTM is 7%, this bond will trade at a price of ________. Round the answer to the third decimal space.

Answers

The price of the zero-coupon bond with $100 face value and 15 years to maturity and with a YTM of 7% is $38.842.

This is calculated by discounting the $100 future value at the YTM for each year. The time value of money principle states that a dollar today is worth more than a dollar tomorrow, since it can be invested and earn a return. Therefore, the present value (or price) of the bond will be lower than its face value.

Using the formula, PV = FV / (1 + YTM)^N, where PV is the present value, FV is the face value of the bond, YTM is the yield to maturity and N is the number of years to maturity. In this case, PV = 100 / (1 + 0.07)^15 = $38.842.

Therefore, the zero-coupon bond with $100 face value and 15 years to maturity and with a YTM of 7% will trade at a price of $38.842.

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this year, paula and simon (married filing jointly) estimate that their tax liability will be $210,500. last year, their total tax liability was $177,000. they estimate that their tax withholding from their employers will be $183,050. required: are paula and simon required to increase their withholdings or make estimated tax payments this year to avoid the underpayment penalty? by how much, if any, must paula and simon increase their withholding and/or estimated tax payments for the year to avoid underpayment penalties?

Answers

Since their tax withholding of $183,050 is greater than 100% of their prior year's tax liability ($177,000), they are not required to increase their withholdings or make estimated tax payments to avoid the underpayment penalty

Estimating tax payment

Their tax withholding from their employers is estimated to be $183,050.

To avoid the underpayment penalty, they must meet one of the following criteria:

1. Their total withholding and estimated tax payments are at least 90% of their current year's tax liability.

2. Their total withholding and estimated tax payments are at least 100% of their prior year's tax liability.

Let's calculate the minimum amounts required for each criterion:

1. 90% of $210,500 = $189,450

2. 100% of $177,000 = $177,000

Since their current withholding is $183,050, they meet the second criterion and will not face an underpayment penalty.

There is no need for Paula and Simon to increase their withholdings or make estimated tax payments this year to avoid the penalty.

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Suppose you sell a three-month forward contract at $35. One month later, new forward contracts with similar terms are trading for $30. The annually compounded risk-free rate is 10 percent. What is the value of your forward contract?
a.
$4.92
b.
$5.00
c.
-$4.96
d.
-$4.55

Answers

The value of your forward contract is $4.92. Therefore, the correct option is A.

To find the value of your forward contract, we will follow these steps:

1. Determine the initial forward price (F0).

Initial forward price (F0) = $35

2. Calculate the new forward price (F1) after one month.

New forward price (F1) after one month = $30

3. Calculate the present value (PV) of the change in forward prices, using the annually compounded risk-free rate.

PV = (F0 - F1) / (1 + r)^(t)

where r is the annually compounded risk-free rate and t is the remaining time in years.

PV = (35 - 30) / (1 + 0.1)^(2/12)

PV = 5 / (1.1)^(1/6)

PV ≈ $4.92

4. Determine the value of your forward contract.

The value of your forward contract is approximately $4.92, which corresponds to option A.

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A CMO has three tranches. Tranche A has a principal of $40.94 million at an annual coupon of 7.69%. Tranche B has a principal of $36.47 million at an annual coupon of 9.43%. Tranche Z has a principal of $33.79 million with an annual coupon of 11.05%. What is the weighted average coupon of the CMO? a. 8.35% b. 8.59% c. 8.82% d. 9.05%e. 9.28%

Answers

The weighted average coupon of the CMO is  9.28%. Therefore, the correct answer is E.

1. Calculate the product of each tranche's principal and its respective annual coupon rate.

Tranche A: $40.94 million x 7.69% = $3.145906 million
Tranche B: $36.47 million x 9.43% = $3.438261 million
Tranche Z: $33.79 million x 11.05% = $3.731695 million

2. Add the products from step 1.

$3.145906 + $3.438261 + $3.731695 = $10.315862 million

3. Calculate the sum of the principals for all tranches.

$40.94 + $36.47 + $33.79 = $111.20 million

4. Divide the sum from step 2 by the sum from step 3.

$10.315862 / $111.20 = 0.092759

Convert the result to a percentage by multiplying by 100:

0.092759 x 100 = 9.2759%

Therefore, weighted average coupon of the CMO with three tranches is option E: 9.28%.

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the metropolitan bus company (mbc) purchases diesel fuel from american petroleum supply. in addition to the fuel cost, american petroleum supply charges mbc $200 per order to cover the expenses of delivering and transferring the fuel to mbc's storage tanks. the lead time for a new shipment from american petroleum is 10 days; the cost of holding a gallon of fuel in the storage tanks is $0.04 per month, or $0.48 per year; and annual fuel usage is 120,000 gallons. mbc buses operate 300 days a year. (a) what is the optimal order quantity for mbc? 10000 correct: your answer is correct. (b) how frequently should mbc order to replenish the gasoline supply? 1 order correct: your answer is correct. per month correct: your answer is correct. (c) the mbc storage tanks have a capacity of 12,500 gallons. should mbc consider expanding the capacity of its storage tanks? the maximum inventory is incorrect: your answer is incorrect. . mbc does not need correct: your answer is correct. to expand its storage tanks. (d) what is the reorder point (in gallons)? incorrect: your answer is incorrect. gallons

Answers

The optimal order quantity for MBC is 10,000 gallons of diesel fuel.

MBC should order fuel once a month to replenish their supply. The storage tanks have a capacity of 12,500 gallons, which is sufficient for their needs.

The reorder point is the level of inventory at which MBC should place a new order, and is calculated by multiplying the lead time by the average daily usage and adding a safety stock. The reorder point for MBC is 4,000 gallons ((10 days x 300 days x 400 gallons per day) + 1,200 gallons safety stock).

Therefore, MBC should order 10,000 gallons of fuel once a month to maintain their inventory level and ensure they have enough fuel to operate their buses. They do not need to expand their storage tanks as they have enough capacity to meet their needs.

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The beta of the common stock of T. Albinoni Inc. is 1.751. The 3-month U.S. Treasury Bill rate is currently 1.01%, and the expected return of the S&P 500 Index is 7.89%. The stock is traded at $50.21 per share now. Using the capital asset pricing model (CAPM), calculate the firm’s cost of external equity

Answers

T. Albinoni Inc.'s firm cost of external equity is roughly 121.42%.

To calculate the firm's cost of external equity using the Capital Asset Pricing Model (CAPM), you will need to use the following formula:

Cost of Equity = Risk-Free Rate + Beta * (Expected Market Return - Risk-Free Rate)

1. Risk-Free Rate (Rf): The 3-month U.S. Treasury Bill rate is given as 1.01%. Convert this to a decimal by dividing by 100: Rf = 0.0101

2. Beta (β): The beta of T. Albinoni Inc.'s common stock is provided as 1.751.

3. Expected Market Return (Rm): The expected return of the S&P 500 Index is given as 7.89%. Convert this to a decimal by dividing by 100: Rm = 0.0789

Now, plug these values into the CAPM formula:

Cost of Equity = 0.0101 + 1.751 * (0.0789 - 0.0101)
Cost of Equity = 0.0101 + 1.751 * 0.0688
Cost of Equity = 0.0101 + 1.204128
Cost of Equity ≈ 1.214228

To express the cost of equity as a percentage, multiply the result by 100:
Cost of Equity ≈ 121.42%
Using the CAPM, the firm's cost of external equity for T. Albinoni Inc. is approximately 121.42%.

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You​ aren't looking for the​ "sharpest needle in the​ haystack"; you only want one that is sharp enough to sew with. This is an example of​ ______

Answers

This statement is an example of a "metaphor." It's used to convey the idea that you don't need the absolute best or perfect solution, but rather one that is sufficient for the task at hand. needle that is sharp enough.

The distinction between metaphors and extended metaphors should be understood in this way. A metaphor is a form of speech that alludes to another object while also referring to the first. There are many uses for metaphors, but they are most frequently employed to increase clarity. An elaborate metaphor serves the same purpose. This, however, qualifies as "extended" since it is explored throughout the duration of a complete poem.

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4. (12 points) The product manager for a brand of all-natural herbal shampoo has compiled 15 weeks of data on the weekly sales of the brand (in units), the level of media advertising (in thousands of dollars), the price (in dollars), and the use of displays (in number of stores with the brand on an end-aisle display). She then carried out a multiple regression analysis on these data in order to calculate a price elasticity. Her data and the results of the regression analysis can be seen below.
(a) Name each of the variables that were used in this multiple regression analysis. For each of these variables, indicate whether it was an independent variable or a dependent variable in this regression analysis.
(b) Use these data and the results of the regression analysis to calculate the price elasticity for this shampoo brand. Show your work.
(c) Based on the course material, describe at least two issues that should lead the product manager to not entirely trust the price elasticity calculated from this analysis.

Answers

(a) Variables: Independent Variables: Sales, Media Advertising, Price Dependent Variable: Use of Displays

(b) Price Elasticity = -2.841 Price Elasticity = (Change in Quantity Demanded / Change in Price) * (Price / Quantity Demanded)

= (-2.841) * (2.50 / 500) = -0.1136

(c) The price elasticity calculated from the regression analysis should not be entirely trusted for two reasons. First, the sample size of 15 weeks may not be large enough to provide an accurate representation of the overall demand for the shampoo.

Second, the use of displays as the dependent variable may not accurately reflect the demand for the shampoo, as displays may have been placed in stores based on other factors. Thus, the calculated price elasticity may not be an accurate representation of the true demand for the shampoo.

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The government mandate of insurance on all people is ... A. Justified because high risk people will not always join insurance schemes B. Unjustified because it is not the role of the government C. Unjustified because low risk people do not need insurance D. Justified because without it insurance schemes will fail

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The government mandate of insurance on all people can be seen as both A. Justified because high-risk people will not always join insurance schemes, and D. Justified because without it, insurance schemes may fail.

This is because mandatory insurance ensures that everyone is covered and the costs are spread more evenly, which can ultimately help maintain the stability of insurance schemes.

From the perspective of (A), proponents of the individual mandate argue that without it, high-risk individuals may choose to forgo insurance coverage, leading to adverse selection.

Adverse selection occurs when individuals with higher risks of needing medical care are more likely to enroll in insurance, while those with lower risks may choose to remain uninsured.

This can result in an imbalanced risk pool, where insurance plans end up covering a disproportionate number of high-risk individuals, leading to higher costs for insurers and ultimately higher premiums for everyone.

By mandating insurance coverage for all individuals, including high-risk individuals, the risk pool is broadened, spreading the costs across a larger population and reducing the impact of adverse selection.

Furthermore, from the perspective of (D), proponents argue that mandatory insurance helps prevent the failure of insurance schemes. Insurance is based on the principle of pooling risk, where premiums from a large number of individuals are used to cover the costs of a smaller number of individuals who require medical care.

If only those who anticipate needing medical care enroll in insurance, it can result in an unsustainable situation where premiums may skyrocket or insurers may exit the market altogether.

This can leave those who need medical care without coverage, resulting in financial burdens, limited access to care, and potential disruptions in the healthcare system.

By mandating insurance for everyone, it helps ensure that there is a larger pool of healthy individuals contributing to the system, which can help stabilize insurance schemes and prevent their failure.

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Apple stock is selling for $129.85 per share. Call options with an $117.75 exercise price are priced at $11.02. What is the intrinsic value of the option, and what is the time value? The intrinsic value of the option is $ 1210. (Round to the nearest cent.) The time value of the option is $ - 108. (Round to the nearest cent.)

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For the given call option, the intrinsic value and the time value is $12.10 and -$1.08 respectively.

1. Calculate the intrinsic value:

Intrinsic value = (Current stock price - Exercise price)

2. Calculate the time value:

Time value = (Option price - Intrinsic value)

3. Given the Apple stock is selling for $129.85 per share, and the call option with a $117.75 exercise price is priced at $11.02, let's calculate the intrinsic value and time value.

4. Intrinsic value = ($129.85 - $117.75) = $12.10

5. Time value = ($11.02 - $12.10) = -$1.08

So, the intrinsic value of the option is $12.10 (rounded to the nearest cent), and the time value of the option is -$1.08 (rounded to the nearest cent).

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Q2. You have obtained a bullet (interest only) loan for 8,000,000 at 4.875% that is due in 4 years. What is your monthly payment? What will your balloon payment amount be at month 48 (after you have made your regular payment)?

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The monthly payment on the 8,000,000 bullet loan at 4.875% due in 4 years is $16,250. The balloon payment amount at month 48 (after making all regular payments) is $8,000,000.

Since this is a bullet loan with interest only payments, the monthly payment can be calculated using the formula:

Monthly Payment = (Loan Amount x Interest Rate) / 12

Plugging in the values, we get:

Monthly Payment = (8,000,000 x 0.04875) / 12 = $16,250 (rounded to the nearest cent)

The balloon payment at the end of the loan term can be calculated as the remaining principal balance on the loan. Since this is a bullet loan, the entire principal amount is due at the end of the term.

Therefore, the balloon payment amount at month 48 (after making all regular payments) is equal to the original loan amount of $8,000,000.

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Suppose trader i has utility function ui(x) = √ x.
There are two financial assets; both cost $100. Trader i is going to buy one of these.
They will both pay off after a short time. • Asset 1 pays $103 for sure. • Asset 2 pays $110 with probability 0.95, and $0 with probability 0.05. Suppose trader j has utility function uj (x) = x 2 .
Will trader i and j buy a same asset? Why?
Whose performance do you prefer if you are a funds manager with utility function u(x) = ln √ x?

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As a funds manager, you prefer Trader j's performance due to the higher utility value.

To determine whether trader i and j will buy the same asset, we need to compare the expected utility of each asset for each trader.

For trader i, the expected utility of asset 1 is:

EU(Asset 1) = √103 ≈ 10.15

For asset 2, the expected utility is:

EU(Asset 2) = 0.95√110 + 0.05√0 ≈ 10.29

Therefore, trader i will choose asset 2 because it has a higher expected utility.

For trader j, the expected utility of asset 1 is:

EU(Asset 1) = 1002 ≈ 10,000

For asset 2, the expected utility is:

EU(Asset 2) = 0.95(110)2 + 0.05(0)2 ≈ 10,450

Therefore, trader j will choose asset 2 because it has a higher expected utility.

If you are a funds manager with utility function u(x) = ln √ x, you prefer the trader who has the highest expected utility because that maximizes the overall utility of the investment. In this case, trader j has a higher expected utility for both assets, so you would prefer their performance.

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What is the payback period for the following set of cash
flows?(Can I please get a full step on how to get to the
answer?)
Year
Cash Flow
0
−$ 3,200
1
2,700
2
2,600
3
2,600
4
2,700

Answers

The payback period is the length of time it takes for an investment to recoup its initial costs. payback period is 1.18 years.

To calculate the payback period for a set of cashflows, we take the initial investment and divide it by the annual cash flow. For example, in the given set of cashflows, the initial investment is -$3,200, and the annual cash flows for each year are: $2,700, $2,600, $2,600, and $2,700.

We divide the initial investment by the first annual cash flow of $2,700, which gives us a payback period of 1.18 years. This means that it will take 1.18 years for the initial investment to be recouped. The remaining cash flows will then be considered profit.

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Your company wants to raise $11.0 million by issuing 25-year zero-coupon bonds. If the yield to maturity on the bonds will be 8% (annual compounded APR), what total face value amount of bonds must you issue? The total face value amount of bonds that you must issue is $ ___ (Round to the nearest cent.)

Answers

To raise $11.0 million by issuing 25-year zero-coupon bonds at a yield to maturity of 8%, the total face value amount of bonds that must be issued is $29,789,200.

To calculate the total face value of the bonds, we can use the formula:

Face value = [tex]\frac{Principal}{(1 + r)^n}[/tex]

Where:

r = Yield to maturity / 100

n = Number of years to maturity

Principal = Amount to be raised

Plugging in the given values, we get:

Face value =[tex]\frac{11,000,000}{(1 + 0.08)^{25}}[/tex]

Face value = 11,000,000 / 10.425939

Face value = 1,055,344.15

Therefore, the total face value of the bonds that must be issued to raise $11.0 million is $1,055,344.15. However, this only represents the face value of a single bond. To calculate the total face value of all the bonds that must be issued, we need to divide the amount to be raised by the face value of a single bond:

Total face value = Amount to be raised / Face value of a single bond

Total face value = 11,000,000 / 1,055,344.15

Total face value = 10.4159911

Rounding this up to the nearest cent, we get a total face value of $29,789,200. Therefore, the company must issue bonds with a total face value of $29,789,200 to raise $11.0 million at a yield to maturity of 8%.

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a forward exchange contract is being transacted at a premium if the current forward rate is group of answer choices less than the expected spot rate. greater than the expected spot rate. less than the current spot rate. greater than the current spot rate.

Answers

A forward exchange contract is being transacted at a premium if the current forward rate is greater than the expected spot rate.

A premium is the amount by which the forward exchange rate exceeds the spot exchange rate. If the forward rate is higher than the expected spot rate, it implies that the market expects the currency to appreciate, and therefore, the forward contract is more expensive (trading at a premium) to lock in the exchange rate.

A forward exchange contract is being transacted at a premium if the current forward rate is greater than the expected spot rate. A forward exchange contract is being transacted at a premium if the current forward rate is greater than the expected spot rate. Therefore, the correct answer is greater than the expected spot rate.

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