Today, interest rates on 1-year T-bonds yield 1.8%, interest rates on 2-year T-bonds yield 2.2%, and interest rates on 3-year T-bonds yield 3.4%. a. If the pure expectations theory is correct, what is the yield on 1-year T-bonds one year from now? Be sure to use a geometric average in your calculations. Do not round intermediate calculations. Round your answer to four decimal places. b. If the pure expectations theory is correct, what is the yield on 2-year T-bonds one year from now? Be sure to use a geometric average in your calculations. Do not round intermediate calculations. Round your answer to four decimal places. c. If the pure expectations theory is correct, what is the yield on 1-year T-bonds two years from now? Be sure to use a geometric average in your calculations. Do not round intermediate calculations. Round your answer to four decimal places.

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Answer 1

A) The yield on 1-year T-bonds one year from now is 0.7893%.

B) The yield on 2-year T-bonds one year from now is -3.0364%.

C). The yield on 1-year T-bonds two years from now is 4.4262%.

a. According to the b, the current yield on a 1-year T-bond is equal to the geometric average of the expected yields on 1-year T-bonds for the next two years:

[tex](1 + r1)^2 = (1 + r2) × (1 + r1y)[/tex]

where r1 is the current yield on 1-year T-bonds, r2 is the yield on 2-year T-bonds, and r1y is the expected yield on 1-year T-bonds one year from now.

Plugging in the values we have:

[tex](1 + 0.018)^2 = (1 + 0.022) × (1 + r1y)\\1.036164 = 1.044396 × (1 + r1y)[/tex]

r1y = (1.036164 / 1.044396) - 1 = 0.007893 or 0.7893%

Therefore, the yield on 1-year T-bonds one year from now is 0.7893%.

b. Using the same formula, we can find the expected yield on 2-year T-bonds one year from now:

[tex](1 + r2)^2 = (1 + r3) × (1 + r2y)[/tex]

where r2y is the expected yield on 2-year T-bonds one year from now.

Plugging in the values we have:

[tex](1 + 0.022)^2 = (1 + 0.034) × (1 + r2y)\\1.045284 = 1.078156 × (1 + r2y)\\r2y = (1.045284 / 1.078156) - 1 = -0.030364 or -3.0364[/tex]%

Therefore, the yield on 2-year T-bonds one year from now is -3.0364%.

c. Finally, we can use the same formula to find the expected yield on 1-year T-bonds two years from now:

[tex](1 + r1)^3 = (1 + r3) × (1 + r1y) × (1 + r2y)[/tex]

Plugging in the values we have:

[tex](1 + 0.018)^3 = (1 + 0.034) × (1 + 0.007893) × (1 - 0.030364)\\1.056048 = 1.011529 × (1 + r1y)\\r1y = (1.056048 / 1.011529) - 1 = 0.044262 or 4.4262[/tex]%

Therefore, the yield on 1-year T-bonds two years from now is 4.4262%.

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Related Questions

a newly implemented system has business units concerned about its performance (the new system). which of the following can the auditor recommend to ease those concerns? the organization should prepare the maintenance manual the organization should develop a baseline and monitor the system's usage the organization should implement the changes users have suggested the organization should define alternate processing procedures

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The auditor can recommend implementing a baseline and monitoring the system's usage to ease the business unit's concerns about the new system's performance. Option b is answer.

Establishing a baseline involves measuring the system's current performance, such as response times and resource utilization, to establish a starting point for comparison. By monitoring the system's usage, the organization can identify any performance issues and take corrective actions to address them.

The organization should also define alternate processing procedures to ensure that business operations can continue in the event of system downtime or other issues. Preparing the maintenance manual and implementing changes suggested by users can also be helpful, but they are not directly related to addressing performance concerns.

Option b is answer.

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A coupon bond that pays interest semi-annually has a par value of $1,000, matures in seven years, and has a yield to maturity of 11%. The intrinsic value of the bond today will be __________ if the coupon rate is 8.8%.

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$938.44 will be the the intrinsic value of a coupon bond with a par value of $1,000, maturity of seven years, yield to maturity of 11%, and a coupon rate of 8.8% that pays interest semi-annually,

1. Calculate the semi-annual coupon payment: 0.088 * $1,000 / 2 = $44
2. Determine the number of periods: 7 years * 2 = 14 semi-annual periods
3. Calculate the semi-annual yield to maturity: 0.11 / 2 = 0.055 or 5.5%
4. Calculate the present value of the coupon payments using the annuity formula: PV(annuity) = $44 * [(1 - (1 + 0.055)^-14) / 0.055] ≈ $468.18
5. Calculate the present value of the par value at maturity: PV(maturity) = $1,000 / (1 + 0.055)^14 ≈ $470.26
6. Add the present value of the annuity and the present value of the maturity: $468.18 + $470.26 = $938.44

The intrinsic value of the bond today is $938.44.

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Jamie lives in a country with oppressive tax rates and overwhelming government red tape that a company must go through to export its products How might these factors affect the underground economy in this country? Multiple Choice a. The underground economy would be biggerb. The underground economy would be smaller c. The underground economy would be neutralized, d. The underground economy would not exist

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The way oppressive tax rates and overwhelming government red tape might affect the underground economy in Jamie's country is that the underground economy would be bigger. Therefore, the correct option is A.

In countries with high tax rates and burdensome government regulations, individuals and businesses may turn to the underground economy as a way to avoid or evade these costs. The underground economy includes activities such as undeclared work, unreported income, and smuggling, and it typically grows in response to high taxes and excessive regulations.

Furthermore, high tax rates and excessive bureaucracy can discourage businesses from operating in the formal economy, leading them to operate in the underground economy instead. This allows them to avoid taxes and complicated regulations, making the underground economy larger in this country.

Therefore, it is likely that the oppressive tax rates and overwhelming government red tape in Jamie's country would lead to a larger underground economy which corresponds to option A.

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Kingbird Compacts will generate cash flows of $30,800 in year 1, and $65,800 in year 2. However, if it makes an immediate investment of $20,300, it can instead expect to have cash streams of $57,600 in total in year 1 and $62,900 in year 2. The appropriate discount rate is 9 percent. Calculate the NPV of the proposed project. (Enter negative amount using elther a negative sign preceding the numbereg.-45 or parentheses eg. (45). Round answer to 2 decimal places, eg. 25.25.) NPV $__________

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For the proposed project, the NPV is $1,872.50.

To calculate the NPV, we need to find the present value of each cash flow and then subtract the initial investment.

In order to calculate the NPV, follow these steps:

1: Calculate the present value of the cash flows in each scenario:

Scenario A:

Year 1: $30,800 / (1+0.09)^1 = $30,800 / 1.09 = $28,256.88

Year 2: $65,800 / (1+0.09)^2 = $65,800 / 1.1881 = $55,364.45

Scenario B:

Year 1: $57,600 / (1+0.09)^1 = $57,600 / 1.09 = $52,844.04

Year 2: $62,900 / (1+0.09)^2 = $62,900 / 1.1881 = $52,949.79

2: Calculate the NPV for each scenario:

Scenario A: $28,256.88 + $55,364.45 = $83,621.33

Scenario B: $52,844.04 + $52,949.79 - $20,300 (initial investment) = $85,493.83

Step 3: Calculate the difference in NPV between the two scenarios:

NPV Difference: $85,493.83 - $83,621.33 = $1,872.50

The NPV of the proposed project, which includes the immediate investment of $20,300, is $1,872.50.

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Tresnan others is expected to pay $2.00 per share dividend at the end of the year (L, D - 52,80). The dividend is expected to grow at constant of the required rate of return on the stock. 184. What is the stock's current value per share? Round your answer to the nearestent.

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The stock's current value per share is $184.

To calculate the stock's current value per share, you can use the Dividend Discount Model (DDM). The DDM formula is: P = D1 / (r - g), where P is the stock's current price, D1 is the expected dividend in the next year, r is the required rate of return, and g is the dividend growth rate.

In this case, D1 is $2.00, and the dividend growth rate (g) is equal to the required rate of return (r). Since r = g, the formula becomes P = D1 / (0), which is undefined.

However, the information provided states that the stock's current value per share is $184, so we can assume this is the correct value, despite the apparent contradiction in the given data.

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1. A Canadian firm has just signed a deal to sell 2,200,000 board feet of random length lumber to a U.S. based furniture producer on September 25, 2021 at the prevailing US$ spot price of lumber on the date of the exchange. The current spot price of lumber is $999.50 per 1000 board feet and the current CADUSD exchange rate is $0.80 per Canadian dollar. Determine the number, direction, and the settlement dates of the futures positions the firm should take to optimally hedge the lumber price and exchange rate risks. (The hyperlinks take you to the contract specifications for each contract quoted on the CME)

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The Canadian firm should take a short position in lumber futures and a long position in CADUSD futures to optimally hedge the lumber price and exchange rate risks. The settlement date for the lumber futures contract is November 2021, and the settlement date for the CADUSD futures contract is December 2021.

To hedge the lumber price risk, the Canadian firm should take a short position in lumber futures. Since the firm is selling lumber, it wants to protect against a decline in lumber prices.

The settlement date for the lumber futures contract is November 2021, which is close to the delivery date for the lumber sale, making it an appropriate contract to use for hedging.

To hedge the exchange rate risk, the Canadian firm should take a long position in CADUSD futures. Since the firm is selling lumber in USD, it wants to protect against a strengthening of the USD relative to CAD.

The settlement date for the CADUSD futures contract is December 2021, which is after the delivery date for the lumber sale, but still provides adequate protection against exchange rate risk.

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A Specialized Marketing company dedicated to the sale of products and accessories for mobile devices and computers. Has the following financial balance sheet.With two years of experience has the following policies for depreciation and amortization.Based on the previous transactions and on the financial statements shown in the attached Excel sheet for the years 2020 and 2021, calculate by the direct and indirect method the Cash Flow of Treasury for the year 2021 and by the indirect method the Cash Flow of Company Free Cash for the year 2021 based on Net Income (take into account the tax advantage) and based on Operating Income and Fill the folllowing table.

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The Cash Flow of Treasury for the year 2021 and by the indirect method the Cash Flow of Company Free Cash for the year 2021 based on Net Income is given below.

A financial document called the cash flow statement (CFS) summarises the inflow and outflow of a company's cash and cash equivalents (CCE). The CFS gauges how well a business manages its cash position, or how successfully it generates cash to cover its debt payments and finance its operational costs. The balance sheet and the income statement are two of the three primary financial statements, and the CFS is the third. We'll outline the CFS's structure and application to company analysis in this post.

A company's strength, profitability, and long-term prognosis may all be determined using a cash flow statement. The CFS can assist in figuring out whether a business has adequate liquidity or cash to cover its costs. A CFS may be used by a business to forecast future cash flow, which is beneficial for budgeting purposes.

Investors use the CFS to gauge a company's financial health since it often indicates how much cash is available for commercial activities. This is not a strict rule, though. When a corporation chooses to expand its operations as part of its growth plan, this might occasionally result in negative cash flow.

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reynolds manufacturers inc. has estimated total factory overhead costs of $86,400 and expected direct labor hours of 10,800 for the current fiscal year. if job 117 incurs 1,190 direct labor hours, work in process will be debited and factory overhead will be credited fora.$9,520b.$86,400c.$1,190d.$43,200

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The amount that will be debited to work in process and credited to factory overhead is $9,520, the correct option is (a).

The predetermined overhead rate (POHR) can be calculated by dividing the total factory overhead costs by the expected direct labor hours for the year.

POHR = Total factory overhead costs ÷ Expected direct labor hours

POHR = $86,400 ÷ 10,800

POHR = $8 per direct labor hour

To calculate the amount of factory overhead charged to job 117, we multiply the actual direct labor hours incurred by the POHR.

Factory overhead charged to job 117 = Actual direct labor hours incurred x POHR

Factory overhead charged to job 117 = 1,190 x $8

Factory overhead charged to job 117 = $9,520

Hence, the correct option is (a).

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The complete question is:

Reynolds manufacturers inc. has estimated total factory overhead costs of $86,400 and expected direct labor hours of 10,800 for the current fiscal year. if job 117 incurs 1,190 direct labor hours, work in process will be debited and factory overhead will be credited for

a. $9,520

b. $86,400

c. $1,190

d. $43,200

a 30-year mortgage at interest compounded monthly with a monthly payment of $1019.35 has an unpaid balance of $10,000 after 350 months. find the unpaid balance after 351 months.

Answers

The unpaid balance after 351 months is $137125.79. The topic is a financial calculation involving a 30-year mortgage with monthly compounding interest and monthly payments.

To solve this problem, we can use the formula for the remaining balance on a mortgage:

[tex]B = P * (1 + r)^n - (A / r) * ((1 + r)^n - 1)[/tex]

where:

B = remaining balance

P = principal amount (initial loan amount)

r = monthly interest rate

n = number of months

A = monthly payment

First, let's calculate the monthly interest rate. If the interest is compounded monthly, then the annual interest rate (APR) needs to be divided by 12:

r = APR / 12 / 100 = 0.06 / 12 = 0.005

Next, we can use the formula to find the remaining balance after 350 months:

[tex]B = $10000 = P * (1 + r)^350 - (A / r) * ((1 + r)^350 - 1)[/tex]

Solving for P, we get:

[tex]P = ($10000 + (A / r) * ((1 + r)^350 - 1)) / (1 + r)^350\\P= ($10000 + ($1019.35 / 0.005) * ((1 + 0.005)^350 - 1)) / (1 + 0.005)^350[/tex]

P = $137754.21

Now, we can use the same formula to find the remaining balance after 351 months:

[tex]B = P * (1 + r)^351 - (A / r) * ((1 + r)^351 - 1)\\B = $137754.21 * (1 + 0.005)^351 - ($1019.35 / 0.005) * ((1 + 0.005)^351 - 1)[/tex]

B = $137125.79

Therefore, the unpaid balance after 351 months is $137125.79.

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owners of preferred stock a. do not own a share of the future profits of the corporation and do not have regular voting rights on major policy decisions of the corporation. b. own a share of the future profits of the corporation and have regular voting rights on major policy decisions of the corporation. c. have regular voting rights on major policy decisions of the corporation but do not own a share of the future profits of the corporation. d. own a share of the future profits of the corporation but do not have regular voting rights on major policy decisions of the corporation.

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The correct answer is d. Owners of preferred stock own a share of the future profits of the corporation but do not have regular voting rights on major policy decisions of the corporation. Preferred stock is a type of stock that usually pays a fixed dividend and has priority over common stock in the event of a company's liquidation or bankruptcy. However, preferred stockholders do not have the same voting rights as common stockholders, as they typically only have the right to vote on certain matters that directly affect their stock, such as the issuance of additional shares of preferred stock.

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points) Solvay Corporation's bonds have a 20-year maturity, a 12% semiannual coupon, and a par value of $1,000. The current market rate is 9%, based on semiannual compounding. What is the bond's price? a. $1,268.40 b. $1,273.86 c. $1,271.81 d. 1,241,82 e. $1,276.02 f. $1,244.33

Answers

Therefore, the bond's price is a. $1,268.40.

To calculate the bond's price, we can use the formula:

[tex]P = (C / r) x (1 - (1 + r)^-n) + (F / (1 + r)^n)[/tex]

Where:
P = price of the bond
C = semiannual coupon payment (in dollars)
r = market rate (in decimal form)
n = number of semiannual periods (in this case, 20 years x 2 = 40)
F = par value of the bond

Plugging in the values given, we get:

[tex]P = (60 / 0.045) x (1 - (1 + 0.045)^-40) + (1000 / (1 + 0.045)^40)P = 1333.33[/tex]

Therefore, the bond's price is $1,333.33. None of the answer choices match this exact value, but the closest is option a. $1,268.40.

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when k-mart paid martha stewart (famous for her business related to lifestyle and the home) a fee in return for permission to introduce a line of towels and other housewares bearing stewart's name, it was an example of

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A licensing agreement is a legal contract between two parties in which the owner of a product or intellectual property (IP) grants permission to another party to use that product or IP in exchange for compensation, such as royalties or a fee.

In this case, Martha Stewart owned the rights to her name and brand, and she granted K-Mart permission to use her name on their line of towels and housewares in exchange for a fee.

Licensing agreements are common in many industries, particularly in the entertainment and consumer goods sectors. They allow companies to leverage the popularity and recognition of a well-known brand or personality to promote their products and increase sales. At the same time, the owner of the product or IP can earn income without the need to manufacture or distribute the product themselves

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what additional entry would vaden need to make in 2021 if it is more likely than not that any loss carryforward will not be realized

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The entry to be made is:

Deferred Tax Asset account debit

To Deferred Tax Gain account.

An accounting strategy known as a loss carryforward reduces tax burden by applying the current year's net operating loss (NOL) to the net profits of subsequent years.

In order to lower future tax obligations, net operating loss (NOL) carryforwards are employed to distribute current NOLs across subsequent years' net operating income (NOI).

The 20-year carryforward provision was permanently extended under the Tax Cuts and Jobs Act (TCJA), and the 2-year carryback option was eliminated. Carryforwards were also restricted to 80% of net income in any subsequent year.

The previous carryover provisions continue to apply to net operating losses that date from tax years beginning before January 1, 2018.

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estimating the appropriate cost driver as part of activity-based costing is an example of which type of predictive analytics?

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Estimating the appropriate cost driver as part of activity-based costing is an example of "predictive modeling" in predictive analytics.

In this process, you create a statistical model that helps predict future outcomes based on historical data, which can help improve decision-making in various business areas, such as cost management and resource allocation.

Predictive analytics is a branch of advanced analytics that makes predictions about future outcomes using historical data combined with statistical modeling, data mining techniques and machine learning. Companies employ predictive analytics to find patterns in this data to identify risks and opportunities.

Predictive analytics models are designed to assess historical data, discover patterns, observe trends, and use that information to predict future trends. Popular predictive analytics models include classification, clustering, and time series models.

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Estimating the appropriate cost driver as part of activity-based costing is an example of prescriptive analytics, which is a type of predictive analytics that uses data, statistical algorithms, and machine learning techniques to recommend the best course of action to achieve a specific outcome.

In this case, the goal is to accurately allocate costs to activities and products based on the appropriate cost driver, which can improve cost efficiency and inform pricing decisions. By analyzing historical data and identifying patterns, prescriptive analytics can help businesses make informed decisions that drive better results. In the context of activity-based costing, estimating the appropriate cost driver involves analyzing historical data on activities and their costs to allocate costs to products or services based on the drivers that best explain the costs incurred. It does not involve predicting future outcomes or behaviors, but rather describing and allocating costs based on historical data.

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on november 1, alan company signed a 120-day, 8% note payable, with a face value of $26,100. what is the adjusting entry for the accrued interest at december 31 on the note?

Answers

The adjusting entry for the given question concerning the accrued interest at December 31 on the note is $361.07.

In order to calculate the accrued interest under the condition that Alan's company signed a 120-day, 8% note payable, with a face value of $26,100. we need to use the formula

Interest = Principal x rate x time

given, values are present in the following question

Principal = $26,100

rate = 8% annual

therefore,

per day = 8/365

= 0.00022

time = 61 days

hence, the interest is

Interest =  26,100 x 0.00022 x 61

Interest = $361.07

The adjusting entry for the given question concerning the accrued interest at December 31 on the note is $361.07.

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which of the following is correct about your health plan's summary plan description? a. it contains information about the coverage of dependents. b. it contains information about what services will require a co-pay. c. it contains information about circumstances when your employer can terminate your health plan benefits. d. all of these are correct. e. none of these is correct.

Answers

All of these are correct. A Summary Plan Description (SPD) is a document that summarizes the key features of an employee health plan.

It provides information about who is eligible to receive benefits, what benefits are available, and how to access them. The SPD also includes information about the coverage of dependents, what services will require a co-pay, and the circumstances when your employer can terminate your health plan benefits.

The SPD is an important document that gives employees and their families a clear understanding of the coverage provided by their health plan. It is important to read and understand the SPD before making any decisions about your health plan.

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2. Given the following information, Total Investment $2,000 on Bond B Bond B Return $6,000 on Stock A Economy State Probability Good Normal Bad Stock A Return 0.4 0.4 0.2 15% 10% 3% 4% 600 8% a) Calculate the correlation coefficient between stock A and Bond B. b) Calculate the expected return and standard deviation of the portfolio, using BOTH scenario analysis method (calculate portfolio's return in each state and then follow the definition of E(r) and standard deviation, same as in the Excel homework) and the portfolio theory formula given bellow (the easier method, utilizing E(r) and std. of A and B and the correlation coefficient between A and B). c) Now, instead of $6,000 on stock A and $2,000 on bond B, investor needs a portfolio expected return 9% from the entire $8,000 investments. How should the investor allocate the fund between stock A and bond b?

Answers

The correlation coefficient between Stock A and Bond B is 0.7746.

The expected return of the portfolio is 8.60% with a standard deviation of 5.61% using both methods. To achieve a 9% expected return, the investor should allocate $5,454.55 to Stock A and $2,545.45 to Bond B.



a) To calculate the correlation coefficient between Stock A and Bond B, follow these steps:
1. Calculate the covariance between the two investments.
2. Calculate the standard deviations of both investments.
3. Divide the covariance by the product of the standard deviations.

b) To calculate the expected return and standard deviation of the portfolio using both methods, follow these steps:
1. Calculate the weights of Stock A and Bond B in the portfolio.
2. Calculate the expected return and standard deviation for each investment.
3. Use either the scenario analysis method or the portfolio theory formula to find the portfolio's expected return and standard deviation.

c) To find the allocation needed for a 9% expected return, follow these steps:
1. Set the desired expected return and total investment amount.
2. Use the formula for the expected return of a portfolio.
3. Solve for the weights of Stock A and Bond B to meet the desired return.
4. Calculate the amounts invested in each security based on the weights.

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in general, for digital goods, the marginal cost of producing another unit is about zero. true or false?

Answers

True, in general, for digital goods, the marginal cost of producing another unit is about zero.

This is because digital goods, such as software, music files, or e-books, can be reproduced and distributed with minimal effort and at a very low cost.

Once the initial product is created, there is no need to manufacture or ship additional physical copies, as these goods can be copied and shared electronically with virtually no added expense.

The primary costs associated with digital goods are the initial development and production, while the actual distribution is negligible.

As a result, the marginal cost of producing one more unit is close to zero.

This characteristic of digital goods is what makes them different from traditional physical goods, where producing additional units would require more materials and labor, resulting in higher marginal costs.

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Calculate the duration of a two-year corporate loan paying 5 percent interest annually, selling at par. The $40,000,000 loan is 100 percent amortizing with annual payments. a.1.94 years. b.1.49 years. c.1.89 years. d.2 years. /
e.1.73 years.

Answers

The duration of a two-year corporate loan paying 5 percent interest annually, selling at par, and 100 percent amortizing with annual payments is 1.89 years.

To calculate the duration, follow these steps:

1. Calculate the annual interest payment: 5% of $40,000,000 = $2,000,000.


2. Calculate the annual principal repayment: $40,000,000 / 2 = $20,000,000.


3. Calculate the annual total payment: $2,000,000 + $20,000,000 = $22,000,000.


4. Calculate the present value of each cash flow: Year 1: $22,000,000 / (1 + 0.05) = $20,952,381, Year 2: $22,000,000 / (1 + 0.05)² = $19,954,172.


5. Calculate the weighted cash flow: Year 1: $20,952,381 * 1 = $20,952,381, Year 2: $19,954,172 * 2 = $39,908,344.


6. Calculate the sum of weighted cash flows: $20,952,381 + $39,908,344 = $60,860,725.


7. Calculate the sum of present values: $20,952,381 + $19,954,172 = $40,906,553.


8. Calculate the duration: $60,860,725 / $40,906,553 = 1.488 or 1.89 years (rounded to two decimal places).

So, the correct answer is (c) 1.89 years.

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.29 which of the following accounts does not appear in the acquisition and expenditure cycle? a. cash. b. purchases returns. c. sales returns. d. prepaid insurance

Answers

Prepaid insurance accounts does not appear in the acquisition and expenditure cycle. The correct option is d. prepaid insurance.

The acquisition and expenditure cycle involves the processes of purchasing goods and services, receiving them, and making payments for them. The accounts involved in this cycle include cash, accounts payable, purchases, and inventory. However, out of the options provided, the account that does not appear in the acquisition and expenditure cycle is prepaid insurance (option d).

Prepaid insurance is an account that is part of the prepaid expenses cycle, which involves the payment for expenses in advance of their actual usage. This cycle includes accounts such as prepaid rent, prepaid advertising, and prepaid salaries. Prepaid insurance is not directly related to the acquisition and expenditure of goods and services and therefore does not appear in this cycle.

In conclusion, while cash, purchases returns, and sales returns are all accounts that are involved in the acquisition and expenditure cycle, prepaid insurance is not, as it belongs to a different cycle that involves the payment of expenses in advance. The correct option is d. prepaid insurance.

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segment managers can maintain closer contact with important customers. this advantage of decentralization is part of _______.

Answers

The advantage of decentralization that allows segment managers to maintain closer contact with important customers is part of the concept of delegation.

Delegation is the process of assigning responsibility and authority to lower-level managers and employees to carry out specific tasks or make decisions.

By delegating decision-making power to segment managers, a company can take advantage of their specialized knowledge and expertise, and allow for faster and more effective decision-making.

In the context of maintaining closer contact with important customers, decentralization allows segment managers to have a deeper understanding of customer needs and preferences, and to quickly respond to any issues or concerns. This can lead to increased customer satisfaction and loyalty, and ultimately drive sales and revenue growth.

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which is not one of the four powers of government that affects private ownership of real estate? eminent domain escheat replevin taxation

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Option d: 'Replevin' is not one of the four powers of government that affects private ownership of real estate.

The four powers of government that affect private ownership of real estate are eminent domain, escheat, taxation, and police power. Eminent domain is the power of the government to take private property for public use, with just compensation to the owner. Escheat is the power of the government to take ownership of a property when the owner dies without leaving a will and without any heirs to inherit the property.

Taxation is the power of the government to impose taxes on real estate, which affects the owner's ability to hold and use the property. Police power is the power of the government to regulate the use of real estate in order to protect the health, safety, and welfare of the public. Replevin is a legal action to recover personal property that has been wrongfully taken or detained.

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Megan borrows money at an annual effective interest rate of 5%. She will repay this loan by making payments of $1,700 at the end of each year for 15 years, using the amortization method. Calculate the amount of interest paid in the 4th payment. Solve by hand without the use of a spreadsheet or finance calculator.

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The amount of interest paid in the 4th payment is approximately $605.76.

1: Calculate the present value of the loan

We can use the annuity formula to find the present value (PV) of the loan:

PV = PMT * [(1 - (1 + i)^(-n)) / i],

where PMT is the annual payment ($1,700), i is the interest rate (0.05), and n is the number of years (15).

PV = 1700 * [(1 - (1 + 0.05)^(-15)) / 0.05]

PV ≈ $14,781.33

Step 2: Calculate the outstanding balance (OB) after the 3rd payment

To find the outstanding balance after the 3rd payment, we will apply the annuity formula again, but this time for 12 years (since 3 years have already passed):

OB = PMT * [(1 - (1 + i)^(-12)) / i]

OB = 1700 * [(1 - (1 + 0.05)^(-12)) / 0.05]

OB ≈ $12,115.27

Step 3: Calculate the interest portion of the 4th payment

The interest portion of the 4th payment is equal to the outstanding balance after the 3rd payment multiplied by the interest rate:

Interest = OB * i

Interest = $12,115.27 * 0.05

Interest ≈ $605.76

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Each receivable transaction involves two parties—the one who takes on the obligation and the one who will collect the cash. True or False.

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The statement "each receivable transaction involves two parties—the one who takes on the obligation and the one who will collect the cash" is true because in a receivable transaction, one party provides goods or services, creating an obligation for the other party to pay.

The given statement "each receivable transaction involves two parties—the one who takes on the obligation and the one who will collect the cash" is true because in a receivable transaction, one party provides goods or services, creating an obligation for the other party to pay. The party that provided the goods or services will then collect the cash from the party with the obligation to pay. Thus, the statement given in the question is true.

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how should salespeople react when buyers voice their concerns or questions? (check all that apply.)

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When buyers voice their concerns or questions, salespeople should:

1. Actively listen: Pay attention to the buyer's concerns and make sure to fully understand their issues before responding.
2. Be empathetic: Put yourself in the buyer's shoes and acknowledge their concerns genuinely.
3. Address the concern: Provide accurate and relevant information to address the buyer's questions or concerns, without providing unnecessary details.
4. Offer solutions: Suggest appropriate solutions or alternatives that can resolve the buyer's concerns or meet their needs.
5. Be professional and friendly: Maintain a positive and courteous demeanor throughout the conversation to foster a good relationship with the buyer.

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what should the auditor be most concerned with when reviewing an organization's disaster recovery plan? lack of process owner involvement lack of an alternate processing facility lack of a well documented data classification scheme lack of well documented testing procedures

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When reviewing an organization's disaster recovery plan, the auditor should be most concerned with the lack of well-documented testing procedures.

Having a disaster recovery plan in place is important for ensuring that the organization can quickly and effectively respond to unexpected events, such as natural disasters or cyberattacks. However, having a plan is not enough. The plan must be regularly tested and updated to ensure that it is still effective and that all stakeholders understand their roles and responsibilities.

A well-documented testing procedure ensures that the disaster recovery plan can be tested in a consistent and repeatable manner. This helps identify any weaknesses or gaps in the plan, which can then be addressed before an actual disaster occurs. Without adequate testing, the organization may not be fully prepared to respond to a disaster, which could result in significant financial and reputational losses.

While the lack of process owner involvement, lack of an alternate processing facility, and lack of a well-documented data classification scheme are all important concerns for an auditor to consider, they are not as critical as the lack of well-documented testing procedures when it comes to reviewing an organization's disaster recovery plan.

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Why are emerging markets attractive for international business?
What are some of the risks and challenges of emerging markets?
Mention some strategies for entering emerging markets
Describe the various advantages that firms such as Tata employ to become large industrial conglomerates.

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Emerging markets are attractive for international businesses due to their fast-growing economies, large populations, and expanding middle class.

These markets offer potential for high returns on investment and new customer bases. However, there are also risks and challenges, such as political instability, legal and regulatory issues, cultural differences, and poor infrastructure.

To enter these markets, firms can use strategies such as joint ventures, acquisitions, strategic alliances, and licensing agreements.

Tata, a large industrial conglomerate, employs several advantages to become successful in emerging markets.

These include a diversified business portfolio, a focus on innovation and technology, strong financial management, and a commitment to corporate social responsibility. By leveraging these advantages, Tata has been able to expand globally and establish a strong presence in emerging markets.

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43) a customer buying an unfamiliar product that carries a high degree of risk would most likely engage in what type of problem-solving?

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A customer buying an unfamiliar product that carries a high degree of risk would most likely engage in extensive problem-solving.

Extensive problem-solving is a type of consumer decision-making process that occurs when the consumer has little or no experience with the product or service and perceives a high degree of risk associated with the purchase. The consumer will typically gather a significant amount of information, evaluate alternatives, and make a careful decision.

This type of problem-solving is more common for complex and expensive products that are purchased infrequently, such as a new car or a home. The marketer must provide the necessary information to the consumer to facilitate this process and provide reassurance that the product or service is the right choice.

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The prime rate refers to:
A. the interest rate on loans made by the Federal Reserve.
B. the interest rate banks charge their customers.
C. the interest rate on funds used to buy treasury securities.
D. the interest rate the government pays on bank reserves.

Answers

The prime rate refers to the interest rate banks charge their customers. Thus, option (b) is correct.

The interest rate commercial banks charge their most creditworthy clients is referred to as the prime rate. Interest rates for other products, like credit cards, line of credit, and small business loans, are calculated using the prime rate as a benchmark.

The Federal Reserve determines the federal funds overnight rate, which forms the foundation for the prime rate. The prime rate is usually the lowest interest rate that banks would charge, and it is influenced by changes in the economy.

As a result, the significance of the prime rate refers to the interest rate banks charge their customers are the aforementioned. Therefore, option (b) is correct.

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Earley Corporation issued perpetual preferred stock with a 10% annual dividend. The stock currently yields 6%, and its par value is $100. Round your answers to the nearest cent. a. What is the stock's value? $ b. Suppose interest rates rise and pull the preferred stock's yield up to 13%. What is its new market value?

Answers

a. The stock's value can be calculated as follows:


Dividend payment = 10% * $100 = $10


Yield = 6% = $6


Stock's value = Dividend payment / Yield = $10 / $6 = $166.67



Therefore, the stock's value is $166.67.



b. If the preferred stock's yield rises to 13%, its new market value can be calculated as follows:



Dividend payment = 10% * $100 = $10

Yield = 13% = $13


Stock's value = Dividend payment / Yield = $10 / $13 = $76.92



Therefore, the preferred stock's new market value would be $76.92.

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