what type of question can be best answered with prescriptive analytics? what happened? what will happen? what should i do? what caused a problem to occur?

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Answer 1

Prescriptive analytics is a type of data analysis that focuses on providing advice on what actions to take based on data analysis. This type of analysis is best suited for questions that ask "What will happen?" or "What is likely to happen?".

It is best suited for questions that ask, "What should I do?" or "What actions should be taken?" These types of questions require prescriptive analytics because they involve decisions that need to be made based on the available data.

Prescriptive analytics is particularly useful in identifying the root cause of problems that have already occurred. For example, if a company has experienced a decline in sales, prescriptive analytics can help identify the factors that contributed to the decline and suggest actions to take to reverse the trend.

Prescriptive analytics can also be used to predict future events and provide recommendations on what actions to take to maximize a positive outcome. This type of analysis is best suited for questions that ask "What will happen?" or "What is likely to happen?".

In summary, prescriptive analytics is best suited for questions that require decision-making based on available data and that involve identifying the root cause of a problem, predicting future events, and providing recommendations for action.

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Related Questions

Concepts used in cash flow estimation Capital budgeting analysis not only requires the evaluation of cash flows but also requires the understanding of the origin of those cash flows. Based on your understanding of cash flows in a firm, answer the following questions: The present value of___can be used to determine the basis of a firm's value. Which of the following best describes incremental cash flows? They are the difference between the cash flows the firm will have if it accepts the project versus the cash flows it will have if it rejects the project. Incremental cash flows are not relevant because they will occur whether or not the project is accepted. Understanding the nature of projects Capital budgeting analysis often involves decisions related to expansion projects and/or replacement projects. Based on your understanding of expansion and replacement projects, answer the following: If a clothing store opens second retail location on the other side of town, this project would be considered___project. What are sunk costs? Sunk costs are___in the capital budgeting analysis. The role of externalities A cell phone company recently gave customers the ability to buy applications that they can download to their cell phones. Allowing customers to use these applications increased cell phone sales. This is an example of___externality.

Answers

The present value of future cash flows can be used to determine the basis of a firm's value.

Incremental cash flows are the difference between the cash flows the firm will have if it accepts the project versus the cash flows it will have if it rejects the project.

Capital budgeting analysis involves evaluating the potential cash flows from a project and their timing. The present value of future cash flows is used to determine the current value of a firm's operations. Incremental cash flows are the cash flows that will occur as a result of accepting or rejecting a project.

These cash flows are relevant to capital budgeting decisions because they help to determine the net present value of a project.

Expansion projects involve increasing the size of a business or adding new products or services. Replacement projects involve replacing existing assets or products with new ones.

Sunk costs are costs that have already been incurred and cannot be recovered. These costs are not relevant in capital budgeting analysis because they do not affect future cash flows.

Externalities are the effects that a decision or action has on parties that are not involved in the decision or action. In the example given, the cell phone company's decision to allow customers to buy applications that they can download to their cell phones had a positive externality on cell phone sales.

This is because it provided an incentive for customers to buy more cell phones, which led to an increase in sales.

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which of the following is a cause of hyperinflation? the money supply increasing rapidly real gdp increasing rapidly simultaneous positive and negative shocks to aggregate supply the nominal interest rate increasing sharply both aggregate demand and short-run aggregate supply increasing

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Hyperinflation is primarily caused by a 1. The money supply increasing rapidly.

The money supply increasing rapidly. When there is a significant expansion in the amount of money circulating in an economy without a corresponding increase in the supply of goods and services, it leads to a general rise in price levels.

Although the other options may have some impact on inflation rates, they are not the primary causes of hyperinflation. Real GDP increasing rapidly (option 2) may lead to higher demand and higher prices, but it is not the direct cause of hyperinflation. Simultaneous positive and negative shocks to aggregate supply (option 3) can lead to price fluctuations, but they do not necessarily cause hyperinflation.

The nominal interest rate increasing sharply (option 4) may affect borrowing and spending, but it does not directly cause hyperinflation. Lastly, both aggregate demand and short-run aggregate supply increasing (option 5) can contribute to inflation, but not necessarily hyperinflation, which requires a more extreme increase in the money supply.

In summary, hyperinflation occurs when the money supply increases rapidly without a corresponding increase in goods and services. Other factors may influence inflation rates, but the primary cause of hyperinflation is the rapid expansion of the money supply. Therefore, the correct option is 1.

The question was incomplete, Find the full content below:

Which of the following is a cause of hyperinflation?

1. The money supply increasing rapidly

2.  Real GDP increasing rapidly

3.  Simultaneous positive and negative shocks to aggregate supply

4.  The nominal interest rate increasing sharply

5.  Both aggregate demand and short-run aggregate supply increasing

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Tunney Industries can issue perpetual preferred stock at a price of $55.11 per share. The stock would pay a constant annual dividend of 54.40 a share. Calculate the company's cost of preferred stock,A. 6.75%B. 7.37%C. 7.98%D. 8.60%E. 9.22%

Answers

The company's cost of preferred stock is approximately 7.98%, which corresponds to option C.

Calculate the company's cost of preferred stock?

To calculate Tunney Industries' cost of preferred stock, we need to consider the dividend and the stock price.

The question states that Tunney Industries can issue perpetual preferred stock at a price of $55.11 per share and the stock would pay a constant annual dividend of $4.40 per share.

To find the cost of preferred stock, we can use the following formula:

Cost of preferred stock = (Annual dividend per share / Price per share) * 100%

Now, let's plug in the given values:

Cost of preferred stock = ($4.40 / $55.11) * 100%

Cost of preferred stock ≈ 7.98%

So, the company's cost of preferred stock is approximately 7.98%, which corresponds to option C.

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a cylinder shaped can needs to be constructed to hold 450 cubic centimeters of soup. the material for the sides of the can costs 0.03 cents per square centimeter. the material for the top and bottom of the can need to be thicker, and costs 0.07 cents per square centimeter. find the dimensions for the can that will minimize production cost.

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The dimensions of the cylinder that will minimize production cost are r = √(0.07/0.03)/2 and h = 2√(0.07/0.03).

How to find the dimensions that will minimize production cost

To find the dimensions that will minimize production cost, we need to use optimization techniques. Let's first start by defining the variables we need.

Let r be the radius of the cylinder, and h be the height of the cylinder.

We know that the volume of the cylinder is given by V = πr^2h.

We also know that the total cost C of constructing the can is given by C = 2πr^2(0.07) + 2πrh(0.03).

Now, we can use calculus to find the critical points of the cost function.

We differentiate with respect to r and set it equal to zero:

dC/dr = 4πr(0.07) + 2πh(0.03) = 0

Simplifying, we get:

r = h/2

Next, we differentiate with respect to h and set it equal to zero:

dC/dh = 2πr(0.03) + 2π(0.07) = 0

Simplifying, we get:

r = √(0.07/0.03)

Substituting r = h/2 from the first equation, we get:

h = 2√(0.07/0.03)

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Nieman Company purchased merchandise on account from a supplier for $10,900, terms 1/10, n/30. Nieman Company returned $2,400 of the merchandise and received full credit. a. If Nieman Company pays the invoice within the discount period, what is the amount of cash required for the payment? If required, round the answer to the nearest dollar.
$ b. What account is credited by Nieman Company to record the return?

Answers

The amount of cash required for the payment is $8,415 and the account that is credited is the "Accounts Payable" account.

a. First, let's calculate the net purchase amount by subtracting the returned merchandise value from the total purchase amount:
$10,900 (purchase amount) - $2,400 (returned merchandise) = $8,500 (net purchase amount)

Now, we need to determine the discount for paying within the 1/10 discount period. The discount is calculated as 1% of the net purchase amount:
$8,500 * 0.01 = $85 (discount)

Now, subtract the discount from the net purchase amount to find the cash required for payment:
$8,500 (net purchase amount) - $85 (discount) = $8,415

If Nieman Company pays the invoice within the discount period, the amount of cash required for the payment is $8,415 (rounded to the nearest dollar).

b. When Nieman Company records the return of merchandise, the account that is credited is the "Accounts Payable" account. By crediting this account, Nieman Company reduces its liability to the supplier, reflecting the fact that they have returned merchandise and received full credit for it.

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XYZ stock price and dividend history are as follows: Year Beginning-of-Year Price dividend paid at years end
2007 $330 $5
2008 $340 $5
2009 $320 $5
2010 $325 $5
An investor buys 3 shares of XYZ at the beginning of 2007, buys another 2 shares at the beginning of 2008, sells 1 share at the beginning of 2009, and sells all 4 remaining shares at the beginning of 2010. Requirement 1: What are the arithmetic and geometric average time-weighted rates of return for the investor? (Round your answers to 2 decimal places. Omit the "%" sign in your response.) Arithmetic mean Geometric mean % % Requirement 2: (a) What is the dollar-weighted rate of return? (Negative value should be indicated by a minus sign. Round your answer to 2 decimal places. Omit the "%" sign in your response.) Rate of return %

Answers

The arithmetic mean rate of return is 1.00%, the geometric mean rate of return is -2.00%, and the dollar-weighted rate of return is -20.89%

To calculate the time-weighted rates of return, we need to find the ending value of the investment and the holding period return for each period:

Year | Shares | Beginning Value | Dividend | Ending Value | Holding Period Return

2007 | 3 | $990 | $15 | $1,035 | (1,035 - 990 - 15) / 990 = 0.03

2008 | 5 | $1,700 | $25 | $1,790 | (1,790 - 1,700 - 25) / 1,700 = 0.03

2009 | 4 | $1,280 | $20 | $1,305 | (1,305 - 1,280 - 20) / 1,280 = 0.02

2010 | 0 | $0 | $0 | $0 | (0 - 1,305 - 20) / (1,305 + 20) = -0.011

Arithmetic mean = (0.03 + 0.03 + 0.02 - 0.011) / 4 = 0.0185 = 1.85%

Geometric mean =

[(1 + 0.03) × (1 + 0.03) × (1 + 0.02) × (1 - 0.011)][tex]^(1/4)[/tex] - 1 = 0.0109 = 1.09%

To calculate the dollar-weighted rate of return, we need to find the initial and ending values of the investment, and the cash flows for each period:

Year | Shares | Beginning Price | Beginning Value | Dividend | Cash Flow | Ending Price | Ending Value | Holding Period Return

[tex]2007 | 3 | $330 | $990 | $15 | -$1,005 | $340 | $1,020 | (1,020 - 990 - 15) / (990 + 1,005)[/tex]= 0.0142

[tex]2008 | 5 | $340 | $1,700 | $25 | -$1,725 | $320 | $1,600 | (1,600 - 1,700 - 25) /[/tex] (1,700 + 1,725) = -0.0739

[tex]2009 | 4 | $320 | $1,280 | $20 | -$20 | $325 | $1,300 | (1,300 - 1,280 - 20) / (1,280 + 20)[/tex] = 0.0169

[tex]2010 | 0 | $325 | $0 | $0 | $1,300 | $0 | $0 |[/tex]

0 = -$450

Initial value = $990 + $1,700 = $2,690

Ending value = $0

Dollar-weighted rate of return = (0 - 2,690 - (-450)) / 2,690 = -0.2089 = -20.89%

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Suppose you just purchased a 6 year. $1.000 par value bond. The coupon rate on this bond is 9% annually, with interest being paid semi-annually. If you expect to earn a 11% rate of return on this bond, how much did you pay for it? (Round your answer to two decimal point)

Answers

The answer is $1,073.64.

To calculate the price of the bond, we need to discount the future cash flows (coupon payments and par value) at the required rate of return of 11%. Since the bond pays semi-annual coupons, we need to use a semi-annual discount rate of 5.5%.

Using the bond pricing formula, we can calculate the price of the bond as follows:

Price = (C/2)/(1 + r/2) + (C/2)/(1 + r/2)^2 + ... + (C/2)/(1 + r/2)^11 + (FV)/(1 + r/2)^12

Where:

C = coupon payment = 9% x $1,000 / 2 = $45

r = required rate of return = 11% / 2 = 5.5%

FV = par value = $1,000

Plugging in the values, we get:

Price = ($45/1.055) + ($45/1.055^2) + ... + ($45/1.055^11) + ($1,000/1.055^12)

Price = $531.69 + $497.96 + ... + $318.57 + $523.04

Price = $5,903.12 / 5.5

Price = $1,073.64 (rounded to two decimal points)

Therefore, the price paid for the bond is $1,073.64.

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question content areathomlin company forecasts that total factory overhead for the current year will be $15,500,000 with 250,000 total machine hours. year to date, the actual factory overhead is $16,000,000 and the actual machine hours are 330,000 hours. the predetermined factory overhead rate based on machine hours isa.$62 per machine hourb.$50 per machine hourc.$48 per machine hourd.$45 per machine hour

Answers

To calculate the predetermined factory overhead rate based on machine hours, we divide the forecasted total factory overhead by the forecasted total machine hours:  The correct answer is (a) $62 per machine hour.

$15,500,000 ÷ 250,000 machine hours = $62 per machine hour

This means that for every machine hour used in production, $62 of overhead costs are allocated.

Given the actual factory overhead of $16,000,000 and actual machine hours of 330,000, we can calculate the actual overhead rate per machine hour:

$16,000,000 ÷ 330,000 machine hours = $48.48 per machine hour

This means that the actual overhead costs per machine hour were lower than the predetermined rate, possibly indicating that the company was able to control its overhead costs better than expected.

Therefore the correct answer is a. $62 per machine hour.

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(Common stock valuation​) Herrera Motor Inc. paid a ​$3.75 dividend last year. At a constant growth rate of 4 ​percent, what is the value of the common stock if the investors require a rate of return of 18 ​percent?
The value of the Herrera Motor common stock is ​$? ​(Round to the nearest​ cent.)

Answers

If the company keeps its current dividend growth rate of 4% per year, the calculation of the stock value indicates that investors will pay $26.79 for each share of Herrera Motor Inc. common stock.

To calculate the value of Herrera Motor Inc.'s common stock, we can use the constant growth dividend discount model. According to this model, the value of a stock is equal to the present value of all future dividends.

Using the formula:

Stock value = Dividend / (Required rate of return - Growth rate)

Substituting the given values:

Stock value = 3.75 / (0.18 - 0.04) = $26.79

Therefore, the value of Herrera Motor Inc.'s common stock is $26.79.

The required rate of return is the minimum rate of return an investor expects from an investment. In this case, the investors require a rate of return of 18 percent. The constant growth rate of 4 percent is the rate at which the dividends of the company are expected to grow in the future. The model assumes that the growth rate remains constant forever.

The calculation of the stock value indicates that the investors will pay $26.79 for each share of Herrera Motor Inc.'s common stock, assuming that the company maintains a constant dividend growth rate of 4 percent per year.

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a ________, which is conducted by the project manager, involves determining if the information system makes sense for the organization from an economic and operational standpoint.

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A - b. Feasibility study  which is conducted by the project manager, involves determining if the information system makes sense for the organization from an economic and operational standpoint.

A feasibility study is a quick examination of a proposed project or endeavor to assess its benefits and viability.

Hence,  option B. is correct.

An example of  Feasibility study ?

A hospital, for instance, may do a feasibility study if it plans to grow, i.e., construct an addition to the structure. The research will help decide if the project should move forward. Costs associated with labour and materials will be taken into consideration by those conducting the study.

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The complete question is-

A ________,which is conducted by the project manager, involves determining if the information system makes sense for the organization from an economic and operational standpoint.

A)Tool

B)Feasibility study

C)Data flow

D)Methodology

A $320,000 house in Hamilton was purchased with a down payment of 20.00% of its value and a 25 year mortgage was taken for the balance. The negotiated fixed interest rate was 3.25% compounded semi-annually for a three-year term, with repayments made at the end of every month. a. Calculate the size of the monthly payments. $0.00 € Round to the nearest cent b. Complete the partial mortgage schedule for the three-vear term. rounding the b. Complete the partial mortgage schedule for the three-year term, rounding the answers to the nearest cent.

Answers

The size of the monthly payments is $1,221.94.

a. To calculate the monthly payments, we first need to find the principal amount of the mortgage

The down payment was 20% of the house value, which is:

$320,000 x 0.20 = $64,000

So the mortgage principal is:

$320,000 - $64,000 = $256,000

Next, we need to calculate the monthly interest rate, which is the annual interest rate divided by 12 (the number of months in a year) and the effective interest rate, which is the nominal interest rate compounded semi-annually:

i = (3.25% / 2) / 100 = 0.01625 per month

j = (1 + i)^6 - 1 = 0.100416

The monthly payment can be calculated using the formula for a mortgage payment:

M = P * [i(1+j)^n] / [(1+j)^n - 1]

where:

M = monthly payment

P = principal amount of the mortgage

i = monthly interest rate

j = effective interest rate

n = total number of payments

For a 25-year mortgage with monthly payments, there are a total of 25 x 12 = 300 payments.

However, we are only interested in the partial mortgage schedule for the three-year term, which is 3 x 12 = 36 payments.

So, substituting the values, we get:

M = $256,000 * [0.01625(1+0.100416)^36] / [(1+0.100416)^36 - 1] = $1,221.94

b. The partial mortgage schedule for the three-year term can be calculated using an amortization table. The table shows the breakdown of each monthly payment into principal and interest, as well as the remaining balance after each payment.

Month Payment Principal Interest Balance

1 $1,221.94 $351.34 $870.60 $255,648.66

2 $1,221.94 $353.31 $868.63 $255,295.35

3 $1,221.94 $355.28 $866.66 $254,940.07

... ... ... ... ...

34 $1,221.94 $411.80 $810.14 $212,036.49

35 $1,221.94 $413.96 $807.98 $211,622.53

36 $1,221.94 $416.12 $805.82 $211,206.41

The principal and interest columns are calculated as follows:

Principal = Payment - Interest

Interest = Balance * i

where i is the monthly interest rate calculated earlier.

Note that the balance decreases with each payment as more of the principal is paid off.

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a firm will obtain its profit-maximizing level of employment where group of answer choices value of marginal product equals marginal wage cost. marginal revenue product equals marginal wage cost. marginal product equals marginal revenue product. marginal revenue product equals value of marginal product.

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A firm will obtain its profit-maximizing level of employment where the value of the marginal product equals to marginal wage cost. Option A is correct.

The value of marginal product (VMP) represents the additional revenue that a firm generates by employing one more unit of labor, while the marginal wage cost (MWC) represents the additional cost incurred by the firm when it hires a one more unit of labor.

To maximize profits, a firm should continue hiring more workers as long as the VMP exceeds the MWC. Once the VMP becomes equal to the MWC, the firm has reached its profit-maximizing level of employment. At this point, hiring any additional workers would result in the firm incurring more costs than the additional revenue generated by their employment, leading to a decrease in profits.

Hence, A. is the correct option.

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--The given question is incomplete, the complete question is

"A firm will obtain its profit-maximizing level of employment where group of answer choices A) value of marginal product equals marginal wage cost. B) marginal revenue product equals marginal wage cost. C) marginal product equals marginal revenue product. D) marginal revenue product equals value of marginal product."--

which of the following would cause the balance of cash in the bank statement to be greater than the balance of cash in the accounting records? select one: a. the company deposited a customer check that was found by the bank to have insufficient funds. b. the company has cash receipts that have not been deposited in the bank. c. the company purchased supplies using a debit card. d. the company wrote checks that have not cleared the bank.

Answers

The option that would cause the balance of cash in the bank statement to be greater than the balance of cash in the accounting records is the company wrote checks that have not cleared the bank.

So, the correct answer is D.

Understanding bank statement

When a company writes checks for various expenses, the accounting records immediately reflect the decrease in the cash balance.

However, the bank statement only reflects this decrease when the checks are actually presented and cleared by the bank.

In the time between the company issuing the checks and the bank clearing them, there can be a discrepancy between the cash balance on the bank statement and the accounting records.

This is because the accounting records have already accounted for the decrease in cash due to the written checks, while the bank statement still shows the original cash balance before the checks were presented.

This difference is temporary and will be resolved once the checks clear the bank. In the meantime, it causes the bank statement's cash balance to appear greater than the cash balance in the accounting records.

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. Buskirk Construction buys on terms of 2/10, net 50 days. It does not take discounts, and it typically pays on time, 60 days after the invoice date. Net purchases amount to $420,000 per year. On average, how much "free" trade credit does the firm receive during the year? (Assume a 365-day year, and note that purchases are net of discounts.) a. $11,507 b. $12,329 c. $13,389 d. $14,408 e. $15,479

Answers

The firm receives free trade credit of $12,329 during the year.

This amount is determined by calculating the effective annual interest rate. The formula for effective annual interest rate is (1 + period rate)^number of periods - 1.

Trade credit terms of 2/10, net 50 is equal to a period rate of 0.2/50 = 0.004. The effective annual interest rate is (1 + 0.004)^365 - 1 = 0.1232 or 12.32%.

Therefore, the amount of free trade credit is $420,000*12.32% = $51,744. This amount is divided by 365 days in the year to get the amount of free trade credit each day, which is $141.81. Multiplying this amount by the number of days the company pays, which is 60 days, gives us the total free trade credit for the year of $12,329.

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An investor buys 100 shares of stock and would like to delta-hedge by selling 6-month European call options on the stock. For these European call options you are given:
-The stock follows the Black-Scholes framework.
-d1 = 0.23.
-δ = 0.08.
Calculate the number of options to sell.
Hint: Notice that the set-up is the reverse of the normal situation where a written option is hedged by purchasing stock. Usually, the number of shares of stock is chosen based on the number of options sold. Here, the number of options sold is to be chosen based on the number of stocks purchased.

Answers

The investor should sell approximately 176 European call options to delta-hedge their position.An investor buys 100 shares of stock and would like to delta-hedge by selling 6-month European call options on the stock.

To calculate the number of options to sell, we need to use the given information within the Black-Scholes framework, including d1 = 0.23 and δ = 0.08.
Step 1: Calculate the delta of the European call option. In the Black-Scholes model, delta is calculated as follows:
Delta = e^(-δ * time to expiration) * N(d1)
Where N(d1) is the cumulative standard normal distribution of d1.
Step 2: Apply the given values to the formula:
Delta = e^{(-0.08 * 0.5)}[/tex] * N(0.23)
Delta = 0.9606 * N(0.23)

Step 3: Calculate N(0.23) using a standard normal distribution table or calculator. You'll find that N(0.23) = 0.5910.


Step 4: Calculate the delta value:
Delta ≈ 0.9606 * 0.5910 = 0.5680
Step 5: Calculate the number of options to sell. To delta-hedge, the investor needs to have a delta-neutral portfolio, meaning the total delta of the portfolio should be zero. Since the investor owns 100 shares of the stock (with a delta of 1 for each share), the total delta of the shares is 100. Therefore, to achieve a delta-neutral position, the total delta of the call options sold should be -100. Number of options to sell = -Total delta of shares / Delta per option
Number of options to sell = -100 / 0.5680 = 176.06.Since the number of options must be a whole number, therefore it is 176

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If you are the writer of a call option a. You believe that the price of the underlying asset will decrease b. Collect a premium from the call holder O c. Are obligated to buy the underlying asset for

Answers

If you are the writer of a call option C, you are obligated to buy the underlying asset at the strike price of the option if the call holder chooses to exercise their right.

As the writer, you collect a premium from the call holder, which is your compensation for taking on this obligation. This means that you will make money if the price of the underlying asset decreases or stays the same, as you will not have to buy the asset at the strike price.

However, if the price of the underlying asset increases, you will incur a loss, as you will be obligated to buy the asset at the strike price, which is higher than the market price.

Therefore, correct option is C.

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Option c: If the call holder decides to exercise their right, you, as the call option writer, are required to purchase the underlying asset for the option's strike price.

A call option, commonly called a "call" in finance, is an agreement between a buyer and a seller to exchange a security at a specified price. The call option buyer is entitled to receive from the option seller a specified quantity of a specified instrument or financial instrument (underlying asset) at a specified price (strike price) on or before a specified date; No responsibility. Please check the date (expiration date) before purchasing. The owner currently has a long position in the offered asset. If the Buyer decides to purchase a product or financial instrument, the Seller (or "Writer") is obligated to do so.

As a result, the seller now has her position short of the specified asset. Buyers must pay a fee (called a premium) for this right. The term "call" was coined because the owner has the power to "call" the shares from the seller.

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which of the following statements are true of pure competition? choose one or more: a. firms act as price takers. b. the market demand curve and the demand curve facing a firm may be one and the same, at least at certain prices. c. the demand curve facing a competitive firm consists of a horizontal line at any price equal to or below the market price. d. there must be a very large number of sellers. e. the demand curve facing a competitive firm consists of a horizontal line at any price equal to or above the market price.

Answers

All of the statements are true of pure competition.

Pure competition is a market structure in which there are a large number of firms producing identical products and there is perfect information about prices and products.

Firms in a pure competitive market act as price takers, meaning that they must accept the market price and cannot influence it. The demand curve facing a competitive firm consists of a horizontal line at any price equal to or below the market price.

This means that the market demand curve and the demand curve facing a firm may be one and the same, at least at certain prices. Additionally, there must be a very large number of sellers in a pure competitive market in order for it to be an effective market structure.

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What is the price of a 0.75-year floating rate bond that pays semi-annual coupon equal to the LIBOR plus 1.0% spread? Use the following information: (I) Price of the 0.25-year zero coupon bond is 99.9; (II) Price of the 0.5-year zero coupon bond is 99.6; (III) There is a 0.75-year coupon bond paying 2% quarterly and its price is 100.8945; (IV) 3 months ago, the 6-month LIBOR was 4%.

Answers

The price of a 0.75-year floating rate bond that pays semi-annual coupons equal to the LIBOR plus 1.0% spread is 100.0911.

To calculate this, follow these steps:
1. Determine the discount factors for each cash flow. Using the given zero-coupon bond prices: (I) DF1 = 99.9 / 100 = 0.999 and (II) DF2 = 99.6 / 100 = 0.996.
2. Calculate the forward LIBOR rate (fLIBOR) using the discount factors: fLIBOR = (DF1 / DF2 - 1) * 2 = (0.999 / 0.996 - 1) * 2 = 0.006012.
3. Calculate the cash flows of the floating rate bond: (IV) Coupon = (4% + 1%) / 2 = 2.5%, (III) Principal repayment = 100.8945.
4. Discount the cash flows using the discount factors: PV(Coupon) = 2.5 * DF1 = 2.5 * 0.999 = 2.4975, PV(Principal) = 100.8945 * DF2 = 100.8945 * 0.996 = 100.4936.
5. Sum the present values to find the bond price: 2.4975 + 100.4936 = 100.0911.

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A preferred stock pays a dividend of $8 per year. The
appropriate discount rate given the riskiness of the stock is 12%.
What is the intrinsic value of this preferred stock?

Answers

The intrinsic value of this preferred stock is $66.67.

To find the intrinsic value of this preferred stock, we need to use the dividend discount model, which includes the dividend, discount rate, and intrinsic value. Your question states that the preferred stock pays a dividend of $8 per year and has an appropriate discount rate of 12%.

To calculate the intrinsic value, we'll use the following formula: Intrinsic Value = Dividend / Discount Rate

Step 1: Identify the dividend and discount rate.
Dividend = $8
Discount Rate = 0.12 (or 12%)

Step 2: Plug the values into the formula.
Intrinsic Value = $8 / 0.12

Step 3: Calculate the intrinsic value.
Intrinsic Value = $66.67 (rounded to two decimal places)

Therefore, the intrinsic value of this preferred stock is $66.67.

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which of the following did not contribute to the russian currency crisis of 1998? an accelerated flight of capital generally deteriorating economic conditions a surprisingly healthy government surplus that was neither funding internal investment nor external debt service all of the above

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The following did not contribute to the Russian currency crisis of 1998:

c. A surprisingly healthy government surplus that was neither funding internal investment nor external debt service.

The Russian government had actually been running a budget surplus during this period, which should have helped to stabilize the economy. However, the other factors listed - an accelerated flight of capital, generally deteriorating economic conditions - did contribute to the crisis.

The crisis was exacerbated by a number of factors, including a series of debt defaults by major Russian companies, an accelerated flight of capital out of the country, and a sharp devaluation of the Russian ruble. These factors led to a widespread banking crisis, with many banks and financial institutions collapsing, and a sharp decline in the Russian stock market.

The crisis had a significant impact on the Russian economy, with many people losing their jobs and businesses going bankrupt. It also had a ripple effect on the global economy, with many international investors pulling their money out of Russia and other emerging markets. The Russian government was forced to implement a number of emergency measures to stabilize the economy, including a large bailout of the banking system and a devaluation of the ruble.

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You have decided to support your Alma Mater with a scholarship that provides $10,000 to one student per year, in perpetuity. Now you don't have the money, but you expect to be able to make your gift in 12 years, so you're going to make deposits at the end of each of the next 12 years, which will be invested at 10% compounded annually. Suppose your Alma Mater also invests at that rate.
a. Determine the amount of the donation you will make in year 12 to your Alma Mater.
b. Determine the annuities that will allow you to achieve your goal.

Answers

A. You will make a donation of approximately $3,192.47 to your Alma Mater in year 12.

B. To achieve your goal, you need to make annual deposits of approximately $536.59 for the next 12 years.

A. To determine the donation amount in year 12, we need to calculate the future value of an annuity due with annual deposits of $10,000 for 12 years at a rate of 10% compounded annually. Using the formula for future value of an annuity due, we get:

FV = A x [((1+r)^n - 1)/r] x (1+r)

where A = annual deposit, r = interest rate, n = number of years

FV = $10,000 x [((1+0.1)^12 - 1)/0.1] x 1.1

FV = $3,192.47

Therefore, you will make a donation of approximately $3,192.47 to your Alma Mater in year 12.

To determine the annuity amount that will allow you to achieve your goal, we need to calculate the present value of an annuity due with annual deposits of A for 12 years at a rate of 10% compounded annually, and set it equal to the future value of the scholarship of $10,000 per year.

Using the formula for present value of an annuity due, we get:

PV = A x [1 - (1+r)^-n]/r x (1+r)

where A = annual deposit, r = interest rate, n = number of years

PV = $10,000 x [1 - (1+0.1)^-12]/0.1 x (1+0.1)

PV = $62,418.16

Therefore, you need to make annual deposits of approximately $536.59 for the next 12 years to achieve your goal.

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jessica's boutique has cash of $218, accounts receivable of $457, accounts payable of $398, and inventory of $647. what is the value of the quick ratio? group of answer choices 1.05 1.32 .55 1.52 1.70

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Jessica's boutique has cash of $218, accounts receivable of $457, accounts payable of $398, and inventory of $647. In this case, the inventory is not included in the quick ratio calculation. The quick ratio for Jessica's Boutique is approximately 1.70

Step 1: Add the cash and accounts receivable amounts.

Cash = $218,

Accounts Receivable = $457

Cash + Accounts Receivable =

$218 + $457 = $675

Step 2: Divide the sum by the accounts payable amount.

Accounts Payable = $398

Quick Ratio =

$675 / $398 ≈ 1.70

So, the quick ratio for Jessica's Boutique is approximately 1.70. Your answer is 1.70.

How well a business can pay off its present debts is determined by the fast ratio, calculation, and financial statistics. This ratio is frequently used by accountants and other finance experts to swiftly and easily assess the financial health of a company.

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Restex has a debt-equity ratio of 0.72, an equity cost of capital of 15%, and a debt cost of capital of 8%. Restex's corporate tax rate is 38%, and its market capitalization is $185 million. a. If Restex's free cash flow is expected to be $10 million one year from now and will grow at a constant rate, what expected future growth rate is consistent with Restex's current market value? b. Estimate the value of Restex's interest tax shield. a. If Restex's free cash flow is expected to be $10 million one year from now and will grow at a constant rate, what expected future growth rate is consistent with Restex's current market value? If Restex's free cash flow is expected to be $10 million in one year, the expected future growth rate is ____%. (Round to two decimal places.) b. Estimate the value of Restex's interest tax shield. Interest tax shield value is $____million. (Round to the nearest million.)

Answers

9.46% is the predicted growth rate, in line with Restex's current market value.

The interest tax shield for Restex is worth $8 million (rounded to the nearest million).

a. To determine the expected future growth rate, we can use the Gordon growth model:

Market value = Free cash flow / (Cost of equity - Growth rate)

Rearranging the equation, we get:

Growth rate = Cost of equity - Free cash flow / Market value

Substituting the given values, we get:

Growth rate = 15% - $10 million / $185 million

Growth rate = 9.46%

Therefore, the expected future growth rate consistent with Restex's current market value is 9.46%.

b. The value of Restex's interest tax shield can be calculated using the formula:

Value of interest tax shield = Debt * Cost of debt * (1 - Tax rate)

Substituting the given values, we get:

Value of interest tax shield = 0.72 * $185 million * 8% * (1 - 38%)

Value of interest tax shield = $8.16 million

Therefore, the value of Restex's interest tax shield is $8 million (rounded to the nearest million).

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Buildmazing Developers need an amount of money to expand their business. They secure a loan at an interest rate of 10,5% per year, compounded annually. The outstanding balance will be repaid in equal payments of R137 828,00 at the end of each year for the next seven years. Considering the amortisation schedule, the principle repaid during the first three years, rounded to the nearest rand, is 1. R227 891 2. R185 593 3. R83 662 4. R413 484

Answers

A. The principle repaid during the first three years of the loan is 1) R227 891.

B. The loan is for an amount not specified in the question, but we can determine the outstanding balance by using the present value formula:

PV = FV / (1 + r)^n

where PV is the present value, FV is the future value, r is the interest rate, and n is the number of years.

Using the given information, we can calculate the present value of the loan:

PV = 137828 * ((1 - (1 + 0.105)^-7) / 0.105) = R721,140.60

The outstanding balance at the end of the first year will be the present value minus the payment made:

Balance Y1 = PV - Payment Y1 = R721,140.60 - R137,828 = R583,312.60

The outstanding balance at the end of the second year will be the balance at the end of the first year plus the interest:

Balance Y2 = Balance Y1 * (1 + r) - Payment Y2 = R583,312.60 * 1.105 - R137,828 = R556,845.62

The outstanding balance at the end of the third year will be the balance at the end of the second year plus the interest:

Balance Y3 = Balance Y2 * (1 + r) - Payment Y3 = R556,845.62 * 1.105 - R137,828 = R527,684.71

The principle repaid during the first three years will be the original amount of the loan minus the outstanding balance at the end of the third year:

Principle Repaid Y1-3 = PV - Balance Y3 = R721,140.60 - R527,684.71 = R227 891.

Rounding this value to the nearest rand gives us the answer: 1) R227 891.

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_____ is the process of hiring, developing, motivating, and evaluating people in order to achieve organizational goals.
A) Developmental Management
B) Functional organization
C) Operations Management
D) Human resource Management
E) Production Management

Answers

The correct answer to the given question is D) Human Resource Management. It is the process of hiring, developing, motivating, and evaluating people in order to achieve organizational goals.

Human Resource Management (HRM) is a crucial function that focuses on the recruitment, selection, and retention of qualified employees who can contribute to the success of the organization.
HRM involves a variety of activities, including job analysis, recruitment, selection, orientation, training and development, performance appraisal, compensation, and benefits. The HR department plays a vital role in managing the organization's workforce and ensuring that the employees are motivated and engaged to achieve the organization's goals.
HRM also involves developing and implementing policies and procedures that ensure compliance with employment laws and regulations. The HR department must also create a positive work environment that promotes employee satisfaction, engagement, and productivity. So, the correct option in D) Human resource Management.
In summary, Human Resource Management is essential to the success of any organization. It helps to attract and retain talented employees, develop their skills, and motivate them to achieve organizational goals. By focusing on the people within an organization, HRM can create a competitive advantage that enables the organization to succeed in a dynamic and ever-changing business environment.

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Human Resource Management is the process of hiring, developing, motivating, and evaluating people in order to achieve organizational goals.

HRM involves various activities, including recruitment and selection of suitable candidates, training and development to enhance skills and capabilities, performance management to ensure employees meet or exceed expectations, and motivation strategies to encourage employees to contribute their best efforts towards organizational objectives. HRM also includes compensation and benefits administration, employee relations, and employee engagement initiatives to create a positive work environment. Effective HRM practices are crucial for organizations to attract and retain top talent, maximize employee productivity, and achieve overall success.

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the _____ approach examines a lifetime stream of additional earnings and cost savings for an investment and discounts the value of those investments by a specified interest rate.

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The Net Present Value (NPV) approach examines a lifetime stream of additional earnings and cost savings for an investment and discounts the value of those investments by a specified interest rate.

This method takes into consideration the time value of money, recognizing that a dollar received today is worth more than a dollar received in the future.

The NPV approach allows investors to evaluate an investment based on its potential future cash flows, providing insight into the project's profitability and financial viability. By discounting future cash flows to present value, investors can compare different investment options on a consistent basis, helping them make informed decisions.

To calculate the NPV, investors identify the expected cash inflows and outflows over the lifetime of the investment, discount them using the specified interest rate, and then subtract the initial investment cost.

If the resulting NPV is positive, it suggests that the investment is likely to generate a return greater than the specified discount rate, making it an attractive option. Conversely, a negative NPV indicates that the investment may not yield returns as high as the specified discount rate and might be less appealing.

In summary, the NPV approach is a valuable tool for analyzing an investment's potential earnings and cost savings. By accounting for the time value of money and discounting future cash flows, this method enables investors to effectively compare and evaluate investment options based on their financial potential and risk profiles.

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the involvement of the united states in the international monetary fund and world bank was designed to .

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The involvement of the United States in the International Monetary Fund (IMF) and the World Bank was designed to: promote global economic stability, facilitate international trade, and encourage sustainable economic growth in developing countries.

To begin with, the United States played a pivotal role in establishing both institutions during the Bretton Woods Conference in 1944. The primary aim was to ensure global economic stability and prevent the economic crises that contributed to the Great Depression and World War II.

The IMF was created to monitor exchange rates, provide short-term financial assistance to countries facing balance of payment problems, and promote international monetary cooperation. The World Bank, on the other hand, was set up to finance long-term development projects and reduce poverty in developing nations.

Moreover, the United States' involvement in these organizations helps in maintaining an open and rules-based international trade system, which is crucial for its own economy and global economic growth.

The IMF and the World Bank promote trade liberalization and provide technical assistance to countries in need, thus facilitating international trade.

Lastly, the US participation in the IMF and the World Bank aims at fostering sustainable economic growth in developing countries.

The World Bank provides funding for essential infrastructure projects, such as roads, schools, and hospitals, while the IMF offers policy advice and capacity building assistance to help countries implement sound economic policies.

In conclusion, the involvement of the United States in the International Monetary Fund and the World Bank is designed to promote global economic stability, facilitate international trade, and encourage sustainable economic growth in developing countries.

This engagement benefits not only the global community but also supports the US's interests in maintaining a stable and prosperous world.

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the periodic method uses a formula to determine the cost of goods available for sale that involves adding beginning inventory to . a. cost of goods sold b. purchases c. ending inventory d. returns

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The periodic method uses a formula to determine the cost of goods available for sale that involves adding beginning inventory to the cost of goods. Thus, option A is correct.

The starting value of inventory plus the cost of products purchased equals the cost of the goods that are now on the market. The cost of goods sold is the ending value of inventories less the cost of items that are available for purchase.

A practice in accounting stock valuation known as periodic stock valuation is carried out at predetermined times. At the end of the quarter, businesses physically count their products and use the data to balance their general ledger. The remaining funds are then applied to the start of the new period. A company can track its beginning inventory and ending inventory throughout the course of an accounting period for its financial statements by using periodic inventory.

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united states v. stein addressed the question of whether the constitutional rights of the defending accountants were violated when the government pressured their former employer into ending its policy of paying attorney fees. how did the court rule?

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In Joined Together States v. Stein, the court did not address the address of whether the protected rights of the protecting bookkeepers were abused when the government forced their previous boss into finishing its approach of paying lawyer expenses.

the case centered on the address of whether the mail and wire extortion statutes may be utilized to arraign the bookkeeping firm for its part in advancing false charge covers. The court eventually ruled that the bookkeeping firm might be indicted beneath these statutes, dismissing the contention that the firm's activities did not constitute extortion since they included complex and novel legitimate speculations

By and large, Joined Together States v. Stein was a vital case within the domain of white-collar criminal law because it clarified the scope of the mail and wire extortion statutes and set up that people who advance false charge covers can be held criminally obligated for their activities.

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under what circumstances may it make sense not to prepare a business forecast? group of answer choices the forecast horizon is 40 years. no data is readily available. the future will be no different from the past. there is no consensus among informed individuals. the industry to forecast is undergoing dramatic change.

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There are several circumstances where it may make sense not to prepare a business forecast, including long forecast horizons, lack of available data, consistency in the past and present, lack of consensus among informed individuals, and rapid industry change. In such cases, it may be more beneficial for companies to focus on more immediate and concrete factors and adjust their strategies and plans as circumstances evolve.

Preparing a business forecast can be a useful tool in planning and decision-making for a company, but there are certain circumstances where it may not make sense to prepare one. One such circumstance is if the forecast horizon is very long, such as 40 years, as it can be difficult to accurately predict changes and developments that far into the future. Additionally, if no data is readily available, it may not be feasible to create a reliable forecast.

If there is no reason to believe that the future will be any different from the past, then there may be little value in preparing a forecast as well.Another circumstance where it may not make sense to prepare a business forecast is if there is no consensus among informed individuals, such as experts in the industry or market analysts.

In such cases, the lack of agreement may suggest that the future is too uncertain or volatile to make an accurate forecast. Finally, if the industry that is being forecasted is undergoing dramatic change, then it may be challenging to create a forecast that accurately reflects the likely developments and outcomes.

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