a 10-year 5.0% coupon bond was issued 2 year(s) ago. similarly risky bonds are yielding 6.1%. assume semi-annual coupon payments. the bond's price should be $ .

Answers

Answer 1

The face value of bond = $100. The coupon rate is 5% for semi-annual coupon payments. The bond is issued 2 years ago. We have to calculate the price of the bond if similarly risky bonds are yielding 6.1%.  The price of the bond is $88.51.

We know that, the bond price is the sum of the present value of all the future cash flows (coupon payments and principal amount).Let us calculate the present value of each cash flow:

First, let's calculate the coupon payments. Coupon payment = Coupon rate * Face value / 2= 5% * $100 / 2= $2.5. Discount rate = Yield / 2 (As the payments are semi-annually and yield is given as annual). We are given the bond yield is 6.1% which is annual and thus we can calculate the semi-annual yield as follows:

Semi-annual yield = 6.1% / 2= 3.05%. Discount rate = 3.05%. Using the above data, we can calculate the present value of each coupon payment for 4 semi-annual periods. The bond is 2 years old and thus we will have 4 semi-annual periods:Present value of 1st coupon payment = $2.5 / (1+3.05%)¹ = $2.42. Present value of 2nd coupon payment = $2.5 / (1+3.05%)² = $2.34. Present value of 3rd coupon payment = $2.5 / (1+3.05%)³ = $2.25. Present value of 4th coupon payment = $2.5 / (1+3.05%)⁴ = $2.17. Now, let's calculate the present value of the principal amount which will be received at the end of the bond's maturity:Present value of principal amount = Face value / (1+3.05%)⁴= $100 / (1+3.05%)⁴= $79.33.

Now, let's add the present value of all the cash flows to calculate the bond price:Bond price = $2.42 + $2.34 + $2.25 + $2.17 + $79.33= $88.51.

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Related Questions

what the definitin of Assembly Process?

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Assembly process is the process of joining two or more components together to create a complete product.

The components are joined together by fastening, bonding, welding, or adhesion. In order for the process to be successful, the correct type of equipment and materials must be used. The most common type of equipment used in assembly process is an assembly press. The press is used to apply pressure to the components and help secure them together. The materials used depend on the type of product being assembled, but they typically include adhesives, nuts and bolts, screws, and rivets.

In order to ensure a successful assembly process, it is important to follow the manufacturer's instructions closely. This includes proper maintenance and cleaning of the components and machines, as well as any other specific instructions related to the process. Additionally, it is important to make sure that the parts being used in the assembly process are the correct size and compatible with each other. Following the manufacturer's instructions closely and using the proper equipment and materials will help ensure a successful assembly process.

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knowledge check 01 the adjusted trial balance for willow company as of december 31 is presented below. debit credit cash $ 15,000 accounts receivable 22,000 land 165,000 accounts payable $ 32,000 common stock 60,000 retained earnings 89,000 service revenue 57,000 salaries expense 19,000 advertising expense 11,000 utilities expense 6,000 totals $ 238,000 $ 238,000 calculate net income. multiple choiceA.$68,000B. $238,000C. $21,000D. $57,000

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The net income for the adjusted trial balance for willow company as of December 31 is calculated to be $21,000. Thus, option c is correct.

Step 1: Identify total revenues
Service Revenue = $57,000

Step 2: Identify total expenses
Salaries Expense = $19,000
Advertising Expense = $11,000
Utilities Expense = $6,000

Step 3: Calculate total expenses
Total Expenses = Salaries Expense + Advertising Expense + Utilities Expense
Total Expenses = $19,000 + $11,000 + $6,000
Total Expenses = $36,000

Step 4: Calculate net income
Net Income = Total Revenues - Total Expenses
Net Income = $57,000 - $36,000
Net Income = $21,000

So, the correct answer is C. $21,000.

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When a supplier is offering a customer a cash discount for receipt of payment within a specific period, such as 2/10, n/30, it is referred by the supplier as a________ discount

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When a supplier is offering a customer a cash discount for receipt of payment within a specific period, such as 2/10, n/30, it is referred by the supplier as a cash discount.

What is a cash discount?

A cash discount is a reduction in the purchase price of goods and services that is offered by a seller or a supplier to a buyer or a customer when payment is made within a defined period of time. The terms 2/10, n/30 are referred to as a cash discount, meaning that the purchaser gets a 2% discount when paying within ten days or paying the full amount in thirty days.

It is common to see discounts such as 2/10, n/30, which means that if the invoice is paid within ten days, the purchaser will receive a 2% discount on the amount owed, but the full amount must be paid within thirty days.

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Mr. and Mrs. Scoler sold commercial real estate for $685,000. Their adjusted basis at date of sale was $544,700 ($596,600 cost − $51,900 straight-line accumulated depreciation). Compute the Scolers’ income tax and Medicare contribution tax on their recognized gain assuming that this sale was their only property disposition this year, and their marginal income tax rate on ordinary income is 39.6 percent. Assume the taxable year is 2016. (Round your final answers to the nearest whole dollar amount.)IncomeTax _____MedicareContribution Tax______Total ______

Answers

Income tax is $ 55,518 , Medicare contribution tax is $5,332 and the total tax is $60,850 when they sold the commercial real estate for $685000 and the adjusted sale was $ 544700 and their marginal income tax rate on their recognized gain is 39.6%.

The given real estate data for the sale of property is:

Sale price = $685,000

Adjusted basis = $544,700

Straight-line accumulated depreciation = $51,900
Marginal income tax rate on ordinary income = 39.6%

We need to calculate the Scolers’ income tax and Medicare contribution tax on their recognized gain assuming that this sale was their only property disposition this year, and their taxable year is 2016.

Let's calculate the recognized gain on the sale of property as follows:

Recognized gain

= Sale price - Adjusted basis

= $685,000 - $544,700

= $140,300

Now, let's calculate the total tax liability for the Scolers as follows:

Income tax

= Marginal income tax rate on recognized gain x Recognized gain

= 39.6% x $140,300

= $55,518

Medicare contribution tax

= 3.8% x Recognized gain

= 3.8% x $140,300

= $5,332

Total tax liability

= Income tax + Medicare contribution tax

= $55,518 + $5,332

= $60,850

Therefore, the Scolers’ income tax, Medicare contribution tax, and total tax liability on their recognized gain for the sale of property are $55,518, $5,332, and $60,850 respectively.

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Sasha loves designing her own clothes and wants to be a fashion designer when she becomes an adult. What personality trait describes Sasha?

investigative


A. investigative


B. enterprising


C. artistic


D. realistic

(THIS IS CAREER EXPLORATION!!)

Answers

The personality trait that best describes Sasha, based on her love for designing her own clothes is (C) artistic.

How does the artistic personality trait behave?

Artistic individuals are typically drawn to creative activities such as painting, music, or fashion design and are often skilled at visualizing and bringing their ideas to life.

Sasha's passion for designing clothes suggests that she possesses the artistic skills and qualities needed to succeed in the fashion industry. This is because she loves designing clothes and wants to become a fashion designer, which requires creativity, imagination, and an eye for aesthetics.

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An alpha testing group is made up of members who ____ worked on the project, while a beta testing group is made up of members who _____ worked on the project.

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An alpha testing group is made up of members who have not worked on the project, while a beta testing group is made up of members who have not worked on the project.

Alpha Testing is a method of User Acceptance Testing (UAT), performed to validate the usability, functionality, and reliability of the software application in a laboratory environment. It is usually done by the software developer team. It is performed by the developers before the software is released to the customer. A closed group of potential users, developers, and testers perform this kind of testing.Beta Testing is a method of User Acceptance Testing (UAT) performed to validate the usability, functionality, and reliability of the software application in a real-time environment. It is usually done by a group of potential users. It is performed after Alpha Testing is completed. A group of real-time customers or end-users performs this kind of testing. Beta Testing may also be performed by another company (not the developer) in a live environment by using a pre-release version of the software.

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the clandestine collection of trade secrets or proprietary information about competitors is known as blank . multiple choice question. strategic alliance protectionism economic espionage countertrade

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The clandestine collection of trade secrets or proprietary information about competitors is known as economic espionage.

Economic espionage is a form of commercial spying in which the clandestine collection of trade secrets or proprietary information is carried out for the purpose of financial benefit. This involves using secret or deceptive means to acquire sensitive commercial or financial information. To gain an advantage in competitive markets, this data can be exploited by a competitor or foreign entity.

Economic espionage is a crime that carries severe legal penalties. It has become increasingly prevalent in recent years as companies become more globalized and reliant on technological advancements. As a result, protecting sensitive information from potential economic espionage has become a major priority for many businesses.

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The time and money spent in carrying out financial transactions are called
A) economies of scale.
B) financial intermediation.
C) liquidity services.
D) transaction costs.

Answers

D) Transaction costs. The time and money required to complete financial transactions are referred to as transaction costs.

The charges encountered while purchasing or selling products or services on the open market are referred to as transaction costs. These include costs associated with the transfer of money, securities, or other financial transactions, as well as fees, charges, spreads, and other costs. These expenses may be substantial, which would decrease the financial system's overall effectiveness. Financial intermediaries like banks and brokerage companies provide services like payment processing and investment advice in order to lower transaction costs, allowing people and businesses to interact more effectively. For financial markets and the economy as a whole to function, transaction costs must be reduced.

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suppose many consumers own a specific product sold by a particular company. there are lots of competitive, similar models of the product on the market. sales are beginning to drop. what stage of the product life cycle is this product in?

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This product is in the Decline stage of the Product Life Cycle. The PLC is a business model that describes the stages of a product’s life, from conception to retirement. In this stage, the demand for the product begins to drop, as customers switch to competitive, similar models. As sales drop, the company is likely to cut their investment in the product, leading to decreased marketing efforts and fewer resources allocated to the product.

The Decline stage is when the product is no longer a viable source of revenue for the company and is generally the last stage of a product’s life cycle. During this stage, the company has to decide whether to keep the product and focus on generating profits or discontinue the product and explore other opportunities.

In order to determine if the product is still viable, the company can look at factors such as sales, customer feedback, and production costs. They should also look at whether or not the product has a unique or differentiating factor that could help generate sales and capture a larger market share.

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uninsured motorists coverage group of answer choices can be purchased by uninsured drivers after an accident to retroactively cover their losses. will not provide coverage if the other driver's insurance company is insolvent. will cover injuries caused by a hit-and-run driver. all of the above are true.

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Uninsured motorists coverage can be purchased by uninsured drivers after an accident to retroactively cover their losses.

It will cover injuries caused by a hit-and-run driver. All of the above are true. What is uninsured motorists coverage? Uninsured motorist coverage refers to a portion of an auto insurance policy that pays for the damage if the policyholder is hit by a driver who does not have car insurance or has insufficient auto insurance coverage. This type of coverage protects drivers from incurring substantial costs as a result of an accident with a driver who is not insured.The coverage also applies to accidents involving hit-and-run drivers, and it can assist in covering medical costs, lost income, and other expenses incurred as a result of the accident. Uninsured motorist coverage may also provide protection in the event that the other driver's insurance policy is invalid, canceled, or otherwise unusable. The motorist must purchase this coverage before the accident to retroactively cover their losses.

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Felipe, a single taxpayer, is a technology consultant, who operates as a sole proprietorship. Felipe’s net business income is $600,000 (net of the associated for AGI self-employment tax deduction), he pays wages of $100,000 to his employees, and he has $200,000 of qualified property (unadjusted basis). Felipe’s taxable income before the deduction for qualified business income is $500,000. Assume he has no capital gains or qualified dividends.
Calculate Felipe’s deduction for qualified business income.

Answers

The deduction for qualified business income is $50,000.

How to solve

To calculate Felipe's deduction for qualified business income, we need to follow the following steps:

Step 1: Determine the amount of qualified business income

Felipe's net business income is $600,000, so that is the amount of qualified business income.

Step 2: Determine the W-2 wage limitation

Felipe paid $100,000 in wages to his employees, so that is the W-2 wage limitation.

Step 3: Determine the unadjusted basis limitation

Felipe has $200,000 of qualified property (unadjusted basis), so the unadjusted basis limitation is 2.5% of that, or $5,000.

Step 4: Calculate the deduction

The deduction for qualified business income is the lesser of:

20% of the qualified business income ($600,000 x 20% = $120,000)

The greater of:

a. 50% of the W-2 wages paid ($100,000 x 50% = $50,000)b. The sum of 25% of the W-2 wages paid ($100,000 x 25% = $25,000) plus 2.5% of the unadjusted basis of qualified property ($5,000 x 2.5% = $125)

Since $50,000 is greater than $125, the second part of the calculation is $50,000.

Therefore, the deduction for qualified business income is $50,000.

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Which of the following statements are true? (Check all that apply.)
a. Managers can choose the method of accounting for inventory cost (i.e., FIFO, LIFO, etc.) that best fit their business
b. GAAP require that all companies in the same industry use the same method of accounting for inventory
c. Using a different inventory accounting method leads to reporting a different amount for cost of goods sold
d. It doesn't matter which method you use to account for inventory as long as it mimics the actual physical flow of goods.

Answers

The following statements are true about inventory cost accounting methods: a. Managers can choose the method of accounting for inventory cost (i.e., FIFO, LIFO, etc.) that best fits their business. c. Using a different inventory accounting method leads to reporting a different amount for the cost of goods sold. Therefore, the correct options are a and c.

Explanation: Inventory cost accounting methods help organizations figure out the cost of the goods they sell as well as the cost of the remaining inventory in their warehouses. Following are the true statements about the inventory cost accounting methods: Managers can choose the method of accounting for inventory costs (i.e., FIFO, LIFO, etc.) that best fits their business.

In other words, the method used by a company is determined by its unique characteristics and its environment. A business owner must select the inventory method that best represents the company's operations.

GAAP requires that all companies in the same industry use the same method of accounting for inventory. This is incorrect because GAAP does not specify a specific inventory accounting method. However, the inventory accounting method chosen by a company must follow Generally Accepted Accounting Principles (GAAP) in the United States.

Using a different inventory accounting method leads to reporting a different amount for the cost of goods sold. This is accurate since changing the inventory accounting method results in different profit or loss values for a company. For example, FIFO and LIFO generate different inventory values and cost of goods sold results.

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for a particular asset, a company may not use the straight-line depreciation method for financial reporting while using the double-declining-balance (ddb) method for its tax return. select one: a. true b. false

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It is true that a company may not use the straight-line depreciation method for financial reporting while using the double-declining-balance (DDB) method for its tax return.

Depreciation is an accounting technique that distributes the cost of an asset over its useful life. It is a method of allocating the cost of a fixed asset over its useful life. It's calculated by dividing the cost of the asset by its useful life. Depreciation expense is calculated and reported on a company's financial statements each year as an expense. When an asset is acquired, the company must decide which method to use to depreciate the asset. Straight-line depreciation and double-declining-balance (DDB) depreciation are two popular methods of depreciation. Straight-line depreciation is a method of depreciation in which the same amount is depreciated each year. It's a simple method of depreciation that's easy to use. Double-declining-balance depreciation is a method of depreciation in which the depreciation expense is greater in the early years of an asset's life and declines as the asset ages. It's a more aggressive method of depreciation that results in higher depreciation expenses early on in an asset's life. A company can choose to use either method for financial reporting purposes. However, the Internal Revenue Service (IRS) requires that companies use the same method of depreciation for tax purposes that they use for financial reporting purposes. This rule is intended to prevent companies from using different methods to minimize their taxes. However, there are exceptions to this rule. A company can choose to use a different method of depreciation for tax purposes if it can demonstrate that the method it's using better reflects the asset's useful life. As a result, it is true that a company may not use the straight-line depreciation method for financial reporting while using the double-declining-balance (DDB) method for its tax return.

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sam, a friend of pam, made a similar investment of $20,000 at a much later date when she turned 35. now that she is also 40, what is her investment worth if his investment also an earned an interest rate of 6.5% compounded semi-annually'

Answers

Sam made an investment of $20,000 with interest rate of 6.5% compounded semi-annually. At age 40, Sam's investment is worth $29,474.10.

To calculate the value of Sam's investment at age 40, we need to use the same formula as for Pam's investment, since they both invested the same amount at the same interest rate, compounded semi-annually.

The formula for the future value of a lump sum investment is:

FV = P(1 + r/n)^(nt)

Where:

FV = future value

P = principal (initial investment)

r = annual interest rate

n = number of times the interest is compounded per year

t = number of years

Substituting the values given in the question for Sam's investment:

P = $20,000

r = 6.5% or 0.065 (since the interest rate is given as an annual percentage)

n = 2 (since interest is compounded semi-annually)

t = 5 (since Sam invested for 5 years between the ages of 35 and 40)

FV = $20,000(1 + 0.065/2)^(2*5)

FV = $20,000(1.0325)^10

FV = $29,474.10

Therefore, Sam's investment is worth $29,474.10 at age 40.

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which method of depreciation is used by most u.s. companies for financial reporting purposes? multiple choice straight-line units-of-production double-declining-balance none of these answer choices are correct

Answers

The method of depreciation used by most US companies for financial reporting purposes is the straight-line method.

This method involves dividing the depreciable cost of an asset by its useful life, resulting in a constant depreciation expense each year.

The reduction in value of a tangible asset over time can be due to a variety of factors such as wear and tear, obsolescence, and decay. It is a non-cash expense that reduces the reported value of assets on a company's balance sheet.

It lowers a company's tax bill because it reduces the amount of income that is subject to taxes. Companies must choose a depreciation method to allocate the cost of assets over their useful lives. The method of depreciation used by most US companies for financial reporting purposes is the straight-line method.

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Suppose a lean work center is being operated with a container size of 25 units and a demand rate of 100 units per hour. Also assume it takes 180 minutes for a container to circulate.a. How many containers are required to operate this system?b. What is the maximum inventory that can accumulate?c. How many Kanban cards are needed?

Answers

In the following question, among the various parts to solve- suppose a lean workcentre is being operated with a container size of 25 units and a demand rate of 100 units per hour. It takes 180 minutes for a container to circulate.  a. 4 containers. b. 3575 units. c.  286 Kanban cards.

Given parameters are: Container size = 25 units Demand rate = 100 units per hourTime taken for container circulation = 180 minutes

a) The number of containers required to operate the system can be calculated as follows: Number of containers required = (Demand rate x Time taken for container circulation) / Container size= (100 x 180) / 25= 720/5= 144

b) The maximum inventory that can accumulate can be calculated using the following formula: Maximum inventory = Container size x (Number of containers - 1)= 25 x (144 - 1)= 25 x 143= 3575 units

c) The number of Kanban cards needed can be calculated as follows: Number of Kanban cards = (Maximum inventory / Container size) x 2= (3575 / 25) x 2= 143 x 2= 286Therefore, the number of containers required to operate this system is 144, the maximum inventory that can accumulate is 3575 units, and the number of Kanban cards needed is 286.

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what do employees engage in when they choose actions to solve a problem?

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When employees choose actions to solve a problem, they engage in problem-solving behavior. Problem-solving behavior refers to the cognitive and behavioral actions that individuals take to identify, analyze, and solve a problem.

Problem-solving behavior involves several steps, including:

Defining the problem: Employees need to identify the problem they are facing and define it clearly.

Gathering information: Once the problem is defined, employees need to gather relevant information to better understand the problem and its causes.

Analyzing the information: Employees need to analyze the information they have gathered and identify the root causes of the problem.

Generating solutions: Based on the analysis, employees need to generate possible solutions to the problem.

Evaluating the solutions: Employees need to evaluate the potential solutions based on their feasibility, effectiveness, and potential impact.

Implementing the solution: Once a solution has been selected, employees need to implement it and monitor its effectiveness.

Learning from the experience: Finally, employees need to reflect on the problem-solving process and learn from their experience to improve their problem-solving skills in the future.

Effective problem-solving behavior is a valuable skill for employees to have, as it enables them to identify and overcome challenges and contribute to the success of the organization.

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In what way might an HR manager be involved in employee benefits?

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Employee disagreements, whether those are between employees or between management and employees, may be managed and circumstances can be brought under control by HR staff.

What potential facets of employee benefits may an HR manager oversee?

Talent management, pay and benefits for employees, training and development, compliance, and workplace safety are the five key responsibilities of human resources. To align with your overall business plan, HR management may determine your workers needs for training and development.

Your staff members will be able to maintain their knowledge current and provide useful and original ideas to the company by continuing to study. To guarantee justice and fairness is one of the core tenets of HR management with regard to remuneration. One of the most important factors in luring the top people is making a competitive compensation offer. The budget and profit margins of the organization should be balanced with this offer.

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Brad is a highly successful salesman. He always considers where tomorrow's business will come from. Brad incorporates _____________ as a continual part of his sales efforts.

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Brad is a highly successful salesman. He always considers where tomorrow's business will come from. Brad incorporates prospecting as a continual part of his sales efforts.

Prospecting is a continuous process of finding new potential clients for your business. It is a crucial part of the sales process because if you don't have potential customers to sell to, you won't be able to make any sales.

Brad, being a successful salesman, understands the importance of prospecting and makes it a continual part of his sales efforts.

In other words, Brad always keeps an eye out for new sales opportunities and never stops searching for new potential clients. By doing this, he ensures that his sales pipeline is always full and he never runs out of people to sell to.

Brad incorporates "prospecting" as a continual part of his sales efforts. Prospecting involves identifying potential customers and reaching out to them in order to generate future sales.

This helps Brad ensure a steady stream of business and maintain his success as a salesman.

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Joan, who is sixteen years old, moves out of her parents’ home and signs a one-year lease for an apartment at Kenwood Apartments. Joan’s parents tell her that she can return to live with them at any time. Unable to pay the rent, Joan moves back to her parents’ home two months later. Can Kenwood enforce the lease against Joan? Why or why not? (See page 273.)

Answers

Under common law, an individual who is under the age of 18 is considered a minor and is unable to enter into a contract. Because Joan is only 16, she is considered a minor and her lease with Kenwood Apartments is void and unenforceable.

Under common law, minors are not held to the same legal standards as adults and contracts signed by them are generally voidable or unenforceable. This is because minors are seen as lacking the legal capacity and maturity to enter into a contract. Thus, a minor can generally void or disaffirm any contract they enter into prior to reaching the age of 18.

Kenwood Apartments cannot enforce the lease against Joan since she was a minor when she signed it. Even though her parents allowed her to sign the lease, they cannot override the law. Kenwood may be able to pursue legal action against Joan's parents if they agreed to cosign the lease. In this case, they may be held financially responsible for the unpaid rent.

However, it is important to note that the laws vary by state and some states allow minors to enter into contracts. Thus, it is important to consult a legal professional to determine the exact implications of the situation.

In conclusion, Joan's lease with Kenwood Apartments is void and unenforceable due to her age. Kenwood may be able to pursue legal action against Joan's parents if they agreed to cosign the lease.

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An is calculated by subtracting the firm's costs from its total revenues, O accounting profit; excluding opportunity cost O accounting profit; including opportunity cost O economic profit; excluding opportunity cost O opportunity cost: including economic profit

Answers

The accounting profit is computed as the difference between the revenue earned by a corporation and the total expense incurred.

What do we discover after deducting opportunity cost from net income from operations?

Yet, the economic profit is what is left over after deducting opportunity expenses as well. For better or worse, it can be used as a benchmark for other actions that a corporation could have taken.

What is the result of deducting opportunity cost and all other costs from revenue?

Economic profit is calculated by deducting all expenses from total revenue, including opportunity costs. The potential returns that are lost when organisations invest in capital assets are referred to as opportunity costs.

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short-term, highly liquid investments such as money market funds or treasury bills are classified as

Answers

Short-term, highly liquid investments such as money market funds or treasury bills are classified as cash equivalents.

What are cash equivalents?

Cash equivalents are financial assets that can be quickly converted to cash without incurring any significant loss in value. Short-term investments with a maturity of less than three months are known as cash equivalents. Cash equivalents, such as bank accounts, money market funds, commercial paper, and treasury bills, provide investors with a safe place to invest their money while also allowing them to access it quickly.

The idea behind this is to be able to liquidate the cash equivalents easily, allowing the investor to access cash when required. The objective of these investments is to provide cash on demand rather than to generate a return on the investment. Therefore, investors should consider these investments when they expect to require cash quickly.

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all of the following are factors that should influence fluid replacement requirements after an exercise session except:

Answers

Fluid replacement requirements after an exercise session may be influenced by several factors. The factors that may influence fluid replacement requirements after an exercise session are a humidity, temperature, length of exercise, intensity of exercise, and altitude.

However, among these, the factor that should not influence fluid replacement requirements after an exercise session is an altitude.

Fluid replacement refers to the replenishment of fluids in the body. It's used to replenish fluids and electrolytes lost during exertion, sweating, or dehydration. Fluid replacement is critical for athletes, especially those who exercise in extreme conditions, to avoid dehydration and maintain peak physical performance.

An exercise session is a routine of physical activity intended to improve physical fitness. Exercise sessions can be designed to improve one or more aspects of fitness, such as muscular strength, endurance, flexibility, and cardiovascular health. Exercise sessions can vary in duration, frequency, and intensity depending on the goals of the individual or group.

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The error-correction form of the simple exponential smoothing model states that if the current forecast
Group of answer choices
All of the options are correct.
error was zero, the current forecast could be used to forecast next period's level.
overstated the actual level, the forecast of the level next period will be revised downward.
understated the actual level, the forecast of the level next period will be revised upward.

Answers

The error-correction form of the simple exponential smoothing model states that if the current forecast understated the actual level, the forecast of the level next period will be revised upward i.e. option D.

Simple exponential smoothing is an approach to forecasting that utilizes a weighted average of past data as a prediction of future results. The formula for simple exponential smoothing is straightforward: it takes the weighted average of prior periods, with more weight given to more recent results.The error-correction model of simple exponential smoothing allows for a more accurate forecast by taking into account the magnitude and direction of errors in past predictions.

According to the error-correction model, if the current forecast understated the actual level, the forecast of the level next period will be revised upward, and if the current forecast overstated the actual level, the forecast of the level next period will be revised downward.

Consequently, if the error is zero, the current forecast can be utilized to forecast the next period's level. The following statement is correct based on the information given in the question: The error-correction form of the simple exponential smoothing model states that if the current forecast understated the actual level, the forecast of the level next period will be revised upward.

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Colton Enterprises experienced the following events for Year 1, the first year of operation: Acquired $47,000 cash from the issue of common stock. Paid $13,200 cash in advance for rent. The payment was for the period April 1, Year 1, to March 31, Year 2. Performed services for customers on account for $96,000. Incurred operating expenses on account of $41,000. Collected $73,500 cash from accounts receivable. Paid $33,000 cash for salary expense. Paid $32,800 cash as a partial payment on accounts payable. Adjusting Entries Made the adjusting entry for the expired rent. (See Event 2.) Recorded $4,800 of accrued salaries at the end of Year 1. Events for Year 2 Paid $4,800 cash for the salaries accrued at the end of the prior accounting period. Performed services for cash of $45,000. Purchased $4,000 of supplies on account. Paid $14,100 cash in advance for rent. The payment was for one year beginning April 1, Year 2. Performed services for customers on account for $112,000. Incurred operating expenses on account of $53,500. Collected $101,000 cash from accounts receivable. Paid $51,000 cash as a partial payment on accounts payable. Paid $32,700 cash for salary expense. Paid a $15,000 cash dividend to stockholders. Adjusting Entries Made the adjusting entry for the expired rent. (Hint: Part of the rent was paid in Year 1.) Recorded supplies expense. A physical count showed that $500 of supplies were still on hand.a. Record the events and adjusting entries for Year 1 in general journal form.b. Post the Year 1 events to T-accounts.c. Prepare a trial balance for Year 1. Record the entries to close the Year 1 temporary accounts to Retained Earnings in the general journal and post to the T-accounts.e. Record the entries to close the Year 1 temporary accounts to Retained Earnings in the general journal and post to the T-accounts.f. Prepare a post-closing trial balance for December 31, Year 1g. Repeat parts a through f for Year 2.

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a. Record the events and adjusting entries for Year 1 in general journal form.

Debit  Credit

Cash    $47,000

Rent Expense  $13,200

Accounts Receivable $96,000

Operating Expenses $41,000

Cash    $73,500

Salaries Expense $33,000

Accounts Payable $32,800

Rent Expense  $4,800

Accrued Salaries $4,800



b. Post the Year 1 events to T-accounts.

Cash:

Debit: $155,500

Credit: $47,000 + $73,500 + $33,000 + $32,800 = $186,300



Rent Expense:

Debit: $13,200 + $4,800 = $18,000

Credit: $18,000



Accounts Receivable:

Debit: $96,000

Credit: $96,000



Operating Expenses:

Debit: $41,000

Credit: $41,000



Salaries Expense:

Debit: $33,000

Credit: $33,000



Accounts Payable:

Debit: $32,800

Credit: $32,800



Accrued Salaries:

Debit: $4,800

Credit: $4,800



c. Prepare a trial balance for Year 1.

Debit  Credit

Cash    $155,500

Rent Expense  $18,000

Accounts Receivable $96,000

Operating Expenses $41,000

Salaries Expense $33,000

Accounts Payable $32,800

Accrued Salaries $4,800

Totals    $381,100 $381,100



d. Record the entries to close the Year 1 temporary account to Retained Earnings in the general journal and post to the T-accounts.

Debit  Credit

Retained Earnings $155,500

Rent Expense  $18,000

Accounts Receivable $96,000

Operating Expenses $41,000

Salaries Expense $33,000

Accounts Payable $32,800

Accrued Salaries $4,800


e. Prepare a post-closing trial balance for December 31, Year 1.

Debit  Credit

Retained Earnings $381,100

Totals    $381,100 $381,100



f. Record the entries to close the Year 2 temporary accounts to Retained Earnings in the general journal and post to the T-accounts.

Debit  Credit

Cash    $205,500

Rent Expense  $18,100

Supplies Expense $3,500

Accounts Receivable $101,000

Operating Expenses $53,500

Salaries Expense $51,000

Accounts Payable $50,300

Cash Dividend to Stockholders $15,000



g. Prepare a post-closing trial balance for December 31, Year 2.

Debit  Credit

Retained Earnings $381,100

Cash    $205,500

Rent Expense  $18,100

Supplies Expense $3,500

Accounts Receivable $101,000

Operating Expenses $53,500

Salaries Expense $51,000

Accounts Payable $50,300

Cash Dividend to Stockholders $15,000

Totals    $774,500 $774,500

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BBB company will pay a dividend of $1.50 per share. The net income is $20,000,000 and the numbers of share outstanding is 2,000,000 shares. Which of the following are the EPS and dividend payout ratio of BBB company? a. EPS = $2 and dividend payout ratio is 50% b. EPS = $20 and dividend payout ratio is 25% c. EPS = $10 and dividend payout ratio is 15% d. EPS = $10 and dividend payout ratio is 25%

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BBB company will pay a dividend of $1.50 per share. The net income is $20,000,000 and the numbers of share outstanding is 2,000,000 shares. The EPS = $10 and dividend payout ratio is 15%, therefore, the correct option is c. EPS = $10 and dividend payout ratio is 15%

The EPS (Earnings per Share) and dividend payout ratio of BBB company are as follows:

Earnings per share are referred to as EPS. It is calculated by dividing the amount of net income that is distributed to common shareholders by the total number of outstanding shares.The EPS calculation formula is as follows:EPS is calculated as Net Income / Outstanding Shares. If net income is $20,000,000, thenThere are 2,000,000 outstanding shares.EPS = $20,000,000/2,000,000 = $10 as a result.

Ratio of dividend payments: The percentage of net profits distributed as dividends to shareholders is shown by the dividend payout ratio. The calculation is as follows:Dividends Paid/Net Income equals the dividend payout ratio. Dividends Paid = $1.50 per share, assumable2,000,000 shares are currently outstanding. Dividends Paid = $1.50 x 2,000,000 = $3,000,000 as a result.Net income is $20 million.Dividend Payout Ratio is calculated as $3,000,000/$20,000,000, or 15%.

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you calculate the value of a bond in excel with a yield of 10 percent. which change can you make in the calculations that will result in the value of the bond increasing?

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If you're calculating the value of a bond in Excel with a yield of 10 percent, the change that you can make in the calculations that will result in the value of the bond increasing is lowering the yield percentage.

What is a bond?

A bond is a debt investment in which an investor loans money to an entity that borrows the funds for a defined period at a fixed or variable interest rate.A bond is a fixed-income instrument that is a promise to repay principal and interest on a set schedule.

Bonds are used by corporations, municipalities, states, and sovereign governments to fund projects and operations. They may also be used to finance mergers and acquisitions, or as a means of raising working capital.

Types of Bonds

There are several types of bonds, each with its own set of features, including risk, yield, and liquidity.

The following are some of the most common bond types:

Treasury bondsCorporate bondsMunicipal bondsHigh-yield bondsForeign bondsAgency bondsMortgage-backed securitiesConvertible bondsZero-coupon bondsFloating-rate bondsInflation-linked bondsCallable bondsNon-callable bondsSubordinated bondsPerpetual bonds

Your question is incomplete but most probably your full question was:

You calculate the value of a bond in Excel with a yield of 10 percent. Which change can you make in the calculations that will result in the value of the bond increasing?

Select an answer

increasing the par value lowering the yield increasing the yield changing the maturity date

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The LIBOR zero curve is flat at 5% (continuously compounded) out to 1.5 years. Swap rates for 2- and 3-year semiannual pay swaps are 5.4% and 5.6%, respectively. Estimate the LIBOR zero rates for maturities of 2.0, 2.5, and 3.0 years. (Assume that the 2.5-year swap rate is the average of the 2- and 3-year swap rates and use LIBOR discounting.) Explain.

Answers

The LIBOR zero rates for maturities of 2.0, 2.5, and 3.0 years are 4.79%, 5.01% and 5.22% respectively.

The LIBOR zero curve is flat at 5% (continuously compounded) out to 1.5 years. Swap rates for 2- and 3-year semiannual pay swaps are 5.4% and 5.6%, respectively. To estimate LIBOR zero rates for maturities of 2.0, 2.5, and 3.0 years. The LIBOR curve will be constructed using the swap rates and assuming that the swap cash flows will be discounted using the LIBOR curve.

1. For 2-year Swap: Calculate the discount factor for 2 years using the swap rate and assuming that the swap cash flows will be discounted using the LIBOR curve, this discount factor will be used to construct the LIBOR curve.

Discount factor for 2-year swap:

$0.054*(1+0.05/2)^{-4}+ $0.054*(1+X/2)^{-2} = $1

 Solving for X, we get X = 4.79

Thus the 2-year zero LIBOR rate is 4.79%

2. For 3-year Swap: Discount factor for 3-year swap:

$0.056*(1+0.05/2)^{-6} + $0.056*(1+0.054/2)^{-4} + $0.056*    (1+X/2)^{-2} = $1

Solving for X, we get X = 5.22%

Thus the 3-year zero LIBOR rate is 5.22%

3. For 2.5 years Swap:

We are given that the 2.5-year swap rate is the average of the 2- and 3-year swap rates:

Swap rate for 2.5 year= (5.4%+5.6%)/2= 5.5%

Discount factor for 2.5 year swap:

$0.055*(1+0.05/2)^{-5} + $0.055*(1+0.054/2)^{-3} + $0.055*(1+0.0522/2)^{-1} + $0.055*(1+X/2)^{-2} = $1

Solving for X, we get X = 5.01%

Thus the 2.5-year zero LIBOR rate is 5.01%

The LIBOR zero rates for maturities of 2.0, 2.5, and 3.0 years are 4.79%, 5.01% and 5.22% respectively.

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market basket analysis is a useful and entertaining way to explain data mining to a technologically less savvy audience, but it has little business significance.A. True B. False

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The given statement, "Market basket analysis is a useful and entertaining way to explain data mining to a technologically less savvy audience, but it has little business significance," is false (F) because market basket analysis  has great business significance.

Market basket analysis is a data mining technique that examines shopping baskets to uncover relationships between the items customers purchase together, and it has great business significance. Market basket analysis is a useful and entertaining way to explain data mining to a technologically less savvy audience, but it has business significance.

What is market basket analysis?

Market Basket Analysis (MBA) is a data mining method that helps you find relationships between the items that people buy together. The procedure looks at customer transactions to discover patterns. Knowing what items people purchase together can assist stores in developing intelligent cross-selling techniques. This will aid in the maximization of profits.

MBA can assist a firm in identifying relationships among items that customers purchase. This provides additional product insights, which may lead to new product ideas or development. It aids in the design of new store layouts and the adjustment of existing ones. MBA may aid in the analysis of the effectiveness of specific marketing and promotional campaigns.

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a. What is gross domestic product (GDP)? Calculate each component’s share of GDP.b. Suppose government spending increases to 150, but the other components of GDP do not change. What is government spending’s share of GDP now? What is the new nongovernment share?c. Suppose that the level of potential GDP (Y*) is 1,000 and is unaffected by the increase in government spending described previously. Without doing any calculations, explain in general terms what happens to C/Y*, X/Y*, and I/Y* after the government spending increase in (b).d. Describe the mechanism by which each of these changes happens.

Answers

Question a: Gross Domestic Product (GDP) is the sum total of all economic activity within a country over a certain period of time. It is equal to the sum of Consumption (C), Investment (I), Government Spending (G), and Net Exports (X). C/Y* = C/Y, I/Y* = I/Y, X/Y* = X/Y

Question b: After the increase in government spending to 150, the government spending’s share of GDP is now 15% and the nongovernment share is 85%.

Question c: The increase in government spending causes C/Y*, I/Y*, and X/Y* to decrease since the government spending increases while C, I, and X do not change.

Question d: The mechanism by which C/Y*, I/Y*, and X/Y* decrease is through an increase in the denominator, GDP. Since only the numerator (C, I, and X) remains the same, the fraction of each component relative to GDP decreases.

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