Assume the probability distributions for R and R given the following information. R1 = 7% 0 (R* )=4% T=.40 (6)a. Management is considering a capital structure with L = .50. With this capital structure, kd will be 10% and ke will be 15%. What is the probability of achieving an R greater than ke? (5)b. Suppose management wants the probability from part a to be 72%. With everything else equal, what would the necessary increase in Rí be to get a 72% chance of having R greater than ke?

Answers

Answer 1

necessary increase in R* to achieve a probability of 72% of having R greater than ke is approximately 5.83%.

a. To calculate the probability of achieving an R greater than ke, we first need to find the weighted average cost of capital (WACC) using the given capital structure. WACC = kd(1-L) + ke(L) = 10%(1-.50) + 15%(.50) = 12.5%.
Next, we need to calculate the expected return on equity (R) using the following formula:
R = R* + T (WACC - R*) = 4% + .40(12.5% - 4%) = 7%.
Since R is equal to ke in this case, the probability of achieving an R greater than ke is 0.
b. To achieve a probability of 72% of having R greater than ke, we need to increase R* by a certain amount. Let's call this increase "x".
First, we need to calculate the new expected return on equity (R) using the same formula as before:
R = R* + T (WACC - R*) = (4% + x) + .40(12.5% - (4% + x))
We can simplify this equation to:
R = (4% + x) + .40(8.5% - x)
Next, we can set up an equation to solve for x:
0.72 = P(R > ke) = P(R > 15%) = P(R - 7% > 8%) = P(4% + x - 7% > 8%)
0.72 = P(x > 11%)
Using a normal distribution table or calculator, we can find that the corresponding z-score for a probability of 0.72 is approximately 0.65.
Therefore, we can use the following formula to solve for x:
0.65 = (11% - 3%) / σ
where σ is the standard deviation of R.
Solving for σ, we get:
σ = (11% - 3%) / 0.65 = 12.3%
Finally, we can use the formula for T to find the necessary increase in R*:
T = (R - R*) / (WACC - R*)
0.40 = (7% - 4% - x) / (12.5% - 4%)
Solving for x, we get:
x = 5.83%

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Related Questions

under which type of lease does the lessee obtain the rights to use leased property for a limited period of time and treat amounts paid as expense?

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The type of lease that allows the lessee to obtain the rights to use leased property for a limited period of time and treat amounts paid as an expense is known as an operating lease.

In an operating lease, the lessee does not assume ownership of the property and typically uses it for a short-term basis, such as a few months or a few years. The payments made by the lessee are treated as rental expenses on the lessee's income statement.

A lease refers to a contractual agreement between a lessor (the owner or landlord) and a lessee (the tenant or renter) for the use of a specific asset or property. In a lease agreement, the lessor grants the lessee the right to use the asset or property in exchange for regular payments, usually in the form of rent.

Leases are commonly used for various assets, including real estate properties, vehicles, equipment, or even intellectual property.

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who owns the majority of the cable television music video channels?

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The majority of cable television music video channels are owned by major media conglomerates.

The ownership of cable television music video channels is primarily concentrated among major media conglomerates. These conglomerates, which are large corporations that own multiple media properties, have acquired and consolidated various music video channels under their umbrella.

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a stock that tends to trade at a low price relative to its company fundamentals is labeled a

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A stock that tends to trade at a low price relative to its company fundamentals is labeled a "value stock."

This type of stock is often sought after by investors who believe that the market has undervalued the company and that the stock price will eventually increase as the company's true value is realized.

Value stocks typically have a low price-to-earnings ratio, price-to-book ratio, or other fundamental metrics compared to their peers in the same industry.

Stock, also known as shares or equity, represents ownership in a company or corporation. When you own stock in a company, you become a shareholder and hold a claim on the company's assets and earnings. Stocks are one of the primary instruments through which individuals and institutional investors participate in the ownership and growth of companies.

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_____ are digital electronic circuits distinguished by 2 values of intrest.

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Digital electronic circuits are distinguished by two values of interest, which are typically represented as "0" and "1". These values are used to represent binary information in computers and other electronic devices. Digital circuits are designed to perform logical operations using these values, such as Boolean algebra, which allows for complex computations and decision-making processes to be carried out quickly and accurately.

The use of digital circuits has revolutionized the field of electronics, enabling the development of powerful computers, advanced communication systems, and a host of other technological innovations that have transformed the way we live and work. Digital electronic circuits are distinguished by two values of interest, which are typically represented as binary code. These two values are commonly referred to as '0' and '1', or 'low' and 'high' voltage levels, respectively.

Digital circuits operate using these binary values to process and store data, as well as perform complex operations. These circuits are the foundation of digital technology, including computers, smartphones, and various electronic devices. The binary system simplifies the design of electronic systems, improves reliability, and enables easier troubleshooting and maintenance compared to analog systems.

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Residual income:a. is the ROI percentage multiplied by average operating assets.b. is the net operating income earned above a certain minimum required return on sales.c. is the net operating income earned above a certain minimum required return on average operating assets.d. will always be greater than zero.

Answers

Residual income is the net operating income earned above a certain minimum required return on average operating assets. It is a measure of how much value a company is generating with its assets, after accounting for the cost of capital.

This can be a useful metric for investors and managers, as it can help identify which investments or business units are creating the most value.To calculate residual income, you first need to determine the minimum required return on assets. This is the amount of return that investors or managers require to justify investing in a particular asset or business unit. Once you have this figure, you can subtract it from the net operating income generated by the asset or business unit, to calculate residual income.
It's important to note that residual income can be positive or negative. If the net operating income generated by an asset or business unit is less than the minimum required return, then the residual income will be negative. This suggests that the asset or business unit is not generating enough value to justify its cost of capital, and may need to be reevaluated or divested.In summary, residual income is a valuable measure of value creation that takes into account the cost of capital. By comparing residual income across different investments or business units, investors and managers can identify areas of strength and weakness and make informed decisions about where to allocate resources.

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the text points out two things that can affect the value an international business creates in a foreign market: the sustainability of its product offering and the

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The sustainability of its product offering and the Competitive advantage can affect the value an international business creates in a foreign market.

In addition to the sustainability of its product offering, another factor that can affect the value an international business creates in a foreign market is its competitive advantage.

A competitive advantage refers to the unique strengths or advantages that a company has over its competitors, such as superior technology, cost efficiency, or a strong brand reputation.

These advantages enable the company to differentiate itself in the market and attract customers, thereby creating more value. By leveraging its competitive advantage effectively, an international business can increase its market share, profitability, and overall success in a foreign market.

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What are the most important Cash Outflows from Financing Activities?
A) Issuing Bonds
B) Issuing Stocks
C) Paying Dividends
D) Buying treasury Stock
E) Repayment of Bonds

Answers

The most important cash outflows from financing activities include issuing bonds, issuing stocks, paying dividends, buying treasury stock, and repayment of bonds. These activities represent the ways in which a company raises capital and distributes it to its investors or stakeholders. Each of these actions involves a cash outflow from the company's financing activities, impacting its financial position and liquidity.

The cash outflows from financing activities are crucial components of a company's financial management. They reflect the ways in which a company raises funds from external sources and distributes them to its investors or shareholders. The important cash outflows from financing activities include:

A) Issuing bonds: When a company issues bonds, it borrows money from investors in exchange for future interest payments and the repayment of the principal amount. The issuance of bonds involves a cash outflow as the company receives the initial proceeds but commits to making future interest and principal payments.

B) Issuing stocks: When a company issues stocks, it sells ownership stakes in the company to investors in exchange for capital. This transaction results in a cash outflow as the company receives the funds from the investors in return for the newly issued shares.

C) Paying dividends: Dividends are payments made to shareholders as a distribution of the company's profits. When a company pays dividends, it uses its cash reserves to distribute a portion of its earnings to the shareholders. This payment represents a cash outflow from the company's financing activities.

D) Buying treasury stock: Treasury stock refers to the shares of a company's own stock that it repurchases from the market. When a company buys back its own shares, it uses its cash reserves to acquire the shares, resulting in a cash outflow.

E) Repayment of bonds: When a company repays its outstanding bonds, it returns the borrowed funds to the bondholders. This repayment involves a cash outflow as the company uses its cash reserves to fulfill its debt obligations.

In conclusion, the most important cash outflows from financing activities include issuing bonds, issuing stocks, paying dividends, buying treasury stock, and repayment of bonds. These activities play a significant role in a company's financial management, impacting its liquidity, capital structure, and relationships with investors and stakeholders.

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Explain why the announcement of new investment is usually accompanied by a change in the firm's share price?

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The announcement of new investment by a firm often signals to the market that the firm is planning to expand or improve its operations in some way.

This can create expectations of higher profits in the future, which can increase demand for the firm's shares and drive up the share price.

For example, if a company announces plans to build a new factory or develop a new product, investors may expect that these investments will lead to higher revenues and profits in the future.

This can create a positive sentiment among investors, which can cause them to buy more shares of the company, increasing the demand and driving up the share price.

Additionally, the announcement of new investment can also signal that the company is confident in its future growth prospects, which can increase investor confidence and lead to a rise in the share price.

However, it's important to note that the relationship between new investment and share price can be complex, and other factors such as overall market conditions, industry trends, and interest rates can also influence a firm's share price.

Additionally, if the new investment is not seen as a positive for the firm, the share price may not rise, and could even fall.

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what factors (reliability, empathy, assurance, or tangibles) influence customer satisfaction are more important in healthcare industries?

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Customer happiness is influenced by a number of internal and external factors.

The five components of service quality are response, assurance, tangibility, empathy, and dependability. The relative impact of these aspects on external customer satisfaction has only recently been studied, despite the fact that it has been determined that they are independent of one another.

Both operation-based tangibalization (OBT) and marketing-based tangibalization (MBT) are included in this research article in an effort to assess their effects on customer satisfaction. While there are other aspects of service quality that have a substantial impact on customer satisfaction, the primary focus of this research is on tangibility and how it affects customer satisfaction in the medical and hospitality sectors.

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T/F: money markets exist to help reduce the opportunity cost of holding cash balances.

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Money markets exist to help reduce the opportunity cost of holding cash balances. The given statement is true.


Holding cash balances for extended periods can result in an opportunity cost, which refers to the benefits that could have been gained from investing the funds elsewhere. For example, if an individual or business keeps large amounts of cash in a low-interest savings account, they may be missing out on higher returns that could be earned through other investment options.
By investing in money markets, investors can earn a higher rate of return than they would by holding cash, while still having access to their funds when needed. This makes money markets an attractive option for investors who want to maintain liquidity while minimizing the opportunity cost of holding cash balances.
In summary, money markets exist to help reduce the opportunity cost of holding cash balances by providing investors with short-term, low-risk investment options that offer a higher rate of return than traditional savings accounts.

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The statement "money markets exist to help reduce the opportunity cost of holding cash balances" is true because they buy the cash.

What is money?

In Economics, money can be defined as any formally recognized economic unit that is universally accepted as a medium of exchange for goods and services, as well as repayment of debts such as taxes, levies, fees, and loans, across the world.

Generally speaking, money markets are saddled with the responsibility of reducing the opportunity cost that is associated with holding cash balances by individuals and businesses.

In this context, we can reasonably infer and logically deduce that the aforementioned statement about money markets is completely true.

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A schedule of accounts receivable is prepared from the a. sales journal. b. general ledger. c. general journal. d. list of customer accounts in the accounts receivable ledger.

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The schedule of accounts receivable is prepared from the list of customer accounts in the accounts receivable ledger. The ledger is where all the transactions related to accounts receivable are recorded in detail.

This information is then used to prepare the schedule of accounts receivable, which lists all the outstanding customer balances at a given point in time. The sales journal and general journal may contain some information related to accounts receivable, but they are not typically used to prepare the schedule of accounts receivable. The general ledger, on the other hand, is a summary of all the accounts in a company's accounting system and may include information on accounts receivable, but it is not specific enough to prepare the schedule of accounts receivable.

A schedule of accounts receivable is prepared from the d. list of customer accounts in the accounts receivable ledger. This ledger helps keep track of the amounts owed by customers and helps manage the business's receivables efficiently.

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Actually counting the goods on hand at the end of the accounting period and determining the cost of these goods by reviewing the accounting records is called a. b. c. the cost of goods sold. the physical inventory. freight-in. accumulated depreciation.

Answers

The correct answer is b) the physical inventory. Counting the goods on hand at the end of the accounting period and determining their cost by reviewing the accounting records is referred to as the physical inventory.

It is an essential step in the process of calculating the cost of goods sold and evaluating the inventory's value for financial reporting purposes. The physical inventory involves physically counting the items in stock, verifying their condition, and reconciling the results with the inventory records.

This process helps ensure that the recorded inventory quantities are accurate and align with the actual goods available. By comparing the physical count to the recorded quantities, any discrepancies can be identified and adjusted, allowing for a more accurate calculation of the cost of goods sold and the determination of the inventory's value on the balance sheet.

It is important for businesses to conduct regular physical inventories to maintain accurate financial records and ensure compliance with accounting standards. This process provides a reliable basis for assessing the value of inventory, measuring profitability, and making informed decisions regarding inventory management and financial reporting.

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Complete Question:

Actually counting the goods on hand at the end of the accounting period and determining the cost of these goods by reviewing the accounting records is called

a. the cost of goods sold.

b. the physical inventory.

c. freight-in. accumulated depreciation.

The following price quotations are for exchange-listed options on Primo Corporation common stock. Company Primo 61.12 Strike Expiration Call 7.27 Put 0.47 54 Feb With transaction costs ignored, how much would a buyer have to pay for one call option contract. Assume each contract is for 100 shares. Amount for one call option

Answers

A buyer would have to pay $727 for one call option contract on Primo Corporation common stock with a strike price of 61.12 and an expiration date of February 54, assuming transaction costs are ignored.

To calculate the amount a buyer would have to pay for one call option contract, we need to multiply the quoted call price by the number of shares per contract (which is 100).

So, the calculation would be:
Call price x 100 = Amount for one call option

Using the given information, we can substitute the values and solve for the amount:
7.27 x 100 = 727

Therefore, a buyer would have to pay $727 for one call option contract on Primo Corporation common stock with a strike price of 61.12 and an expiration date of February 54, assuming transaction costs are ignored.

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if a plant asset is sold before it is fully depreciated, only a gain on disposal can occur. only a loss on disposal can occur. either a gain or a loss can occur. neither a gain nor a loss can occur.

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if a plant asset is sold before it is fully depreciated either a gain or a loss can occur.

When a plant asset is sold before it is fully depreciated, the amount received from the sale (the selling price) is compared to the asset's carrying amount (the original cost minus the accumulated depreciation). If the selling price is greater than the carrying amount, a gain on disposal occurs.

If the selling price is less than the carrying amount, a loss on disposal occurs. If the selling price is equal to the carrying amount, no gain or loss on disposal occurs.

The gain or loss on disposal is calculated as the difference between the selling price and the carrying amount. This gain or loss is reported on the income statement as a separate line item and is not included in the calculation of net income.

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you go to the mall next weekend to study how people spend their money. you ask by-passers to participate in your survey. what sampling method are you using?

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The sampling method being employed in this situation is convenience sampling, which involves selecting participants based on their convenient accessibility and proximity to the researcher.

Convenience sampling is a non-probability sampling technique that is commonly used when researchers have limited resources and time constraints. In this case, the researcher is approaching individuals who happen to be passing by at the mall, making it a convenient method to gather data.

However, convenience sampling may introduce bias since the sample may not represent the entire population accurately. The individuals who agree to participate may not be representative of the overall population in terms of their spending habits, demographics, or other relevant factors.

Therefore, while convenience sampling is convenient, it may not provide a truly representative sample.

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knowing that diverse groups often create better products, what strategy could you employ to come up with the best groups?

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To create the best groups for developing products, it's important to consider various factors that can contribute to diversity and effective collaboration.

Focus on building diverse teams: This can be done by hiring individuals from different backgrounds, ethnicities, cultures, and genders. Additionally, it's important to ensure that team members have different educational backgrounds, work experiences, and skill sets.

Foster open communication: Encourage team members to share their ideas and opinions in a non-judgmental environment. This can be achieved by holding regular meetings where everyone can contribute their thoughts and concerns.

Provide opportunities for cross-functional collaboration: To build the best teams, it's important to encourage collaboration across different departments and disciplines. This can help to break down silos and foster a more integrated approach to product development.

Focus on creating a culture of inclusivity: Create a culture where all team members feel valued and respected. This can be done by promoting diversity and inclusion initiatives, providing training on unconscious bias and building a culture of trust.

Encourage experimentation and risk-taking: To foster innovation and creativity, encourage team members to experiment with new ideas and approaches. This can help to create a culture of innovation where everyone feels comfortable taking risks and trying new things.

By employing these strategies, you can create diverse and effective teams that are capable of developing the best products.

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Smythe Company is considering the following 5 capital budgeting projects. The cost of capital for all projects is 14% .Project Initial Cost NPV IRR PIA $1,000,000 ($650,000) 10% 0.96B $400,000 $113,000 18% 1.33C $10,000 $2,500 21% 1.52D $2,500,000 $20 15% 1.01E $8,350,000 $515,000 17% 1.44If the projects are MUTUALLY EXCLUSIVE, which project(s) should Smythe accept? (Note: it is possible that more than one project should be accepted. You must check all that apply to receive credit - this is an all or nothing question. That is if they should accept projects A and B and you check only A or only B or if you also check C, your answer will be marked wrong).Project AProject BProject CProject DProject E

Answers

Smythe should accept Projects B, C, and E based on their positive NPVs and IRRs higher than the cost of capital.

To determine which projects Smythe should accept, we need to compare the NPV (Net Present Value) and IRR (Internal Rate of Return) of each project to the cost of capital.

Considering the cost of capital is 14%, let's analyze each project:

Project A:

NPV = -$650,000

IRR = 10%

Project B:

NPV = $113,000

IRR = 18%

Project C:

NPV = $2,500

IRR = 21%

Project D:

NPV = $20

IRR = 15%

Project E:

NPV = $515,000

IRR = 17%

To determine which projects Smythe should accept, we consider the following criteria:

1. If the NPV is greater than zero, the project should be accepted.

2. If the IRR is greater than the cost of capital (14%), the project should be accepted.

Based on these criteria, the projects that Smythe should accept are:

- Project B: It has a positive NPV of $113,000 and an IRR of 18% (greater than the cost of capital).

- Project C: It has a positive NPV of $2,500 and an IRR of 21% (greater than the cost of capital).

- Project E: It has a positive NPV of $515,000 and an IRR of 17% (greater than the cost of capital).

Therefore, Smythe should accept Projects B, C, and E.

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suppose a perfectly competitive firm faces the following situation: p = $10; output = 3,000; atc = $8.50; mc = $9; and avc = $7.50. which statement is an accurate description of the firm's situation?

Answers

In a perfectly competitive market, a firm's situation can be described as follows: the price (p) is $10, the firm's output is 3,000 units, the average total cost (ATC) is $8.50.

In this scenario, the firm's price ($10) is greater than both the average total cost ($8.50) and the average variable cost ($7.50). This indicates that the firm is making a profit in the short run. Since the price is higher than the average total cost, the firm is covering all of its production costs and earning a positive economic profit.

However, the marginal cost ($9) is greater than the price, suggesting that the firm could potentially increase its profit by reducing production or adjusting its cost structure. The marginal cost (MC) is $9, and the average variable cost (AVC) is $7.50.

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A third-party beneficiary is one which
Group of answer choices
A. does not have privity of contract, but is known to the contracting parties and intended to benefit under the contract.
B. does not have privity of contract and is unknown to the contracting parties.
C. has failed to establish legal standing before the court.
D. may establish legal standing before the court after a contract has been consummated.

Answers

Even though they are not a party to the contract, a third-party beneficiary may still have legal standing before the court after the contract has been consummated, hence option D) is correct.

A third-party beneficiary is a person or entity who benefits from a contract between two other parties, known as the contracting parties. This beneficiary is not a party to the contract and, therefore, does not have privity of contract with the contracting parties. This means that they do not have any contractual rights or obligations under the agreement. However, even though they are not a party to the contract, a third-party beneficiary may still have legal standing before the court after the contract has been consummated. This means that they may be able to bring a lawsuit against the contracting parties if they believe that the terms of the contract have been breached and they have suffered harm as a result. In order to establish legal standing, the third-party beneficiary must show that they were intended to benefit from the contract by the contracting parties. This intention must be clearly stated in the contract, or it must be apparent from the circumstances surrounding the agreement. In conclusion, a third-party beneficiary is someone who benefits from a contract between two other parties, but does not have privity of contract with them. While they may not have any contractual rights or obligations, they may still be able to establish legal standing before the court if they can show that they were intended to benefit from the agreement. Therefore option D) is correct

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in four years, when he is discharged from the air force, steve wants to buy a $26,000 power boat.What lump-sum amount must Steve invest now to have the $26,000 at the end of four years if he can invest money at:1. Seven percent2. Eleven percent

Answers

Steve must invest a lump-sum amount of either $19,352.91 or $16,051.47 now to have $26,000 at the end of four years if he can invest money at seven percent or eleven percent, respectively.


To calculate the lump-sum amount that Steve must invest now, we can use the future value formula:

FV = PV x (1 + r)^n

where FV is the future value, PV is the present value (or lump-sum amount to be invested now), r is the interest rate per period, and n is the number of periods.

For the first case, where Steve can invest money at seven percent, we have:

FV = $26,000
r = 7% = 0.07
n = 4 years

Plugging these values into the formula, we get:

$26,000 = PV x (1 + 0.07)^4

Solving for PV, we get:

PV = $19,352.91

Therefore, Steve must invest a lump-sum amount of $19,352.91 now to have $26,000 at the end of four years if he can invest money at seven percent.

For the second case, where Steve can invest money at eleven percent, we have:

FV = $26,000
r = 11% = 0.11
n = 4 years

Plugging these values into the formula, we get:

$26,000 = PV x (1 + 0.11)^4

Solving for PV, we get:

PV = $16,051.47

Therefore, Steve must invest a lump-sum amount of $16,051.47 now to have $26,000 at the end of four years if he can invest money at eleven percent.

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reduction of fixed cost may be achieved by aggregating lots across multiple products, customers, or suppliers. T/F

Answers

True. The reduction of fixed costs can be achieved by aggregating lots across multiple products, customers, or suppliers.

Fixed costs are expenses that remain constant regardless of the level of production or sales volume. One way to reduce fixed costs is through the practice of aggregating lots, which involves combining or consolidating production or procurement activities across different products, customers, or suppliers.

By aggregating lots, companies can achieve economies of scale and spread fixed costs over a larger production or procurement base. This allows for cost savings and improved efficiency in operations. For example, by producing larger batch sizes or purchasing in bulk from multiple suppliers, businesses can negotiate better pricing terms and reduce per-unit production or procurement costs.

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Commodity money is
Question 11 options:
backed by gold.
the principal type of money in use today.
money with intrinsic value.
receipts created in international trade that are used as a medium of exchange.

Answers

Commodity money is a type of currency that has intrinsic value because it is made of a valuable commodity.

Commodity money is a type of currency that has intrinsic value because it is made of a valuable commodity, such as gold, silver, or copper. Unlike fiat money, which has no intrinsic value and is only valuable because it is backed by the government, commodity money derives its value from the underlying commodity.

Historically, many civilizations have used commodity money as a medium of exchange. For example, gold and silver coins were used as currency in ancient Greece and Rome, and throughout the Middle Ages. In the United States, gold and silver coins were used as currency until the mid-20th century.

Commodity money has several advantages over fiat money. First, because it has intrinsic value, commodity money is less susceptible to inflation and currency devaluation.

Second, because the underlying commodity is valuable, commodity money is less likely to be counterfeited or manipulated. Finally, because commodity money is made of a tangible commodity, it is often considered more reliable and trustworthy than fiat money.

However, there are also disadvantages to commodity money. For example, it can be difficult to transport and store large amounts of precious metals, which can limit the amount of currency that can be in circulation.

Additionally, because commodity money has intrinsic value, it is often subject to fluctuations in the value of the underlying commodity, which can lead to instability in the currency.

In summary, commodity money is a type of currency that has intrinsic value because it is made of a valuable commodity. It has been used throughout history as a medium of exchange, and while it has advantages over fiat money, it also has drawbacks.

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This is created when a seller agrees to extend credit to a buyer for part or all of the purchase price of the goods in a consumer sales transaction:​a. a purchase-money security interestb. a floating lienc. a holder in due coursed. a qualified indorsement

Answers

A purchase-money security interest is created when a seller agrees to extend credit to a buyer for part or all of the purchase price of goods in a consumer sales transaction. This means that the seller has a security interest in the goods being sold, and this security interest serves as collateral for the buyer's debt.

The seller can repossess the goods if the buyer fails to make payments on time, and the seller can also enforce the security interest against any other parties who might have a claim on the goods. A floating lien is a type of security interest that covers multiple assets, rather than a specific item or group of items.

A holder in due course is a person or entity that takes possession of a negotiable instrument, such as a check or promissory note, for value and in good faith, and without notice of any defects or problems.

A qualified indorsement is an endorsement that includes certain conditions or restrictions, such as limiting the amount of liability assumed by the endorser.

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A multinational company faced with exposure to a depreciating foreign currency can reduce transaction exposure with a strategy of a. Paying or collecting early b. Paying or collecting late c. Paying late, collecting early. d. Paying early, collecting late

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A multinational company faced with exposure to a depreciating foreign currency can reduce transaction exposure with a strategy of paying early and collecting late (option d).


Step 1: Understand the terms
- Strategy: A plan of action designed to achieve a particular goal
- Transaction: A business deal or financial exchange
- Depreciating foreign currency: A situation where the value of a foreign currency is decreasing relative to the domestic currency

Step 2: Evaluate the options
a. Paying or collecting early: This strategy would increase the exposure, as the company would be receiving the foreign currency when its value is higher and paying when its value is lower.
b. Paying or collecting late: This strategy would not effectively manage the exposure, as both paying and collecting would be done when the foreign currency has depreciated further.
c. Paying late, collecting early: This strategy would increase the exposure, as the company would be paying the foreign currency when its value is lower and collecting when its value is higher.
d. Paying early, collecting late: This strategy would reduce transaction exposure, as the company would be paying the foreign currency when its value is higher and collecting when its value is lower.

In conclusion, a multinational company can reduce transaction exposure due to a depreciating foreign currency by adopting a strategy of paying early and collecting late. This approach allows the company to minimize the impact of currency depreciation on its financial transactions.

Therefore, option D is the right answer.

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assume that intel needs to borrow money in the bond market. it is less likely for intel to build the new factory if interest ratesincrease . true or false

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True, it is less likely for Intel to build a new factory if interest rates increase.

When Intel needs to borrow money in the bond market, it typically issues corporate bonds to raise the necessary funds. When interest rates increase, the cost of borrowing also goes up. Higher interest rates make borrowing more expensive for companies like Intel, as they will have to pay higher interest payments on their bonds. This increased cost of borrowing can discourage Intel from proceeding with building a new factory since it would require substantial investment. Thus, the likelihood of Intel building a new factory decreases when interest rates rise, as it becomes less financially viable for them to take on additional debt.

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True/False: the sum-of-the-years'-digits (syd) method of depreciation is an accelerated method in which depreciation expense decreases each year.

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This statement "The sum-of-the-years'-digits (SYD) method of depreciation is an accelerated method in which depreciation expense decreases each year" is true.

This method is used to allocate the cost of an asset over its useful life, taking into account that an asset is usually more productive in the early years of its life. The SYD method calculates depreciation expense by first determining the sum of the digits of the asset's useful life. For example, if an asset has a useful life of five years, the sum of the digits would be 15 (1+2+3+4+5).

Then, for each year of the asset's life, the remaining useful life is divided by the sum of the digits, and the resulting fraction is multiplied by the cost of the asset to calculate the depreciation expense for that year. Because the denominator (sum of digits) decreases each year, the depreciation expense also decreases each year, making it an accelerated method of depreciation.

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Investing in an Index fund (like S&P 500, or a utility fund) would be an example of active investing.
a.true
b.false

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The given statement "Investing in an Index fund would be an example of active investing" is false.

Investing in an index fund, such as the S&P 500 or a utility fund, is an example of passive investing, not active investing. Passive investing involves buying and holding a diversified portfolio that mirrors a specific market index, such as the S&P 500. These funds aim to replicate the performance of the index rather than actively selecting and managing individual stocks.

Index funds are designed to provide broad market exposure and typically have lower fees compared to actively managed funds. By investing in an index fund, investors can benefit from the overall performance of the market or a specific sector, without the need for constant monitoring or frequent buying and selling of securities.

Active investing, on the other hand, involves actively choosing and managing individual stocks, bonds, or other investments with the goal of outperforming the market. Active investors engage in research, analysis, and market timing to identify opportunities and adjust their portfolios accordingly. This approach requires more time, effort, and expertise than passive investing.

Therefore, investing in an index fund like the S&P 500 or a utility fund is an example of passive investing, not active investing.

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true/false. the use of as a source of financing is restricted to large firms with exceptionally good credit.

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False. The use of debt financing as a source of financing is not restricted to large firms with exceptionally good credit. In fact, many small businesses and startups rely on debt financing to get off the ground. However, it is true that larger firms with better credit are often able to secure more favorable terms and interest rates on their debt financing. This is because they are seen as less risky by lenders and are therefore more likely to be approved for loans.

For small businesses and startups, there are many different sources of debt financing available, including traditional bank loans, SBA loans, and alternative lenders. It is important to shop around and compare rates and terms from different lenders in order to find the best option for your business. It is also important to be mindful of your credit score and financial history, as this will play a role in determining your eligibility for loans and the interest rates you are offered.
Overall, while larger firms may have an advantage when it comes to securing debt financing, smaller businesses and startups can still use this as a viable source of funding if they are strategic in their approach and diligent in their research.

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(Legal restrictions on dividend payments) Describe the types of limitations firms can face from legal restrictions on dividend payments Which of the following statements describe the types of limitations firms can face from legal restrictions on dividend payments? (Select all that apply.) A. A corporation may not pay a dividend if the amount of the dividend exceeds the firm's retained earnings. C. A corporation may not pay a dividend if the dividend is being paid from capital invested in the firm. E. A corporation may not pay a dividend when any preferred dividends are delinquent. B. A corporation may not pay a dividend if the firm's liabilities exceed its assets. D. A corporation may not pay a dividend before the debt is repaid

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Legal restrictions on dividend payments can place limitations on a corporation's ability to pay dividends to shareholders.



A. This statement is correct. Legal restrictions may prevent a corporation from paying a dividend that exceeds the firm's retained earnings. This is to ensure that a corporation does not distribute dividends that exceed its profits and therefore protect the interests of its creditors.

B. This statement is also correct. Legal restrictions may prevent a corporation from paying a dividend if its liabilities exceed its assets. This is because a corporation must first pay off its obligations before it can distribute dividends to its shareholders.

C. This statement is correct. Legal restrictions may prevent a corporation from paying a dividend if it is being paid from capital invested in the firm. This is to ensure that a corporation does not distribute dividends that are funded by its shareholders' capital.

D. This statement is not correct. A corporation may choose to pay dividends before repaying debt. However, it may impact the corporation's ability to raise capital in the future as investors may prefer corporations that prioritize debt repayment.

E. This statement is correct. Legal restrictions may prevent a corporation from paying a dividend when any preferred dividends are delinquent. This is to ensure that a corporation first satisfies its obligations to its preferred shareholders before distributing dividends to its common shareholders.

A. A corporation may not pay a dividend if the amount of the dividend exceeds the firm's retained earnings. This is because retained earnings represent the accumulated profits available for distribution to shareholders.
B. A corporation may not pay a dividend if the firm's liabilities exceed its assets. This is to ensure that the company does not jeopardize its financial stability by distributing dividends when it is in a financially distressed situation.
C. A corporation may not pay a dividend if the dividend is being paid from capital invested in the firm. Dividends should be paid from the profits generated by the company and not from the initial investment made by shareholders.
E. A corporation may not pay a dividend when any preferred dividends are delinquent. Preferred stockholders have a priority claim on dividends, and companies must satisfy these obligations before paying dividends to common stockholders.


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explain how a decrease in setup time can lead to a decrease in the average amount of inventory a firm holds, and why that would be beneficial.

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A decrease in setup time can lead to a decrease in the average amount of inventory a firm holds because it allows for more frequent production runs, which means the firm can produce smaller batches of products more frequently and respond quickly to changes in demand.

In manufacturing, setup time refers to the time required to prepare a machine or production line to produce a new batch of products. When setup time is reduced, the production process becomes more flexible and efficient, allowing the firm to adjust production levels more rapidly in response to changes in customer demand.

This reduces the need for a large buffer inventory to meet unexpected fluctuations in demand, which in turn reduces the average amount of inventory that the firm needs to hold.

Holding a lower amount of inventory can be beneficial for several reasons. First, it can reduce the cost of holding inventory, such as storage and handling costs, which can improve the firm's profitability.

Second, it can reduce the risk of inventory obsolescence, as the firm is producing smaller batches more frequently and is therefore less likely to be left with unsold inventory that becomes outdated or unusable. Third, it can improve customer satisfaction by allowing the firm to respond more quickly to changes in demand and reduce lead times for product delivery.

In conclusion, a decrease in setup time can lead to a decrease in the average amount of inventory a firm holds, which can be beneficial for reducing costs, minimizing inventory obsolescence, and improving customer satisfaction.

By reducing setup time and increasing production flexibility, firms can become more agile and responsive to changes in customer demand, ultimately leading to improved competitiveness in the marketplace.

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