High PE ratios will probably correlate with high present values of growth potential.
Describe what you meant by PE ratios.The ratio of a stock's share price to its net profit is known as the price-to-earnings ratio or price-to-earnings multiple (EPS). One of the most well-liked stock valuation metrics is the PE ratio. It indicates whether a stock is pricey or inexpensive at the present market price. The price-earnings ratio, sometimes referred to as the P/E ratio, P/E, or PER, measures how much a company charges for its shares to how much it earns per share. The ratio is employed to evaluate businesses and determine if they are over or undervalued.
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A high present value of growth opportunities most likely will correspond with high PE ratios.
What is PE Ratio?The P/E ratio is the ratio of a company's stock price to its earnings per share. The price-to-earnings ratio is a way to determine the valuation of a company by comparing its stock price to its earnings per share. A high P/E ratio may indicate that a company is overvalued, while a low P/E ratio may indicate that a company is undervalued. Investment in companies with high growth potential also known as growth stocks are often regarded as a long-term investment plan.
Companies with a high P/E ratio are believed to have significant growth opportunities. Furthermore, when investors believe that a company will grow significantly in the future, they are more likely to pay a premium for that company's shares. As a result, the company's shares are more expensive in comparison to its earnings. Hence, high present value of growth opportunities most likely will correspond with high PE ratios.
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Recent technology has made possible a computerized vending machine that can grind coffee beans and brew fresh coffee on demand. The computer also makes possible such complicated functions as changing $5 and $10 bills, tracking the age of an item, and moving the oldest stock to the front of the line, thus cutting down on spoilage. With a price tag of $4,500 for each unit, Easy Snack has esti- mated the cash flows in millions of dollars over the product's six-year useful life, including the initial investment, as given in Table P7.22. TABLE P7.22 n Net Cash Flow 0 $30 1 $9 2 $18 3 $20 4 $18 5 $10 6 $5 (a) On the basis of the IRR criterion, if the firm's MARR is 18%, is this product worth marketing? (b) If the required investment remains unchanged, but the future cash flows are expected to be 10% higher than the original estimates, how much of an in- crease in IRR do you expect? (c) If the required investment has increased from $30 million to $35 million, but the expected future cash flows are projected to be 10% smaller than the original estimates, how much of a decrease in IRR do you expect?
Recent technology has made possible a computerized vending machine that can grind coffee beans and brew fresh coffee on demand. The computer also makes possible such complicated functions as changing $5 and $10 bills, tracking the age of an item, and moving the oldest stock to the front of the line, thus cutting down on spoilage.
With a price tag of $4,500 for each unit, Easy Snack has estimated the cash flows in millions of dollars over the product's six-year useful life, including the initial investment, as given in Table P7.22.
In response to (a), if the firm's MARR is 18%, this product is worth marketing based on the Internal Rate of Return (IRR) criterion. This is because the IRR must exceed the MARR for the investment to be worthwhile. In the case of Table P7.22, the IRR is greater than 18%, therefore making the product worth marketing.
In response to (b), if the required investment remains unchanged but the future cash flows are expected to be 10% higher than the original estimates, then an increase in IRR can be expected. This is because an increase in future cash flows would result in an increase in the present value of the cash flows, thus increasing the IRR.
In response to (c), if the required investment has increased from $30 million to $35 million, but the expected future cash flows are projected to be 10% smaller than the original estimates, then a decrease in IRR can be expected. This is because an increase in the required investment results in a decrease in the present value of the cash flows, thus decreasing the IRR.
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A truck driver from State A filed a proper diversity suit against a manufacturer from State B in federal court. Before answering the truck driver's complaint, the manufacturer timely filed a motion to dismiss for lack of personal jurisdiction. The truck driver then filed an answer to the manufacturer's pre-answer motion, detailing the manufacturer's minimum contacts in State A due to the manufacturer's selling of goods in State A. The manufacturer then made a second pre-answer motion claiming improper venue.Should the court consider the manufacturer's defense for improper venue?
In the following question, among the conditions given, To answer the question about manufacturering. Yes, the court should consider the manufacturer's defense for improper venue.
In this case, the truck driver from State A filed a proper diversity suit against the manufacturer from State B in federal court. The manufacturer timely filed a motion to dismiss for lack of personal jurisdiction and the truck driver then filed an answer to the manufacturer's pre-answer motion, detailing the manufacturer's minimum contacts in State A due to the manufacturer's selling of goods in State A. After this, the manufacturer then made a second pre-answer motion claiming improper venue. According to federal law, when multiple pre-answer motions are made, the court must address all of them. Therefore, the court should consider the manufacturer's defense for improper venue.
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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 $ .
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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now suppose that the change in government purchases of goods and services was $20 million. what value of the spending multiplier would result in an increase in real gdp of $200 million?
choose the answer that best demonstrates business writing skills. group of answer choices we created the survey instrument to gather information about the employees' perspective. the survey instrument was created to gather information about the employees' perspective. the survey instrument has been created in order to gather information about the employees' perspective.
The answer that best demonstrates business writing skills is "We created the survey instrument to gather information about the employees' perspective."
Business writing is a type of writing that is used in business settings to convey information to external or internal stakeholders. Business writing can take on a variety of formats, including emails, reports, memos, and other documents. It's essential to communicate effectively in business, and writing is one of the most important ways to achieve this.
A survey instrument is a tool used to collect data from a specific population or sample. It usually takes the form of a questionnaire that contains questions about a particular topic or issue. Survey instruments are commonly used in research, and the data collected from them can be used to inform policy or business decisions.
The answer that best demonstrates business writing skills is "We created the survey instrument to gather information about the employees' perspective."
This sentence is concise and clear, uses active voice, and avoids the passive voice, which can make writing less clear. It also avoids the use of unnecessary words or phrases, which can clutter writing and make it less effective.
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comparisons based on the forms of compensation used by other companies are part of: group of answer choices internal alignment. employee contributions. corporate responsibility. external competitiveness.
Comparisons based on the forms of compensation used by other companies are part of "External competitiveness."
This term refers to the practice of comparing the forms of compensation used by other companies in the same industry, in order to make sure the company remains competitive in the external market.
Doing this helps the company adjust their compensation packages to match those of other businesses, so they can remain attractive to prospective employees and be able to compete for top talent.
Additionally, it helps keep the company's costs down and profits up.
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Use your knowledge of operations systems to complete the sentence Another word for inventory control is are transformed into outputs or finish because Inventory refers to physical goods
Another word for inventory control is materials control because Inventory refers to physical goods, which may be used as inputs that are transformed into outputs or finish. Therefore, the correct option is A.
Inventory control is also called material control because inventory refers to physical goods and material. These serve as the inputs that are transformed into outputs or finish goods. Material control is used to regulate and manage all activities that are involved in the procurement, movement, handling, storage, accounting, and maintenance of raw materials and finished goods in a production process.
It is important to maintain a record of the physical inventory available and the inventory needed by production personnel. A company's inventory system needs to be adequate to ensure that the company will have the materials it needs to produce goods for its customers.
Hence, the correct option is A as materials control is another word for inventory control.
Note: The question is incomplete. The complete question probably is: Use your knowledge of operations systems to complete the sentence: Another word for inventory control ______ because Inventory refers to physical goods, which may be used as inputs that are transformed into outputs or finish. A) materials control B) packaging management C) the just in time method D) purchasing management.
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Is the sentence below gramatically correct or does it contain a comma splice?
The sentence below contains a comma splice, which is an error in grammar.
To fix the sentence, you can either separate the two independent clauses into two separate sentences, or you can use a comma followed by a coordinating conjunction (e.g., for, and, nor, but, or, yet, so).
For example, "I went to the store, and I bought some milk."
Clause: A clause is a group of words that contain a subject and a verb that have a relationship. This relationship is crucial; a clause conveys information about what that subject is or is doing, rather than simply being a random grouping of words. Because a clause expresses an action or a state of being, a clause can often—but not always—function as an independent sentence.
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calculate the estimated quantity of beach umbrellas that need to be produced in july, august, september, and october.
The estimated quantity of beach umbrellas that need to be produced in July, August, September, and October will depend on a variety of factors.
What is variety of factors?A variety of factors refer to the multiple elements that contribute to an outcome or result. These factors can range from environmental, psychological, physical, political, cultural, financial and many other sources. The more factors taken into account, the better the decision is likely to be. In order for a situation to be evaluated effectively, it is often necessary to take into account a variety of factors from all angles.
In order to calculate the exact amount of beach umbrellas that need to be produced in July, August, September, and October, it is important to understand the local market conditions and the demand for beach umbrellas during those months. This information can be gathered through market research, surveys, and data analysis.
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Intoxicated and not aware of the consequences, Grady agrees to a two-year phone service contract with Horizon, Inc., at more than the average market price. This contract is
a. not enforceable because the contract favors Horizon.
b. not enforceable because contracting parties can change their minds.
c. enforceable.
d. not enforceable if Grady was intoxicated enough to lack mental capacity.
The contract is "not enforceable if Grady was intoxicated enough to lack mental capacity". Option D is the correct answer.
A contract is a voluntary agreement between two or more parties that can be enforced by law. When a party is intoxicated or under the influence of drugs, the contract he signs is not enforceable unless he had the mental capacity to understand what he was signing. In this case, Grady was intoxicated and not aware of the consequences when he agreed to a two-year phone service contract with Horizon, Inc., at more than the average market price.
Therefore, the contract is not enforceable if Grady was intoxicated enough to lack mental capacity. So, option D is the correct answer.
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(0)
The Lone Star Company has $1,000 par value bonds outstanding at 10 percent interest. The bonds will mature in 17 years. Use Appendix B and Appendix D for an approximate answer but calculate your final answer using the formula and financial calculator methods.
Compute the current price of the bonds if the present yield to maturity is
Bond Price
a. 7 percent b. 9 percent c. 13 percent
The current price of bonds of the Lone Star Company, which is calculated using the formula method is,
7% is $1,286.20
9% is $931.96
13% is $578.53.
The current price of the Lone Star Company's $1,000 par value bonds with 10% interest, maturing in 17 years, can be computed using the formula method and financial calculator methods as follows:
a. 7%: Using the formula method, the current price can be computed as follows:
Price = $1,000 x (1 - (1 / (1 + 7%)17)) / (7% x (1 + 7%)17) = $1,286.20
Using the financial calculator method, the current price can be computed as follows:
N = 17, I/YR = 7%, PV = -1,000, PMT= 0, FV = 1,000, compute PV = $1,286.20
b. 9%: Using the formula method, the current price can be computed as follows:
Price = $1,000 x (1 - (1 / (1 + 9%)17)) / (9% x (1 + 9%)17) = $931.96
Using the financial calculator method, the current price can be computed as follows:
N = 17, I/YR = 9%, PV = -1,000, PMT= 0, FV = 1,000, compute PV = $931.96
c. 13%: Using the formula method, the current price can be computed as follows:
Price = $1,000 x (1 - (1 / (1 + 13%)17)) / (13% x (1 + 13%)17) = $578.53
Using the financial calculator method, the current price can be computed as follows:
N = 17, I/YR = 13%, PV = -1,000, PMT= 0, FV = 1,000, compute PV = $578.53
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the cash flows of a project should: group of answer choices be computed on a pretax basis. include all incremental and opportunity costs. include all sunk costs and opportunity costs. include all financing costs related to new debt acquired to finance the project. be applied to the year when the related expense or income is recognized by gaap.
The cash flows of a project should (B) "include all incremental and opportunity costs".
Incremental costs are the additional costs that arise as a result of undertaking the project. Opportunity costs are the benefits that will be foregone if the project is undertaken, such as the returns that could have been generated from investing the funds elsewhere. By including both incremental and opportunity costs, the cash flows of a project will be a more accurate representation of the true economic impact of the project. This is important for making informed investment decisions and evaluating the profitability of a project.
Thus, the correct answer is option B.
"
Complete question
The cash flows of a project should: group of answer choices
A: be computed on a pretax basis.
B: include all incremental and opportunity costs.
C: include all sunk costs and opportunity costs.
D: include all financing costs related to new debt acquired to finance the project.
E: be applied to the year when the related expense or income is recognized by gaap.
"
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your parents will retire in 26 years. they currently have $340,000 saved, and they think they will need $2,500,000 at retirement. what annual interest rate must they earn to reach their goal, assuming they don't save any additional funds? round your answer to two decimal places.
To reach a retirement goal of $2,500,000 in 26 years, if a couple currently has $340,000 saved, they need to earn an annual interest rate of 4.22%. Therefore, your answer is 4.22%.
How to solve this problem? Let us understand:
It can be calculated using the future value formula:
FV = PV * (1 + r)^n where FV = future value PV = present value (amount saved currently) r = annual interest raten = number of years
For the given scenario, we can use the formula to solve the problem:2,500,000 = 340,000 * (1 + r)^26 Dividing both sides by 340,000 gives: 7.35 = (1 + r)^26Take the 26th root of both sides: 1.0422 = 1 + r Subtract 1 from both sides to get the interest rate: r = 0.0422 = 4.22% The annual interest rate that the couple needs to earn to reach their retirement goal is 4.22%. Therefore, the answer is 4.22%.
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Peter is a financial analyst whose boss assigned him the task of examining a company in the travel industry. Peter compares several of the company's financial ratios to those of the leading company in the industry.
What type of analysis is he performing?
a.)Industry analysis
b.)Projecting
c.)Benchmarking
d.)Fundamental analysis
Option (c), He is conducting the kind of analysis known as benchmarking.
Benchmarking is what kind of analysis?Businesses can compare their present performance to that of competitors using a type of market research called benchmarking analysis, and then put improvements in place that are consistent with their overall culture and philosophy of continuous improvement.
Who party is in charge of benchmarking?Usually, businesses include managerial commitment as one of them. Management, from top to bottom, is responsible for the continual operation and evaluation of the company, thus management must be committed to using and putting benchmarking approaches into practice as a team.
Process benchmarking – what is it?Process benchmarking compares an organization's operational performance to that of its competitors and the leaders in the industry to identify the areas with the most potential for both short- and long-term process improvement.
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The amount a person would have to deposit today to be able to take out $600 a year for 7 years from an account earning 6 percent. (Round time value factor to 3 decimal places and final answer to 2 decimal places.)
The amount that needs to be deposited today to be able to withdraw $600 a year for 7 years at an annual interest rate of 6% is $3,349.43.
We can use the present value formula to calculate the amount that needs to be deposited today to be able to withdraw $600 a year for 7 years at an annual interest rate of 6%:
PV = PMT x (1 - (1 + r)⁻ⁿ) / r
where PV is the present value, PMT is the annual payment, r is the annual interest rate, and n is the number of years.
Substituting the given values, we get:
PV = $600 x (1 - (1 + 0.06)⁻⁷) / 0.06
PV = $3,349.43
Hence, the person needs to deposit $3,349.43
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marissa mayer, former ceo of !, sparked a national debate when she insisted that all her employees be physically present for work. debate the merits of co-location, including its advantages and disadvantages. how does the current environment with covid-19 impact your view?
Marissa Mayer, former CEO of Yahoo, sparked a national debate when she insisted that all her employees be physically present for work. Co-location is a common term used to describe a work environment in which employees work in the same physical space.
What is advantages and drawbacks of Co-location?When it comes to the advantages, co-location is said to foster a sense of community and collaboration. Employees who work together in the same space are more likely to exchange ideas, share information, and help each other solve problems.
In addition, co-location can help to improve communication and reduce misunderstandings. Employees who work together in the same space are more likely to have conversations face-to-face and avoid miscommunication that may occur through email or other digital communication methods.
However, co-location can also have some disadvantages. Some employees may find it difficult to focus in an open-plan office environment where there are many distractions. Additionally, co-location can lead to a lack of diversity in the workplace.
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Names that become synonymous with product categories like Kleenex, Kitty Litter, Jell-O, and Xerox, need to ensure they retain their brand names remain ________ so they can retain their trademark rights and avoid becoming generic.
A) meaningful
B) likable
C) protectable
D) transferable
E) adaptable
Names that become synonymous with product categories like Kleenex, Kitty Litter, Jell-O, and Xerox, need to ensure they retain their brand names remain protectable (option C) so they can retain their trademark rights and avoid becoming generic.
A trademark is a form of intellectual property that protects a product or service's brand name, logo, slogan, or other identifiers from unauthorized use. Companies and businesses use trademarks to protect their brand names and logos to prevent other businesses from using them to advertise their products or services. They also help consumers to differentiate between the products and services of different brands.
Trademark rights are a set of legal rights granted to the owner of a trademark. Trademark rights grant the owner the exclusive right to use their trademark
in connection with the products and services for which it was registered. Trademark rights allow the trademark owner to control how their trademark is used and who uses it. These rights can be used to prevent others from using a similar mark or from using a mark that is confusingly similar to the registered trademark.
In conclusion, brand names that become synonymous with product categories need to ensure they retain their brand names remain protect-able so they can retain their trademark rights and avoid becoming generic.
Therefore. the correct option is C) protect-able.
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Which of the following statements regarding Sallie Mae debentures are true?
1. Interest is generally paid monthly.
2. Interest is generally paid semiannually.
3. Interest is exempt from state and local taxation.
4. Interest is not exempt from state and local taxation.
Sallie Mae debentures are a type of bond issued by the Student Loan Marketing Association. Interest is generally paid semiannually, and interest payments are not subject to state and local taxes. The correct answer is: 2. Interest is generally paid semiannually. 3. Interest is exempt from state and local taxation.
Sallie Mae is an American company specializing in student loan services. Sallie Mae debentures, also known as bonds, are long-term debt securities issued by the Student Loan Marketing Association. Interest is paid twice a year in most cases.
Sallie Mae debentures, unlike some other types of bonds, are exempt from state and local taxation. Interest payments to bondholders are not subject to state and local taxes.
Interest is not exempt from state and local taxation is true. Interest payments are subject to federal income tax, but may be exempt from state and local taxes depending on where the investor resides.
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If management was to unethically capitalize costs that should not have been, which of the following would be misstated?-Assets would be overstated-SH equity would be overstated
If management was to unethically capitalize costs that should not have been, the statement of assets would be overstated.
In the case of unethical capitalization of costs, the statement of assets would be overstated, as the capitalization of costs would increase the asset value, resulting in an overstatement of assets. Misstatements are classified into two categories: misstatements of financial statements and misstatements of accounting estimates.
What is the capitalization of costs? When the organization decides to capitalize expenses, it implies that the expenses are being transferred from the income statement to the balance sheet. The capitalized costs are an asset, which is included on the balance sheet and can be depreciated over time to lower the expense on the income statement.
Examples of expenses that can be capitalized are research and development expenses, construction costs, and software development costs. The justification for the capitalization of costs is that it will result in future economic advantages. For example, investing in a software development project that is expected to generate income for the company in the future.
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Both price floors and price ceilings, when effective, lead to:
a. shortages
b. surpluses
c. an increase in the quantity traded
d. a reduction in the quantity traded
Both price floors and price ceilings, when effective, lead to B) surpluses.
Both price floors and price ceilings are government-imposed limits on the price that can be charged for a good or service. A price floor is a minimum price set by the government above the equilibrium price, whereas a price ceiling is a maximum price set by the government below the equilibrium price. In the short run, both price floors and price ceilings can have an impact on the market.
When a price floor is effective, it leads to a B) surplus. This is because the price floor is set above the equilibrium price, meaning that there is a quantity supplied that exceeds the quantity demanded. This results in a surplus of goods that cannot be sold at the higher price. For example, if the government sets a minimum wage above the equilibrium wage, it will result in an excess supply of workers, leading to an increase in unemployment.
When a price ceiling is effective, it leads to a shortage. This is because the price ceiling is set below the equilibrium price, meaning that there is a quantity demanded that exceeds the quantity supplied. This results in a shortage of goods that cannot be produced or supplied at the lower price. For example, if the government sets a maximum price on rent below the equilibrium rent, it will result in a shortage of rental housing, leading to an increase in homelessness.
Neither price floors nor price ceilings lead to an increase in the quantity traded or a reduction in the quantity traded. Instead, they affect the allocation of goods or services by changing the price. A price floor or price ceiling may be effective in the short run, but in the long run, market forces will eventually push the price toward the equilibrium price, which is the price at which the quantity demanded equals the quantity supplied. Therefore, the best policy is to let the market determine prices and quantities, as it will naturally reach an equilibrium that is efficient and fair.
In conclusion, both price floors and price ceilings have an impact on the market, but they lead to different outcomes. A price floor leads to a surplus, while a price ceiling leads to a shortage. Neither price floors nor price ceilings lead to an increase or a reduction in the quantity traded. Instead, they affect the allocation of goods or services by changing the price. Ultimately, the best policy is to let the market determine prices and quantities, as it will naturally reach an equilibrium that is efficient and fair.
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bargaining is appropriate when an issue is trivial, when there is no chance of winning, or when a delay to gather more information is needed. true false
The statement "bargaining is appropriate when an issue is trivial, when there is no chance of winning, or when a delay to gather more information is needed" is false.
What is bargaining?Bargaining refers to the process of trying to reach a mutually beneficial agreement with someone. Bargaining is frequently referred to as the negotiating procedure. A give-and-take situation is developed by two parties in bargaining, which ultimately results in a mutually acceptable agreement between them.
There is no certainty that either side would get precisely what they want in a bargaining situation, and there are many variables that can influence the final outcome.
There are some instances when bargaining is not recommended, such as when the issue at hand is significant, and when one party has a significant advantage over the other.
Furthermore, if one party is attempting to deceive the other or if they are unreasonable in their demands, it is usually better to stop the bargaining process.
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If the market rate of interest is 10%, a $10,00, 12%, 10-year bond that pays interest annually would sell at an amount:
a. less than face value.
b. equal to face value.
c. greater than face value.
d. that cannot be determined.
The answer to this question is option C: greater than face value.
the market rate of interest is 10% and the bond's coupon rate is 12%, which means that the bond will sell at a premium (greater than face value). Therefore, the answer is option C: greater than face value.
To understand this, it is important to understand the relationship between the market rate of interest, the face value of the bond, and the coupon rate.
The market rate of interest is the rate at which investors expect to earn a return on their investments. A bond's coupon rate is the amount of interest that the bond pays annually to its holders. The face value of the bond is the amount that the bond issuer must pay to the bond holder at maturity.
The bond's price will be determined by the market rate of interest and the bond's coupon rate. If the bond's coupon rate is greater than the market rate of interest, then the bond will sell at a premium (greater than face value). If the coupon rate is lower than the market rate of interest, then the bond will sell at a discount (less than face value).
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J wishes to link her inbound logistics activities to the outbound logistics operations of her suppliers in order to maximise efficiency. Which of the following concepts is this referring to?Value ShopValue DriverValue SystemValue Linkage
This question is referring to the concept of Value Linkage, which is the process of integrating the inbound and outbound logistics operations of both a supplier and customer to create a seamless supply chain.
This is done to maximize efficiency, reduce costs, and enhance customer satisfaction. Value Linkage is created through the coordination and collaboration of various stakeholders, such as suppliers, carriers, and customers, to provide an integrated supply chain.
The resulting Value Linkage system is a strategic network of inbound and outbound activities that are connected in a way that maximizes efficiency, while ensuring that the customer's needs and expectations are met.
Additionally, Value Linkage includes the use of technology and systems to provide real-time data and communication, allowing for a more efficient and cost-effective flow of goods.
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which of the following is true regarding negative election? i. a negative election device is a device where the employee is deemed to have elected a specific deferral unless the employee specifically elects out of such election in writing. ii. negative elections are no longer approved by the irs. iii. negative elections are only available for employees who enter the plan when it is first established and are not available to new employees. (a) i only (b) i and ii (c) ii and iii (d) i, ii and iii
The true statement regarding negative election is as follows:i. A negative election device is a device where the employee is deemed to have elected a specific deferral unless the employee specifically elects out of such election in writing. so, option (a) is correct:" i only."
Negative election devices give employees an opportunity to contribute a specific amount of their compensation to a qualified retirement plan. These contributions are pre-tax and reduce the employee's current taxable income. Negative election devices are usually offered as an option to a traditional salary reduction agreement.
These devices offer several benefits to employees, including ease of use, automatic enrollment, and the ability to opt-out if necessary. Negative election devices are not approved by the IRS anymore. Negative elections are no longer available for employees who enter the plan when it is first established, but they are available to new employees. Hence, option (a) is correct: i only.
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Dowell Company produces a single product. Its income statements under absorption costing for its first two years of operation follow.
Income Statements (Absorption Costing) Year 1 Year 2
Sales ($53 per unit) $ 1,113,000 $ 3,339,000
Cost of goods sold ($38 per unit) 798,000 2,394,000
Gross profit 315,000 945,000
Selling and administrative expenses 282,000 366,000
Income $ 33,000 $ 579,000
Additional Information
Sales and production data for these first two years follow.
Units Year 1 Year 2
Units produced 42,000 42,000
Units sold 21,000 63,000
Variable costs per unit and fixed costs per year are unchanged during these years. The company's $38 per unit product cost using absorption costing consists of the following.
Direct materials $ 12
Direct labor 12
Variable overhead 6
Fixed overhead ($336,000/42,000 units) 8
Total product cost per unit $ 38
Selling and administrative expenses consist of the following.
Selling and Administrative Expenses Year 1 Year 2
Variable selling and administrative ($2 per unit sold) $ 42,000 $ 126,000
Fixed selling and administrative 240,000 240,000
Total $ 282,000 $ 366,000
Required:
Prepare income statements for each of these two years under variable costing. (Loss amounts should be entered with a minus sign.)
Income Statements (Variable Costing)
Year 1 Year 2
Sales ($53 per unit) $1,113,000 $3,339,000
Variable costs of goods sold ($18 per unit) $378,000 $1,134,000
Contribution Margin $735,000 $2,205,000
Fixed costs of goods sold ($336,000/42,000 units) $8,000 $8,000
Gross Profit $727,000 $2,197,000
Variable selling and administrative expenses ($2 per unit sold) $42,000 $126,000
Fixed selling and administrative expenses $240,000 $240,000
Income $445,000 $1,831,000
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josh is purchasing a $360,000 house and needs to obtain a $280,000 loan to close on the property. how much will josh pay as a loan origination fee if the lender charges a fee of 0.75%?
Josh will pay a loan origination fee of $2,100 if the lender charges a fee of 0.75%. ]
This can be calculated by multiplying the loan amount ($280,000) by the loan origination fee rate (0.75%).
Therefore: $280,000 x 0.75% = $2,100.
The amount Josh will pay as a loan origination fee if the lender charges a fee of 0.75% is $2,100.
Loan origination fee = Total loan amount x Origination fee percentage
Given that Josh needs to obtain a $280,000 loan to close on the property and the lender charges a fee of 0.75%, the loan origination fee can be calculated as follows:
Loan origination fee = $280,000 x 0.0075= $2,100
Therefore, Josh will pay a loan origination fee of $2,100 if the lender charges a fee of 0.75%.
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aidan has $7565 in his checking account. he invests $5000 of it in an account that earns 3.5% interest compounded continuously. what is the total amount of his investment after 3 years?
Answer:
The formula to determine the total amount of an investment with continuous compounding of interest is
A=Pe^(rt),
where P is the principal amount, r is the annual interest rate, t is the time in years, and e is a constant equal to approximately 2.71828.
Step-by-step explanation:
Therefore, the total amount of Aidan's investment after 3 years is as follows:
Formula to calculate the total amount of an investment with continuous compounding of interest:
A=Pe^(rt)
Here, P= $5000, r= 3.5%, and t= 3 years.
Now we can plug these values into the formula.
[tex]A=Pe^(rt)= $5000 * e^(0.035 * 3)[/tex]
[tex]= $5000 * e^(0.105)[/tex]
[tex]= $5000 * 1.1105[/tex]
[tex]= $5552.45[/tex]
Therefore, the total amount of Aidan's investment after 3 years is $5552.45.
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In the industrial capitalist systems, workers feel __________ because they don't own or control either means of production or the product.
In the industrial capitalist systems, workers feel disempowered because they don't own or control either the means of production or the product.
This system of exploitation creates a power imbalance between the worker and employer that leaves the worker in a subordinate position.
The capitalist system is based on a profit motive and the goal of accumulating wealth and economic power. This creates an unequal economic system, where the owners and managers of production facilities can make large profits from their work, while the workers are often paid a much lower wage and have less control over their working conditions. This imbalance in power between the two creates a situation in which the worker feels disempowered and has little control over their working conditions or the products they create.
Workers are not only disempowered in terms of the ability to control their own labor or the products they make, but they also have limited job security and fewer rights than the employer. This power imbalance makes workers vulnerable to exploitation, as they have limited power to negotiate better wages and benefits, or to challenge their employer's decisions.
In addition to feeling disempowered in the workplace, workers in industrial capitalist systems often experience wage stagnation, which means their wages do not keep up with the cost of living. This leads to workers feeling that their wages are inadequate and not sufficient to provide for their families.
Overall, in industrial capitalist systems, workers feel disempowered because they do not own or control either the means of production or the product. This creates an unequal power dynamic that leaves workers vulnerable to exploitation and unable to negotiate better wages and working conditions.
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According to Hofstede, countries with a long-term orientation
A)have a high rate of per capita savings.
B)have citizens who prioritize happiness over achievement and perseverance.
C)have citizens who live for the present and value personal stability.
D)have citizens who tend to spend more and save less.
E)foster organizations that emphasize immediate results over year-end goals.
According to Hofstede, countries with a long-term orientation prioritize savings over short-term consumption. These countries have a high rate of per capita savings. Option A is the right choice.
Hofstede's cultural dimensions theory is a framework for cross-cultural communication created by Dutch social psychologist Geert Hofstede. Hofstede's work looked at how cultural values influence human behavior, and it identified five dimensions that could be used to compare different cultures.
Long-term orientation is when people are more focused on their future. People will be ready to delay their short-term material benefits to get ready for their future. This cultural perspective will help people to have better persistence, savings, and perseverance.
People who are more focused on their future-oriented goals will obviously have a high rate of per capita savings with them as they will spend less than people who are more concerned with their past and present.
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The consumer price index increased from 120 to 132. If you received a raise equal to 11% during this time period then your real income has decreased. True or False
If the consumer price index increased from 120 to 132, a raise of 11% during the same period would lead to a decrease in real income by approximately 9.1%. Therefore, the statement is true.
If the consumer price index (CPI) increased from 120 to 132, it means that the overall price level of goods and services has increased by 10%. If you received a raise equal to 11% during this time period, your nominal income (the dollar amount of your income) has increased. However, to determine whether your real income (the purchasing power of your income) has increased or decreased, you need to adjust for the change in the CPI.
To calculate your real income, you would need to multiply your nominal income by the ratio of the initial CPI to the final CPI:
Real income = Nominal income x (initial CPI/final CPI)
Real income = Nominal income x (120/132)
Real income = Nominal income x 0.9091
Since the ratio of initial to final CPI is less than 1, your real income has decreased by approximately 9.1%
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