A US Treasury is quoted at $137.111 based on $100 par. Today is 12/31/2020. Assume that transaction date and settlement date is the same. The coupon rate is 8%. The bond has 30-year maturity. What is the yield-to-maturity

Answers

Answer 1

Answer: 5.46%

Explanation:

You can use excel to solve for this.

Number of periods = 30

Coupon = Payment = 8% * 100 = $8

PV = $137.11

FV = $100 par value

Do this and the YTM would be: 5.46%

This makes sense because the bond is trading at a premium which means that the YTM is less than the coupon rate.

A US Treasury Is Quoted At $137.111 Based On $100 Par. Today Is 12/31/2020. Assume That Transaction Date

Related Questions


To keep your business plan up-to-date, it should be revised every
A-month.
B-6 months.
C-year.
D-other year.

Answers

Answer:

A-month

Explanation:

by revising it monthly, it is the most up to date and can be consistently helpful to you as well as organized.

C-year.

Entrepreneur.com recommends that you do a thorough update to your business plan at least once annually.

A recent study determined that, at the current market price, there is a shortage of widgets in Pleasantville. If the market for widgets is allowed to adjust, the ultimate result will be:

Answers

Answer: b. an increase in price and an increase in the quantity supplied

Explanation:

According to the law of supply and demand, when the supply of a good is low, the price should be high to reflect this scarcity. In this case, the supply of widgets is low, hence the shortage.

If the market was able to freely adjust, the price of widgets would increase to reflect this shortage. When supplies see this increase, they will increase their supply so as to earn more profits.

Here are data on two companies. The T-bill rate is 4.8% and the market risk premium is 5.9%. Company $1 Discount Store Everything $5 Forecast return 12 % 11 % Standard deviation of returns 12 % 14 % Beta 1.6 1.0 What would be the fair return for each company, according to the capital asset pricing model (CAPM)? (Round your answers to 2 decimal place

Answers

Answer and Explanation:

The computation of the fair return for each company is shown below:

Fair Return = Risk free rate of return + Beta × market risk premium

= 4.8 + 1.6 × 5.9  

= 14.24%

Now  

Everything $5 is

= 4.8 + 1 × 5.9

= 10.7%

Hence, the same should be considered

Southwest Airlines wants to raise $20 million to finance the renovation of their corporate offices, and the company wishes to raise the funds through direct finance. Which of the following methods could it use?

a. It could issue $20 million in stocks.
b. It could sell $20 million in bonds.
c. It could borrow $20 million from a bank.
d. It could choose either A or B.

Answers

Answer:

D

Explanation:

Direct finance is when a company or individual borrows money directly from the financial market without the aid of a financial intermediary.

Examples include :

issuing bondsissuing shares

Indirect finance is when a company or individual borrows money through a financial intermediary. for example, borrowing from a bank

The quantity demanded of cereal increased from 1,350 to 1,700 when the price of milk decreased from $2.05 to $1.65. What is the estimated cross-price elasticity of demand for cereal

Answers

Answer:

-1.33

Explanation:

Cross price elasticity of demand measures the responsiveness of quantity demanded of good A to changes in price of good B.

If cross price elasticity of demand is positive, it means that the goods are -substitute goods.

Substitute goods are goods that can be used in place of another good.

If the cross-price elasticity is negative, it means that the goods are complementary goods.

Complementary goods are goods that are consumed together

Cross Price elasticity of demand = percentage change in quantity demanded of good A / percentage change in price of good B

percentage change in quantity demanded of good = (1700/ 1350) - 1 = 0.259

percentage change in price = (1.65 / 2.05) - 1 = -0.195

0.259 / -0.195 = -1.33

4. You want to take out a fully-amortizing 30-year mortgage. You can afford monthly payments of $600 each. The interest rate is 9%. How much money can you borrow?

Answers

Answer: $74569

Explanation:

Based on the information given in the question, the amount that can be borrowed is explained below:

Present value of annuity will e calculated as:

= 600 × [1-(1+0.09/12)^-(12 ×30)] / (0.09/12)

= 600 × [1-(1+0.0075)^-(360)] / 0.0075

= 600 × 1-(1.0075)^-(360)] / 0.0075

= 600 × [1-0.0678860074] / 0.0075

= 600 × 124.282

= 74569

The amount that can be borrowed is $74569

The number of all credit-card holders in the U.S. is IN(a) million card holders and the collective amount of credit card debt that all credit-card holders carry is D(x) billion dollars, x years after 2010. The average credit card debt per card holder at year x is:

Answers

Answer: D(x) / IN(a)

Explanation:

If one wanted to find out the average credit card debt per card holder then the correct formula would be:

= Amount of debt that all credit card holders carry / Number of credit card holders

As the amount of debt that all credit card holders carry is denoted by D(x) and the number of credit card holders is IN(a), the average credit card debt per card holder is:

= D(x) / IN(a)

The senior marketing executive you have assigned as team leader asks you to stay on as a team consultant until she gets things rolling. She asks your advice on her first course of action. What will you advise her to do

Answers

Answer:

In layman's terms, you suggest a highly skilled communications specialist with exceptional creative abilities. You frequently recommend a sales manager who is known with his or her abilities to provide clear direction and follow action. The project will need individuals who will have the relevant experience in managing others as well as academic specialization in related operations.

Senior marketing executive carries out the companies marketing activities, they advise sales manager to understand the customer's need.

What is the role of senior marketing executive?

The senior marketing executive carries out the marketing activities, plan the strategies to maximize profits and to achieve the target of a company.

When a senior marketing executive act as team lead:they are expected to increase sales and maximize the companies profit. They recommend sale manger to know the customer's expectation and make sales accordingly. You require people in team who have experience in the field and have academic specialization also.

Therefore, the above explanation aptly describes the role of senior marketing executive

learn more about the role of senior marketing executive:

https://brainly.com/question/2782645

One of the growers is excited by the price increase caused by the blight because he believes it will increase revenue in this market. As an economics student, you can use elasticities to determine whether this change in price will lead to an increase or decrease in total revenue in this market.Using the midpoint method, the price elasticity of demand for soybeans between the prices of

Answers

Full question attached

Answer:

Not elastic

Explanation:

The formula for demand elasticity= percentage change in quantity/percentage change in price

Therefore demand elasticity = Q2-Q1/Q2+Q1/2/P2-P1/P2+P1/2

Using graph of demand attached

= 12-15/12+15/2/21-15/21+15/2

= -3/27/2/6/36/2

=-2/9/1/3

=-2/3

=-0.67

Elasticity is less than one and so demand is inelastic

Contrary to popular opinion, CEOs of major U.S. companies come from a wide variety of private universities and state universities, not just a handful of well-publicized MBA programs. What does this fact tell you about sources of power and organizational politics

Answers

Answer: Power is earned

Explanation:

The fact that so many influential CEOs come from such a wide array of universities shows that they had to work to get to where they are today and were not simply handed positions because of the university they came from.

It shows that if one wants to succeed in business, their alma mater does not matter. They could be from an Ivy league college or from a state college in Mississippi, what matters is their determination to work hard and gain a good track record that will take them all the way to the top.

Design a plan that can be implemented in your life to become a higher level professional​

Answers

Answer:

become a rapper

Explanation:

Apple Computers Issued a 30-year $8,000,000 bond on January 1, 20xx with a 5% stated interest rated. Interest is paid semiannually on June 30 and December 31st. What is the amount that Apple Computers would record as interest expense on June 30, 20xx (the first interest payment), assuming that no interest expense has been recorded since the bond was issued on January 1st?

Answers

Answer:

$200,000

Explanation:

Now, it is assumed here that the bonds are issued at par.

First interest payment = Face Value * Stated Interest Rate * Half yearly

First interest payment = $8,000,000 * 5% * 1/2

First interest payment = $200,000

So, the amount that Apple Computers would record as interest expense on June 30 is $200,000.

The following information pertains to Peak Heights Company:

Income Statement for Current Year

Sales $85,900
Expenses Cost of goods sold $51,675
Depreciation expense 6,700
Salaries expense 11,900 70,275
Net income $15,625

Partial Balance Sheet Current year Prior year
Accounts receivable $9,800 $14,200
Inventory 13,100 9,100
Salaries payable 1,620 870

Required:
Present the operating activities section of the statement of cash flows for Peak Heights Company using the indirect method.

Answers

Answer:

Peak Heights Company

PEAK HEIGHTS COMPANY

Statement of Cash Flows

Operating Activities Section

Net income                                             $15,625

Non-cash flow: Depreciation                    6,700

Changes in working capital:

Accounts receivable                              -$4,400

Inventory                                                   4,000

Salaries payable                                          750

Net cash from operating activities     $22,675

Explanation:

A) Data and Calculations:

Peak Heights Company:

Income Statement for Current Year

Sales                                                        $85,900

Expenses Cost of goods sold $51,675

Depreciation expense                6,700

Salaries expense                       11,900    70,275

Net income                                             $15,625

Partial Balance Sheet   Current year   Prior year    Changes

Accounts receivable         $9,800         $14,200     -$4,400

Inventory                             13,100             9,100         4,000

Salaries payable                  1,620                870            750

On April 1, Cyclone Co. purchases a trencher for $280,000. The machine is expected to last five years and have a salvage value of $40,000. Compute depreciation expense at December 31 for both the first year and second year assuming the company uses the double-declining-balance method

Answers

Answer:First Year  Depreciation= $84,000

Second Year  Deprecation= $78,400

Explanation:

Using Double declining

We have that :

Depreciation value  = Cost - Salvage value

$280,000 - $40,000 =$240,000

Since machine is expected to depreciate for 5 years, Annual depreciation  = 240,000 / 5 years

= $48,000

Annual Depreciation Rate = 48,000 / 240,000 = 20%

Therefore, Double declining  = 20 x 2 = 40%

First Year  Depreciation: from April to December

= 40% x  280,000 x 9/12 months

= $84,000

Second Year  Deprecation:

= 40% x (280,000 - 84,000)

= $78,400

Scenario:
AlphaCo and BetaCo are both mid-sized pharmaceutical companies that employ over a thousand workers. The highest paid employees at each company are the executives and the senior level researchers.
This year, both companies have a raise pool of $5,000,000 - that is, each can raise the total compensation paid to all of its workers by a total of five million dollars.
AlphaCo uses $3,500,000 of its raise pool to increase pay for executives and researchers. Most of the other workers receive small raises, and some receive no raise at all.
BetaCo uses $3,500,000 of its raise pool to give everyone in the firm an equal 5% raise. Some key employees receive a raise of over 5%.
1. Which company will have employees who are, overall, more satisfied? Why?
2. Which company is likely to outperform the other over the next year? Why?

Answers

Answer:

BetaCo  BetaCo

Explanation:

BetaCo raised the salaries of everyone in the company meaning that even those who were not getting paid so much saw their salaries increase. Employees here will feel more appreciated as a result of this financial incentive as opposed to AlphaCo that neglected to cater for all its employees in an equal manner.

BetaCo will outperform AlphaCo over the next year all else equal because motivated employees tend to work harder for a company. In addition, BetaCo increased the salaries of key staff by more than 5%. Those key staff will work harder as a result of this incentive and push the company further than AlphaCo.

A competitive market analysis takes into consideration?

Answers

Answer:

A competitive analysis is the process of identifying your competitors and evaluating their strategies to determine their strengths and weaknesses relative to your own business, product, and service. The goal of the competitive analysis is to gather the intelligence necessary to find a line of attack and develop your go-to-market strategy.

Explanation:

#AnswerForTrees

The Best Company is reviewing two options for replacing a piece of machinery. The first machine costs $100,230 and has a four-year life. The second machine costs $155,000 and has a six-year life. Neither machine will have a salvage value. The machines will be replaced at the end of their life. What method should be used to determine which machine to purchase?

Answers

Answer:

Equivalent annual cost method

Explanation:

Equivalent annual cost method is a method used to choose between two projects with an unequal life span

The decision rule is to choose the product with the higher Equivalent annual cost

Equivalent annual cost method is better for making this decision because if net present value is used, the project with the higher useful life would be chosen. this does not mean it is more profitable

The following data are from the financial statements of the Riverton Company.
Current assets $55,000
Total liabilities $95,000
Total assets 125,000
Net income 18,000
Current liabilities 25,000
Sales 275,000

Answers

Answer:

then what i have to found

Jamie is single. In 2020, she reported $108,000 of taxable income, including a long-term capital gain of $5,800. What is her gross tax liability

Answers

Answer:Jamie's gross tax liability is $19,572.50

Explanation:

Since Jamie is single with taxable income of $108,000 which  includes $5,800 long term capital gain.

Therefore  $102,200 (108,000 -5,800) will be taxed under normal tax rates and $5,800 would be under long term capital gain tax rate.

With regards the 2020 tax schedule,  Since her ordinary income is  $102,200, Jamie falls under 24% rate tax bracket under filing for single status.

qd

Tax liability on ordinary income =$14,382.50 plus 24% of any income you made above $84,200

14,382.50 + 0.24 (102,200 - 84,200)

14,382.50 + 0.24 x 18000

                 = 14,382.50 + 4,320

                 = $18,702.50

Also, according to her income, longterm capital gain tax applicable in 2020 is 15%

Tax on long term capital gain = 5,800 × 0.15

                                              = $870

Jamie's gross tax liability is $18,702.50 + 870 = $19,572.50

Part E14 is used by M Corporation to make one of its products. A total of 19,000 units of this part are produced and used every year. The company's Accounting Department reports the following costs of producing the part at this level of activity: Per Unit Direct materials $ 4.10 Direct labor $ 8.70 Variable manufacturing overhead $ 9.20 Supervisor's salary $ 4.60 Depreciation of special equipment $ 3.00 Allocated general overhead $ 8.20 An outside supplier has offered to make the part and sell it to the company for $29.50 each. If this offer is accepted, the supervisor's salary and all of the variable costs, including the direct labor, can be avoided. The special equipment used to make the part was purchased many years ago and has no salvage value or other use. The allocated general overhead represents fixed costs of the entire company, none of which would be avoided if the part were purchased instead of produced internally. In addition, the space used to make part E14 could be used to make more of one of the company's other products, generating an additional segment margin of $31,000 per year for that product. The annual financial advantage (disadvantage) for the company as a result of buying part E14 from the outside supplier should be:

Answers

Answer: ($24100)

Explanation:

The annual financial advantage (disadvantage) for the company goes thus:

The relevant cost to produce will be:

= ($4.10 × 19,000) + ($8.70 × 19,000) + ($9.20 × 19,000) + ($4.60 × 19,000) + $31,000

= $77900 + $165300 + $174800 + $87400 + $31000

= $536,400

The relevant costs to buy will be:

= 19,000 × $29.5

= $560,500

Since the relevant cost to buy is more than the relevant cost to produce, then the financial disadvantage will be:

= $560500 - $536,400

= $24,100

The answer is ($24,100)

Kathleen Taylor is a high school student who has been investigating the possibility of mowing lawns for a summer job. She has a couple of friends she thinks she could hire on an hourly basis per job. The equipment, including two new lawnmowers and weedeaters, would cost her $500, and she estimates her cost per lawn, based on the time required to pay her friends to mow an average residential lawn (and not including her own labor) and gas for driving to the jobs and mowing, would be about $14.
a. If she charges customers $30 per lawn, how many lawns would she need to mow to breakeven?
b. Kathleen has 8 weeks available to mow lawns before school starts again, and she estimates that she can get enough customers to mow at least three lawns per day, 6 days per week. How much money can she expect to make over the summer?
c. Kathleen believes she can get more business if she lowers her price per lawn. If she lowers her price to $25 per lawn and increases her number of jobs to four per day (which is about all she can handle anyway), should she make this decision?

Answers

Answer:

Kathleen Taylor

a. The break-even lawns she needs to mow is:

= 31.25 lawns.

b. She can then expect to make $4,320 in Service Revenue and $2,304 in net income.

c. She should not lower her price.

Explanation:

a) Data and Calculations:

Cost of equipment = $500

Cost per lawn = $14

Price per lawn = $30

Contribution per lawn = $16 ($30 - $14)

Break-even point = $500/$16

= 31.25 lawns

Available period = 8 weeks

Number of lawns per day = 3

Working days per week = 6

Number of lawns per week = 18

Number of lawns for the period = 144 (18 * 8)

She can then expect to make $4,320 in Service Revenue and $2,304 in net income.

Number of lawns for the period = 192 (4 * 6 * 8)

Service revenue = $4,800 (192 * $25)

Net income = $2,112 (192 * $11)

When a shift in ________ occurs, rational expectations hold that its impact on output and employment will only be minimal.

Answers

Answer:

Aggregate demand occurs.

Explanation:

The aggregate demand curve of the AD curve will move to the right and components of the demand like consummation, government, and investment spending on the exports and imports will rise. Macroeconomics states that the curve is vertical over time and people should rationally accept this pattern.

An investor purchases a 15-year, $1,000 par value bond that pays semiannual interest of $40. If the semiannual market rate of interest is 5%, what is the current market value of the bond

Answers

Answer:

Bond Price​= $846.3

Explanation:

Giving the following information:

YTM= 0.05

Maturity= 15*2= 30 semesters

Par value= $1,000

Coupon= $40

To calculate the price of the bond, we need to use the following formula:

Bond Price​= cupon*{[1 - (1+i)^-n] / i} + [face value/(1+i)^n]

Bond Price​= 40*{[1 - (1.05^-30)] / 0.05} + [1,000 / (1.05^30)]

Bond Price​= 614.90 + 231.38

Bond Price​= $846.3

What is the end behavior of the graph of the polynomial function f(x)

Answers

Answer:

f(x) approaches infinity as x approaches infinity

Explanation:

Given

[tex]f(x) = 3x^6 + 30x^5+ 75x^4[/tex]

Required

The end behavior of the graph

 We have:

[tex]f(x) = 3x^6 + 30x^5+ 75x^4[/tex]

The above expression implies that:

[tex]f(x) = 3x^6 + 30x^5+ 75x^4[/tex]

The leading coefficient is 3 (3 is positive)

And the degree of the polynomial is 6 (6 is even)

When the leading coefficient is positive and the degree is even;  the end behavior of the function is:

[tex]x \to \infty[/tex]

[tex]f(x) \to \infty[/tex]

Quasik Corporation will be receiving 300,000 Canadian dollars (C$) in 90 days. Currently, a 90-day call option with an exercise price of $.75 and a premium of $.01 is available. Also, a 90-day put option with an exercise price of $.73 and a premium of $.01 is available. Quasik plans to purchase options to hedge its receivable position. Assuming that the spot rate in 90 days is $.71, what is the net amount received from the currency option hedge

Answers

Answer:

216000

Explanation:

($.73 - $.01) x 300,000

The net amount received from the currency option hedge is $216,000.

What is a call option?

A call option is a contract that grants the option buyer the right to purchase an underlying asset at a particular price and time period.

A call option grants you the right, but not the obligation, to buy a stock at a specified price known as the strike price by a specific date at the expiration of the option.

According to the given question, Quasik intends to hedge its receivable position by purchasing options. Because Quasi will get CAD in the future, it should purchase a put option, or the right to sell.

Put option purchase cost = 0.01 * 300,000

                                           = 3,000

Because the spot rate is $0.71 per CAD after 90 days, Quasik will exercise its option at the rate of $0.73 per USD.

Received amount = 0.73 * 300,000

                             = 219,000

After deducting the cost of purchasing the option, the net amount received is,

= 219,000 - 3,000

= 216,000.

The is $216,000 is the net gain from the currency option hedge.

Learn more about call option here,

https://brainly.com/question/29850781

#SPJ2

A developing nation decides to make a law preventing foreigners from owning businesses or land. How will this policy affect economic growth

Answers

Answer:

It will decrease economic growth, because flow of funds across the border is essential to maximizing investment.

Explanation:

Less companies will come into the country to invest because foreign companies want to be able to own businesses so that they will be able to make money from them. They will invest funds in opening these businesses and they would take some of it out as profit.

If they are unable to open these businesses, money will not flow into the country to open them and so there will be less funds needed to fund investment which drives economic growth so economic growth will be less.

If 2,500 units are produced, the total amount of indirect manufacturing cost incurred is closest to:

Answers

Answer: $14,550

Explanation:

Within a certain activity range, the fixed cost remains the same so in this activity range of $2,200 to $5,000, the fixed overhead cost will remain the same:

= 3 * 3,600 units

= $10,800

Variable overhead costs will vary by units:

= 2,500 * 1.50

= $3,750

Total cost = 10,800 + 3,750

= $14,550

According to Laurent, managers in Sweden, Denmark, and Great Britain believe that employees should ________. A. adopt a collectivist mindset B. participate in problem solving C. be "fed" all the answers by their superiors D. not be involved in the decision-making process

Answers

Answer:

B. participate in problem solving

Explanation:

André Laurent published the Cross Cultural Puzzle of International Human Resource Management.

This citation looks at how managers in different cultures interact with their employees based on the prevalent sociological tendencies of the country.

People from different cultures tend to perceive communication differently when they interact in the workplace.

He found that employees for Sweden, Denmark, and Great Britain like to participate in problem solving.

One of the reasons for recognizing revenue at the time of sale is that the risk of loss due to price decline or destruction of the goods is passed to the buyer.A. True B. False

Answers

Answer: True

Explanation:

Sales refer to transactions which involves the provision of goods and services to the consumer.

Revenue is recognized at the time of sale so the risk of loss due to price decline or destruction of the goods is passed to the buyer.

Therefore, the correct option is true.

D.Now, if the inflation rate is 18%, the nominal rate of interest on the CD is 24%, and the interest is not taxable, what is the real interest rate on the CD

Answers

Answer: 6%

Explanation:

Inflation increases prices in an economy and therefore makes a currency weaker because the currency will only be able to buy less than what it was able to.

Inflation therefore affects returns which is why the real returns are the more relevant measure.

The real interest rate accounts for inflation by using the formula:

= Nominal rate - Inflation rate

= 24% - 18%

= 6%

Other Questions
Briefly state the reasons why a company would not wish to distribute all its profits to its shareholders. Ecstasy is one example of which of the following?DepressantsNarcoticsO Club drugsStimulants The prosecution offers a lab report prepared by a government chemist who examined a white powdery substance seized from a box at Mary's house. The report indicated that the chemist used standard procedures in the analysis of the white substance, and the chemist prepared the report in the ordinary course of business. The report reflects the chemist's conclusion that the substance contained methamphetamine. Write a few sentences characterizing the report as either testimonial or nontestimonial hearsay. necesito ayuda en esto, A lo largo de los ltimos aos, distintos actores han cuestionado a la globalizacin conformando un Movimiento Antiglobalizacin. Mencionar quienes conforman este movimiento y cules son sus crticas.alguien lo sabe?? 1. What activities, if any, do you engage in that could lead to injury or death? (3 points) 2. What can you do to help prevent injury from occurring when you engage in these activities? (4 points) 3. What are some safer alternatives to these activities? (3 points) Solve the inequality. w/-2 The death rate per 100,000 for lung cancer is 7 among non-smokers and 71 among smokers. The death rate per 100,000 for coronary thrombosis is 422 among non-smokers and 599 among smokers. The prevalence of smoking in the population is 55%. What is the relative risk of dying of coronary thrombosis for smokers versus nonsmokers The early Polynesians travelled across thousands of kilometers of the empty Pacific Ocean, relying on their 25 knowledge of the stars. Suggest two adjectives that could describe the behaviour of the early Polynesians mentioned in the passage. Assume that a hypothetical economy with an MPC of 0.75 is experiencing severe recession. Instructions: In part a, round your answers to 2 decimal places. Enter positive numbers. In part b, enter your answers as whole numbers. a. By how much would government spending have to rise to shift the aggregate demand curve rightward by $25 billion? $ billion. How large a tax cut would be needed to achieve the same increase in aggregate demand? $ billion. b. Determine one possible combination of government spending increases and tax increases that would accomplish the same goal without changing the amount of outstanding debt (because it maintains a balanced budget, G = T). If I have 25g of Sodium, how much Sodium Chloride will I theoretically create?O 50g NaCl0 58.3g NaClO 63.7g Naci0 35.4g NaCl Solve for x. Round your answer to the nearest tenth if necessary use of statistics in freakanomics is yo The graph below is the graph of a function.10- 1010- 10TrueB. False Find the probability of exactly three successes in six trials of a binomial experiment in which the the probability of is 50%. What would be the specific mathematical effect on the reaction rate if you carried out the sodium iodide-in-acetone reactions on the alkyl halides using an iodide solution half as concentrated? ("Slower" or "faster" is not specific enough.) Match the y coordinate with coo responding pairs of x which of the following forms of online publishing would be best platform for a tax professional looking for advice and answers from other experts in the field? A: Blog B: Wiki articleC: Forum D: Op-ed Calculate the volume of 10g of helium ( M= 4kg/kmol) at 25C and 600 mmHg 1. Why was Tenochtitlan an important place in NativeMexico?2. What did Spanish kings do with the wealth and moneythey accumulated from their New World colonies?3. Where were two Spanish colonies in what is now theUnited States located? How far apart are they? In London today, four times the high temperature was more than twice the high temperature plussixty-six. In interval form, what are the possible temperatures