The correct answer are:-
1) When an investor uses futures in a market timing strategy, the only objective is to reduce risk is False.
2) Selling an index futures and holding an undiversified portfolio would eliminate unsystematic risk is False.
3) If interest rates increases, the holder of a long FRA benefits is True.
1. While reducing risk can be one of the objectives, a market timing strategy also aims to maximize returns by attempting to predict the future direction of the market and making investment decisions accordingly.
2. Selling index futures can help to hedge against systematic risk, but it does not eliminate unsystematic risk.
3. A long FRA allows the holder to lock in a specific interest rate for a future period. If interest rates increase, the holder of a long FRA benefits because they have secured a lower rate than the current market rate.
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Molina Corporation issues 5000, 10-year, 8%, $1000 bonds dated January 1, 2017, at 103. The journal entry to record the issuance will show a
Molina Corporation issues 5000, 10-year, 8%, $1000 bonds dated January 1, 2017, at 103. The journal entry to record the issuance of Molina Corporation's 5000, 10-year, 8%, $1000 bonds dated January 1, 2017, at 103 will show a Debit to Cash: $5,150,000, Credit to Bonds Payable: $5,000,000 and Credit to Premium on Bonds Payable: $150,000.
The journal entry reflects the fact that the company received cash of $5,150,000 for issuing $5,000,000 in bonds, resulting in a $150,000 premium on the bonds payable. This premium represents the excess of the price paid by the investors over the face value of the bonds and will be amortized over the life of the bonds as a reduction in interest expense.
Debit: Cash = $5,150,000 (5000 x $1000 x 1.03)Credit: Bonds Payable = $5,000,000 (5000 x $1000)Credit: Premium on Bonds Payable = $150,000 (difference between cash received and the face value of bonds)This entry records the issuance of the bonds, reflecting the receipt of cash, the liability for the bonds payable, and the premium on bonds payable due to the bonds being issued at a price above their face value (103%).
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ABC Boat Company is interested in replacing a molding machine with a new improved model. The old machine has a salvage value of $10,000 now and a predicted salvage value of $4,000 in six years, if rebuilt. If the old machine is kept, it must be rebuilt in one year at a predicted cost of $20,000. The new machine costs $80,000 and has a predicted salvage value of $12,000 at the end of six years. If purchased, the new machine will allow cash savings of $20,000 for each of the first three years, and $10,000 for each year of its remaining six-year life. What is the net present value of purchasing the new machine if the company has a required rate of return of 14%?
Estimated Cash Flows Year(s) PV of Cash Flows Factor PV
Initial outlay of 0 1.000 $(80,000) $(80,000)
ancient 10,000 0 1.000 10,000 salvage
Operations 20,000 1-3 2.322 46,440 annually
10,000 4-6 (3.889 – 2.322) annual operations 15,670
by avoiding reconstruction, 20,000 1 0.877 17,540
new 12,000 6 salvage 0.456 5,472
$15,122 in net present value.
Simply said, cash flow estimating (also known as cash flow forecasting) is a projection of the amount of cash that a firm will have coming in and going out at any particular time. The term "cash inflow" refers to all of the revenue generated by your company's operations, including any profit-generating tactics.
Any debts, liabilities, and operational expenses are all considered cash outflow, or money that leaves your company. As a result, lenders base their assessment of a company's ability to service extra debt on its past, present, and future cash flows.
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You borrow $25,000 to be repaid in 12 monthly installments of$2,292.00. The annual interest rate is closest to:
a. 1.5 percent.
b. 12 percent.
c. 18 percent.
d. 24 percent.
Therefore, the annual interest rate is closest to 10%, which is not one of the options given. The closest option is 12%, which is therefore the answer. Option (b) is correct.
The total amount repaid over 12 months is: $2,292.00/month x 12 months = $27,504.00
Therefore, the total interest paid over 12 months is: $27,504.00 - $25,000.00 = $2,504.00
To find the annual interest rate, we can use the following formula: Annual interest rate = (Total interest paid / Total amount borrowed) x 100%
Plugging in the values, we get: Annual interest rate = ($2,504.00 / $25,000.00) x 100% = 10.016%
Therefore, the annual interest rate is closest to 10%, which is not one of the options given. The closest option is 12%, which is therefore the answer. Option (b) is correct.
The annual interest rate is the cost of borrowing expressed as a percentage of the amount borrowed. In this case, the borrower is borrowing $25,000 and repaying it over 12 monthly installments with interest.
Each monthly installment of $2,292.00 is made up of both the principal amount borrowed and the interest charged. The interest charged is the cost of borrowing the money and is calculated as a percentage of the amount borrowed.
To calculate the monthly interest rate, we can divide the annual interest rate by 12 (the number of months in a year): Monthly interest rate = Annual interest rate / 12
Monthly interest rate = 10.016% / 12 = 0.8347%
To calculate the interest charged for the first month, we can multiply the monthly interest rate by the amount borrowed: Interest charged for first month = $25,000.00 x 0.8347% = $208.68
Therefore, the first monthly installment of $2,292.00 is made up of $2,083.32 in principal (the amount borrowed) and $208.68 in interest.
As each installment is paid, the outstanding principal amount decreases, which means the interest charged for each subsequent installment decreases as well. By the end of the 12th month, the borrower will have repaid the full amount borrowed plus the total interest charged over the 12-month period.
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a company sells two models of a product—basic and premium. if the company sells 5,000 basic models and 2,500 premium models, then the sales mix can be expressed as:
The sales mix of a company refers to the proportion of different products sold by the company.
Why does this happen?In this case, the company sells two models of a product, basic and premium. If they sell 5,000 basic models and 2,500 premium models, then the sales mix can be expressed as 66.67% basic models and 33.33% premium models. This information is useful for analyzing the company's revenue and profits, as well as for planning future production and marketing strategies.By understanding their sales mix, the company can make informed decisions about which products to focus on, how to price them, and how to promote them to different customer segments.
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FILL IN THE BLANK. In the early years of the mortgage, your payments are mostly ________, while in the last years they are mostly _________.interest; insuranceprincipal; interestprincipal; taxesinterest; principal
In the early years of a mortgage, payments are mostly allocated towards interest, while in the later years, they are mostly allocated towards the principal.
A mortgage is a type of loan used to purchase a property that is repaid through monthly payments over a set period, typically 15 or 30 years. These payments consist of both the principal amount borrowed and the interest charged for borrowing the money. The proportion of each component in every payment changes over time according to an amortization schedule.
At the beginning of the mortgage term, a larger portion of the payment goes towards interest, as the outstanding principal balance is higher. As payments are made, the principal balance decreases, and as a result, the interest portion of each payment becomes smaller. Toward the end of the mortgage term, the principal portion of the payment becomes larger since most of the interest has already been paid off.
This process of amortization guarantees that the loan will be fully repaid by the end of the mortgage term. Therefore, as time passes, there will be a gradual shift in the payment allocation, with mortgage payments primarily allocated to interest in the early years and to the principal in the later years.
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ramsey is considering an arm with an initial rate of 5.13%. the margin is 2%, and the initial index rate is 3.13% the initial rate will adjust every four years. the lifetime cap is 3%. what is the highest rate ramsey could pay?
According to the question the highest rate Ramsey could pay on the ARM is 10.13%.
The highest rate refers to the maximum interest rate that can be charged on a loan or adjustable-rate mortgage (ARM) within a specified period. It represents the upper limit or cap on the interest rate that the borrower may have to pay during the loan's term.
The highest rate Ramsey could pay on the ARM would be the sum of the initial rate, margin, and the lifetime cap.
Initial rate: 5.13%
Margin: 2%
Initial index rate: 3.13%
Lifetime cap: 3%
To calculate the highest rate, we add the initial rate, margin, and lifetime cap:
Highest rate = Initial rate + Margin + Lifetime cap
Highest rate = 5.13% + 2% + 3% = 10.13%
Therefore, the highest rate Ramsey could pay on the ARM is 10.13%.
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You lift a 120 kg barbell from the floor to over your head to a height of 2.1m. what is the work done to lift the weight?
The work done to lift the 120 kg barbell to a height of 2.1 m is approximately 2469.6 Joules.
To calculate the work done to lift the weight, we can use the formula:
Work = Force x Distance
In this case, the force is equal to the weight of the barbell, and the distance is the height it is lifted.
Given:
Weight of the barbell = 120 kg
Height lifted = 2.1 m
Acceleration due to gravity = 9.8 m/s² (approximate value)
First, we need to calculate the force exerted by the barbell, which is equal to its weight:
Force = Mass x Acceleration due to gravity
Force = 120 kg x 9.8 m/s²
Force = 1176 N
Now we can calculate the work done:
Work = Force x Distance
Work = 1176 N x 2.1 m
Work = 2469.6 Joules (J)
Therefore, the work done to lift the 120 kg barbell to a height of 2.1 m is approximately 2469.6 Joules.
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Suppose that Japan maintains a pegged exchange rate that overvalues the yen. This would likely result in:
a. Japanese exports becoming cheaper in world markets
b. Imports becoming expensive in the Japanese market
c. Unemployment for Japanese workers d. Full employment for Japanese workers
If Japan maintains a pegged exchange rate that overvalues the yen, it would likely result in Japanese exports becoming cheaper in world markets and imports becoming expensive in the Japanese market. This can have various implications for the Japanese economy, including potential consequences for unemployment levels.
When a country maintains a pegged exchange rate that overvalues its currency, it means that the currency's value is higher than its market equilibrium level. As a result, Japanese exports would become cheaper in world markets because the overvalued yen makes Japanese goods relatively less expensive compared to other currencies. This can lead to increased competitiveness for Japanese exporters and potentially stimulate export-driven industries.
On the other hand, imports would become expensive in the Japanese market because the overvalued yen makes foreign goods relatively more expensive for Japanese consumers. This can have the effect of discouraging imports and promoting domestic production.
Regarding unemployment, the impact is not straightforward. Cheaper exports can potentially lead to increased demand for Japanese products, which could stimulate production and potentially create employment opportunities. However, the overall effect on unemployment would depend on various factors such as the structure of the Japanese economy, the competitiveness of different industries, and other macroeconomic conditions.
It's important to note that the relationship between exchange rates, trade dynamics, and employment is complex, and the specific outcomes can vary based on a range of factors and the overall economic environment.
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determine the equilibrium constant (keq) at 25°c for the reaction cl2(g) 2br– (aq) ⇌2cl– (aq) br2(l).
To determine the equilibrium constant (K_eq) at 25°C for the reaction Cl2(g) + 2Br^-(aq) ⇌ 2Cl^-(aq) + Br2(l), the concentrations of the reactants and products at equilibrium are needed.
The equilibrium constant (K_eq) is a measure of the extent of a chemical reaction at equilibrium. It is determined by the ratio of the concentrations of the products to the concentrations of the reactants, each raised to the power of their respective stoichiometric coefficients.
In this case, the K_eq expression would be [Cl^-]^2[Br2] / [Cl2][Br^-]^2, where [Cl^-] and [Br2] represent the concentrations of Cl^- and Br2, respectively, at equilibrium, and [Cl2] and [Br^-] represent their initial concentrations. Without the specific concentrations, it is not possible to calculate the exact value of K_eq.
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From 2014 to 2015, many U.S. companies that sell a lot overseas experienced declining profits due to the:
Select one:
a. appreciation of the yen.
b. depreciation of the euro.
c. depreciation of the dollar.
d. appreciation of the dollar.
From 2014 to 2015, many U.S. companies that sell a lot overseas experienced declining profits due to the appreciation of the dollar. The correct option is D.
When the dollar appreciates, it means that it becomes more valuable relative to other currencies, such as the euro and yen. This situation can lead to a decrease in profits for U.S. companies selling abroad because their goods and services become more expensive for customers in foreign countries.
As a result, these customers may choose to purchase cheaper alternatives from local or other international competitors. In summary, the appreciation of the dollar during this period had a negative impact on the profits of many U.S. companies with significant overseas sales. The correct option is D.
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since 1999, ________ u.s. manufacturing jobs may have been lost to chinese imports, and trade with china has ________ throughout the united states a.
Since 1999, a significant number of U.S. manufacturing jobs may have been lost to Chinese imports, and trade with China has had a widespread impact throughout the United States.
Over the past few decades, there has been a substantial increase in trade between the United States and China. This trade relationship has had significant consequences for the U.S. manufacturing sector. The influx of Chinese imports, often at lower costs, has led to concerns about job displacement and the outsourcing of manufacturing operations. Since 1999, it is estimated that a considerable number of U.S. manufacturing jobs have been lost, potentially as a result of competition from Chinese imports. Furthermore, the impact of trade with China has not been limited to specific regions or industries but has spread throughout the United States. The effects of increased trade with China have been felt across various sectors, including manufacturing, textiles, electronics, and more. This widespread impact highlights the interconnectedness of the global economy and the consequences of international trade on domestic industries and employment. The numbers and specific impact of job losses and the extent of trade with China can vary over time and depend on various factors such as economic policies, trade agreements, and market dynamics. Nonetheless, the overall trend suggests that trade with China has had a substantial influence on the U.S. manufacturing sector and has had far-reaching consequences across the country.
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Pascal, Inc. is planning to sell 900,000 units for $1.50 per unit. The contribution margin ratio is 20%. If Pascal will break even at this level of sales, what are the fixed costs? a. $270,000 b. $630,000. c. $900,000. d. $1,020,000.
If Pascal will break even at this level of sales, what are the fixed costs c) $900,000.
To calculate the fixed costs, we can use the break-even formula: Fixed Costs = (Sales - Variable Costs) / Contribution Margin Ratio.
Given that Pascal plans to sell 900,000 units at $1.50 per unit and the contribution margin ratio is 20% (or 0.20), we can calculate the fixed costs as follows:
Fixed Costs = (900,000 units * $1.50 per unit - (900,000 units * $1.50 per unit * 0.20)) / 0.20
Fixed Costs = ($1,350,000 - $270,000) / 0.20
Fixed Costs = $1,080,000 / 0.20
Fixed Costs = $900,000
Therefore, the fixed costs for Pascal, Inc. at the break-even point are $900,000.
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economic sanctions imposed unilaterally tend to be successful.' true or false?
False. Economic sanctions imposed unilaterally tend to be unsuccessful in achieving their desired objectives.
Unilateral economic sanctions, which are imposed by one country without the support or participation of other nations, often face significant challenges and limitations that hinder their effectiveness. Firstly, when sanctions are imposed unilaterally, the targeted country may be able to find alternative trading partners or shift its focus to domestic production, reducing the impact of the sanctions. Additionally, unilateral sanctions may lack the necessary international cooperation and coordination to create a significant economic impact on the target country.
Moreover, unilateral sanctions can have unintended consequences. They may lead to economic hardship for the general population, creating social and humanitarian issues, while the ruling elites or government officials often find ways to circumvent the sanctions. In some cases, unilateral sanctions can also strain diplomatic relations and lead to increased tensions between countries.
In contrast, multilateral sanctions, which involve the cooperation of multiple countries, have a higher likelihood of success. They can exert greater economic pressure on the target country by limiting access to various markets and resources. Multilateral sanctions also send a stronger political message, indicating a unified stance against certain actions or policies.
Overall, while unilateral sanctions may be imposed for various reasons, they tend to be less effective compared to multilateral sanctions due to limited economic impact, unintended consequences, and lack of international cooperation.
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SiCo begins operations in 20X2 and uses the periodic method. Sico's December 31, 20X2 ending inventory consists of 400 units bought in January, 20X2 $11. Its December 31, 20X3 ending inventory consists of 1, 300 units. During January, 20X3, SiCo buys 1, 800 units $14; in July, it buys 2, 200 units $17; and in October, it buys 2, 300 units $13. If SiCo uses LIFO, its 20X3 costs of goods sold is. .. $80,000 $79, 900 $80,000 $78, 700
If SiCo uses the LIFO method, which stands for Last In First Out, it assumes that the last units purchased are the first ones sold.
What does this mean?This means that the cost of goods sold will be calculated by multiplying the number of units sold during 20X3 (2,600 units) by the cost of the most recent purchases, which are in October and July.
This gives a total cost of goods sold of $79,900. LIFO method is commonly used in the United States, and it can result in higher costs of goods sold and lower net income compared to other inventory valuation methods.
Therefore, the cost of goods sold will be based on the units purchased in October ($13 per unit) and then July ($17 per unit), and finally in January ($11 per unit).
Therefore, the correct answer to the question is $79,900.
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he following table provides information on the price, quantity, and average total cost for a monopoly.
Price Quantity Average Total Cost
$24 0 ---
$18 5 $14.00
$12 10 $11.00
$6 15 $10.67
$0 20 $11.00
Refer to Table 15-8. What is the maximum profit that the monopolist can earn?
A. $20 B. $10 C. $40 D. $30
The maximum profit that the monopolist can earn is $40
To determine the maximum profit, we need to look for the quantity of output where marginal revenue (MR) equals marginal cost (MC). In a monopoly, the marginal revenue curve is below the demand curve, and the marginal cost curve intersects the average total cost (ATC) curve at its minimum point. Looking at the table, we can see that the marginal cost is equal to the average total cost at a quantity of 15 units, where the ATC is $10.67. At this quantity, the monopolist can charge a price of $6, which corresponds to a marginal revenue of $0.67. This is the point where the monopolist will maximize its profit, as any higher price or lower quantity will result in lower profits. Therefore, the maximum profit that the monopolist can earn is $0.67 x 15 units = $10.00 profit per unit x 15 units = $40.
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The maximum profit that the monopolist can earn is $40.
To determine the maximum profit, we need to look for the quantity of output where marginal revenue (MR) equals marginal cost (MC). In a monopoly, the marginal revenue curve is below the demand curve, and the marginal cost curve intersects the average total cost (ATC) curve at its minimum point. Looking at the table, we can see that the marginal cost is equal to the average total cost at a quantity of 15 units, where the ATC is $10.67. At this quantity, the monopolist can charge a price of $6, which corresponds to a marginal revenue of $0.67. This is the point where the monopolist will maximize its profit, as any higher price or lower quantity will result in lower profits. Therefore, the maximum profit that the monopolist can earn is $0.67 x 15 units = $10.00 profit per unit x 15 units = $40.
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Suppose that capital is fixed in the short run. After hiring a certain amount of workers, the production function (Q=F(L, K)) starts to decline. This means that:
a. marginal output exhibits diminishing returns to scale
b. marginal physical product of labor is negative
c. marginal physical product of labor is positive but declining
d. marginal physical product of capital exhibits diminishing returns to scale
The correct answer is (c) "Marginal physical product of labor is positive but declining". Marginal Physical Product is the change in output produced by employing one additional unit of the variable input.
When capital is fixed in the short run, increasing the number of workers eventually leads to diminishing marginal returns, which means that each additional worker contributes less to the total output than the previous one. This is reflected in the declining marginal physical product of labor. Marginal physical product of capital is not relevant in this scenario as capital is fixed. From here we can infer that when capital is fixed in the short run then after hiring a certain amount of workers, the production function (Q=F(L, K)) starts to decline which means that marginal physical product of labor is positive but declining
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Consider the following game. The first number in each cell is James' payoff. If James can move before Dean, what is the Nash equilibrium? DEAN Swerve (Chicken) | Straight (Tough) Swerve (Chicken) 0,0 -1,1 JAMES Straight (Tough) 1,-1 -2,-2
The Nash equilibrium is a stable outcome in game theory where both players choose their best strategy, given the other player's strategy.
In this game, if James moves before Dean, the Nash equilibrium is for James to choose to play "Straight (Tough)" and for Dean to play "Swerve (Chicken)".
To find the Nash equilibrium, we need to look at each player's strategy and determine what the best response would be for the other player.
If James chooses "Swerve (Chicken)", then Dean's best response would be to play "Straight (Tough)" and get a payoff of 1, while James would get a payoff of 0.
If James chooses "Straight (Tough)", then Dean's best response would be to play "Swerve (Chicken)" and get a payoff of 1, while James would get a payoff of -1.
Therefore, if James moves before Dean, the Nash equilibrium is for James to choose to play "Straight (Tough)" and for Dean to play "Swerve (Chicken)". In this case, James gets a payoff of 1 and Dean gets a payoff of -1, which is the best outcome for both players given the other player's strategy.
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Fadil sells televisions. He earns a fixed amount for each television and an additional $25 if the buyer gets an extended warranty. If Fadil sells 14 televisions with extended warranties, he earns $1,260. How much is the fixed amount Fadil earns for each television
Let's assume the fixed amount Fadil earns for each television is x dollars.
For each television sold with an extended warranty, Fadil earns an additional $25. So, the total additional earnings from selling 14 televisions with extended warranties would be 14 * $25 = $350.
In addition to the additional earnings from extended warranties, Fadil earns a fixed amount for each television. Therefore, the total earnings from selling 14 televisions with extended warranties would be the fixed amount multiplied by 14, plus the additional earnings of $350.
We can set up the equation:
14x + $350 = $1,260
Solving this equation for x, we subtract $350 from both sides:
14x = $1,260 - $350
14x = $910
Dividing both sides by 14, we find:
x = $910 / 14
x ≈ $65
Therefore, the fixed amount Fadil earns for each television is approximately $65.
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a scope statement is an important document because it enables appropriate negotiation of change control later in the implementation phase of the project. true or false
A scope statement is an important document because it enables appropriate negotiation of change control later in the implementation phase of the project is True.
A scope statement is an important document because it enables appropriate negotiation of change control later in the implementation phase of the project. A scope statement clearly defines the project's objectives, deliverables, and boundaries. It serves as a reference point throughout the project and helps ensure that everyone involved understands the project's purpose and limits.
When changes to the project scope are proposed during the implementation phase, the scope statement helps guide negotiations and decision-making. It assists the project manager in assessing whether a proposed change is within the original scope or requires a formal change control process. This process typically involves evaluating the impact of the change on project constraints such as time, cost, and quality, as well as obtaining approval from project stakeholders.
In summary, the scope statement plays a vital role in managing change control during the implementation phase, as it provides a clear understanding of the project's objectives and boundaries. This enables effective negotiation and decision-making regarding potential changes, ensuring that the project remains on track and delivers the desired outcomes.
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a project has estimated annual net cash flows of $60,000 and is estimated to cost $348,000. what is the payback period? (round your answer to 2 decimal places.)
The payback period tells us that it will take approximately 5.80 years
The payback period is a financial metric that measures the amount of time it takes for an investment to generate enough cash flows to recover the initial investment.
To calculate the payback period, we need to divide the cost of the project by the estimated annual net cash flows. In this case, the cost of the project is $348,000, and the estimated annual net cash flows are $60,000. Therefore, the payback period is:
Payback period = Cost of project / Estimated annual net cash flows
Payback period = $348,000 / $60,000
Payback period = 5.80 years
The payback period tells us that it will take approximately 5.80 years for the project to generate enough cash flows to recover the initial investment. In other words, the project will break even in 5.80 years. This metric can help investors and project managers determine the feasibility of a project and make decisions about whether to invest in it or not.
Generally, the shorter the payback period, the more attractive the project is because it generates a quicker return on investment. However, the payback period should be considered alongside other financial metrics such as net present value and internal rate of return to make a more informed decision about the project.
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ladanion's limos reports net income of $117,000, average total assets of $570,000, and average total liabilities of $210,000. Calculate LaDanion's return on assets and return on equity ratios.
LaDanion's return on assets is 20.53% and the return on equity ratio is 32.5%.
LaDanion's return on assets ratio is calculated by dividing net income by average total assets.
Therefore:
Return on Assets = Net Income / Average Total Assets
Return on Assets = $117,000 / $570,000
Return on Assets = 0.2053 or 20.53%
To calculate the return on equity ratio, we need to know the average total equity. We can calculate this by subtracting average total liabilities from average total assets.
Therefore:
Average Total Equity = Average Total Assets - Average Total Liabilities
Average Total Equity = $570,000 - $210,000
Average Total Equity = $360,000
The return on equity ratio is calculated by dividing net income by average total equity.
Therefore:
Return on Equity = Net Income / Average Total Equity
Return on Equity = $117,000 / $360,000
Return on Equity = 0.325 or 32.5%
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mayan company had net income of $32,370. the weighted-average common shares outstanding were 8,300. the company has no preferred stock. the company's basic earnings per share is:
The basic earnings per share for mayan company is approximately $3.
to calculate the basic earnings per share (eps), we divide the net income by the weighted-average number of common shares outstanding. in this case, mayan company had a net income of $32,370 and the weighted-average common shares outstanding were 8,300.
eps = net income / weighted-average common shares outstanding
eps = $32,370 / 8,300
eps ≈ $3.90 90.
earnings per share is an important financial metric that shows the profitability of a company on a per-share basis. it is commonly used by investors and analysts to evaluate a company's financial performance and compare it to other companies in the same industry.
it's worth noting that the basic eps calculation assumes that there are no dilutive securities or potential common shares that could impact the number of shares outstanding. if there were any potential dilutive securities, such as stock s or convertible bonds, a more complex calculation called diluted earnings per share would be used to account for their potential impact on the number of shares outstanding.
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Fixed exchange rates are often maintained by using all of the following except: Explain.
A. Open speculation by individual tradersin foreign currency markets
B. International monetary reserves held by central banks
C. Controls on imports and exports such as tariffs and quotas
D. Domestic macroeconomic adjustments using monetary and fiscal policies
Fixed exchange rates are often maintained using international monetary reserves held by central banks, controls on imports and exports, and domestic macroeconomic adjustments using monetary and fiscal policies. Open speculation by individual traders in foreign currency markets is not typically used to maintain fixed exchange rates.
The statement is true. Open speculation by individual traders in foreign currency markets is not typically used to maintain fixed exchange rates. Fixed exchange rates refer to a system where the value of a country's currency is pegged or fixed to the value of another currency or a basket of currencies.
To maintain fixed exchange rates, countries commonly rely on three main methods:
1. International monetary reserves: Central banks hold foreign currency reserves to intervene in the foreign exchange market and stabilize their currency's value. These reserves can be used to buy or sell currencies to maintain the fixed exchange rate.
2. Controls on imports and exports: Governments can impose restrictions such as tariffs and quotas on imports and exports to manage the balance of trade and stabilize their currency's value. These controls help regulate the supply and demand for foreign currencies and support the fixed exchange rate.
3. Domestic macroeconomic adjustments: Governments can use monetary and fiscal policies to adjust domestic macroeconomic conditions and influence the exchange rate. For example, they can adjust interest rates, money supply, taxes, and government spending to manage inflation, stimulate economic growth, and maintain the fixed exchange rate.
Open speculation by individual traders in foreign currency markets, while influential in determining exchange rates in floating exchange rate systems, is not directly used as a method to maintain fixed exchange rates.
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The weighted average cost of capital for a firm may be dependent upon the firm's: I. rate of growth. II. debt-equity ratio. III. preferred dividend payment. IV. retention ratio. A. I and III only B. II and IV only C. I, II, and IV only D. I, III, and IV only E. I, II, III, and IV
The weighted average cost of capital for a firm may be dependent upon the firm's Option E. I, II, III, and IV.
I. Rate of growth: A firm's rate of growth impacts the WACC as it affects the company's risk profile. A higher growth rate often requires increased investment, which may lead to higher levels of debt and consequently, a higher cost of capital.
II. Debt-equity ratio: The debt-equity ratio measures a company's financial leverage by comparing its total debt to its total equity. A higher debt-equity ratio implies a higher financial risk and thus, a higher WACC. The company's capital structure directly affects the WACC since it's a combination of debt and equity financing.
III. Preferred dividend payment: Preferred dividends represent the fixed dividend payments made to preferred stockholders. Since preferred stock is a component of a firm's capital structure, changes in preferred dividend payments can influence the WACC. Higher preferred dividend payments increase the cost of preferred stock, which in turn, raises the WACC.
IV. Retention ratio: The retention ratio represents the proportion of net income retained within the company rather than being paid out as dividends. A higher retention ratio implies more internal financing, which may reduce the reliance on external sources of funds and affect the overall WACC.
In conclusion, the WACC for a firm is influenced by multiple factors, including the rate of growth, debt-equity ratio, preferred dividend payment, and retention ratio. Understanding these factors is crucial for making informed financial decisions and assessing a company's overall financial performance. Therefore, the correct option is E.
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the total economic impact and growth of the beer market is estimated to be 2.0 percent of the total us gdp. True or false
The given statement, "The total economic impact and growth of the beer market is estimated to be 2.0 percent of the total US GDP," is false because there is no specific percentage that universally represents the economic impact and growth of the beer market.
The contribution of the beer market to the overall GDP can vary depending on multiple factors such as market conditions, consumer preferences, and economic trends.
While the beer industry does make a significant contribution to the US economy, the specific percentage cannot be accurately determined without up-to-date data and comprehensive analysis. Therefore, it is incorrect to claim a fixed 2.0 percent figure without proper evidence and research.
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dvd equipment manufactured in the us will not play dvds recorded on equipment manufactured in great britain. this limits the market for selling dvds from great britain in the us and shows how
The inability of DVD equipment manufactured in the US to play DVDs recorded on equipment manufactured in Great Britain limits the market for selling British DVDs in the US, highlighting the impact of technological incompatibility.
The statement reflects a case of technological incompatibility between DVD equipment manufactured in different countries. DVDs recorded on equipment manufactured in Great Britain may have different formatting or encoding standards compared to those used in the US. As a result, US DVD players, which are designed to be compatible with DVDs produced for the US market, may not be able to play British DVDs.
This limitation creates a barrier for the sale of British DVDs in the US market since consumers in the US cannot easily access and view these DVDs on their standard DVD players. The market for British DVDs in the US is thus restricted due to the lack of compatibility between the equipment manufactured in the two countries.
Technological incompatibilities such as this can have a significant impact on international trade and market reach. They highlight the importance of standardization and compatibility in ensuring the seamless transfer and use of products across different markets. In this case, the inability to play British DVDs on US DVD players restricts the market for selling British DVDs in the US, emphasizing the need for technological convergence and harmonization to facilitate global trade and consumer access.
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Identify the errors in the following message, and consider how best to correct them.To: DeShawn Davis From: Peter Schmidt Date: 13:45, March 31Subject: Sales CorrespondenceDear Mr. Davis,[1] Thank you for contacting Ego Building Associates. Ego personell take great pride in providing the most prompt, reliable service in building maintainence and repair.[2] We often have difficulty finding subcontractors with sufficeint experience to insure our excellant standards are upheld.[3] Please send us your catalog of garaunteed stucco services. Perhaps our companies will have the opportunity to work together in the future.Regards,Peter Schmidt, Project ManagerEgo Building AssociatesWhich of the following choices is the best revision of Paragraph 1?1. Thank you for contacting Ego Building Associates. Ego personelle take great pride in providing the most prompt, reliable service in building maintenance and repair.2. Thank you for contacting Ego Building Associates. Ego personnel take great pride in providing the most prompt, reliable service in building maintenance and repair.Which of the following choices is the best revision of Paragraph 2?1. As we are located in the Arizona dessert, where stucco finish is popular, our staff recieves many work orders to repair stucco after tennants have relocated.2. As we are located in the Arizona desert, where stucco finish is popular, our staff receives many work orders to repair stucco after tenants have relocated.Which of the following choices is the best revision of Paragraph 3?1. Please send us your cataloge of stucco services and finishes. Perhaps our companies will have the oppertunity to work together in the future.2. Please send us your catalog of stucco services and finishes. Perhaps our companies will have the opportunity to work together in the future.
In Paragraph 1, the error is in the spelling of "personnel." The best revision is Choice 2: "Thank you for contacting Ego Building Associates.
Ego personnel take great pride in providing the most prompt, reliable service in building maintenance and repair."
In Paragraph 2, there are multiple errors: "dessert" should be "desert," "sufficeint" should be "sufficient," and "excellant" should be "excellent."
The best revision is Choice 2: "As we are located in the Arizona desert, where stucco finish is popular, our staff receives many work orders to repair stucco after tenants have relocated."
In Paragraph 3, "cataloge" should be "catalog," and "oppertunity" should be "opportunity."
The best revision is Choice 2: "Please send us your catalog of stucco services and finishes. Perhaps our companies will have the opportunity to work together in the future."
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describe the paper currencies used from the period of the american revolution to the time of the civil war.
During the period from the American Revolution to the time of the Civil War, paper currencies in the United States underwent significant changes and challenges.
Initially, during the American Revolution, each state issued its own paper currency known as "Continental currency." However, due to overprinting and lack of backing, the Continental currency rapidly depreciated, leading to widespread inflation and loss of confidence.
Following the Revolution, the United States adopted a new national currency system. The First Bank of the United States was established in 1791, and it issued banknotes that served as a reliable medium of exchange. However, the charter for the First Bank of the United States was not renewed in 1811, leading to a period of decentralized and unregulated banking.
During this period, state-chartered banks issued their own banknotes, which varied widely in quality and value. Counterfeiting was rampant, and the lack of a centralized currency system created confusion and instability.
In 1862, the U.S. government introduced the first federal paper currency known as "greenbacks" to fund the Civil War. These notes, issued by the United States Treasury, were not backed by gold or silver but were legal tender for all debts, public and private. The introduction of greenbacks marked a significant step towards a more centralized and stable currency system in the United States.
Overall, the period from the American Revolution to the Civil War saw a transition from state-issued currencies to a more unified and regulated system with the introduction of federal paper currencies. This evolution was driven by the need for stability, trust, and a more reliable medium of exchange for commerce and economic growth in the United States.
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TRUE OR FALSE the degree of rivalry between competitors is high in industries with many equally sized competitors.
True. In industries with many equally sized competitors, the degree of rivalry between competitors tends to be high.
When there are numerous competitors of similar size in an industry, it typically leads to intense competition and a high degree of rivalry. This is because each competitor is vying for the same market share and customer base, creating a competitive environment where companies strive to differentiate themselves and gain a competitive advantage. With similar resources and capabilities, competitors are more likely to engage in aggressive pricing strategies, marketing campaigns, and product innovations to gain an edge over their rivals.
This heightened rivalry can result in increased competition for customers, reduced profit margins, and a need for constant adaptation and differentiation in order to succeed in the marketplace.
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Which statement is most likely to shift the supply of milk to the right? A) a tax on each gallon of milk produced B) an increase in household income and milk is a normal good C) a decrease in the price of feed given to dairy cows D) the bankruptcy of many small dairy farms
The statement that is most likely to shift the supply of milk to the right is which is a decrease in the price of feed given to dairy cows. The correct option is C.
When the price of feed decreases, dairy farmers can produce milk at a lower cost, which encourages them to increase their production. As a result, the supply of milk increases, and the supply curve shifts to the right. This leads to a decrease in the equilibrium price of milk and an increase in the equilibrium quantity of milk.
Option A, which is a tax on each gallon of milk produced, is likely to decrease the supply of milk. This is because the tax increases the cost of production, which discourages dairy farmers from producing as much milk as before. As a result, the supply of milk decreases, and the supply curve shifts to the left.
Option B, which is an increase in household income and milk is a normal good, may not necessarily shift the supply of milk to the right. This is because an increase in household income may increase the demand for milk, which may lead to an increase in the price of milk. However, it may also encourage dairy farmers to increase their production to meet the increased demand, which may eventually lead to a shift in the supply curve to the right.
Option D, which is the bankruptcy of many small dairy farms, is likely to decrease the supply of milk. This is because small dairy farms may not be able to compete with larger farms, which may lead to a decrease in the number of dairy farms. As a result, the supply of milk decreases, and the supply curve shifts to the left. The correct option is C.
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