A trader should buy the asset when the one-year forward price is too low.
If the one-year forward price of an asset is lower than its expected future spot price, it indicates that the market is undervaluing the asset. In this case, a trader can buy the asset at the lower forward price and sell it in the future at the expected higher spot price to earn a profit. This strategy is known as a covered call and is used when the trader expects the asset's price to increase in the future. However, it's important to note that there is no guarantee that the future spot price will be higher, so this strategy involves a certain amount of risk. When the one-year forward price of an asset is too low, a trader may choose to sell the asset and buy it back in the future at a lower price, in order to lock in a profit. As such, it's important for traders to carefully consider their investment strategy and assess the potential risks and rewards before making a trade.
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boxwood incorporated has forecast purchases on account to be $317,000 in march, $370,000 in april, $424,000 in may, and $499,000 in june. assume that 60% of purchases are paid for in the month of purchase, and the remaining 40% are paid in the following month. what is the budgeted accounts payable balance for june 30?
the budgeted accounts payable balance for June 30 is $644,000 at 60% of purchases and 40% paid.
To calculate the budgeted accounts payable balance for June 30, we need to determine the amount of each month's purchases that will be paid in the following month.
March: $317,000 * 40% = $126,800
April: $370,000 * 40% = $148,000
May: $424,000 * 40% = $169,600
June: $499,000 * 40% = $199,600
The total amount of purchases that will be paid in the following month is
= $126,800 + $148,000 + $169,600 + $199,600
= $644,000
Accounts payable is a liability account that represents the amount of money a company owes to its suppliers for goods or services it has received but not yet paid for. It is a critical component of a company's financial management and plays a key role in maintaining positive relationships with suppliers.
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if the fed wishes to stimulate the economy, it could: i. buy u.s. government securities. ii. raise the discount rate. iii. lower reserve requirements. multiple choice i and iii only ii and iii only i and ii only ii only i, ii, and iii
If the Fed wishes to stimulate the economy, it could
buy U.S. government securities.Xlower reserve requirementsi.e. Option A is correct.
An economy is a complicated arrangement of interrelated creation, utilization, and trade exercises that eventually decides how assets are distributed among every one of the members. The creation, utilization, and appropriation of labour and products consolidate to satisfy the necessities of those living and working inside the economy.
An economy might address a country, a locale, a solitary industry, or even a family. An economy envelops every one of the exercises connected with the creation, utilization, and exchange of labour and products an element, whether the substance is a country or a humble community.
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what is the maximum fine for a conviction of driving without a valid driver license? $500 $50 $200 $100 submit answer
The maximum fine for a conviction of driving without a valid driver license is $200 .
Driving without a license is a “ wobbler ” offense that can be charged as either a mis-demeanor or an infraction. If charged as a mis-demeanor, the maximum penalty is 6 months in jail and a $ 1,000 court fine. If charged as an infr-action , the maximum penalty is a $ 200 court fine.
It is a criminal of-fence to drive with-out a license. You are required to hold a fu-ll, valid driving license unless you are a learn-er with a provision-al license.
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The maximum fine for a conviction of driving without a valid driver's license can vary depending on the jurisdiction. It can range from a few hundred dollars to several thousand dollars.
Explanation:The maximum fine for a conviction of driving without a valid driver's license can vary depending on the jurisdiction. However, it is important to note that fines for driving without a valid driver's license are generally set by individual states or provinces, and can range from a few hundred dollars to several thousand dollars. In some cases, the maximum fine can be as high as $5,000 or more.
For example, in the state of California, the maximum fine for a conviction of driving without a valid driver's license is $250 for the first offense, and can increase to up to $1,000 for subsequent offenses.
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An annual report of Marriott International, Incorporated, contained a rather lengthy narrative entitled "Liquidity and Capital Resources." The narrative noted that a revolving credit agreement outstanding at the end of the year aggregated $4.5 billion and that during the following year, "While any outstanding commercial paper borrowings and/or borrowings under our Credit Facility generally have short-term maturities, we classify the outstanding borrowings as long-term based on our ability and intent to refinance the outstanding borrowings on a long-term basis. The Credit Facility expires on June 28, 2024."
Required:
How did Marriott report the debt in its balance sheet?
Marriott reported the debt as a long-term liability on its balance sheet.
Marriott's decision to report the debt as a long-term liability on its balance sheet is justified because they have the ability and intent to refinance the outstanding borrowings on a long-term basis when the Credit Facility expires.
This indicates that Marriott is not expecting to pay off the debt in the short-term, and so it is appropriate to classify it as a long-term liability.
The primary advantage of classifying the debt as a long-term liability is that it allows Marriott to spread out their debt payments over a longer period of time. This allows the company to use their cash more efficiently and can help to improve their financial position.
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Why is it important for consumers to know the difference between a want and a need
Answer: So they don't waste their money on things they don't need.
Explanation: If consumers don't know the difference between a want and a need they will make poor decisions so it is highly important to distinguish the two.
g what is the effective interest rate per month if the interest rate is 12% compounded continuously?
"12% interest compounded monthly" denotes an annual interest rate of 12%, compounded once a month (not once a year). The monthly interest rate is therefore 1% (12% / 12).
What is the actual interest rate for a constantly compounded 12% interest rate?The annual effective rate of interest is 12683, or 12.683%. Despite the bank's stated interest rate of 12%, monthly compounding caused your money to increase by 12.683%. The genuine return on investment can be ascertained using the effective annual interest rate (ROI).
What is 12% compounded annually's effective annual rate?The actual yearly rate of interest is 12.36%.
Is 1% every month equivalent to 12% annually?The percent interest your account earns each month may be calculated by simply dividing your APY by 12 (for each month of the year). For instance: You would receive a monthly interest rate of 1% with a 12% APY (12 divided by 12 is 1). You would receive a monthly interest rate of 0.083% at a 1% APY (1 divided by 12 is 0.083).
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discuss one example each of a regional product and of a true global product. what it is about the product that makes it better suited to being regional? how about to being global?
A single illustration of a genuine global product and a regional product. is TVs, pharmaceuticals, and pizza are examples of regional products.
These need to be adjusted to the destination's culture, preferences, and technological capabilities. For instance, a pizza in the US, Israel, or India is very dissimilar from one in Italy.
Gross-regional type of product (GRP) is a unit of measurement used to express the market value of all completed products and services generated in a region or division of a country during a specified time period (quarterly or annually) (GRP).
Regionalism is the political focus on a particular area within a country. The belief that people from the South and New England are distinct from one another is an illustration of regionalism in the United States.
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what place is king of prussia's high-flying adventure park thrillz?
The King of Prussia mall, which has the third-largest amount of rentable space among malls in the United States, is located in King of Prussia. Eight anchor stores, more than 40 eateries, and more than 450 shops make up the mall.
The name King of Prussia derives from an inn and tavern that was established in 1769 in a farmhouse that Welsh Quakers had originally constructed in 1719. The proprietor chose the name Frederick II Tavern in honour of King Frederick II of Prussia, a king who fought British imperial aspirations in the eighteenth century. The village's name, "King of Prussia," which pays homage to Frederick II, often known as Frederick The Great, King of Prussia, seems to have mislead these locals and other recent arrivals to Upper Merion (1712-1786). In 1850, the hamlet's name was finalised. 05-Jan-2019 Population and geography. Beginning as a tiny region in what was subsequently known as East Prussia, Warmian-Masurian Voivodeship of Poland, Kaliningrad Oblast exclave of Russia, and Klaipda Region of Lithuania are now separate from Prussia.
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precision aviation had a profit margin of 8.00%, a total assets turnover of 1.5, and an equity multiplier of 1.8. what was the firm's roe?
The Return on Equity (ROE) of Precision Aviation is 14.4%.
A company's Return on Equity (ROE) is determined by dividing net income by total equity. The formula is:
ROE = Net Income / Total Equity
We must first determine the Net Income of Precision Aviation before we can get the ROE. The Profit Margin (8.00%) must be multiplied by the Total Assets Turnover (1.5) and the Equity Multiplier (1.8) to accomplish this:
Net Income = Profit Margin x Total Assets Turnover x Equity Multiplier
Net Income = 0.08 x 1.5 x 1.8
Net Income = 0.144
We can now determine Precision Aviation's Return on Equity (ROE):
ROE = Net Income / Total Equity
ROE = 0.144 / Total Equity
ROE = 0.144 / Total Equity
As a result, Precision Aviation's Return on Equity (ROE) is 14.4%.
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which of the following might financial planning help you do? (select the best answer.) question 3 options: understand economic systems keep track of earning and spending tell the difference between competition types stay aware of inflation rates
Financial planning helps you keep track of earning and spending, and stay aware of inflation rates.
Financial planning involves creating a budget, tracking your expenses, and setting financial goals. It helps you understand how much money you are earning and where you are spending it, so you can make informed decisions about how to allocate your resources and reach your financial goals.
Financial planning also helps you stay informed about inflation rates, which can impact the purchasing power of your money and affect your ability to save and invest.
By staying aware of inflation rates, you can make adjustments to your financial plan to ensure that you are able to maintain your standard of living over time.
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during your first day on the job, you are asked to respond to a customer inquiry regarding an extended warranty. the best informal information gathering technique for this situation would be to:
During your first day on the job, the best informal information gathering technique for responding to a customer inquiry regarding an extended warranty would be to talk to a coworker or mentor who has more experience and knowledge in that area.
This technique, also known as "asking around" or "colleague consultation," involves seeking information or advice from people in your network who have the relevant knowledge or experience. In this situation, talking to someone with more experience in handling extended warranty inquiries can provide you with valuable information and guidance that can help you respond to the customer's inquiry effectively and confidently.
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What are the benefits of using the learning organization approach to design? Now consider that, to learn, organizations must be willing to tolerate many mistakes because it is only through the effort of understanding mistakes that learning can occur. With this statement in mind, what are some of the potential problems with the use of the learning organization approach?
Answer:
Explanation:
Benefits of using the learning organization approach to design:
Encourages continuous learning and development
Increases flexibility and adaptability to changes
Promotes innovation and creativity
Fosters a sense of collaboration and teamwork
Improves problem-solving skills and decision-making abilities
Enhances employee engagement and motivation
Leads to improved performance and productivity
However, there are also potential problems that can arise with the use of the learning organization approach. These include:
Resistance to change: Some employees may be resistant to the changes required to implement a learning organization approach, which can lead to frustration and resistance.
Risk of failure: The approach requires a willingness to tolerate mistakes and experimentation, which can result in potential failures and mistakes that could be costly to the organization.
Time-consuming: Building a learning organization requires significant investment in time and resources, including training and development programs and regular feedback mechanisms, which can be expensive and time-consuming.
Lack of leadership support: To be successful, the approach requires strong leadership support and commitment, and without this, it may not be effective.
Limited applicability: The approach may not be suitable for all types of organizations or industries, and therefore its applicability may be limited.
one of the ways in which closed-end investment companies differ from open-end investment companies is in their ability to
Trading - Shares of an open-end mutual fund can be purchased and sold at the fund's closing NAV each day, but shares of closed-end funds trade throughout the day based on supply and demand and can trade at a premium or discount to the fund's NAV.
When someone buys from an open-end fund, fresh shares are issued, and when someone sells, shares are taken out of circulation. The total number of shares that can be issued by an open-end fund is unlimited.
Less popular but more than a century old, closed-end funds are traded among investors on an exchange and have a certain number of shares. Their share prices, like those of stocks, are based on supply and demand.
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jasmine's manicure manor did 4,000 sets of nails in 2019 and 4,500 sets of nails in 2020. the price of a set of nails was $20 in 2019 and $22 in 2020. if 2019 is the base year, jasmine's contribution to real gdp in 2019 was and in 2020 was .
Jasmine contributed $80,000 to real GDP in 2019. Jasmine contributed $99,000 to real GDP in 2020.
In 2019 Jasmine contributed $80,000 to the nominal GDP (4,000 manicure sets x $20 per nail set).
In 2020, Jasmine contributed $99,000 to the nominal GDP (4,500 nail sets at a cost of $22 each).
Real gross domestic product (GDP) is a measure of an economy's output of all products and services over the course of a year, adjusted for inflation.
Base-year prices are used to express real GDP. It is also known as GDP in constant prices, GDP that has been adjusted for inflation, and GDP in constant dollars.
Simply expressed, real GDP corrects for price fluctuations and estimates the total economic production of a nation.
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a licensee sells a property for $525,000. the total commission rate is 6%, which is split evenly with the cooperating agent. what amount goes to the listing broker after this split?
A property is sold by a licensee for $525,000. The participating agent receives an equal share of the 6% total commission rate. After this split, $15,750 belongs to the listing broker.
The formula for the real estate tax calculator is as follows: The property's purchase price multiplied by the payment percentage agreed upon. For instance, the formula would've been (5/100) x 1 million = $10,000 commission if a homeowner sold their home worth $200,000 and the transaction fee was 5%. The commission is equal to $21,000, or 6% of a sales price. The buyer's agent receives $10,000, while the seller's agent receives $10,000 of the total. Once the /60 split is implemented for each agent, the broker will receive 40% ($4,200) as well as the agent will receive 60% ($6,300).
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which of the strategies suggests that hr tailor their practices to different employee groups based upon the employee groups strategic value to the organization?
Among the given, the value matrix suggests that HR tailor their practices to different employee groups based upon the employee groups' strategic value to the organization.
Hence, option (d) is the correct choice.
The strategy that suggests HR tailor their practices to different employee groups based upon the employee groups' strategic value to the organization is called "strategic human resource management" (SHRM). SHRM is a proactive approach to managing human resources that aligns HR practices with the organization's overall strategy.
This approach recognizes that different employee groups have different strategic values to the organization, and thus require different HR practices.
High-potential individuals who are viewed as vital to the organization's future success, for example, may receive greater investment in training and development programmes, whereas people in less critical jobs may receive less investment in similar areas. This strategy helps firms to get the most out of their HR investments by concentrating on the areas that will have the most influence on their performance.
SHRM is a comprehensive approach to human resource practises that includes recruiting, selection, training and development, performance management, remuneration, and employee relations. Organizations may guarantee that they are making the most use of their HR resources by customising these strategies to the individual demands of different employee groups.
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The complete question may be:
During the lecture, Dr. Porter discussed three general HR strategies. Which of the strategies suggests that HR tailor their practices to different employee groups based upon the employee groups strategic value to the organization?
Commitment
High-Performance Work Systems
Control.
Value Matrix
true or false: if close substitutes are available for a particular good, then the demand for that good will be less elastic than if only distant substitutes are available.
False. In the presence of near substitutes, demand is more elastic.
Do more replacements make the elastic stronger?According to the concept of an elastic good, which is one where a change in price results in a significant change in demand, the more alternatives there are for an item, the more elastic the good will be.
Alternatives — more or less elastic?The availability of alternatives raises the elastic factor, which basically means that the more alternatives there are, the more possibilities there are, and as a result, the more options there are, the higher the elastic factor.
How are replacement products related to demand elasticity?Demand for a good increases when the price of its substitute increases, hence the cross elasticity of demand for substitute goods is always positive. A negative cross-elasticity characterizes the desire for complementary goods, in contrast.
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justin, a licensed social worker, is a partner in a private practice that serves clients using a sliding scale (i.e., a fee scale that adjusts depending upon the financial situation of the client/client system). this arrangement is most likely a:
Justin, a licensed social worker, is a partner in a private practice that serves clients using a sliding scale.This arrangement is most likely a sliding fee scale model.
This type of model adjusts the fee for service based on the financial situation of the client or client system, making mental health services more accessible to individuals or families who may not be able to afford traditional therapy services.
Sliding fee scales are a common approach used by community mental health centers, social service agencies, and private practices serving low-income or underserved populations.
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harriott notes there is no entry in the accounting records regarding the effects of the pending litigation. as a result, what type and amount of adjusting journal entry should harriott propose to calashni?
Harriott has noted that there is no entry in the accounting records regarding the effects of the pending litigation. This means that the company has not recorded any information related to the potential financial impact of the lawsuit on its financial statements.
In this situation, Harriott should propose an adjusting journal entry to Calashni to correct this omission. The type of adjusting journal entry would depend on the nature of the lawsuit and the information available about its potential outcome.
If the lawsuit is expected to result in a liability for the company, Harriott should propose a debit entry to a liability account and a credit entry to a legal expenses account. The debit entry would reflect the amount of the estimated liability, and the credit entry would reflect the recognition of a legal expense.
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due to a change in the economic environment, the auditor has determined that a client's inherent risk has increased in comparison to the prior year. to maintain an acceptably low level of audit risk this year, the auditor might plan to:
To maintain an acceptably low level of audit risk, the author may Reduce control risk by performing more tests of controls and placing more reliance on client internal controls.
In the term of economic and business, Audit risk as per ISA 200 generally can be defined as the risk that the auditor expresses an inappropriate opinion when the financial statements are materiality misstated. There are several aspects that included in audit risk, such as Inherent risk, the risk involved in the nature of business or transaction. The audit risk can be classified into several types, such as inherent risk, control risk, acceptable audit risk, and detection risk.
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ch 1: a customer benefits package (cbp) consists of goods or services coupled with peripheral goods and/or services. true or false
The answer is false, a customer benefits package (CBP) consists of goods or services coupled with peripheral goods and/or services is false.
What do you mean by customers?A person or firm that purchases goods or services from another company is known as a customer. Customers are crucial because they provide revenue; without them, firms would cease to exist.
Why should you specify who your target audience is?It's a description of the kind of consumer who would gain the most from your offering and deliver the greatest value in return. The kind of consumer you'll concentrate your energies on gaining within a certain timeframe is your ideal customer, as stated in your ICP.
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nyce vineyards is evaluating the impact of climate change on its several types of grapes grown. there are several alternatives for planting multiple varietals that will ultimately determine their success. in order to select between the alternatives to find the optimal choice, nyce vineyards should use:
For planting various varieties, there are a variety of options that will ultimately determine their success. Nyce Vineyards should use: decision theory. when deciding between the options to make the best pick.
Nyce Vineyards is assessing how climate change may affect the many varieties of grapes it grows. The LaPlace Principle assumes equal probability for uncertain events. Pessimistic decision-makers, who take the most conservative strategies, adhere to this principle.
A technique for contrasting during climate change is the likelihood that something will affect a particular group with the likelihood that it will effect the entire population. Nodes come in three varieties: end nodes, decision nodes, and chance nodes. A circle-based chance node illustrates the likelihood of various outcomes.
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decision theory: i. provides the framework for decision-making when conditions are certain. ii. determines optimal strategies when faced with several alternatives and a risky pattern of future events.
Both statements are correct:
i. Decision theory provides the framework for decision-making when conditions are certain. It deals with situations in which all the possible outcomes are known and the probabilities of each outcome can be determined.
ii. Decision theory also determines optimal strategies when faced with several alternatives and a risky pattern of future events, meaning that the outcome and their associated probabilities are uncertain. This branch of decision theory is called "uncertainty theory" or "risk analysis".
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What is the suggested way to end a positive or informative message when you are writing to one specific person?
In a message to a group, the final sentence should be applicable to everyone. But when you are writing to one specific person you should keep it short and sweet addressing that particular person with a proper salutation.
It should be upbeat, individualized, and prospective. This conclusion should be personalized for the reader and the message the letter conveys. Use this last section wisely to draw the reader's attention to the advantages of your material, etc, as it will be the last thing they will read.
Use a positive tone and only pertinent, straightforward, and brief information while writing a positive message. When reading the message, readers may have questions that the information presented should be able to address.
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a consumer, who is initially a lender, remains a lender even after a decline in interest rates. is this consumer better off or worse off after the change in interest rates? if the consumer becomes a borrower after the change is he better off or worse off?
After the interest rate change, consumers are better off. Consumption of products happens gradually over the time rather than all at once.
An increase in interest rates has the effect of rotating the budgetary restriction around the issue (M1, M2). Keep in mind that this point is always true, meaning that using one's own endowment is possible. Whether a consumer is a lender or a borrower will determine how an increase in interest rates will affect them. The consumer's desire for earlier versus later consumption as well as their incomes determine whether they are net lenders or borrowers. A net lender gains from a rise in interest rates. The cost of Period 2 consumption has decreased, and the lender now has more income. Therefore, the lender would consume more in the second period, but only if the income effect overcomes the substitution effect does the lender consume more in the first period (lend less).
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how do the life-cycle and permanent-income hypothesis resolve the seemingly contradictory pieces of evidence regarding consumption behavior?
According to the life-cycle hypothesis and permanent-income hypothesis the income will vary over a person's life. This means consumers save more when income is more and less will save when income is low.
What is life-cycle hypothesis?The life-cycle hypothesis (LCH) is an economic theory that suggests that individuals have a tendency to maintain the same level of spending over time.
They achieve this goal by borrowing in when they're younger and their income is low, saving during their middle years when income is high, and living off their assets in their older years when income is low again.
According to the life-cycle hypothesis and permanent-income hypothesis the income will vary over a person's life. This means consumers save more when income is more and less will save when income is low.
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norma manufacturing company leases an asset to maren inc in a sales-type lease. the present value of the lease payments is $200,000 and the cost of the leased asset is $160,000. at the beginning of the four-year lease term, norma should recognize a profit of:
Norma Manufacturing Company leases an asset to Maren Inc in a sales-type lease. At the beginning of the four-year lease term, Norma should recognize a profit of $40,000.
Calculation:
The present value of the lease payments = $200,000 - the cost of the leased asset = $160,000.
So,
-$200,000 - $160,000 = $40,000
Hence, profit is $40,000.
When a lease of this sort is terminated before to the end of its term, the lessor is required to determine whether the lease's net investment has been impaired and, if so, to record an impairment loss. Reclassify the lease's net investment into the most suitable fixed asset category after that. The residual asset and lease receivable have their carrying amounts added together to create the reclassified asset.
The lessor transfers its net investment in the lease to the most suitable fixed asset account at the conclusion of the lease term.
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which framework helps firms to identify their economic, legal, ethical, and philanthropic obligations to society?
The Corporate Social Responsibility (CSR) framework is a tool that helps firms to identify their economic, legal, ethical, and philanthropic obligations to society.
Here, correct answer will be
This framework provides a structured approach for assessing and addressing the company’s impacts on the environment, employees, customers, communities, and stakeholders. It helps companies to identify opportunities to improve their operations and to create a positive impact on society.
CSR also helps companies to manage their risks and build trust with stakeholders. Additionally, it helps to define and measure the company’s commitment to sustainable development and create a positive public image. Finally, CSR encourages companies to develop innovative solutions to social and environmental problems.
By following the CSR framework, businesses can demonstrate their commitment to creating a sustainable future while also benefiting from increased profits.
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a one-year long forward contract on a non-dividend-paying stock is entered into when the stock price is $40 and the risk-free rate of interest is 10% per annum with continuous compounding. what is the forward price?
The forward price will be $44.21.
The formula for calculating the forward price of a non-dividend-paying stock is:
Forward price = Spot price × [tex]e^{r XT}[/tex]
where: Spot price is the current price of the stock
r is the risk-free rate of interest
T is time for expiration of the forward contract
In this case, the stock price is $40, the risk-free rate of interest is 10% per annum with continuous compounding, and the time to expiration of the forward contract is one year.
Therefore, the forward price is:
Forward price = $40 × [tex]e^{0.1 X1}[/tex]
Forward price = $40 × [tex]e^{0.1}[/tex]
Forward price = $40 × 1.1052
Forward price = $44.21
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phillip owned the trenton thunder baseball team but allowed marybeth to manage the operations of the team while he lived full time in aruba. a drawback of separating ownership from management control within baseball the team is best reflected by a/the:
The Trenton Thunder baseball team's agency conundrum clearly shows the drawback of separating ownership from management control. The agency issue arises.
When management, in this case Marybeth, does not always act in the best interests of the owner, Phillip, and takes decisions that prioritise her own goals and interests over those of the owner. This might result in a misalignment of incentives and poor performance for the club and its owners. Phillip owned the Trenton Thunder baseball franchise but delegated management to Marybeth while he was on vacation in Aruba. The disadvantage of separating ownership and managerial authority within baseball is that the club is better.
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