a 5% bond with face amount 1000 is redeemable in k years and is purchased for 1300. a 4% bond with the same face amount and the same redemption date as the first bond has a purchase price of 1100. the nominal annual yield rate is the same for both bonds. find that rate

Answers

Answer 1

To find the nominal annual yield rate for the bonds, we can use the formula:

Nominal Annual Yield Rate = (Coupon Payment / Purchase Price) * 100%

Let's calculate the coupon payment for each bond first:

For the 5% bond:
Coupon Payment = 5% of Face Amount = 5% of $1000 = $50

For the 4% bond:
Coupon Payment = 4% of Face Amount = 4% of $1000 = $40

Now, let's calculate the nominal annual yield rate for each bond:

For the 5% bond:
Nominal Annual Yield Rate = ($50 / $1300) * 100% = 3.846%

For the 4% bond:
Nominal Annual Yield Rate = ($40 / $1100) * 100% = 3.636%

Therefore, the nominal annual yield rate for the 5% bond is approximately 3.846%, and the nominal annual yield rate for the 4% bond is approximately 3.636%.

Please let me know if there's anything else I can help you with.

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Related Questions

a-1. Calculate the present value of an annual payment of $590.00 you would received for 10 years if the interest rate is 5.51%. (Do not round intermediate calculations. Round your answer to 2 decimal places.)
Present value
a-2. Calculate the present value of an annual payment of $501.50 you would received for 16 years if the interest rate is 5.51%. (Do not round intermediate calculations. Round your answer to 2 decimal places.)
Present value
b-1. Calculate the present value of an annual payment of $590.00 you would received for 10 years if the interest rate is 16.90%. (Do not round intermediate calculations. Round your answer to 2 decimal places.)
Present value
b-2. Calculate the present value of an annual payment of $501.50 you would received for 16 years if the interest rate is 16.90%. (Do not round intermediate calculations. Round your answer to 2 decimal places.)
Present value

Answers

a-1. Calculate the present value of an annual payment of $590.00 you would receive for 10 years if the interest rate is 5.51%.

= PMT × [1 – 1 / (1 + r)n] / rPV

= 590 × [1 – 1 / (1 + 0.0551)10] / 0.0551PV

= $4,495.19a-2. Calculate the present value of an annual payment of $501.50 you would receive for 16 years if the interest rate is 5.51%.Present value is given as PV

= PMT × [1 – 1 / (1 + r)n] / rPV

= 501.5 × [1 – 1 / (1 + 0.0551)16] / 0.0551PV

= $6,039.70b-1. Calculate the present value of an annual payment of $590.00 you would receive for 10 years if the interest rate is 16.90%.Present value is given as PV

= PMT × [1 – 1 / (1 + r)n] / rPV

= 590 × [1 – 1 / (1 + 0.169)10] / 0.169PV

= $2,767.34b-2. Calculate the present value of an annual payment of $501.50 you would receive for 16 years if the interest rate is 16.90%. Present value is given as PV

= PMT × [1 – 1 / (1 + r)n] / rPV

= 501.5 × [1 – 1 / (1 + 0.169)16] / 0.169PV

= $4,647.94Therefore, the Present value of an annual payment for the above-mentioned situations has been calculated.

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the project management institute (pmi) argues that, ideally, the project charter should be authored by:

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The Project Management Institute (PMI) recommends that the project charter be ideally authored by the project sponsor or the project manager. The project charter serves as a formal document that establishes the project's existence, defines its objectives, and provides the authority to initiate the project.

Here are some reasons why the project sponsor or the project manager should be involved in authoring the project charter Authority and Responsibility: The project sponsor is typically a senior executive who has the authority and accountability for the project's success. They have the necessary organizational influence and resources to support the project. The project manager, on the other hand, is responsible for the day-to-day management and execution of the project. By involving them in the chartering process, they can ensure that the project aligns with the organization's strategic objectives and has the necessary support.

Stakeholder Involvement: The project charter defines the project's stakeholders, their roles, and their expectations. The project sponsor and project manager are key stakeholders who can provide valuable input and insights into the project's goals, scope, and requirements. By involving them in the authoring process, the project charter can accurately capture the needs and expectations of all stakeholders. Alignment with Organizational Strategy: The project charter outlines the project's alignment with the organization's strategic objectives. The project sponsor, being a senior executive, can provide insights into the organization's strategic priorities and how the project contributes to them.

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what is the most likely damage from an act of cyberterrorism? disrupted communications loss of life military strategy compromised economic loss

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Cyberterrorism refers to the use of the internet to launch large-scale attacks that are designed to destabilize, harm, or coerce a government or society for political or ideological purposes.

The most likely damage from an act of cyberterrorism includes disrupted communications, loss of life, compromised military strategy, and economic loss.Cyberterrorism has the potential to cause significant damage in different ways. Cyberterrorists can hack into communication networks to disrupt the flow of information, which can cause chaos in the society. Disrupted communication can cause accidents, injuries, and loss of life, as critical information is delayed or lost. Cyberterrorists can also target critical infrastructures such as power grids, water systems, and transportation networks. By disrupting these systems, the terrorists can cause economic damage, disruption of essential services, and, in some cases, loss of life.Furthermore, compromised military strategy is another danger of cyberterrorism.

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In order to expand production, HP has just issued a five-year corporate note with a face value of $1,000. It makes $25 interest payment every six months. There is another HP bond that has a coupon rate of 4%, and is currently traded at 96.415% of its par value. That bond has four years remaining before it matures. (a) What should be the current annual interest rate for HP? (hint: EAR) (b) At what price can HP issue its five-year note? Why is the price of one bond higher than the other for the same firm?

Answers

(a) What should be the current annual interest rate for HP?

(hint:  EAR)

Effective Annual Rate (EAR) = (1 + periodic rate)n - 1

Where,

Periodic Rate = Semi-Annual Interest Payment

/ Face Value= 25

/ 1,000= 0.025n

= Number of Periods= 2 x 5

= 10EAR = (1 + 0.025)10 - 1EAR

= 0.2581 or 25.81%

Thus, the current annual interest rate for HP should be 25.81%.

(b) At what price can HP issue its five-year note?

Why is the price of one bond higher than the other for the same firm?

The price of one bond is higher than the other for the same firm due to the time to maturity and the coupon rate. The bond that has four years remaining before it matures has a lower price because the time to maturity is lesser than that of the five-year corporate note.

The five-year note should be issued at the price where the present value of all the cash flows equals its face value.

Using a financial calculator,

PV = -25 [1 – 1 / (1 + 0.12905)10]

/ 0.12905 + 1,000

/ (1 + 0.12905)10PV = -219.71

HP can issue its five-year note at a price of 780.29.

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84.75. To maximize profits or minimize losses, the firm should Multiple Choice continue producing 1,800 units. continue production, but reduce output. increase production. shut down.

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The optimal level of production for a company is a critical decision. A company's production decision is influenced by several variables, including the market's demand for the commodity, the firm's production expenses, and the amount of revenue that can be earned from each commodity.

The optimal production level is achieved when a company maximizes its profit or minimizes its losses. Given the situation in question, the business should continue production and increase its production to maximize profit.To find the profit-maximizing output level, the business must compare the marginal cost of each unit with its marginal revenue. In other words, the profit-maximizing output level occurs

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An investor buys a security at a bond equivalent yield of 10% with 145 days to maturity. The investor's Effective Annual Yield on this investment is Please enter the answer as a percent with two decimal places for instance 55.55 for 55.55%

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Bond equivalent yield (BEY):It is a metric for comparing the yield of taxable and tax-exempt fixed-income securities. The BEY is calculated by doubling the yield to maturity on a tax-exempt security in order to make it comparable to the yield on a taxable security.

The formula for the bond equivalent yield (BEY) is as follows:

BEY = (Face Value - Purchase Price) / Purchase Price x (365 / days to maturity)The bond equivalent yield on an investment of 10% with 145 days to maturity is given by

BEY = (Face Value - Purchase Price) / Purchase Price x (365 / days to maturity)[tex]= (100-100) / 100 x (365 / 145) = 0 / 100 x 2.5172= 0%[/tex]

Effective Annual Yield (EAY):The actual rate of return earned on an investment.

It takes into account the effect of compounding and is often used for comparing investments with different compounding frequencies.

The formula for the effective annual yield (EAY) is given by:

EAY = (1 + (i / m))^m - 1Where i = the stated annual interest rate, and m = the number of compounding periods per year

If the BEY is 10%, we need to divide this by 2 since we are dealing with a semi-annual period.

The semi-annual yield is 5%.If the security compounds daily, the EAY is:EAY[tex]v[/tex][tex]= (1 + (0.05 / 365))^365 - 1= 5.126%[/tex]

Therefore, the investor's Effective Annual Yield on this investment is 5.13%.

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1.Compute the intrinsic value of a common share given the following information: The Beasley Corporation has just paid a dividend of $2.05 per share. The required rate of return is 9.7 percent per year and dividends are expected to grow indefinitely at a constant rate of 7.2 percent per year.
(Enter your answer as a number rounded to two decimal places, like this: 12.34)
2.Using a two-stage dividend discount model, compute the intrinsic value using the following information about a stock:
Current price per share = €21.97
Current annual dividend per share = €1.60
Annual dividend growth rate for Years 1–4 = 8.00%
Annual dividend growth rate for Years 5+ = 4.00%
Required rate of return = 10.00%
(Enter your answer as a number with two decimal places, like this: 12.34)

Answers

1. Compute the intrinsic value of a common share given the following information:The Beasley Corporation has just paid a dividend of $2.05 per share.

The required rate of return is 9.7 percent per year and dividends are expected to grow indefinitely at a constant rate of 7.2 percent per year.The intrinsic value of a common share is calculated by using the formula:

V0 = (D1 / (r-g))

where:

V0 is the intrinsic value of a common shareD1 is the expected dividend per share for the next year, which is equal to the current dividend of $2.05 multiplied by

(1 + g), or $2.05 x (1 + 0.072)

= $2.2054r

is the required rate of return, which is 9.7% in this caseg is the expected growth rate, which is 7.2% in this caseSubstituting the values in the formula we get:

V0 = ($2.2054 / (0.097 - 0.072))

V0 = $76.31.

Therefore, the intrinsic value of a common share is $76.31.2. Using a two-stage dividend discount model, compute the intrinsic value using the following information about a stock.

Current price per share

= €21.97Current annual dividend per share

= €1.60Annual dividend growth rate for Years 1–4

= 8.00%Annual dividend growth rate for Years 5+

= 4.00%Required rate of return

= 10.00%In the first stage, the dividend growth rate is constant at 8.00% for years 1-4, so we can use the formula to calculate the present value of the dividends over these years:

PV = D1 / (1+r)^1 + D2 / (1+r)^2 + D3 / (1+r)^3 + D4 / (1+r)^4

where:

D1 is the current annual dividend of €1.60 multiplied by (1+8.00%), or €1.728D2 is D1 x (1+8.00%)

= €1.869D3 is D2 x (1+8.00%)

= €2.023D4 is D3 x (1+8.00%)

€2.191r is the required rate of return.

which is 10.00% in this caseSubstituting the values we get:

PV = €1.728 / (1+0.10)^1 + €1.869 / (1+0.10)^2 + €2.023 / (1+0.10)^3 + €2.191 / (1+0.10)^4PV = €5.231

In the second stage, the dividend growth rate is expected to be 4.00% per year, so we can use the formula to calculate the present value of the dividends over these years:

PV = D5 / (r - g) / (1+r)^4

where:

D5 is D4 x (1+4.00%

) = €2.274r is the required rate of return, which is 10.00% in this caseg is the expected growth rate, which is 4.00% in this caseSubstituting the values we get:

PV = €2.274 / (0.10 - 0.04) / (1+0.10)^4

PV = €32.76

Therefore, the intrinsic value using the two-stage dividend discount model is the sum of the present values of the dividends over the two stages:

V0 = €5.231 + €32.76V0

= €38.99

Therefore, the intrinsic value is €38.99.

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the distinction between moral development and moral competence is the description of what theory?

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The distinction between moral development and moral competence is described by Lawrence Kohlberg's theory of moral development. Kohlberg proposed that moral development occurs in stages, progressing from lower levels of moral reasoning to higher levels.

Moral development refers to the cognitive and psychological growth that individuals undergo as they acquire a more sophisticated understanding of moral principles and values.

On the other hand, moral competence refers to the practical application of moral reasoning in real-life situations. It involves the ability to make ethical judgments, take moral actions, and navigate moral dilemmas effectively. While moral development focuses on the internal cognitive processes of moral reasoning, moral competence emphasizes the external manifestation of moral behavior.

Kohlberg's theory suggests that moral development and moral competence are closely related, as individuals' moral competence is influenced by their level of moral reasoning. As individuals progress through the stages of moral development, they become more capable of making principled ethical decisions and demonstrating morally competent behavior.

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Starting from c and 3, where does a decrease in aggregate demand move the economy to, in the short run and the long run?

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In the short run, a decrease in aggregate demand (ceteris paribus) would lead to a contraction of the economy, resulting in lower output, employment, and potentially deflationary pressures.

In the long run, the economy would adjust to the decreased demand by reducing prices and wages, leading to a lower level of output, but with stable employment and inflation.

In the short run, a decrease in aggregate demand implies reduced consumer spending, investment, and government expenditure, which leads to lower demand for goods and services. As a result, businesses may scale back production, leading to reduced output, layoffs, and an increase in unemployment. The decrease in demand can also lead to downward pressure on prices as businesses try to clear excess inventories, potentially causing deflationary tendencies.

In the long run, the economy adjusts to the decreased demand through market mechanisms. Prices and wages become more flexible, allowing them to decrease to reflect the lower demand. This adjustment process restores equilibrium, but at a lower level of output compared to the initial level. However, the labor market adapts, and employment stabilizes at a new equilibrium level, avoiding sustained unemployment. Inflation remains stable due to the downward pressure on prices.

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Assume the compounding period suggested by the problem. Assume that payments are end of period payments. 1. Assume that you win a scholarship for $18,000. Ignoring taxes, how much will your investment be worth in 8.5 years if you can earn a 7% return per year assuming annual compounding? How about if you can earn 11% ? 2. You are promised a $28,000 bonus to be received three years from now. At that time, you invest it in a fund that yields an 8% annual return. Assuming that you add nothing more to the account, what will it be worth 27 years from now, assuming annual compounding?

Answers

1. Using the formula FV = PV(1 + r)n, where PV is the present value, r is the annual interest rate, and n is the number of compounding periods, you may determine the future value if you invest the $18,000 scholarship for 8.5 years at a 7% annual return with yearly compounding.

Once the values are plugged in, we have FV = $18,000(1 + 0.07)8.5 = $30,856.46.  The formula changes to FV = $18,000(1 + 0.11)8.5 = $39,218.52 if the investment has a potential return of 11% per year. 2. Using the same approach, the future value of the $28,000 bonus invested in a fund providing an 8% annual return with annual compounding may be determined. FV = $28,000(1 + 0.08)^27 = $205,035.40.

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are specific measures that help marketers watch the performance of their marketing campaigns, initiatives, and channels and, when appropriate, serve as a control mechanism.

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Marketing performance measurement is a process of assessing the impact of the marketing campaign to measure the success of the campaign. The process involves examining the marketing initiatives, channels, and campaigns' performance, analyzing data, and providing reports.

Marketers use specific measures to watch the performance of their marketing campaigns, initiatives, and channels and serve as a control mechanism when appropriate. Specific measures include the following:Conversion rates: Conversion rates are measures of how effectively the marketing campaign converts leads to customers. They are determined by dividing the number of new customers who made a purchase by the number of leads who interacted with the marketing campaign.Cost per lead: It is the average cost of generating a lead through the marketing campaign.

The cost per lead is determined by dividing the total cost of the campaign by the total number of leads generated.Customer acquisition cost: It is the cost of acquiring a new customer through a marketing campaign. The customer acquisition cost is calculated by dividing the total cost of the campaign by the number of new customers generated.Return on investment (ROI): It is a metric used to measure the profitability of a marketing campaign.

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the music streaming industry where a firm's profitability

Answers

In the music streaming industry, dominant players' interactions determine profitability, reflecting an oligopoly where a few firms with market power shape the industry. Therefore, option A is correct.

Oligopoly is an economic term that refers to a market structure characterized by a small number of dominant firms controlling the majority of the market share.

These firms have substantial market power, allowing them to influence prices and impact the industry as a whole. In an oligopolistic market, firms must consider the actions and reactions of their competitors when making strategic decisions.

Interactions between firms, such as pricing strategies, advertising campaigns, and product differentiation, play a crucial role in determining profitability.

Oligopolies often exhibit intense competition and can result in strategic behavior and complex market dynamics.

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Most probably; your complete question is here:

The music streaming industry, where a firm's profitability depends on its interactions with other firms, is an example of

A. oligopoly.

B. monopolistic competition

C. perfect competition

D. monopoly

Karla Tanner opens a web consulting business called Linkworks and completes the following transactions in its first month of operations.
Prepare journal entries for each transaction and identify the financial statement impact of each entry.
The financial statements are automatically generated based on the journal entries recorded.
Apr. 1 Tanner invested $80,000 cash along with office equipment valued at $26,000 in the company in exchange for common stock.
Apr. 2 The company prepaid $9,000 cash for 12 months' rent for office space. The company's policy is record prepaid expenses in balance sheet accounts.
Apr. 3 The company made credit purchases for $8,000 in office equipment and $3,600 in office supplies. Payment is due within 10 days.
Apr. 6 The company completed services for a client and immediately received $4,000 cash.
Apr. 9 The company completed a $6,000 project for a client, who must pay within 30 days.
Apr. 13 The company paid $11,600 cash to settle the account payable created on April 3.
Apr. 19 The company paid $2,400 cash for the premium on a 12-month insurance policy. The company's policy is record prepaid expenses in balance sheet accounts.
Apr. 22 The company received $4,400 cash as partial payment for the work completed on April 9.
Apr. 25 The company completed work for another client for $2,890 on credit.
Apr. 28 The company paid $5,500 cash in dividends.
Apr. 29 The company purchased $600 of additional office supplies on credit.
Apr. 30 The company paid $435 cash for this month’s utility bill.
The financial statements report the cumulative impact of all transactions recorded as of the financial statement date. Input the cumulative amount of a) Net Income (Loss), b) Total Assets, c) Total Liabilities, and d) Total Equity that would be reported on the financial statements immediately after each transaction is recorded

Answers

a) Net Income (Loss): $1,700 (Loss)

b) Total Assets: $115,600

c) Total Liabilities: $0

d) Total Equity: $115,600

Apr. 1:

- Journal Entry:

 - Debit: Cash $80,000

 - Debit: Office Equipment $26,000

 - Credit: Common Stock $106,000

- Financial Statement Impact:

 - Total Assets: +$106,000 (Cash + Office Equipment)

 - Total Equity: +$106,000 (Common Stock)

Apr. 2:

- Journal Entry:

 - Debit: Prepaid Rent $9,000

 - Credit: Cash $9,000

- Financial Statement Impact:

 - Total Assets: +$9,000 (Prepaid Rent)

 - No impact on Total Equity or Total Liabilities

Apr. 3:

- Journal Entry:

 - Debit: Office Equipment $8,000

 - Debit: Office Supplies $3,600

 - Credit: Accounts Payable $11,600

- Financial Statement Impact:

 - Total Assets: +$11,600 (Office Equipment + Office Supplies)

 - Total Liabilities: +$11,600 (Accounts Payable)

 - No impact on Total Equity

Apr. 6:

- Journal Entry:

 - Debit: Cash $4,000

 - Credit: Service Revenue $4,000

- Financial Statement Impact:

 - Total Assets: +$4,000 (Cash)

 - Total Equity: +$4,000 (Service Revenue)

 - No impact on Total Liabilities

Apr. 9:

- Journal Entry:

 - Debit: Accounts Receivable $6,000

 - Credit: Service Revenue $6,000

- Financial Statement Impact:

 - Total Assets: +$6,000 (Accounts Receivable)

 - Total Equity: +$6,000 (Service Revenue)

 - No impact on Total Liabilities

Apr. 13:

- Journal Entry:

 - Debit: Accounts Payable $11,600

 - Credit: Cash $11,600

- Financial Statement Impact:

 - Total Assets: No change

 - Total Liabilities: -$11,600 (Accounts Payable)

 - No impact on Total Equity

Apr. 19:

- Journal Entry:

 - Debit: Prepaid Insurance $2,400

 - Credit: Cash $2,400

- Financial Statement Impact:

 - Total Assets: +$2,400 (Prepaid Insurance)

 - No impact on Total Equity or Total Liabilities

Apr. 22:

- Journal Entry:

 - Debit: Cash $4,400

 - Credit: Accounts Receivable $4,400

- Financial Statement Impact:

 - Total Assets: No change

 - No impact on Total Equity or Total Liabilities

Apr. 25:

- Journal Entry:

 - Debit: Accounts Receivable $2,890

 - Credit: Service Revenue $2,890

- Financial Statement Impact:

 - Total Assets: +$2,890 (Accounts Receivable)

 - Total Equity: +$2,890 (Service Revenue)

 - No impact on Total Liabilities

Apr. 28:

- Journal Entry:

 - Debit: Dividends $5,500

 - Credit: Cash $5,500

- Financial Statement Impact:

 - Total Assets: No change

 - Total Equity: -$5,500 (Dividends)

 - No impact on Total Li

abilities

Apr. 29:

- Journal Entry:

 - Debit: Office Supplies $600

 - Credit: Accounts Payable $600

- Financial Statement Impact:

 - Total Assets: +$600 (Office Supplies)

 - Total Liabilities: +$600 (Accounts Payable)

 - No impact on Total Equity

Apr. 30:

- Journal Entry:

 - Debit: Utilities Expense $435

 - Credit: Cash $435

- Financial Statement Impact:

 - Total Assets: No change

 - No impact on Total Equity or Total Liabilities

Note: The cumulative amounts for Net Income (Loss), Total Assets, Total Liabilities, and Total Equity are calculated after each transaction is recorded.

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may analyze how a mother of three children spends her money each month. may analyze various influences on the unemployment rate. Select the correct answer below: Macroeconomists; Macroeconomists Macroeconomists; Microeconomists Microeconomists; Microeconomists Microeconomists; Macroeconomists

Answers

The correct answer is: Microeconomists; Macroeconomists.Microeconomics and macroeconomics are the two main branches of economics.

Microeconomics and macroeconomics are the two main branches of economics. The major difference between the two is the scope of the subject. Microeconomics focuses on the study of individual economic behavior. It looks at how households and firms make choices, how they interact in markets, and how the government tries to influence their choices.Microeconomists may analyze how a mother of three children spends her money each month. The goal of microeconomic analysis is to understand how individuals make choices and how those choices are influenced by economic incentives. By analyzing the economic decisions of individuals, firms, and governments, microeconomists can develop a better understanding of how the economy works at the individual level. On the other hand, macroeconomics focuses on the study of the economy as a whole. It looks at the behavior of the overall economy, including topics such as inflation, economic growth, and the unemployment rate. Macroeconomists may analyze various influences on the unemployment rate. The goal of macroeconomic analysis is to understand how the economy works at the aggregate level, and how government policies can be used to influence economic outcomes. Macroeconomists and microeconomists are equally important for understanding the economy as a whole. While microeconomists focus on individual behavior, macroeconomists look at the overall performance of the economy and how government policies can be used to improve it.

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According to the news report, the growth rates of M1 and M2
reached a "golden cross" (i.e., M1>M2) yesterday. Please explain
the possible reasons.

Answers

According to the news report, the growth rates of M1 and M2 reached a "golden cross" (i.e., M1>M2) yesterday. This phenomenon is considered an important indicator of monetary policy in economics.

The "golden cross" is an indication of the acceleration of economic activity. There are many reasons for the "golden cross," including changes in monetary policy, interest rates, economic growth, and other factors. The following are some possible reasons that might have led to the "golden cross":

1. Monetary Policy Changes: Monetary policy changes can have a significant impact on M1 and M2. For example, if the central bank decides to increase interest rates, M2 may increase faster than M1. Conversely, if the central bank lowers interest rates, M1 may increase faster than M2.

2. Economic Growth: Economic growth is another factor that can impact M1 and M2. If economic growth is strong, it can lead to an increase in M1 and M2. This is because people and businesses have more money to spend and invest.3. Government Spending: Government spending can also impact M1 and M2.

If the government increases spending, it can lead to an increase in M1 and M2. This is because the government is putting more money into the economy, which can lead to increased economic activity.Overall, the "golden cross" between M1 and M2 is a positive sign for the economy.

It suggests that economic activity is accelerating and that people and businesses have more money to spend and invest. However, it is important to keep in mind that there are many factors that can impact M1 and M2, and it is essential to monitor these factors carefully to understand how the economy is performing.

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Which of the following is NOT an approach to appraisal?

The value approach

The market approach

The cost approach

The income approach

Answers

The approach that is NOT an approach to appraisal is: more than 100. The term "more than 100" is not a recognized approach to appraisal.

An appraisal is the act or process of estimating the value of a property, such as real estate, a business, or other assets. Appraisals are often conducted to determine the fair market value of a property, which is the price that a willing buyer would pay a willing seller for the property in an open and competitive market.

This helps buyers, sellers, and lenders to make informed decisions about buying, selling, or financing a property.Types of appraisal approachesThere are four commonly used approaches to appraisal, which include:1. The cost approach2. The income approach3. The value approach4.

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Kingbird Supply does not segregate sales and sales taxes at the time of sale. The register total for March 16 is $11,128. All sales are subject to a 7\% sales tax. (a1) Compute sales taxes payable. Sales taxes payable $

Answers

The sales taxes payable for Kingbird Supply for March 16 amount to $778.96.

To compute the sales taxes payable, we need to calculate 7% of the total sales for March 16.

Sales total for March 16: $11,128

Sales taxes payable = 7% of sales total

= 0.07 * $11,128

= $778.96

Therefore, the sales taxes payable for Kingbird Supply for March 16 amount to $778.96.

Sales taxes are taxes imposed by the government on the sale of goods and services. They are typically calculated as a percentage of the purchase price and collected by the seller at the time of sale. The collected sales taxes are then remitted to the appropriate government authority.

The specific sales tax rate can vary depending on the jurisdiction. Different states, provinces, or countries may have their own sales tax rates and regulations. For example, in the United States, sales tax rates vary from state to state and can also include additional local sales taxes.

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(Nebosh ABC oil Task 8:Review of health and safety performance. )
As part of the managers role, an annual health and safety performance review has to be completed for ABC Oil Company. What types of information should the managers review consider?

Answers

Managers should review incident data, near misses, compliance, inspections, training, communication, performance indicators, and feedback for health and safety performance assessment.

When conducting an annual health and safety performance review for ABC Oil Company, managers should consider various types of information to assess the effectiveness of the company's health and safety management system. Some key areas of information to review include:

1. Incident and Accident Data: Analyzing the number, type, and severity of incidents and accidents that occurred throughout the year provides insights into the overall safety performance and helps identify areas of concern.

2. Near Miss Reports: Examining near miss reports helps identify potential hazards and weaknesses in safety controls before they result in actual incidents, allowing for proactive measures to be taken.

3. Compliance with Legal and Regulatory Requirements: Assessing the company's compliance with relevant health and safety laws and regulations ensures that necessary measures are in place to meet legal obligations.

4. Safety Inspections and Audits: Reviewing the findings of safety inspections and audits conducted throughout the year provides an understanding of compliance levels, identifies areas for improvement, and ensures that corrective actions have been taken.

5. Training and Competence: Evaluating the training programs and competency levels of employees helps determine if they have the necessary skills and knowledge to perform their jobs safely.

6. Safety Communication and Engagement: Assessing the effectiveness of safety communication channels, such as safety meetings, toolbox talks, and safety committees, helps gauge employee engagement and involvement in health and safety matters.

7. Safety Performance Indicators: Monitoring and analyzing key performance indicators (KPIs) related to health and safety, such as lost time injury frequency rate (LTIFR) or total recordable injury rate (TRIR), provides a quantitative measure of safety performance over time.

8. Feedback and Suggestions: Considering feedback from employees, safety representatives, and other stakeholders helps gain insights into potential areas for improvement and identifies opportunities for enhancing the health and safety culture.

By considering these types of information, managers can comprehensively assess the health and safety performance of ABC Oil Company and develop strategies to improve safety practices, mitigate risks, and promote a safer work environment.

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On March 1, 2020, ExCo's board of directors declared a cash dividend of $0.75 per common share to shareholders of record on March 10. payable March 31. There were 131,000 shares issued and outstanding on March 1 and no additional shares had been issued during the month. Record the entries for March 1, 10, and 31. The cash dividends account is used. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.) 1 Record the declaration of cash dividend on common shares of $0.75 per share. Record the declaration of cash dividend of $0.75 per share holders on record. Record the payment of dividends declared on March 1.

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The ExCo's board of directors declared a cash dividend of $0.75 per common share to shareholders of record on March 10 and payable on March 31.

There were 131,000 shares issued and outstanding on March 1 and no additional shares had been issued during the month.

The following journal entries should be recorded on March 1, 10, and 31 for the cash dividend declared:

March 1, 2020On March 1, 2020, the following journal entry will be recorded:

ParticularsDebitCreditCash Dividends$98,250 ($0.75 x 131,000 shares)

Dividends Payable$98,250 [To record the declaration of a cash dividend on common shares of $0.75 per share]

March 10, 2020On March 10, 2020, the following journal entry will be recorded:

ParticularsDebitCreditNo journal entry required[To record the declaration of cash dividend of $0.75 per share holders on record]March 31, 2020On March 31, 2020, the following journal entry will be recorded:

ParticularsDebitCreditDividends Payable$98,250Cash Dividends$98,250[To record the payment of dividends declared on March 1]

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If the Raw Materials Inventory is very high and there are many material stock-outs the most likely cause is that the inventory of " C " items is very high. Select one: True False

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False. High raw materials inventory and stock-outs may not be caused solely by high "C" item inventory.

High raw materials inventory and frequent material stock-outs can be attributed to various factors, not solely the inventory of "C" items. While an excess of "C" items can contribute to the problem, other factors like inaccurate demand forecasting, inefficient supply chain management, poor inventory control, or production inefficiencies may also play a significant role. It is crucial to conduct a comprehensive analysis of the inventory management practices and identify the root causes of the issues. By addressing these underlying causes and implementing appropriate measures such as improving demand forecasting, optimizing inventory control processes, and enhancing supply chain coordination, the organization can better manage raw materials inventory and reduce stock-outs.

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Accounting Rodd Co. reports a taxable and pretax financial loss of $400,000 for 2021. Rodd's taxable and pretax financial income and tax rates for the last two years were: 2019 $400.000 30% 2020 400,000 35% 2021 ($400,000) 40% The amount that Rodd should report on their balance sheet at the end of 2021 if they carry their loss forward is: (You can assume a 40% future tax rate.)
a. 160.000 deferred tax asset
b. $160,000 deferred tax liability
c. $160.000 Income Tax Receivable
d. $160.000 Income lax Pavable
e. None of these are correct

Answers

The answer is: b. $160,000 deferred tax liability.

There are two types of taxes paid by companies, namely current income tax and deferred income tax. Current income tax is the amount of income tax payable to the government for the current year, while deferred income tax is the amount of tax that the company may need to pay in the future due to temporary differences between the accounting treatment of an item and its tax treatment. It is the accounting practice of deferring tax expenses until future tax liabilities are realized. The amount of deferred income tax liability or deferred income tax asset is recognized on the company’s balance sheet.

The amount of tax that Rodd should report on their balance sheet at the end of 2021 if they carry their loss forward is $160,000 deferred tax liability.

The computation is as follows:

2021 Financial Loss = $400,000

Tax rate for 2021 = 40%

Tax shield for 2021 = $400,000 x 40% = $160,000

The deferred tax liability (DTL) is computed by multiplying the future tax rate (40%) by the cumulative temporary difference ($400,000) between the company's accounting and tax income.

DTL = 40% x $400,000 = $160,000

Therefore, Rodd should report $160,000 as a deferred tax liability on their balance sheet at the end of 2021 if they carry their loss forward.

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thayer farms stock has a beta of 1.12. the risk-free rate of return is 4.34% and the market risk premium is 7.92%. what is the expected rate of return on this stock?

Answers

After calculating, the expected rate of return on Thayer Farms stock is 13.20%.

To calculate the expected rate of return on Thayer Farms stock, you can use the capital asset pricing model (CAPM) formula:

Expected Return = Risk-Free Rate + Beta * Market Risk Premium

Given the provided values:

Risk-Free Rate = 4.34%

Market Risk Premium = 7.92%

Beta = 1.12

Substituting these values into the formula:

Expected Return = 4.34% + 1.12 * 7.92%

Expected Return = 4.34% + 8.86%

Expected Return = 13.20%

Therefore, the expected rate of return on Thayer Farms stock is 13.20%.

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An investment bank pays $34.30 per share for 4.8 million shares of GM Company in a firm commitment stock offering. It then can sell those shares to the public for $33 per share. a. How much money does GM receive? (Enter your answer in dollars, not in millions.) b. What is the profit to the investment bank? (Enter your answer in dollars, not in millions. Negative amount should be indicated by a minus sign. Do not round intermediate calculations.) c. What is the stock price of GM? (Enter ypur answer in dollars, not in millions.)

Answers

a. How much money does GM receive? The money GM company receives will be equal to the price of the shares it sold to the investment bank.

Here the investment bank paid $34.30 per share and purchased 4.8 million shares.

Therefore, money GM company will receive = 34.3*4.8 million = $164,640,000

b. What is the profit to the investment bank? The profit to the investment bank is the difference between the price it paid for the shares and the price it can sell those shares to the public.

Here, the investment bank paid $34.30 per share and then sold them to the public for $33 per share.

So, the loss incurred by the investment bank is $1.3 per share.

Therefore, the loss on the total shares bought by the investment bank is $1.3*4.8 million = $6,240,000.

c. What is the stock price of GM? The stock price of GM is $33.

Answer: a. $164,640,000; b. -$6,240,000; c. $33

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Alison has worked continuously over several years for her London-based employer. She lives in London and travels a short bus journey to work each day. Her employer advises her that she is being transferred from an office in Holborn to one in Regent Street, pointing out that Regent Street is only a five-minute tube-train ride away from Holborn. However, Alison is terrified of trains and of being underground. She wants to stay at the Holborn office. She points out that there is no mobility clause in her employment contract and refuses the transfer. Her employer subsequently dismisses her. She feels that she should have been made redundant in the circumstances. What is the likely legal position here?
Alison can claim redundancy because her employer has ceased to carry on business at the location where she worked.
Alison can claim redundancy because her employer has restructured so that her job no longer exists.
Alison has been constructively dismissed in circumstances that make her redundant because of the upheaval caused by the transfer.
Alison cannot claim for redundancy in these circumstances.

Answers

Based on the given information, the likely legal position in this scenario is that Alison cannot claim for redundancy in these circumstances.

Redundancy typically occurs when an employee's job no longer exists due to the employer ceasing to carry on business at the location where the employee worked or due to restructuring. However, in this case, Alison's employer has not ceased to carry on business or restructured in a way that eliminates her job.

Alison's refusal to transfer and her subsequent dismissal may be considered a constructive dismissal, which occurs when an employer fundamentally breaches the employment contract, and the employee feels forced to resign as a result. However, constructive dismissal does not automatically make an employee redundant. Redundancy is a specific concept related to the elimination of a particular job role or a reduction in the need for employees in that role.

In this scenario, Alison's refusal to transfer and subsequent dismissal may be evaluated in terms of unfair dismissal or breach of contract rather than redundancy. The legal position regarding those aspects would depend on the specific employment laws and regulations in the relevant jurisdiction.

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An aged care facility currently has a four-week cyclic menu in place, but feedback from the residents in a recent survey shows that some residents view the menu are bland, boring and predictable. On the other hand, many of the residents show great satisfaction with the current menu and are happy with the simple homestyle food that is currently served. There is a need to keep both types of residents happy with a new menu.
Suggest eight main course dishes that would be a bit more tasty, ethnic and a bit more modern than the mainly English style food that is currently served.
These eight dishes need to be cost effective dishes to fit in the budget, so you cannot put on very expensive restaurant type meals. The plan would be to offer these eight dishes as a choice in the next menu cycle, (two dishes per week) and to see if these new styles of food are popular or are unpopular with the residents.
Explain your choices of dishes and why you think these dishes would suit people in this age group and living circumstances.

Answers

The four-week cyclic menu in the aged care facility is currently deemed unappetizing by some of the residents. It is crucial to add more flavorful, ethnic, and modern dishes while also keeping it cost-effective.

Here are eight suggestions that would be more flavorful, ethnic, and modern:

The dish has been around since the 1950s and is a beloved dish among seniors. The ingredients are readily available, which makes the dish affordable. The spaghetti is cooked in a rich sauce made from eggs, bacon, cheese, and cream.

The dish is relatively simple, but it is filling and delicious. Greek Chicken Souvlaki Skewered and grilled chicken served with a pita bread and a side of hummus or tzatziki sauce.

Chicken Fajitas Mexican cuisine is known for its bold and flavorful dishes. The chicken fajitas are affordable, and the ingredients are readily available. The dish is made from grilled chicken, onions, peppers, and served with flour tortillas.

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Under IFRS, what options does an entity have for classifying cash payments of interest and dividends on the statement of cash flows? How does this differ from ASPE Under IFRS, cash outflows from interest and dividends A. must be reported as investing activities. B. may be reported as operating or financing activities but must be applied consistently for similar transactions. C. may be reported as investing or financing activities but must be applied consistently for similar transactions. D. may be reported as either operating or investing activities but must be applied consistently for similar transactions.

Answers

Under IFRS, The options for classifying cash payments of interest and dividends on the statement of cash flows are allowed by IFRS and ASPE, as stated below:Under IFRS:Cash outflows from interest and dividends may be reported as either operating or investing activities but must be applied consistently for similar transactions.Under ASPE:Cash outflows from interest and dividends may be reported as operating or financing activities but must be applied consistently for similar transactions.

Operating cash outflows include payments to suppliers, salaries, wages, interest, and other operational expenses; investing cash outflows include acquiring and disposing of long-term assets, such as plant and equipment. Financing cash outflows include payments to owners (dividends) and lenders.The statement of cash flows under IFRS is a statement of cash flows for the period, and the company must disclose the significant accounting policies applied to its transactions.

The statement of cash flows under ASPE is identical to the statement of cash flows under IFRS, except that the specific rules for classifying items within the three categories of cash flows are different for ASPE.Therefore, the correct option is (D) may be reported as either operating or investing activities but must be applied consistently for similar transactions.

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Q.2 Futures markets and currency risk (30pts)
a) Define and explain the concept of conditional expectation and variance;
b) Could you use the GARCH model to make an exchange rate forecast? If so, define and explain each of the formulas, also giving an example;
c) Either the following information
- Spot rate $1.54/£;
- Standard deviation of the spot rate is: 4.14%;
-An appreciation of this spot rate is anticipated in 90 days: 2.13%
*Compute the expectation and the conditional variance;
*What is the probability that the pound (£) appreciates in 90 days to $1.63/E?
(d) Explain how a foreign exchange swap for an amount of $100,000 can be set up between an American firm (MSN) and a Japanese bank (Nomura), by applying swap points 23/18 knowing that the Bid is _ ¥ 104.33/S and Ask is ¥104.37/S. Using interest rate parity theory, justify why this trade might be valid for Nomura.

Answers

a) Conditional expectationConditional expectation is a mathematical idea that describes the conditional distribution of a random variable in relation to a condition.

Given a sample space of results and a sigma-algebra F of subsets of results, a conditional expectation is a function that maps every F-measurable random variable to its expected value, subject to some basic conditions. The conditional expectation of a random variable Y given a random variable X is E(Y|X).VarianceVariance is a measure of how far a data collection is dispersed. It measures the difference between the mean and each value in the data set. It is used to quantify the distribution's level of variation. The variance is determined by adding up the squares of the differences between each data point and the average,

then dividing by the number of data points. The equation for variance is given by σ² = Σ(X-μ)²/N. b) GARCH modelThe Generalized Autoregressive Conditional Heteroskedasticity (GARCH) model is a type of statistical model that examines volatility over time. This method is mostly utilized in finance and economics. A GARCH model is a time-series model that anticipates the variance of an asset's returns in the future. Here is an example:yt=μ+εt, εt=σtztzt=wtσtThe forecast equation of the GARCH model can be written as:σt+1,2 = w0+∑(wiεt+1−i)²+∑(bjσt+1,2−j)The GARCH model equation's components are as follows:σ²t = the conditional variance;ε²t = error term from the original regression model;

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Which of the following is an example of a primary market transac ion? d out of 1 Select one: O a. BHP issues new bonds which will mature in ten years. O b. Mary sells 1000 Qantas shares through her broker. • c. ANZ bank sells 5% of its investment in an index fund. • d. ANZ bank sells 10-year government bonds that have 5 years to maturity

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The primary market is the market for new securities that have never been issued before. The sale of new bonds by BHP, which will mature in ten years, is an example of a primary market transaction.

The company issues the bonds in the primary market, raises money from investors, and pays interest over the life of the bond, which is ten years in this case. Primary Market transactions A primary market transaction is a type of transaction in which a company raises capital by issuing new securities. It is also known as a new issue market, and it's where a company can sell its shares, bonds, and other financial instruments to the public for the first time.

In the primary market, securities are sold by the issuer directly to investors, and the proceeds go to the issuer. Securities sold in the primary market are traded in the secondary market.BHP issues new bonds that will mature in ten years is a primary market transaction. In this case, BHP is the issuer of the securities, and investors are the buyers of the securities. The proceeds from the bond sale go to BHP, and the investors earn interest on the bond over the life of the bond, which is ten years in this case. So, Option A is the correct answer.

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a financial lease has which of the following characteristics? a) lessor maintains leased asset b) no right of renewal c) cancellation clause d) lessor must make all lease payments e) fully amortized

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A financial lease is a type of lease where the lessor, or the owner of an asset, grants the lessee, or the user of the asset, the right to use the asset for a predetermined period of time in exchange for periodic lease payments.

This type of lease is often used for expensive assets, such as machinery or vehicles. It has several characteristics, including: a) the lessor maintains the leased asset; b) there is no right of renewal; c) there is a cancellation clause; d) the lessor must make all lease payments; and e) it is fully amortized.

The first characteristic of a financial lease is that the lessor maintains the leased asset. This means that the lessor is responsible for any maintenance or repair costs associated with the asset during the lease term. The lessee, however, is responsible for any damage caused by misuse or neglect.

The second characteristic of a financial lease is that there is no right of renewal. This means that the lessee cannot extend the lease term beyond the predetermined period of time. Once the lease term is over, the lessee must return the asset to the lessor or purchase it at its fair market value.

The third characteristic of a financial lease is that there is a cancellation clause. This clause allows the lessor to cancel the lease if the lessee fails to make the required lease payments or breaches any other terms of the lease agreement.

The fourth characteristic of a financial lease is that the lessor must make all lease payments. This means that the lessee is not responsible for any depreciation or other costs associated with the asset.
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Describe two process inefficiencies that contribute to
information/cybersecurity threats posed by hacking and ransomware
attacks. And what improvements could be made to reduce these
inefficiencies?

Answers

Hackers and ransomware attackers tend to exploit process inefficiencies, which put the information or cybersecurity of organizations at risk. Therefore, it is crucial to identify these inefficiencies to prevent these threats. Two process inefficiencies that contribute to information/cybersecurity threats.

Outdated Software: Many organizations still use outdated software, which exposes them to information and cybersecurity threats. Hackers and ransomware attackers exploit vulnerabilities in outdated software to gain unauthorized access to computer systems. Attackers use this access to steal sensitive data, corrupt files, and install malware or ransomware. To reduce the inefficiencies that result from outdated software, companies should update their software regularly. Companies should also implement software patches to prevent hackers and ransomware attackers from exploiting vulnerabilities.

Ineffective Employee Training: Another process inefficiency that contributes to information/cybersecurity threats posed by hacking and ransomware attacks is ineffective employee training. Employees are often the weakest link in an organization's information/cybersecurity defenses. Attackers target employees through phishing scams and social engineering tactics. Employees who lack training may fall prey to these attacks and accidentally disclose sensitive information.

In conclusion, the use of outdated software and ineffective employee training are two process inefficiencies that contribute to information/cybersecurity threats posed by hacking and ransomware attacks. Organizations can reduce these inefficiencies by updating their software regularly and training employees regularly. Regular training ensures that employees are up-to-date with the latest cybersecurity practices and can identify potential cybersecurity threats.

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