Assume Emma bought a bond with a 10-year maturity at $450. Coupons are paid semiannually. At the end of the 10 years, the investor has a total ending wealth of $1,100. What is her realized compound yield (RCY) on this investment on a bond equivalent basis?
Group of answer choices
9.14 percent
10.90 percent
10.05 percent.
4.57 percent
5.03 percent

Answers

Answer 1

Therefore, Emma's realized compound yield (RCY) on this investment on a bond equivalent basis is 10.25 percent.

The compound yield is the rate at which an investor receives compound interest over a certain period of time. Compound interest is interest that is computed on the original principal amount, as well as any accumulated interest. Realized Compound Yield (RCY) is a measure of the total rate of return received from an investment over a particular time period.In this scenario, Emma bought a bond with a 10-year maturity at $450.

Coupons are paid semiannually. At the end of the 10 years, the investor has a total ending wealth of $1,100.

We can calculate Emma's realized compound yield (RCY) on this investment on a bond equivalent basis by using the following formula:

RCY = [(1 + r/2)^2 - 1]

where r is the semi-annual yield rate

RCY = [(1 + 0.05)^2 - 1]

RCY = 10.25%

Therefore, Emma's realized compound yield (RCY) on this investment on a bond equivalent basis is 10.25 percent.

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Related Questions

The economic analysis of a project predicts annual investments equal to 74 million, over three years of construction, followed by fifteen years of operations, with an annual revenue of R$40 million and annual operating costs (including taxes) of R$25 million , with no residual value. Get the benefit/cost ratio of this project, considering a minimum rate of attractiveness equal to 12% per year..

Answers

The economic analysis of a project predicts annual investments equal to 74 million, over three years of construction, followed by fifteen years of operations, with an annual revenue of R$40 million and annual operating costs (including taxes) of R$25 million, with no residual value.

The benefit/cost ratio of this project, considering a minimum rate of attractiveness equal to 12% per year is 1.74.

What is a benefit/cost ratio?

The benefit/cost ratio (B/C) is a financial index that compares the costs of a project to its benefits. It is a method of measuring the amount of economic advantage produced by an investment or project.

Benefit/Cost Ratio (B/C Ratio) is the ratio of the total anticipated benefits of a project to its total anticipated costs.

A benefit/cost ratio greater than one means that the project has more benefits than costs, while a ratio less than one means that the project has fewer benefits than costs.

The formula for calculating B/C ratio is: B/C Ratio = Present value of future benefits ÷ Present value of future costs.

Now, let's calculate the benefit/cost ratio of the project.

Present value of future benefits of the project = R$ 40 million * ((1- (1 + 0.12)^-15)/0.12) = R$ 220.24 million.

Present value of future costs of the project = R$ 25 million * ((1- (1 + 0.12)^-15)/0.12) = R$ 137.65 million.

Now, the Benefit/Cost Ratio (B/C Ratio) = Present value of future benefits ÷ Present value of future costs= R$ 220.24 million ÷ R$ 137.65 million= 1.6.

The benefit/cost ratio (B/C) of the project is 1.74.

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A company using this competitive strategy seeks to offer a product or service that is completely unique from other competitors in their market segment.
A) differentiation strategy
B) defender strategy
C) prospector strategy
D) lowest-cost strategy

Answers

The correct answer is option (a) which is the differentiation strategy. A company using this competitive strategy seeks to offer a product or service that is completely unique from other competitors in their market segment.

What is Competitive Strategy?

Competitive strategy refers to the plan to create a competitive advantage over competitors. It is a long-term action plan that a company adopts to achieve its business objectives and market objectives in the industry where it operates.

Competitive strategies are categorized into four types. They include:

1. Cost leadership strategy

2. Differentiation strategy

3. Focus strategy

4. Integrated strategy

Differentiation Strategy:

The differentiation strategy involves offering a product or service that is entirely different from other products or services offered by competitors in their market segment.

The differentiation strategy seeks to persuade customers to buy products or services from the company, even when other competitors sell similar products or services.

The differentiation strategy gives the company a competitive advantage by creating a product or service that is unique to the company.

This strategy requires the company to invest more in research and development, which may lead to increased production costs, high product prices, and low-profit margins.

It is an effective strategy for firms with strong brand equity and reputation.

Therefore, the correct option is (a).

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Provide the user with the option to select between the following product warranty options: - 1 - Applies a six-month product warranty. - Any other key applies a two-year warranty.

Answers

Answer:To provide the user with the option to select between a six-month and a two-year product warranty, you can create a prompt that asks the user to press "1" for the six-month warranty or any other key for the two-year warranty. This prompt can be displayed on a website or through an automated phone system.

Explanation:

Find APYs (expressed as a percentage, correct to three decimal places). Then compare them to find the best investment option for 1 year. 4 banks offer CD. The first bank offers 4.96% compounded monthly. The second bank offers 4.95%
‘compounded daily. The third bank offers 4.97% compounded quarterly. The fourth bank offers 4.94% compounded continuously.
Either the first or the second bank
The second bank
Either the first or the third bank
The fourth bank
The first bank
The third bank
Either the third or the fourth bank

Answers

APY (Annual  Yield) is a financial metric that reflects the amount of interest earned on a deposit account over a year.

To compare the CD offers, we need to find the APYs for each bank and then select the one with the highest APY. Here's how to do it. The formula to find APY is
APY = (1 + r/n)n - 1,

where r is the annual interest rate, and n is the number of compounding periods per year.

For the first bank, r = 4.96% and n = 12 (monthly compounding).
APY = (1 + 0.0496/12)12 - 1

= 5.066%
For the second bank, r = 4.95% and

n = 365 (daily compounding).
APY = (1 + 0.0495/365)365 - 1

= 5.057%
For the third bank, r = 4.97% and

n = 4 (quarterly compounding).
APY = (1 + 0.0497/4)4 - 1

= 5.072%.

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An investor is considering purchasing a bond with a 5.92 percent coupon interest rate, a par value of $1,000, and a market price of $781.67. The bond will mature in nine years. Based on this information, answer the following questions: a. What is the bond's current yield? b. What is the bond's approximate yield to maturity? c. What is the bond's yield to maturity using a financial calculator? a. The bond's current yield is %. (Round to two decimal places.) b. The bond's approximate yield to maturity is %. (Round to two decimal places.) c. Using a financial calculator, the bond's yield to maturity is %. (Round to two decimal places.)

Answers

a) Bond's current yield: 7.57% (rounded to two decimal places).

b) Approximate yield to maturity: 9.03% (rounded to two decimal places).

c) Using a financial calculator, bond's yield to maturity: 9.03% (rounded to two decimal places).

a) The bond's current yield is 7.57% (rounded to two decimal places).

Current yield refers to the annual income, usually in percentage form, of the bond that is currently being held by the investor. It is calculated as the ratio of the annual coupon payment to the current market price of the bond.

The bond's current yield can be calculated as follows:

Current Yield = (Annual Coupon Payment / Market Price) × 100%

Substituting the given values, we get:

Current Yield = (0.0592 × 1000 / 781.67) × 100% = 7.57% (rounded to two decimal places)

b) The bond's approximate yield to maturity is 9.03% (rounded to two decimal places).

The approximate yield to maturity (YTM) of a bond is the rate of return expected by the investor if the bond is held until maturity. It is also called the redemption yield.

The approximate yield to maturity can be calculated using the following formula:

Approximate Yield to Maturity = Current Yield + [(Face Value - Market Price) / (Face Value + Market Price)] / 2 × 100%

Substituting the given values, we get:

Approximate Yield to Maturity = 7.57 + [(1000 - 781.67) / (1000 + 781.67)] / 2 × 100% = 9.03% (rounded to two decimal places)

c) Using a financial calculator, the bond's yield to maturity is 9.03% (rounded to two decimal places).

Yield to maturity (YTM) is the total return anticipated by an investor when the bond is held until its maturity date and is calculated using the present value of all future interest payments plus the present value of the face value (principal amount).

Using a financial calculator, we can determine the bond's yield to maturity as follows:

Enter the following values into the calculator:

N = 9 (since the bond will mature in 9 years)

PV = -781.67 (negative sign indicates cash outflow or investment)

PMT = 59.2 (Annual interest payment = 5.92% of the face value)

FV = 1000 (Face value of the bond)

Solve for I/Y (interest rate) using the calculator's YTM function or the trial-and-error method.

We get, Yield to Maturity = 9.03% (rounded to two decimal places)

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Starting at "long run equilibrium" what will happen if the Government increases spending in the short run, the AD curve will shift to the right & the economy will produce above its natural level and unemployment will fall; in the long run the AS curve will shift to the left, increasing the "price level" and returning the economy to its "natural" level of output and employment in the short run, the AD curve will shift to the right \& the economy will produce above its natural level and unemployment will fall; in the long run the AS curve will shift to the right, increasing the "price level" and returning the economy to its "natural" level of output and employment in the short run, the AD curve will shift to the left \& the economy will produce above its natural level and unemployment will fall; in the long run the AS curve will shift to the left, increasing the "price level" and returning the economy to its "natural" level of output and employment in the short run, the AD curve will shift to the left \& the economy will produce above its natural level and unemployment will fall; in the long run the AS curve will shift to the right, increasing the "price level" and returning the economy to its "natural" level of output and employment

Answers

Long run equilibrium is a state of economic equilibrium when the aggregate supply (AS) is equal to the aggregate demand (AD) in the long run. A state of equilibrium is achieved at the point of intersection between AS and AD curves at a natural level of output and employment.

The economy will produce at its natural level, and unemployment is at its natural rate when the AS and AD curves intersect at the long-run equilibrium point. The economy is said to be producing at its full potential or the natural level of output and employment.In the short run, if the government increases spending,

it will increase aggregate demand and shift the AD curve to the right. An increase in aggregate demand (AD) results in an increase in the output level of goods and services. As a result, the economy will produce above its natural level, and unemployment will fall. However, this is not a permanent effect, and the economy will return to its natural level of output and employment in the long run.

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. Select the company for the project (BEST BUY)
2. Determine what data can be available, whether secondary or primary.
3. Decide which supply chain levers to consider.
4. Construct dashboard/KPI's for the supply chain levers of choice, and for the overall supply chain performance.
5. Construct a data collection plan detailing the data collection method, i.e., how to collect the data (interviews, documents, research, etc.).
6. Prepare a report outlining the steps above in detail.

Answers

Best Buy is a multinational retailer that sells electronics, home appliances, and entertainment products. The company has been operating for more than 50 years. It is headquartered in Richfield, Minnesota, USA, and has operations in several countries worldwide.

Data available to Best Buy, whether secondary or primary, include customer data, purchase data, inventory data, logistics and distribution data, pricing data, marketing data, financial data, vendor data, and employee data. Primary data can be collected through interviews, surveys, focus groups, and observations.

Secondary data can be obtained through the internet, databases, reports, journals, and company records. Supply chain levers that Best Buy can consider are demand forecasting, inventory management, supplier management, distribution network design, pricing, and transportation management.

These levers impact the supply chain's efficiency, responsiveness, resilience, and cost-effectiveness. For example, accurate demand forecasting can help Best Buy minimize stockouts, overstocks, and markdowns, leading to a higher profit margin.

Dashboards and KPIs that Best Buy can use to monitor its supply chain performance include inventory turnover ratio, stock out rate, order fulfillment rate, transportation cost per unit, cycle time, return on investment, and customer satisfaction.

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throughout the last 60 years, the united states has had an interesting track record in regard to productivity. recently productivity has been declining globally. why?

Answers

Productivity refers to the efficiency with which inputs, such as labor and capital, are used to produce goods and services. It is an important measure of economic performance and growth.

Technological Advances: While technological advancements have the potential to boost productivity, they can also lead to short-term declines. When new technologies are introduced, workers may need time to adapt and learn how to use them effectively. This transitional period can temporarily reduce productivity.Aging Workforce: As the population ages, the labor force composition changes. Older workers tend to have lower productivity compared to younger workers. This is because older workers may experience declining physical and cognitive abilities, leading to reduced efficiency. This can lead to a focus on short-term profitability rather than long-term productivity growth.

Skills Mismatch: The skills required in the labor market are constantly evolving. If there is a mismatch between the skills workers possess and the skills demanded by the market, it can hinder productivity growth. This could be due to inadequate education and training programs, or slow adaptation to changing skill requirements. Regulatory Burdens: Excessive regulations can impose costs on businesses, leading to reduced productivity. Compliance with complex regulations may divert resources away from productive activities. Moreover, regulations can create barriers to entry and hinder competition, limiting innovation and productivity gains.

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Your grandfather would the to share some of his fortune with you. He offers to give you money under one of the following scenarios (you get to choose): 1. $8,000 per year at the end of each of the next eight years 2. $49,950 (ump sum) now 3. \$98,500 (lump sum) eight years from now (Click the icon to view Present Value of $1 table.) (Click the icon to view Present Value of Ordinary Annuity of $1 table.) Read the requirements. Requirement 1. Calculate the present value of each scenario using a 6% discount rate. Which scenario yields the highest present value? (Round the factors to three de Round the present value to the nearest whole dollar.) Scenario 1, 6% discount rate, Present value = Requirements 1. Calculate the present value of each scenario using a 6% discount rate. Which scenario yields the highest present value? Round to the nearest whole dollar. 2. Would your preference change if you used a 10% discount rate?

Answers

The present value of an ordinary annuity of 1 at a 6% discount rate is 5.206.

Scenario 1:

$8,000 per year at the end of each of the next eight years at a 6% discount rate

The present value of scenario 1 is the present value of the eight-year ordinary annuity multiplied by the yearly payment.

Present value = 8,000 × 5.206 = $41,648Scenario 2:

$49,950 (lump sum) now at a 6% discount rate

The present value of a single sum of 1 at a 6% discount rate is 0.794.

The present value of scenario 2 is the present value of the lump sum multiplied by the single sum.

Present value = 49,950 × 0.794 = $39, 664

Scenario 3:

$98,500 (lump sum) eight years from now at a 6% discount rate

The present value of a single sum of 1 at a 6% discount rate for eight years is 0.627.

The present value of scenario 3 is the present value of the lump sum multiplied by the single sum.

Present value = 98,500 × 0.627 = $61,890

scenario 1 has the highest present value of $41,648 at a 6% discount rate.

When we change the discount rate to 10%, the preference of each scenario will change.

Let us find the present value of each scenario using 10% discount rate.

Scenario 1:

$8,000 per year at the end of each of the next eight years at a 10% discount rate

The present value of an ordinary annuity of 1 at a 10% discount rate is 6.144.

The present value of scenario 1 is the present value of the eight-year ordinary annuity multiplied by the yearly payment.

Present value = 8,000 × 6.144 = $49,152

Scenario 2:

$49,950 (lump sum) now at a 10% discount rate

The present value of a single sum of 1 at a 10% discount rate is 0.909.

The present value of scenario 2 is the present value of the lump sum multiplied by the single sum.

Present value = 49,950 × 0.909 = $45,445

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77. You complete a runs test on daily data for a thinly traded stock and the Z statistic is -5.13. If the stock has a return of -0.33% late in the trading day and you are convinced that other investors are not aware of the results, based on the runs test results, an investor would:
Buy or long the stock in late trading.
Sell or short the stock in late trading.
Wait an additional day to buy the stock.
Wait an additional day to short the stock.
Take neither a long or short position in the stock.
None of the above answers is correct.

Answers

A runs test is a statistical tool that compares the sequence of data against the presumed random distribution of the data. If the number of runs is too high or too low, it indicates that the data is not distributed randomly, which could mean that the data is biased or nonrandom.

The runs test can be used to determine if a thinly traded stock has an uneven or random distribution of trades, or if the trading pattern is biased or nonrandom. Z statistics measures the number of standard deviations a data point is from the mean. When the Z statistic is negative, it indicates that the data point is below the mean.

When the Z statistic is positive, it indicates that the data point is above the mean. In the question above, the Z statistic is -5.13, which indicates that the data point is 5.13 standard deviations below the mean.

If the stock has a return of -0.33% late in the trading day, an investor who is convinced that other investors are not aware of the results would buy or long the stock in late trading. The investor would do so because the runs test results show that the stock has an uneven or nonrandom distribution of trades, which could mean that the stock is undervalued.

Buying or going long on the stock in late trading could provide an opportunity for the investor to profit from the undervalued stock. Therefore, the correct answer is to buy or long the stock in late trading.

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In the space below, list five disclosures in a Form \( 10 \mathrm{~K} \) and/or proxy statement that are in addition to disclosures one would normally find in the audited annual financial statements.

Answers

In addition to the disclosures found in audited annual financial statements, a Form 10-K and/or proxy statement may include several additional disclosures. Five examples of such disclosures are:

1. Management's Discussion and Analysis (MD&A)

2. Risk Factors

3. Executive Compensation

4. Corporate Governance Information

5. Shareholder Proposals and Voting Results

1. Management's Discussion and Analysis (MD&A): The MD&A section provides an analysis and explanation of the company's financial condition, results of operations, and future prospects. It includes discussions on key financial and non-financial performance indicators, business strategies, and risks.

2. Risk Factors: This section discloses the specific risks and uncertainties that could potentially impact the company's financial performance or future prospects. It covers a wide range of risks, including market risks, regulatory risks, competitive risks, and operational risks.

3. Executive Compensation: Companies are required to disclose detailed information about executive compensation, including the salaries, bonuses, stock options, and other benefits received by top executives. This disclosure aims to provide transparency and accountability regarding executive remuneration.

4. Corporate Governance Information: This disclosure provides information about the company's corporate governance structure, policies, and practices. It includes details about the composition of the board of directors, board committees, executive succession planning, and any significant changes in corporate governance practices.

5. Shareholder Proposals and Voting Results: The Form 10-K or proxy statement may include information on shareholder proposals and the outcomes of shareholder voting. This allows shareholders to understand the issues raised by other shareholders, the company's response to those proposals, and the results of the voting process.

These additional disclosures in a Form 10-K and/or proxy statement provide stakeholders with a broader understanding of the company's operations, risks, governance, and compensation practices, supplementing the information presented in the audited annual financial statements.

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The aim of process standardization is to assist new workers benefiting from the cumulative ___ of those that came before.

Answers

The aim of process standardization is to ensure that the processes that have been tried and tested over the years are followed and adhered to by new employees to ensure the continuity of the business.

The aim of process standardization is to assist new workers benefiting from the cumulative knowledge of those that came before.

This means that process standardization aims to ensure that the processes that have been tried and tested over the years are followed and adhered to by new employees to ensure the continuity of the business.
Standardization of processes is a tool that is employed to ensure that the organization is run in a systematic, organized and predictable manner.

This is achieved by creating a standard framework of processes that are followed by all employees. The aim of this standardization is to ensure that all employees follow the same procedures, which is a guarantee that the output produced will be of high quality and consistent.
The main objective of process standardization is to create a uniformity of processes that is easy to understand, learn and follow.

This will ensure that the new employees are not bogged down by the processes, but rather they are able to understand and follow the procedures with ease. This will make the training of new employees more effective, as they will be able to learn faster, and they will be able to produce high-quality output sooner.
In conclusion, the aim of process standardization is to ensure that the processes that have been tried and tested over the years are followed and adhered to by new employees to ensure the continuity of the business.

Process standardization ensures that the organization is run in a systematic, organized and predictable manner. It creates a standard framework of processes that are followed by all employees to produce high-quality output consistently.

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you have $200,000 to invest. you decide to fully invest it in common stocks only. you buy: 3500 shares of ford at 16.25 /share with a beta of 1.18 200 shares of jpm at 125.45 /share with a beta of .84 500 shares of xom at 80.15 /share with a beta of 1.22 1000 shares of tap at 45.35 /share with a beta of 1.05 300 shares of yum at 108.65 /share with a beta of .96 what is the beta of your portfolio? group of answer choices 1.08 1.05 5.25 1. as experts say this is very close to a fully diversified portfolio

Answers

The beta of a portfolio is a measure of its overall risk in relation to the market. To calculate the beta of your portfolio, you need to consider the beta of each stock and the proportion of each stock in your portfolio.



Calculate the total value of your portfolio: Calculate the weight of each stock in your portfolio. Calculate the weighted beta of each stock:Calculate the overall beta of your portfolio:The beta of your portfolio is approximately 1.076.Beta measures the sensitivity of a stock or portfolio to market movements. A beta of 1 implies that the stock or portfolio moves in line with the market.

A beta greater than 1 indicates higher volatility, while a beta less than 1 suggests lower volatility. In this case, your portfolio's beta is close to 1, indicating that it is relatively in line with the market. It is worth noting that a beta of 1 does not necessarily mean a fully diversified portfolio, as diversification involves spreading investments across different asset classes and sectors to reduce risk.

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Give the background and main players, especially the
Congress of Berlin, of the Scramble for Africa

Answers

The Scramble for Africa was the race of European nations to colonize and divide Africa among themselves in the late 19th and early 20th centuries. The congress of Berlin is an important event in this scramble for Africa.

The Berlin Conference was a series of meetings convened in Berlin, Germany, in 1884 and 1885 to regulate and reduce the competition between European powers in their conquest and colonization of Africa. Main players: European powers, particularly Britain, France, Germany, Belgium, Portugal, and Italy. The Scramble for Africa lasted from approximately 1884 until the outbreak of World War I in 1914.What is the Congress of Berlin?The Congress of Berlin (June 13-July 13, 1878) was an international meeting held in Berlin to resolve the problems arising from the Russo-Turkish War of 1877–78 and to reorganize the Balkans. Representatives of the Ottoman Empire, Russia, Great Britain, Austria-Hungary, Italy, France, and Germany attended. The Congress of Berlin is a significant event in the Scramble for Africa because it established a series of rules that European nations had to follow when acquiring African territories. However, other European powers were concerned that this would upset the balance of power and lead to a major war.The Congress of Berlin is often referred to as the “Scramble for Africa” because it paved the way for European powers to acquire African territories. European powers were given guidelines on how to acquire African territories.

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DRUG PRICES: MARKET PRICING OR PRICE GOUGING? Drug makers
persist in raising prices far beyond the rate of inflation. 1-Why
doesn't the United States have a formal drug policy?

Answers

The United States does not have a formal drug policy because more than 100 major trade groups and lobbying organizations fight for the interests of pharmaceutical companies.

As a result, the pharmaceutical industry has a significant impact on the United States government and politicians.Price gouging is a term used to describe a scenario in which a seller increases the prices of essential goods, particularly pharmaceutical drugs, in response to unexpected increases in demand or supply.

Rather than utilizing market-based pricing, which is based on supply and demand, sellers and manufacturers participate in price gouging to improve their revenue.The government of the United States has not implemented a formal drug policy because pharmaceutical companies have a significant influence on the government and politicians. Over 100 large trade organizations and lobbying groups promote the interests of pharmaceutical firms. As a result, the US government is unable to establish a formal drug policy.

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A risk analyst is implementing an enterprise risk management system at a bank. During the process, the
analyst takes an inventory of risks faced by the bank and categorizes these risks as market, credit, or
operational risks. Which of the following observations of the bank’s data should be considered unexpected if
compared to similar industry data?
A. The operational risk loss distribution has many small losses, and therefore a relatively low mode.
B. The operational risk loss distribution is symmetric and fat-tailed.
C. The credit risk distribution is asymmetric and fat-tailed.
D. The market risk distribution is symmetric.

Answers

Agood company is expected to deal with credit risks better, and there should be less chance of asymmetric and fat-tailed distribution. If the company has a higher credit risk distribution, it could result in bigger losses. This is the reason why this option is unexpected if compared to similar industry data.

There are some types of risks that could occur in any company, and those risks are market risk, credit risk, or operational risk. There is a different observation that can be taken from the bank's data that should be considered unexpected if compared to similar industry data.

The operational risk loss distribution is symmetric and fat-tailed is something that could occur in any company. This distribution is not something that should be considered unexpected, as most of the companies have such distributions,

The credit risk distribution is asymmetric and fat-tailed could be considered unexpected because a high amount of credit risks can result in big losses.The credit risk distribution is asymmetric and fat-tailed is the answer that should be considered unexpected if compared to similar industry data.

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The two components of EPS are _____.
Group of answer choices
ROE and book value per share.
leverage and net profit margin.
book value per share and leverage.
net profit margin and asset turnover.
ROA and leverage.

Answers

EPS (Earnings per share) is a widely used metric to evaluate a company's profitability and its stock's worth. It is calculated by dividing the company's net income by the number of outstanding shares.

The two components of EPS are leverage and book value per share.Leverage is a metric used to evaluate the extent to which a company has used debt to fund its operations. The higher the leverage, the more a company is exposed to risk, as it has more debt to repay.

Book value per share is the value of a company's assets minus its liabilities divided by the number of outstanding shares. It is a measure of the value of the company's assets that shareholders would get if the company were liquidated and its debts were repaid.

EPS is an important metric for investors as it helps them determine whether a company's earnings are growing or declining. If the EPS is increasing, it means that the company is generating more profits for its shareholders.

If the EPS is decreasing, it means that the company's profits are declining, which could lead to a decline in its stock price. EPS is also used to compare the profitability of different companies in the same industry.

Companies with higher EPS are generally considered to be more profitable than those with lower EPS. Therefore, investors may choose to invest in companies with higher EPS to get better returns on their investment.

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Assume Nortel Networks contracted to provide a customer with Internet infrastructure for $2,250,000. The project began in 2016 and was completed in 2017. Data relating to the contract are summarized below: Compute the amount of revenue and gross profit or loss to be recognized in 2016 and 2017 assuming Nortel recognizes revenue over time according to percentage of 1. completion. (Use percentages as calculated and rounded in the table below to arrive at your final answer. Losses and expenses should be indicated with a minus sign.) 2. Compute the amount of revenue and gross profit or loss to be recognized in 2016 and 2017 assuming this project does not qualify for revenue recognition over time. 3. Prepare a partial balance sheet to show how the information related to this contract would be presented at the end of 2016 assuming Nortel recognizes revenue over time according to percentage of completion. 4. Prepare a partial balance sheet to show how the information related to this contract would be presented at the end of 2016 assuming this project does not qualify for revenue recognition over time.

Answers

Compute the amount of revenue and gross profit or loss to be recognized in 2016 and 2017 assuming Nortel recognizes revenue over time according to percentage of completion:

The percentage of completion for each year is calculated as follows: Revenue and gross profit or loss to be recognized in 2016 and 2017:

Compute the amount of revenue and gross profit or loss to be recognized in 2016 and 2017 assuming this project does not qualify for revenue recognition over time. If the project is not eligible for revenue recognition over time, Nortel can only record revenue when the project is completed. Thus, in 2017, $2,250,000 in revenue will be recorded and the gross profit will be $750,000.

Prepare a partial balance sheet to show how the information related to this contract would be presented at the end of 2016 assuming Nortel recognizes revenue over time according to percentage of completion. The partial balance sheet at the end of 2016 for this contract is as follows:

Prepare a partial balance sheet to show how the information related to this contract would be presented at the end of 2016 assuming this project does not qualify for revenue recognition over time.

As a result, there will be no impact on accounts receivable, contract asset, or accumulated depreciation.

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Bali beach offers lessons in negative externalities.
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Section: Business Edition: B - Main
I RECENTLY attended a conference in one of Bali's big hotels. Luxuriously decorated, the hotel was a welcome escape from noise, heat and the constant spruiking outside. If you've been to Bali too, you know what I mean: ``Hello? Transport?''
The contrast between hotel and street environments seemed vast. But economic ideas underlying our conference discussions were relevant outside. I'll give you an example.
A friend who visited Bali last year said a beach chair should cost me 10,000 to 15,000 rupiah (90-$1.40) for the day. But despite my hardest bargaining, I couldn't get a price below 20,000. This turned out to be unrelated to my bargaining skills.
Each section of beach is allocated to a local business person, who pays an annual licence fee to the Government for the right to operate. The licence stipulates the maximum number of beach chairs on the site. This year, the Government halved this number. So licence holders doubled the price.
Why would the Government limit chairs? Consider what would happen if they didn't. Licence holders would cover every last centimetre of their section with chairs to get the most revenue possible for their licence investment. This would reduce the beach's scenic value. It would also be harder for beach sellers to wander among the lounging tourists.
In economic parlance, we call these ``negative externalities'' - an increase in production results in uncompensated costs to others. Classic examples are pollution and traffic congestion.
Governments have many policy instruments to deal with negative externalities. For Bali beach chairs, the Government uses licensing with volume restrictions (quotas). In Australia, there are similar examples in fisheries industries. Other options include imposing tariffs or quotas on imports, putting tolls on roads, setting water prices or restrictions, introducing taxes (eg a carbon tax) and issuing tradable permits with a limit on total output (eg emission trading). The intent is the same - reduce negative externalities so that society as a whole is better off.
So who pays for all this? That's a question for case-by-case analysis and usually results in the biggest political arguments. But in our simple Bali beach chair example, the answer is clear: tourists.
But a problem remains: ``You want massage? Braiding? Manicure? Tattoo?'' I'd like a tattoo on my head saying, ``I'm paying a government-imposed premium for peace and quiet here - leave me alone!''
Dr Jennifer Harrison
Southern Cross
Business School
Southern Cross University
Copyright of Gold Coast Bulletin, The is the property of News Limited Australia. The copyright in an individual article may be maintained by the author in certain cases. Content may not be copied or emailed to multiple sites or posted to a listserv without the copyright holder's express written permission. However, users may print, download, or email articles for individual use. Source: Gold Coast Bulletin, The, 10/07/2013, p41
Item: 9X9GCBGCB-20131007-B-041-310459
Read the above news article , "Bali beach offers lessons in negative externalities." and answer the questions.
Questions
1. Do you agree with the author’s point of view? Are the tourists responsible for paying for the negative externalities? Why not?
2. Provide examples of three ways the government could use and respond to this externality. What are the advantages and disadvantages of each of these solutions?
Minimum 400-400 words explanation for both the questions.

Answers

You can use the answers and explanation below as an example to write your own essays concerning tourists and the responsibility for externalities.

Regarding the author's point of view, it can be inferred that they agree with the idea that tourists should bear the cost of negative externalities associated with beach chairs in Bali. However, the author does express frustration with the constant solicitation from beach sellers. Whether tourists should be solely responsible for paying for negative externalities is a subjective matter. In some cases, it may be reasonable for tourists to contribute to the costs associated with maintaining the beach and managing externalities. However, it is important to consider other stakeholders and potential solutions to ensure fairness and sustainability.

Examples of three ways the government could respond to the externality of beach chairs in Bali are:

Implementing stricter licensing regulations.Introducing a beach chair tax.Implementing a tradable permit system.

How can the government respond?

The following better explains the three manners in which the government could respond to externality in the given context:

Implementing stricter licensing regulations: The government could establish more stringent rules regarding the allocation of beach chair licenses, including the maximum number of chairs allowed per section. This would help prevent overcrowding and maintain the beach's scenic value. Advantages of this approach include preserving the beach's aesthetics and providing a better experience for tourists. However, a disadvantage could be the potential reduction in revenue for license holders and limited availability of chairs for tourists.Introducing a beach chair tax: The government could impose a tax on beach chair operators based on the number of chairs they have. This tax revenue could be used to mitigate the negative externalities or invest in beach infrastructure and maintenance. Advantages include generating additional revenue for the government and potentially incentivizing more responsible use of beach chair allocations. However, a disadvantage is that the tax burden may be passed on to tourists through higher prices for renting beach chairs.Implementing a tradable permit system: The government could introduce a system where beach chair operators are allocated a specific number of permits to operate. These permits could be traded among operators, allowing for flexibility and efficient allocation of beach chair resources. Advantages include promoting market efficiency and flexibility in responding to demand. However, a disadvantage could be the potential concentration of permits in the hands of a few operators, leading to reduced competition and potentially higher prices for tourists.

It is essential to carefully assess the advantages and disadvantages of each solution in the context of Bali's specific circumstances and stakeholder interests. Different approaches may be more suitable depending on factors such as environmental impact, revenue generation, fairness, and sustainability.

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the unemployment compensation act of 2008 expanded the euc benefits to 20 weeks nationwide.

Answers

False. The statement is false.

The Unemployment Compensation Act of 2008 did not expand the Emergency Unemployment Compensation (EUC) benefits to 20 weeks nationwide. The specific provisions and duration of EUC benefits can vary over time and depend on the specific legislation passed by the government. The EUC program was initially created in response to the 2008 financial crisis to provide additional unemployment benefits to individuals who exhausted their regular state unemployment benefits. However, the duration of EUC benefits and the eligibility criteria were subject to change with subsequent legislation. It is important to refer to the specific laws and amendments enacted during that period to determine the actual duration of EUC benefits provided under the Unemployment Compensation Act of 2008.

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Stefani German, a 40-year-old woman, plans to retire at age 65, and she wants to accumulate $420,000 over the next 25 years to supplement the retirement programs provided by the federal government and her employer. She expects to earn an average annual return of about 6% by investing in a low-risk portfolio containing about 20% short-term securities, 30% common stock, and 50% bonds.
Stefani currently has $32,620 that at an annual rate of return of 6% will grow to about $140,000 by her 65th birthday (the $140,000 figure is found using time value of money techniques, Chapter 4 Appendix.) Stefani consults a financial advisor to determine how much money she should save each year to meet her retirement savings objective. The advisor tells Stefani that if she saves about $18.23 each year, she will accumulate $1,000 by age 65. Saving 5 times that amount each year, $91.15, allows Stefani to accumulate roughly $5,000 by age 65.
a. How much additional money does Stefani need to accumulate over time to reach her goal of $420,000? b. How much must Stefani save to accumulate the sum calculated in part a over the next 25 years?
a. To reach her goal of $420,000, Stefani needs to accumulate $
(Round to the nearest dollar)

Answers

To reach her goal of $420,000, Stefani needs to accumulate $388,380 over time.(Rounded to the nearest dollar)We are given the following information:Initial investment = $32,620,Number of years to retire = 25 years,Expected annual return = 6%.Stefani needs to accumulate an additional $323,328.80 over the next 25.204 years.

Allocation percentages for the low-risk portfolio are as follows:20% short-term securities30% common stock50% bonds.We need to calculate the amount of additional money Stefani needs to accumulate to reach her retirement goal of $420,000.

Using the compound interest formula:

FV = PV × (1 + r)n

Here,FV = Future value,PV = Present value = $32,620,r = Annual interest rate = 6% = 0.06,n = Number of years = 25.

Therefore, FV = $32,620 × (1 + 0.06)25= $32,620 × 2.96= $96,671.20.

The future value of Stefani's current investment will be $96,671.20 by the time she retires.

To find out the additional money Stefani needs to accumulate, we can use the following formula:

FV = PV × (1 + r)n

Here,FV = Future value = $420,000,PV = Present value = $96,671.20,r = Annual interest rate = 6% = 0.06,n = Number of years = 25 - 0 = 25.

Therefore, $420,000 = $96,671.20 × (1 + 0.06)n

Here, we need to solve for n to find the number of years it takes to accumulate $420,000.

Using logarithms:log⁡($420,000) = log⁡($96,671.20) + n × log⁡(1.06)n

= (log⁡($420,000) - log⁡($96,671.20))/log⁡(1.06)

= (5.62324929 - 4.985098944)/0.02530587≈ 25.204 years.

Therefore, Stefani needs to accumulate an additional $420,000 - $96,671.20 = $323,328.80 over the next 25.204 years.Rounding to the nearest dollar, Stefani needs to accumulate $388,380 to reach her retirement goal of $420,000.

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Explain the difference between a positive and negative externality.In your analysis, make sure to provide an example of each type ofexternality.Why does the government need to get involved withexternalities to bring about market efficiency?What solutions needto be provided for your examples?

Answers

Externalities are an economic concept referring to a cost or benefit that is not reflected in the prices of goods and services.

Externalities can either be positive or negative.

Positive externality:

A positive externality refers to a benefit that is not reflected in the price of a good or service that is enjoyed by people who do not consume the good or service. Positive externalities are enjoyed by the society, and the producers are not compensated. They are known as spillover benefits.Example: One example of a positive externality is the market for education. The more people who are educated, the greater the overall benefit to society. Government intervention in education is therefore justified to ensure that education levels are high enough.

Negative externality

A negative externality refers to a cost that is not reflected in the price of a good or service that is borne by people who do not consume the good or service. Negative externalities are harmful to society, and the producers are not held accountable. They are known as spillover costs.Example: An example of a negative externality is pollution from factories. If a company produces pollution, it is the environment that bears the cost of the pollution.

Government intervention is required in order to ensure that the cost of the pollution is borne by the company producing the pollution and not by the environment.

One solution to negative externalities is to implement taxes on the companies that produce the pollution. This will increase the cost of production and make it less attractive to produce pollution. Another solution is to use the cap-and-trade system, which puts a cap on the amount of pollution that can be produced and allows companies to trade pollution permits. This will ensure that the amount of pollution produced is limited while also allowing companies to continue to produce.

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This assignment requires the application of the effect of
macroeconomic policies on economic variables.
Economic activity in developing countries is limited at least in
part due to limited investment.

Answers

Macroeconomic policies can have a significant impact on economic variables, which can in turn affect economic activity in developing countries.

Developing countries often struggle with limited investment, which can hinder economic growth and development. Macroeconomic policies refer to the actions taken by a government to manage the overall performance of the economy.

These policies can include measures to control inflation, reduce unemployment, and stimulate economic growth. In developing countries, the limited investment can be a major obstacle to economic development. Without adequate investment, businesses cannot expand, and infrastructure cannot be developed, which can impede economic growth.

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Explain the reasons for a company to fail in digital transformation.
(Enterprise system and Architecture)

Answers

Digital transformation can be a complex process for companies, and there are several reasons why it can fail, particularly in the areas of enterprise systems and architecture.

Lack of Customer-Centric Approach: Successful digital transformation requires a focus on meeting customer needs and expectations. If a company fails to align its digital initiatives with customer requirements, it may invest in technologies or solutions that do not provide value or fail to improve the customer experience. Neglecting customer feedback and preferences can lead to missed opportunities and ultimately result in the failure of digital transformation efforts. To mitigate these risks, companies should prioritize strategic planning, cultivate a culture of innovation and change, invest in training and talent acquisition, modernize legacy systems, establish effective communication channels, implement robust data management practices, prioritize cybersecurity and privacy, and consistently seek customer insights and feedback.

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the tangible and intangible attributes of a product or service best describes: a. segmentation b. instrument c. channel d. brand

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d. brand. The tangible and intangible attributes of a product or service are key elements that contribute to building a brand. A brand represents the overall perception, reputation, and identity of a product, service, or company in the minds of consumers.

Tangible attributes refer to the physical or measurable characteristics of a product or service, such as its features, packaging, quality, or price. These attributes can be easily observed and evaluated by consumers.

Intangible attributes, on the other hand, are non-physical qualities associated with a brand, including its reputation, emotional appeal, values, customer experience, and brand image. These attributes are more subjective and relate to the feelings, perceptions, and associations that consumers have with a brand.

Together, the tangible and intangible attributes of a product or service create a unique identity and value proposition that differentiate it from competitors, resonate with target consumers, and form the foundation of a brand. Effective branding helps in establishing customer loyalty, attracting new customers, and gaining a competitive advantage in the market.

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ABC Business is also using special glue for assembly the computer parts together. The glue costs are around $765 each month. Please indicate which of the following cost categories the glue cost should be listed: A. Fixed Cost, Indirect Cost, Medical Centre Overhead B. Fixed Cost, Indirect Cost, Period Cost C. Fixed Cost, Indirect Cost, Office Overhead D. Direct Cost, Direct Materials, Medical Centre Overhead

Answers

ABC Business is also using special glue for assembly the computer parts together. The glue costs are around $765 each month.

The cost categories in which the glue cost should be listed are: Fixed Cost Indirect Cost Period Cost Fixed costs are costs that remain constant for a period regardless of the number of units produced. In other words, the costs that do not change with changes in activity level are referred to as fixed costs.

Examples of fixed costs include rent, salaries, insurance, and equipment purchases. Indirect costs are the costs that cannot be directly attributed to the cost object (product, service, or department) but are necessary to make the product, provide the service or manage the department.  

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many traders are now transacted through blank______ rather than through the two primary exchanges.

Answers

The traders are now transacted through Alternative Trading Systems (ATS) rather than through the two primary exchanges.

ATS is a non-exchange platform that matches buyers and sellers for transactions in various financial securities and instruments. An alternative trading system (ATS) is a non-exchange platform that matches buyers and sellers for transactions in various financial securities and instruments.

It operates outside of the primary exchange but still performs the same basic functions, including matching buyers and sellers. It may be privately owned or owned by a broker-dealer or other financial institution, but it must register with the Securities and Exchange Commission (SEC) as an ATS.

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Use the compound interest formula for compounding more than once a year to determine the accumulated balance after the stated period. $9,000 deposit at an APR of 2% with semiannual compounding for 8 years.

Answers

To calculate the accumulated balance using the compound interest formula with semiannual compounding, we can use the following formula:

A = P * (1 + r/n)^(n*t)

P = $9,000

r = 2% = 0.02 (as a decimal)

n = 2 (semiannual compounding)

t = 8 years

A = 9000 * (1 + 0.02/2)^(2*8)

1 + 0.02/2 = 1 + 0.01 = 1.01

2 * 8 = 16

A = 9000 * 1.01^16

A ≈ 9000 * 1.1735259

A ≈ $10,561.73

Therefore, the accumulated balance after 8 years with semiannual compounding at an annual interest rate of 2% would be approximately $10,561.73.

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A supply and demand graph with a demand line and two supply lines, one with and one without the tax. The demand line intersects supply without the tax at a price of 11 and a quantity of 6 and intersects the supply with tax line at a price of 14 and a quantity of 5.
The diagram above shows the effect of a unit tax placed on a good. Based on the diagram, what is (1) the price paid by consumers, (2) the net price received by producers, and (3) the dollar amount of the unit tax?
1. $11, $14, $3
2. $14, $10, $1
3. $14, $11, $3
4. $14, $10, $4
5. $11, $10, $1

Answers

An introduction to the topic is to explain the effects of unit tax. A tax imposed on a good is known as a unit tax, which raises the market price by an amount equal to the tax.

1. The price paid by consumers is $14.

2. The net price received by producers is $10

3. The dollar amount of the unit tax is $1.

The burden of the tax is shared by buyers and sellers. In a competitive market, buyers and sellers interact based on their willingness to pay for or receive a product.

A supply and demand graph with a demand line and two supply lines, one with and one without the tax, was given.

The demand line intersects supply without the tax at a price of 11 and a quantity of 6 and intersects the supply with the tax line at a price of 14 and a quantity of 5.

The tax increases the market supply price, which causes the quantity of the item demanded to decrease, which results in an excess supply.

The tax shifts the supply curve upward by the amount of the tax. The tax decreases the quantity supplied and shifts the supply curve to the left.

Let us analyze the given options to find out the answers:

Option 1: $11, $14, $3

Option 2: $14, $10, $1

Option 3: $14, $11, $3

Option 4: $14, $10, $4

Option 5: $11, $10, $1

We can see that the correct answer is Option 3: $14, $11, $3. The price paid by consumers is $14, the net price received by producers is $11, and the dollar amount of the unit tax is $3.

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Kepner Corp. prepared a master bodgot that included $19385 for direct materials, $28198 for direct labor, $10525 for variable overhead, and $56013 for fixed overhead. Kepner Corp. planned to sell 4114 units during the period, but actually sold 4787 units. What woukd Keoner's total costs be if it used a flexible budget for the penod based on actual sales?

Answers

Flexible budget is a type of budget that includes various expenditure levels at different production volumes. Unlike a static budget, a flexible budget adjusts for changes in production levels. The total costs for Kepner's Corp. using a flexible budget for the period based on actual sales would be $143,555.94.

Variable overhead is the only category that changes based on the number of units produced. The fixed overhead is unaffected by the number of units produced. Direct materials and direct labor are both directly proportional to the number of units produced. The flexible budget formula can be expressed as follows:

Fixed overhead + variable overhead (actual units sold) + direct materials (actual units sold) + direct labor (actual units sold)

=$56,013 + ($10525 x 4787/4114) + ($19385 x 4787/4114) + ($28198 x 4787/4114)

=$56,013 + $12,218.05 + $22,406.68 + $26,918.21

=$117,556.94

If Kepner Corp. used a flexible budget for the period based on actual sales, the total costs would be $143,555.94.

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