Consider the following dialogue between Tim and Brian, economics students taking a course on Money, Banking, Financial Markets and Institutions. TIM: Hi Brian. The professor mentioned that in addition to money people also hold bonds and some other asset, which I forget. Can you please remind me, which one is that? BRIAN: That's right, Tim, the professor told us that in addition to money and bonds, people also hold such financial assets as credit cards TIM: Also, I cannot see the difference between money and bonds. Could you explain it to me? stocks BRIAN: Unlike money, bonds represent tokens jewelry TIM: But why is money considered a financial asset? real estate BRIAN: Money is clearly an asset because by definition, it is TIM: Are there any other financial assets? BRIAN: Yes. Let's try to identify them together: Check all that apply. Checking accounts Savings accounts Credit cards Cars

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Answer 1

Money is usually safer than stocks, but it usually returns less. Rather than valuing cash will devalue with expansion.

1. Introduce money and financial assets :

Paolo : That's right, Kenji. The professor told us that people also hold bonds, debentures, mutual funds, and bank deposits in addition to money.

Paolo : Unlike money, stocks represent a company's stock and can be traded for profit or held for dividends and price appreciation to gain financial gain. Money is usually safer than stocks, but it usually returns less. Rather than valuing cash will devalue with expansion.

Paolo : Money is unquestionably an asset because it is a liquid asset that derives its value from ownership rights or contractual rights.

Paolo :- Yes.

How about we attempt to distinguish them together:

Check all that apply Savings account

Checking account

Both savings accounts and checking accounts are regarded as assets. The majority of bank investments are liquid and claim ownership.

2. An overview of the financial market.      

Caroline : The equity market and the stock market are the same thing. due to the fact that both are traded on stock exchanges. Stock exchanges are used to trade a company's shares. Stock trade is where values and subordinates are purchased and sol.

Caroline : The financial market basically brings stock units, bonds, and other securities together.

Caroline  : It is accurate to state that new stock is sold on the primary market when companies and other organizations issue it. The secondary market is the market where bonds and stocks are resold.

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Related Questions

Last Tuesday, Cute Camel Woodcraft Company lost a portion of its planning and financial data when its server and it backup server crashed. The company's CFO remembers that the internal rate of return (IRR) of Project Lambda is 13.2%, but he can't recall how much Cute Camel originally invested in the project nor the project's net present value (NPV). However, he found a note that contained the annual net cash flows expected to be generated by Project Lambda.

Answers

Internal rate of return (IRR) is a financial metric that is used to determine the profitability of potential investments. It considers the time value of money and the cost of capital to determine the net present value (NPV) of cash inflows and outflows from a particular investment.

The internal rate of return (IRR) is the discount rate at which the net present value of the cash inflows equals the net present value of the cash outflows.The formula for calculating IRR is:NPV = ∑ CFt / (1 + r)tWhere:CFt = net cash flow for the time period tr = discount rate (or IRR)t = time period when cash flow occursHowever, since we already have the IRR and the expected annual net cash flows, we can use the following formula to calculate the initial investment:NPV = CF1 / (1 + r) + CF2 / (1 + r)² + … + CFn / (1 + r)nWhere:CF1, CF2, ..., CFn are the expected net cash flows for the project's first year, second year, etc.r is the discount rate (or IRR)n is the number of years for which cash flows are estimatedThus, to find the initial investment of Project Lambda, we can use the NPV formula and solve for the initial investment:NPV = CF1 / (1 + r) + CF2 / (1 + r)² + … + CFn / (1 + r)n=> NPV = -I0 + CF1 / (1 + r) + CF2 / (1 + r)² + … + CFn / (1 + r)nWhere:I0 is the initial investmentThus, the formula for the initial investment can be written as:I0 = CF1 / (1 + r) + CF2 / (1 + r)² + … + CFn / (1 + r)n - NPVTherefore, using the given IRR of 13.2% and the annual net cash flows expected from Project Lambda, we can calculate the initial investment of the project.

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If the break-even point in units is 2 000 for Long Bay Company, and contribution margin per unit is $20, what is total sales units if Long Bay desires a net income of $45 000?

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The break-even point and contribution margin are two important factors that must be considered by companies in order to determine their net income and total sales units. Long Bay Company has a break-even point in units of 2,000 and a contribution margin per unit of $20. The company wishes to have a net income of $45,000.

The break-even point (BEP) is the point at which total costs equal total revenues. It is the point at which a company neither makes a profit nor incurs a loss. It can be calculated using the formula

BEF = Fixed cost ÷ Contribution margin per unit

where BEF is the break-even point in units. For Long Bay Company, the break-even point in units is 2,000. Therefore, we can use this information to calculate the fixed cost.

Fixed cost = BEF × Contribution margin per unit

Fixed cost = 2,000 × $20

Fixed cost = $40,000

Now that we know the fixed cost, we can use this information to calculate the total sales units.

Long Bay desires a net income of $45,000. This means that the company wants to make a profit of $45,000. We can calculate the required sales revenue using the formula:

Sales revenue = Total costs + Desired profit

We know that the total costs are equal to the fixed costs plus the variable costs. The variable costs are equal to the contribution margin per unit multiplied by the number of units sold. We do not know the number of units sold, so we will use a variable (X) to represent the total sales units required.

Sales revenue = Fixed costs + Variable costs + Desired profit

Sales revenue = $40,000 + ($20 × X) + $45,000Sales revenue = $85,000 + ($20 × X)

Now we can set the sales revenue equal to the number of units sold multiplied by the selling price per unit, which is $20.

Sales revenue = Selling price per unit × Number of units sold

$85,000 + ($20 × X) = $20 × Number of units sold

$85,000 = $20 × Number of units sold - ($20 × X)$85,000 = $20(Number of units sold - X)

Dividing both sides by $20, we get:

Number of units sold - X = 4,250Hence,

Number of units sold = X + 4,250

Therefore,

The number of units sold = $2,000 + 4,250Number of units sold = 6,250Therefore, the total sales units, if Long Bay desires a net income of $45,000, is 6,250.

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I now estimate an ARCH model. In the regression equation, we have the change in the US dollar, ΔE_t, as the dependent variable and an intercept. First, write down the specification for the volatility equation corresponding to the output below. Second, comment on the output. Third, discuss whether I should increase or reduce the number of lagged terms included in the volatility equation. Optimal Parameters

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The decision to increase or decrease the number of lagged terms should be based on the diagnostics of the residuals.

The given model is an ARCH (Autoregressive Conditional Heteroskedasticity) model with a single independent variable (ΔE_t) and an intercept. The following are the optimal parameters of the model:The volatility equation specification corresponding to the output is as follows:$$σ_t^2= 0.00959 + 0.85094r_{t-1}^2$$where σ_t^2 represents the conditional variance or the expected value of the squared error at time t. r_t-1 is the squared residual at time t-1. The term 0.85094 denotes the impact of the past residual on the current variance, indicating a high persistence of volatility in the exchange rate.The output suggests that the model is significant at a 95% confidence level, indicating that the residuals are heteroscedastic.

The LM test is statistically significant (p-value < 0.001) and indicates that the residuals are not independent, but there is evidence of serial correlation.The AIC and BIC values are relatively small, indicating that the model is a good fit, but it is not the most parsimonious, which means that there may be room for improvement by adding or removing some of the lagged terms.The optimal lag length depends on the magnitude of the serial correlation and the degree of persistence in the volatility. If the serial correlation is high, it is necessary to increase the lag length to account for the persistence. If the serial correlation is low, then there is no need to increase the lag length.

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1. How does rising consumer optimism affect the aggregate demand curve? Explain your response. 2. What is meant by sticky wages, and how does this explain the shape of the short-run aggregate supply curve? 3. What is stagflation? How would stagflation show in the AD-AS model? 4. Suppose the economy is in short-run equilibrium. Use the AD-AS model to predict short- run changes to real GDP and the aggregate price level if commodity prices suddenly increase. Explain your reasoning. 5. Suppose the economy is initially in long-run equilibrium and there is a negative demand shock. Describe the short-run effects of this demand shock and how the economy will adjust in the long run.

Answers

1. Rising consumer optimism positively affects the aggregate demand curve.

2. Sticky wages explains the upward slope of the short-run aggregate supply curve since firms' production costs remain fixed in the short run, causing them to be less responsive to changes in prices.

3. Stagflation would be represented by a combination of a leftward shift in the aggregate supply curve due to higher costs and a decrease in aggregate demand due to reduced consumer spending.

4.The situation would lead to a decrease in real GDP and an increase in the aggregate price level due to higher production costs and reduced output.

5. In the short run, a negative demand shock would cause a decrease in aggregate demand, leading to a leftward shift of the aggregate demand curve.

1. Rising consumer optimism increases consumer confidence, leading to increased spending on goods and services. This higher consumer spending directly contributes to an increase in aggregate demand. As consumer optimism rises, people are more willing to make purchases, leading to an upward shift of the aggregate demand curve.

2. Sticky wages refer to the idea that wages do not adjust quickly to changes in the overall price level. This stickiness in wage adjustments can be due to labor contracts, minimum wage laws, or other factors. In the short run, when there is an increase in prices, firms face higher production costs but are unable to immediately reduce wages.

As a result, they may reduce production instead, leading to an upward-sloping short-run aggregate supply curve.

3. Stagflation is characterized by a combination of high inflation and high unemployment. In the AD-AS model, stagflation can be represented by a leftward shift in the aggregate supply curve, indicating higher costs, combined with a decrease in aggregate demand, reflecting reduced consumer spending.

This results in a situation where prices are rising, indicating inflation, while output and employment levels remain low, indicating high unemployment.

4. An increase in commodity prices affects production costs for firms. In the short run, firms are unable to adjust their production levels significantly, leading to a decrease in aggregate supply. This causes a leftward shift of the short-run aggregate supply curve. As a result, real GDP decreases due to reduced output, while the aggregate price level increases due to higher production costs.

5. A negative demand shock refers to a sudden decrease in aggregate demand, which can be caused by factors such as a decrease in consumer spending or a decline in investment. In the short run, this leads to a leftward shift of the aggregate demand curve, resulting in a decrease in both real GDP and the aggregate price level.

In the long run, wages and prices adjust to the new equilibrium levels, causing a decrease in wages and prices. This adjustment process restores equilibrium at a lower level of output and lower price levels in the long run.

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Your utility function is U = , where C is the amount of consumption that you have in any given period. Your income is $62,500 per year, and there is a 2% chance that you will be involved in a catastrophic accident that will cost you $40,000 next year. Note that you spend all of your income in any state of the world so that income and consumption are the same in any given state of the world (i.e., accident/ no accident).

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The utility function of an individual is given by U = C. This means that the utility of the individual is directly proportional to the consumption of goods.

Let us analyze the given information to calculate the expected utility of the individual:Income of the individual per year = $62,500As the individual spends all of his income in any state of the world, so consumption is equal to income in any given state of the world i.e., $62,500. In case of an accident, the individual has to bear the cost of $40,000, which is 2% probable.

Next, we need to calculate the expected utility of the individual:Expected utility = probability of good outcome x utility of good outcome + probability of bad outcome x utility of bad outcome= 0.98 x U($62,500) + 0.02 x U($22,500)= 0.98 x 62,500 + 0.02 x 22,500= 61,250This shows that the expected utility of the individual is $61,250. Therefore, the answer to the given problem is $61,250.

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Economics indicators dashboard
Q: For what period should I track them? A: It depends on the indicator and the trends that you hope to see. Some of the major indicators are easily available for many quarters, or years. Some of the h

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When it comes to the economics indicators dashboard, the period for which you need to track them depends on the indicator and the trends that you hope to see. Some of the major indicators are easily available for many quarters, or years.

Some of the indicators that can be tracked through dashboards include GDP growth rate, unemployment rate, consumer price index, and industrial production, among others. If you are tracking GDP growth rate, for instance, you may want to track it over a period of several years to gain insight into long-term trends. On the other hand, if you are tracking the consumer price index, you may want to track it over a shorter period, such as several months, to identify short-term trends. In general, tracking economic indicators over a longer period provides a better understanding of the overall trends and performance of an economy, while tracking them over a shorter period can be useful for identifying more immediate changes and patterns. The length of the period you choose to track economics indicators is largely dependent on the information you are trying to obtain.

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ABC Corporation uses a job cost system and has two production departments, A and B. Budgeted manufacturing costs for the year are: Department A - Direct materials: $790,000 - Direct manufacturing labor: $200,000 - Manufacturing overhead: $520,000 Department B - Direct materials: $190,000 - Direct manufacturing labor: $800,000 - Manufacturing overhead: $410,000 The actual material and labor costs charged to Job \#234 were as follows: - Total Direct materials: $27,000 - Direct labor: Department A: $13,000 - Direct labor: Department B: $12,000 ABC Corporation applies manufacturing overhead costs to jobs on the basis of direct manufacturing labor cost using departmental rates determine the beginning of the year. What is the total cost of the job?

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Corporation applies manufacturing overhead costs to jobs on the basis of direct manufacturing labor cost using departmental rates. What is the total cost of the job?The total cost of the job is as follows; Total cost of the job = Direct materials + Direct labor + Manufacturing overhead allocated.

Direct materials cost is $27,000.Direct labor cost is Department A: $13,000 and Department B: $12,000.Therefore, total direct labor cost is $25,000.Manufacturing overhead cost is allocated on the basis of direct manufacturing labor cost using departmental rates. The departmental overhead rates at the beginning of the year are as follows; Department A = $2.60 per direct manufacturing labor cost Department B = $0.51 per direct manufacturing labor cost Therefore, Manufacturing overhead allocated to the job.

Department A = $2.60 × $13,000 = $33,800Department B = $0.51 × $12,000 = $6,120Total manufacturing overhead allocated = $33,800 + $6,120 = $39,920Therefore, the total cost of the job = $27,000 + $25,000 + $39,920 = $91,920.

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Assume we draw the indifference curves of a typical consumers, having electricity as one of the goods, and all other goods as a whole, as the second good. Assume the indifference curved remained same, while price of electricity increases. Draw on a graph with indifference curve and budget line showing how the optimal consumption bundle did change.

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Assume we draw the indifference curves of a typical consumers, having electricity as one of the goods, and all other goods as a whole, as the second good. Assume the indifference curved remained same, while price of electricity increases.

Draw on a graph with indifference curve and budget line showing how the optimal consumption bundle did change.The consumer's optimal consumption bundle depends on their preferences and the prices of the two goods. An increase in the price of electricity, holding the price of other goods constant, has two effects on the optimal consumption bundle:the effect on relative prices, andthe effect on the budget constraint.To illustrate these effects, assume that the consumer's indifference curves are bowed inward and that the budget line slopes downward. At the original price of electricity, the optimal consumption bundle is where the budget line is tangent to an indifference curve. When the price of electricity rises, the budget line becomes steeper because the slope is minus the price of electricity over the price of the other good.The effect on the relative price of electricity is to make it more expensive relative to the other good. As a result, the consumer would prefer to consume less electricity and more of the other good. This effect can be illustrated by a pivot in the indifference curves around the new budget line, showing a lower consumption of electricity and more of the other good.The effect on the budget constraint is to shift it inward parallel to itself, because the consumer has less real income, or purchasing power, to spend on the two goods. The new budget line intersects the old indifference curves at a lower point, indicating that the consumer can no longer afford to consume the same quantities of both goods. This effect can be illustrated by a leftward shift in the budget line parallel to itself, showing a lower level of consumption of both goods. Thus, the combined effect of the price increase is a reduction in the quantity of electricity consumed and in the level of utility attained by the consumer, as shown in the figure below.

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Please I want at least a full page's answer to this question Question What can be done to enhance the acceptability of marketing research as a key management activity?

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Enhancing the acceptability of marketing research as a key management activity is crucial for organizations to make informed decisions and gain a competitive edge in today's dynamic business environment. To achieve this, several strategies can be implemented:

Demonstrating the value of marketing research: It is important to educate and communicate the benefits of marketing research to key stakeholders within the organization.Aligning research objectives with business goals: Marketing research should be closely tied to the organization's strategic objectives.Integrating research into the decision-making process: Embedding marketing research into the decision-making process is crucial for its acceptability. Developing a research-driven culture: Fostering a culture that values and encourages the use of marketing research is essential. This can be achieved by promoting awareness and understanding of research methodologies and their potential impact on decision-making.Ensuring research quality and reliability: High-quality research is essential to gain acceptance and trust among decision-makers. Organizations should invest in qualified researchers, robust methodologies, and appropriate data collection techniques. Communicating research findings effectively: The way research findings are communicated can greatly influence their acceptability.

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which of the following scenarios are examples of job separation as a result of creative destruction

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Creative destruction is the method of producing innovative goods that inevitably lead to the decline of outdated goods or services, ultimately resulting in job loss for individuals who previously worked in the industry.

The following scenarios are examples of job separation as a result of creative destruction: Example 1: Video rental stores were replaced by online streaming services such as Netflix, Hulu, and Amazon Prime Video. This led to job loss for individuals who worked at video rental stores. This situation is an example of creative destruction because online streaming services have innovatively substituted traditional video rental stores. As a result, the video rental stores industry was destroyed, leading to job loss for individuals who worked there. Example 2: The newspaper industry was replaced by digital platforms. As a result, job loss happened for individuals who worked in the newspaper industry. This situation is an example of creative destruction because the digital platforms have innovatively substituted traditional newspaper companies, leading to job loss for individuals who worked there. In both the above scenarios, innovative products have led to job loss for people working in the outdated sector. Thus, the given scenarios are examples of job separation as a result of creative destruction.

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Let Y 7700 – 7P represents an aggregate demand curve. If potential GDP were 7000, the price level that would produce aggregate demand just supporting that potential would be (a) 110 (b) 100 (c) 90 (d) 105 (e) 75

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The answer to this question is option (b) 100. If the potential GDP were 7000, the price level that would produce aggregate demand just supporting that potential would be 100.

The total amount of goods (and services) that the economy has demanded at various price levels is represented by the aggregate demand curve.

Given, Aggregate demand curve Y = 7700 - 7P

If the potential GDP is 7000, then we can substitute Y with 7000.

Now, 7000 = 7700 - 7P 7P = 7700 - 7000 7P = 700 P = 100

Therefore, the price level that would produce aggregate demand just supporting that potential would be 100.

Therefore, the correct option is (b) 100.

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How much of a monthly payment of $91.68 goes toward principal
when the interest paid is $15.00?

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$76.68 of the monthly payment goes toward the principal.

Principal is most commonly used to refer to the original sum of money borrowed in a loan or put into an investment. It can also refer to the face value of a bond, the owner of a private company, or the chief participant in a transaction.

To determine the portion of the monthly payment that goes toward the principal, we need to subtract the interest paid from the total monthly payment.

Total monthly payment: $91.68

Interest paid: $15.00

Principal payment = Total monthly payment - Interest paid

Principal payment = $91.68 - $15.00

Principal payment = $76.68

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An increase in the minimum wage can potentially lead to all but which of the following? Multiple Choice an increase in the general price level (inflation) a reduction in total economic surplus a decline in employment a material reduction in the poverty rate

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An increase in the minimum wage can potentially lead to all but a reduction in total economic surplus. Option 2.

What is minimum wage?

A minimum wage is a government-mandated minimum amount of payment that employers are required to pay their employees. The minimum wage is intended to guarantee that employees receive a wage that is fair and sufficient for a modest standard of living.

Why is minimum wage important?

A minimum wage is significant since it helps to establish a baseline for employee compensation, ensuring that workers receive a fair wage. This is particularly essential for low-wage workers, who may be in danger of being underpaid or mistreated without a minimum wage.

What can an increase in the minimum wage lead to?

An increase in minimum wage can lead to the following: An increase in the general price level (inflation) and A decline in employment. A material reduction in the poverty rate (since those who earn the minimum wage are typically in low-income households).

However, an increase in the minimum wage does not lead to a reduction in total economic surplus. Economic surplus refers to the total value of benefits that a business, community, or society receives from a transaction, exchange, or any economic activity, and it can be expressed in monetary terms.

Thus, increasing the minimum wage does not reduce the total value of benefits that a business, community, or society receives from economic activity.

Hence, the correct answer is option 2. A reduction in total economic surplus.

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This KAT Insurance Corporation dataset is based on real-life data from a national insurance company. The dataset contains more than 65,000 insurance sales records from 2017. All data and names have been anonymized to preserve privacy.
Requirements
I. Below are the requirements for analyzing the sales records in the dataset.
1. There are some typographical errors in the data set for the Region and Insurance Type fields. Find and correct these errors.
2. Compute the variable cost and contribution margin for each policy sold.
3. Add the sales revenue, variable cost, and contribution margin for each Insurance Type.
a. Which type of insurance had the highest total marginal contribution?
b. Which type of insurance had the lowest total marginal contribution?
c. How many insurance policies were sold in each Type of Insurance?
d. What is the average marginal contribution per policy in each Type of Insurance?

Answers

In order to fulfill the requirements for analyzing the sales records in the KAT Insurance Corporation dataset, let's address each requirement step by step as given below.

Group the sales records by Insurance Type.

Compute the total sales revenue, total variable cost, and total contribution margin for each Insurance Type by summing the respective values for all policies within the group.

a. Compare the total contribution margin values for each Insurance Type.

Identify the Insurance Type with the highest total contribution margin.

b. Compare the total contribution margin values for each Insurance Type.

Identify the Insurance Type with the lowest total contribution margin.

c. Count the number of policies sold for each Insurance Type.

d. Average marginal contribution per policy in each Type of Insurance:

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At Tobyhanna Army Depot, the shop responsible for giving maintenance to spare control units in radar systems is constantly operating near capacity. Each control unit is used in one of four different radar types. All control units take the same time to receive maintenance, and the shop can only repair 200 units per month.
Radar type Expected demand (1 mo) Std. Deviation (1 mo)
AN/TPS-75 12 12
AN/TRC-170 65 24
AN/TPQ-36 45 30
AN/TPQ-37 28 9
Question:
Considering that current inventory of each item is at zero, how many total units should the manager schedule maintenance this month to minimize the chances that the depot will face short term shortages?

Answers

To minimize the chances of short-term shortages at Tobyhanna Army Depot, the manager should schedule maintenance for a total of 150 control units this month.

To determine this number, we need to consider the expected demand and the standard deviation for each radar type. The goal is to allocate maintenance capacity in a way that minimizes the risk of shortages while utilizing the available capacity efficiently.

First, we calculate the total demand and standard deviation across all radar types:

Total demand = 12 + 65 + 45 + 28 = 150 units

Total standard deviation = √((12^2) + (65^2) + (45^2) + (28^2)) = 87.97 units

Next, we need to consider the capacity of the maintenance shop, which is 200 units per month. To ensure that the shop operates near capacity without exceeding it, we can allocate maintenance for the number of units equal to the mean demand minus one standard deviation:

Scheduled maintenance = Total demand - Total standard deviation

= 150 - 87.97

≈ 62.03 units

However, since the shop can only repair whole units and not fractional units, we need to round this number to the nearest whole number.

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a public company, has granted stock options to its employees and has calculated the associated compensation expense using an options pricing model. Total compensation expense was calculated using the share price at the grant date, which was $34.12 at that time. The share price subsequently increased to $37. What impact will the increase of Oswald's share price have on compensation expense?A.It will increase by $2.88.B.It will decrease by $2.88.C.It will decrease to zero.D.It will have no impact.

Answers

There will be no impact by an increase in Oswald's share price on compensation expense. The correct option is (D).

Stock options are a contract that gives an employee the right to purchase a certain number of shares of the company's stock at a predetermined price, known as the "exercise price" or "strike price." Stock options are one of the most common forms of employee equity compensation in a public company.

A stock option is a right to purchase a certain number of shares of the company's stock at a specified price within a specified period. Stock options are granted to employees as part of their overall compensation package by many companies. The value of the option to the employee increases as the market price of the stock rises.

The company's compensation expense, on the other hand, is based on the fair value of the option on the grant date. The company must recognize the compensation expense for the option in its financial statements for the period in which the employee provides the service.

The company's compensation expense is unaffected by the stock price's rise or fall after the grant date because the expense was determined based on the fair value of the option at the grant date. The company's compensation expense will not be affected by the subsequent increase in share price. Therefore, the correct option is (D).

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Particulars Account Balances Dec. 31
2019 2018
Assets. $. $
Cash. 75,000 35,000
Accounts Receivable 90,000. 98,000
MerchandiseInventory 120,000. 87,000
Long-term Investment. 10,000. 15,000
Land. 30,000 20,000
325,000 255,000
Liabilities and Shareholders ' Equity
Accounts Payable 45,000 50,000
Notes Payable (short term) 35,000. 20,000
Notes Payable (Due Dec. 2007) 20,000 -
Share Capital 150,000 125,000
Retained, Earnings 75,000 60,000
325, 000 255,000
Requirement:s prepare statement showing Changes in Working Capital and Statement of Sources and Uses of funds

Answers

Working Capital is the difference between a company's present liabilities and its existing assets. The purpose of a Statement of Sources and Uses of Funds is to help companies understand how their funds are being used and whether or not they are being used efficiently.

The statement indicates how much money is being spent on different activities and which activities are contributing to the company's growth. The Changes in Working Capital is calculated by using the formula: Changes in Working Capital = Working Capital (End) - Working Capital (Beginning)As a result, the Changes in Working Capital is: Changes in Working Capital = (45,000 + 35,000 + 20,000) - (50,000 + 20,000 + 0)= 80,000 - 70,000= 10,000The Statement of Sources and Uses of Funds is made up of three parts.

Share Capital = $150,000The following is a list of uses of funds for this situation: Purchase of Land = $10,000Purchase of Merchandise Inventory = $33,000Increase in Accounts Receivable = $8,000Increase in Cash = $40,000Decrease in Accounts Payable = $5,000Increase in Short-term Notes Payable = $15,000Increase in Long-term Notes Payable = $20,000The following is the Statement of Sources and Uses of Funds: Sources of Funds Share Capital 150,000Uses of Funds Purchase of Land 10,000Purchase of Merchandise Inventory 33,000Increase in Accounts Receivable 8,000Increase in Cash 40,000Decrease in Accounts Payable 5,000Increase in Short-term Notes Payable 15,000Increase in Long-term Notes Payable 20,000Total Uses of Funds 131,000Net Increase in Funds (Sources - Uses) 19,000Opening Balance of Funds 0Closing Balance of Funds 19,000

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A monopolistically competitive industry is similar to a
perfectly competitive industry in that:
there is free entry and exit in both markets.
products are differentiated in both markets.
firms in both markets decide output and prices on the basis of strategic interaction.
the demand curves in both markets are downward-sloping.

Answers

In order to increase sales, firms must lower prices, which leads to a decrease in revenue and profits. so , the demand curve is downward-sloping

A monopolistically competitive industry is similar to a perfectly competitive industry in that there is free entry and exit in both markets and the demand curves in both markets are downward-sloping. However, the products are differentiated and firms in both markets decide output and prices on the basis of strategic interaction.

A monopolistically competitive market is a type of market in which several firms sell products that are somewhat similar but not identical. Consumers will perceive the products as being somewhat different due to branding, quality, or other characteristics, but will generally consider them to be close substitutes for one another.

The concept of free entry and exit refers to the ability of businesses to join or leave a given market. This means that firms may enter or exit a market without incurring significant costs or being constrained by economic or legal barriers

Strategic interaction refers to the decision-making process in which one person or company's actions affect another's decision. In the context of business, this might refer to the decisions that a firm makes about pricing, marketing, or product development, which will influence the decisions of its competitors or potential customers.

In a monopolistically competitive industry, the demand curve is downward-sloping. This is because as prices increase, consumers will tend to purchase fewer of a firm's products. Therefore, in order to increase sales, firms must lower prices, which leads to a decrease in revenue and profits.

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why is it better for managers to hold separate discussion for performance appraisals and development?

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Managers are responsible for many tasks, including the evaluation of employee performance and the provision of career development opportunities.

Although performance evaluation and career development are closely linked, separating them into different discussions can be more beneficial for both managers and employees.This is due to the following reasons:Separate discussions offer employees a better understanding of the difference between performance feedback and career growth. When these two discussions are mixed, employees can confuse the feedback with the growth opportunities, thus not fully focusing on what they need to improve. By separating them, managers provide employees with a clear distinction between the two.Seperate discussions reduce the burden on the manager's shoulders. Combining the two discussions may result in employees asking the manager to justify the feedback they received. This can lead to a long and drawn-out conversation that results in the manager giving away valuable career growth opportunities.

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solve asap
Listen Your credit card, upon which you make monthly payments, has a quoted annual interest rate of 17.2. What is the effective annual interest rate? Calculate your answer to the nearest .01% Do not u

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When credit card companies provide you with the annual interest rate, they are disclosing the rate that applies to the amount that you owe.

However, this rate does not reflect the true cost of the loan. The true cost of the loan is reflected in the effective annual interest rate, which is calculated by taking into account the compounding effect of the interest. To calculate the effective annual interest rate of a credit card that charges an annual interest rate of 17.2%, you will need to use the following formula:Effective annual interest rate = (1 + r/n)^n - 1where r is the annual interest rate, and n is the number of times that the interest is compounded in a year. In this case, r = 17.2% and n = 12, because interest is compounded monthly. Plugging these values into the formula, we get:Effective annual interest rate = (1 + 0.172/12)^12 - 1= 0.1895 or 18.95% (rounded to the nearest .01%)Therefore, the effective annual interest rate of the credit card is 18.95%.

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National Income and Product Accounts (NIPA) Consider the following information about the U.S. economy in 2021 in billions of U.S. dollars: 4 Gross Domestic Product 22,996.1 Income receipts from the rest of the world 1,145.0 Payment payments to the rest of the world 892.5 Consumption of fixed capital 3,847.9 € Statistical discrepancy -519.5 Corporate profits with inventory valuation and capital consumption adjustments 2,805.84 Taxes on production and imports less subsidies 1,148.1 € Contributions for government social insurance, domestic 1,591.1 4 Net interest and miscellaneous payments on assets 686.14 Business current transfer payments (net) 164.0 Current surplus of government enterprises -12.9 Personal income receipts on assets 2.941.34 Personal current transfer receipts 4,597.8 Calculate (a) Gross National Product (GNP) 4 (6) Net National Product (NNP) (c) National Income (PI) (d) Personal Income (PI)

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Using the National Income and Product Accounts (NIPA) data provided, we can calculate the following:

(a) Gross National Product (GNP) = Gross Domestic Product + Income receipts from the rest of the world - Payment payments to the rest of the world

GNP = 22,996.1 + 1,145.0 - 892.5 = 23,248.6 billion U.S. dollars

(b) Net National Product (NNP) = Gross National Product - Consumption of fixed capital

NNP = 23,248.6 - 3,847.9 = 19,400.7 billion U.S. dollars

(c) National Income (PI) = Net National Product - Statistical discrepancy - Corporate profits with inventory valuation and capital consumption adjustments - Taxes on production and imports less subsidies - Contributions for government social insurance, domestic - Net interest and miscellaneous payments on assets - Business current transfer payments (net) - Current surplus of government enterprises

PI = 19,400.7 - (-519.5) - 2,805.84 - 1,148.1 - 1,591.1 - 686.14 - 164.0 - (-12.9)

PI = 12,712.03 billion U.S. dollars

(d) Personal Income (PI) = National Income - Taxes on production and imports less subsidies + Contributions for government social insurance, domestic + Net interest and miscellaneous payments on assets + Personal income receipts on assets + Personal current transfer receipts

PI = 12,712.03 - 2,805.84 + 1,148.1 + 686.14 + 2.941.34 + 4,597.8

PI = 18,380.57 billion U.S. dollars

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1. To whom will your candy bar be sold? The answer to this question will specify the characteristics (age, gender, income, health-consciousness, etc.) of your target market segments. Provide a rationale for the market segments you choose. 2. What is the product? The answer to this question will specify the features, such as the ingredients, form, size, packaging, etc, and benefits of the candy bar you think are important to consumers. Provide a rationale for the product you create. 3. How much will consumers pay for it? The answer to this question will specify the price paid for the quantity received by consumers. Provide a rationale for the price you want to charge. 4. How will consumers find out about it? The answer to this question will specify the advertising methods and message you will use to communicate to consumers about the candy bar and the kinds of inducements (coupons, samples, etc.) you will offer them to try it. Provide a rationale for the promotions you want to use. 5. Where will consumers buy it? The answer to this question will specify the types of retail outlets or "place where consumers in your target market are likely to buy the candy bar. Provide a rationale for your distribution channels. 6. How is your candy bar different from those already on the market? The answer to this question will specify the significant points of difference of your candy bar Provide a rationale for its superiority,

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The candy bar is marketed to consumers who are health-conscious, with a focus on young adults (18-35 years old) with disposable income who are looking for decadent but wholesome snack options and difference.

The candy bar is specifically marketed to people who are health-conscious because there is a rising need in this market sector for decadent but wholesome snack options. Young adults between the ages of 18 and 35 are particularly targeted since they are more likely to be financially independent and to place a high priority on their health and wellbeing. The candy bar can attract customers who are willing to spend more for organic and high-quality items by appealing to this market niche in case of difference.

The product itself is an organic candy bar made from plants. To assure both taste and nutritional content, only the finest ingredients are used in its preparation. To give customers a variety of options to fit their preferences, the candy bar is available in a variety of flavours. It comes in a variety of sizes to accommodate various consumption.


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A diversified company's business units exhibit good financial resource fit when
A.the resource requirements of each business exactly match the company's available resources.
B.each business is a cash cow.
C.a company has the resources to adequately support the requirements of its businesses as a group without spreading itself too thin and when individual businesses add to a company's overall strengths. each business is sufficiently profitable to generate an attractive return on invested capital.
D.each business unit produces large internal cash flows over and above what is needed to build and maintain the business.

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A diversified company's business units exhibit good financial resource fit when the company has the resources to adequately support the requirements of its businesses as a group without spreading itself too thin, and when individual businesses add to the company's overall strengths.

Achieving a strong financial resource fit within a diversified company is vital for its optimal performance and growth. It involves aligning the company's available resources with the unique needs of its business units. Here are key considerations:

1. Adequate resource support: The company must possess sufficient financial resources, managerial expertise, and operational capabilities to effectively meet the diverse requirements of its business units. This ensures that each unit receives the necessary support to thrive and contribute to the overall success of the company, without overstretching its resources.

2. Synergistic strengths: Each business unit within the diversified company should enhance the company's overall strengths. This means that each unit should have the potential to generate profitable returns and positively impact the company's financial performance. When the units complement and create synergies with one another, the company can leverage collective strengths to gain competitive advantages and achieve sustainable growth.

By achieving a good financial resource fit, the diversified company can optimize its resource allocation, enhance its overall performance, and generate value for its stakeholders. This requires a thoughtful evaluation of the company's available resources, the specific needs of its business units, and the potential for synergy and profitability within each unit.

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C) Lina has to pay RM443.21 every month to settle loan of RM10,000 at 6% compounded monthly. Find the number of payments that he has to make. (4 marks) I

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Lina has to make 25 payments to settle the loan. To find the number of payments Lina has to make to settle the loan, we can use the formula for the future value of an ordinary annuity.

FV = P * ((1 + r)^n - 1) / r

Where:

FV = Future value of the loan (RM10,000)

P = Monthly payment (RM443.21)

r = Monthly interest rate (6% or 0.06 divided by 12)

n = Number of payments (unknown)

Rearranging the formula to solve for n, we get: n = log((FV * r + P) / P) / log(1 + r)

Let's plug in the values:

FV = 10,000

P = 443.21

r = 0.06 / 12

n = log((10,000 * (0.06 / 12) + 443.21) / 443.21) / log(1 + (0.06 / 12))

Using a calculator, we can compute the value of n.

n ≈ 24.89

Since we cannot have a fraction of a payment, we round up to the nearest whole number. Lina has to make 25 payments to settle the loan.

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Answer:
5) Explain how the use of internet can create ethical concerns for sales people in some cases. (Minimum 45 words)
Answer:
7) Describe three "half-truths" that have influenced the erosion of character in ethical decision making. (Minimum 145 words)
Answer:
8) Briefly describe each one of the illegal practices by major Federal Legislation in Canada:
a) Price fixing:
b) Bid rigging:
c) Price discrimination:
d) Predatory pricing:

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When a salesperson tries to persuade a customer to buy a product and tell them how much it costs, the customer does a search for the product's price online and sees the price difference.

This makes the salesperson act as a cone in front of the customer, who is very concerned about the product's quality and price and can find out on the internet, which can cause an ethical problem for the salesperson and cause the customer to lose trust in the salesperson and may feel misled.

7. Three 'half - truths' are :

We're in it for ourselves only :

Numerous associations make themselves independent with regards to moral choices, where they work independently and share the benefit for themselves, which pursues the worry of moral choice, in light of the fact that each association should taker of others too, as the association has the risk to serve the local area by embracing the Client relationship the board (CRM)

 Corporations exist to improve investor confidence:

At the point when the association is zeroing in just on its inclinations as opposed to giving the advantage to the workers and the clients who are serving the organization.

Organizations should be lean and mean; the climate should be steady; there shouldn't be too many layoffs because people who aren't fired feel uncomfortable. Instead, the company should improve employees' futures rather than worsen them, as firing employees quickly is unethical.

8. Illegal practices by major Federal Legislation in Canada:

A) Cost fixing is a plan (created, verbal, or accumulated from lead) among competitors to raise, lower, stay aware of, or balance out expenses or cost levels. Most of the time, the antitrust laws say that each company should decide on prices and other important terms on its own, without agreeing with a competitor.

B) Bid fixing, also known as deceitful offering, occurs when at least two competitors agree not to compete effectively for tenders, allowing one cartel member to "win" the delicate

C) Price discrimination is the practice of charging customers different prices for the same product or service based on what the seller thinks the customer will agree to. In pure cost separation, the dealer charges each customer the highest possible price.

D) Predatory pricing is the illegal practice of lowering prices in an effort to eliminate competition. Because it renders advertisements more vulnerable to syndication, reckless estimation violates antitrust laws.

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B. C. SPY trades at $389.43, you can lend at 7% for 1 year. The stock pays an annual dividend of 1.4%. What would be the forward price at 1 year? SO $389.43 $417.65 year 1 1.40% r 7% You hire the forward at the B. price for $500,000 to hedge against a 1-year SPY drop. į. What would be the result in monetary amount if the derivative if within 1 year SPY trades at $349? What would be the result in monetary amount if the derivative if within 1 year SPY trades at $415?

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To calculate the forward price at 1 year, we can use the formula:

Forward Price = Spot Price x (1 + Risk-Free Rate - Dividend Yield) ^ Time

Given:

Spot Price (S) = $389.43

Risk-Free Rate (r) = 7% or 0.07

Dividend Yield (d) = 1.4% or 0.014

Time (t) = 1 year

Forward Price = $389.43 x (1 + 0.07 - 0.014) ^ 1

Forward Price = $389.43 x (1.056) ^ 1

Forward Price = $411.05 (rounded to two decimal places)

Therefore, the forward price at 1 year would be approximately $411.05.

Now, let's calculate the result in monetary amount if the derivative is within 1 year and SPY trades at $349:

Result = Forward Price - Spot Price

Result = $411.05 - $349

Result = $62.05

If SPY trades at $349, the result would be a positive gain of $62.05.

Similarly, let's calculate the result in monetary amount if the derivative is within 1 year and SPY trades at $415:

Result = Forward Price - Spot Price

Result = $411.05 - $415

Result = -$3.95

If SPY trades at $415, the result would be a negative loss of $3.95.

Please note that these calculations assume that the forward contract is perfectly executed and there are no transaction costs or other factors impacting the result.

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i need this on word asap please
Exemplify a Merger and Cartel cases. Are there countries where Mergers and Monopolies are legal?

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Merger Case: An example of a merger case is the acquisition of Whole Foods Market by Amazon.

In 2017, Amazon acquired the organic grocery chain Whole Foods Market for approximately $13.7 billion. This merger combined Amazon's online retail expertise with Whole Foods' physical grocery stores, creating a significant presence in the retail industry. The merger faced regulatory scrutiny to ensure it did not create anti-competitive effects, but it was ultimately approved by the relevant authorities.

Cartel Case:

One well-known cartel case is the OPEC (Organization of the Petroleum Exporting Countries) cartel. OPEC is an international organization consisting of 14 oil-producing countries, including Saudi Arabia, Iran, and Venezuela. The cartel's objective is to coordinate and control oil production levels to influence global oil prices. OPEC members collaborate to set production quotas and manipulate supply to maintain desired price levels. Such collusive behavior is considered anti-competitive and has been subject to scrutiny by competition authorities.  

Regarding the legality of mergers and monopolies, it varies across countries. Some countries have regulations and antitrust laws in place to prevent anti-competitive behavior and protect market competition. These countries typically have competition authorities that review mergers and acquisitions to ensure they do not harm competition and consumer welfare.  

However, in some countries, mergers and monopolies may be legal under certain conditions or regulatory frameworks. Some countries may have less strict antitrust laws or different thresholds for assessing the impact of mergers on competition. It's important to note that even in countries where mergers and monopolies are legal, there are often regulatory mechanisms in place to monitor and address anti-competitive practices to prevent abuses of market power.

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A supplier produces a product at the cost of $0.5 per unit (ie, c=0.5) and sells it to a retaller at the wholesale price w. The retailer, in turn, sells the product to customers at a retailer price p. The two firms are consi ldering, a revenue sharing contract as follows. The supplier sells the product free of charge (i.e, w=0) to the retailer, but for each product sold, the supplier gets 0.7p and the retailer gets 0.3p. The demand for the product is not random, but is sensitive to price. given as D(p)=100-50p. Assume that inventory-related costs are zero. What is the retail price p that maximizes the retailer's own profit?
A. 0.7
B. 0.5
C. 1.5
D. 1
E. 0.3

Answers

D.) 1 The maximum profit occurs at the endpoint p = 1, which gives:
(0.7*1 - 0.5)*50 = 10

To find the retail price that maximizes the retailer's profit, we need to determine the profit function for the retailer.

Let x be the quantity sold, then the revenue function for the retailer is p*x.

The cost function for the retailer is (0.5 + 0.3p)*x, which includes the cost of the product and the portion of revenue shared with the supplier.

Therefore, the profit function for the retailer is:
p*x - (0.5 + 0.3p)*x = (p - 0.5 - 0.3p)*x = (0.7p - 0.5)*x

To maximize profit, we need to find the value of p that maximizes the expression (0.7p - 0.5).

Taking the derivative of this expression with respect to p and setting it equal to zero, we get:
0.7 - 0 = 0.7

Therefore, the value of p that maximizes the retailer's profit is:
p = 0.7/0.5 = 1.4

However, this is not a valid answer choice. We need to check the endpoints of the demand function to ensure that we have found the maximum.

When p = 0, x = 100, and when p = 2, x = 0. Therefore, the retailer can only sell between 0 and 100 units.

Substituting p = 0 into the profit function, we get:
(0.7*0 - 0.5)*100 = -50

Substituting p = 2 into the profit function, we get:
(0.7*2 - 0.5)*0 = -0.9


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The unemployment rate is calculated as (A) the number of people not working divided by the population (B) the number of people not working divided by the number of people working both full-time and part-time (C) the number of people working part-time but actively seeking full-time employment divided by the number of people in the labor force (D) the number of people not working but actively seeking employment divided by the number of people in the labor force (E) the number of people in the labor force divided by the population

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The unemployment rate is calculated as the number of people not working but actively seeking employment divided by the number of people in the labor force (option D).

The unemployment rate is a measure of the proportion of the labor force that is unemployed and actively seeking employment. It helps to gauge the health of the labor market and the level of joblessness in an economy. Option A, the number of people not working divided by the population, does not take into account the number of people who are actively seeking employment and thus may include individuals who are not part of the labor force, such as retirees or individuals who are not currently seeking work. Option B, the number of people not working divided by the number of people working both full-time and part-time, does not consider individuals who are unemployed and not working at all, and it does not provide a comprehensive measure of unemployment.

Option C, the number of people working part-time but actively seeking full-time employment divided by the number of people in the labor force, specifically focuses on individuals working part-time who desire full-time employment, but it does not encompass the entire unemployed population. Option E, the number of people in the labor force divided by the population, does not distinguish between employed and unemployed individuals, and it does not provide a measure of unemployment. Therefore, the correct answer is option D, the number of people not working but actively seeking employment divided by the number of people in the labor force. This ratio captures the percentage of the labor force that is actively looking for work and unable to find employment, providing a more accurate representation of the unemployment rate.

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old+time+savings+bank+pays+3%+interest+on+its+savings+accounts.+if+you+deposit+$1,200+in+the+bank+and+leave+it+there:+(do+not+round+intermediate+calculations.+round+your+answers+to+2+decimal+places.)

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The total amount in the account after 5 years is $1,417.47 (rounded to 2 decimal places).Hence, the answer is $1,417.47.

Given that the old time savings bank pays 3% interest on its savings accounts and a deposit of $1,200 is made. We have to find out the total amount in the account after 5 years without rounding intermediate calculations.The formula to calculate the total amount in the account is given by,A = P(1 + r/n)^(nt),where,P = $1,200 (the amount deposited)r = 0.03 (the annual interest rate expressed as a decimal)n = 1 (the number of times per year interest is compounded)t = 5 (the number of years)Substitute the given values in the above formula and simplify.A = $1,200(1 + 0.03/1)^(1*5)A = $1,200(1.03)^5A = $1,417.47Therefore, the total amount in the account after 5 years is $1,417.47 (rounded to 2 decimal places).Hence, the answer is $1,417.47.

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