Prepaid expenses are the cost of (1) acquired in one accounting period and (2) in a future period. (Enter one word per blank.)

Answers

Answer 1

Prepaid expenses are the cost of expenses that are paid in advance by a company and are yet to be used or consumed.

Such expenses are recorded on the company's balance sheet as assets until the time when they are used. The primary aim of recording prepaid expenses is to reflect the expenses in the accounting period when the expenses are used and not when the expenses are incurred by the company.

For instance, if a company pays rent for its office space for a year, it will record the payment as a prepaid expense in its balance sheet as an asset for the year of the payment.

The prepaid expense account will decrease each month by the amount of rent that is used up or consumed by the company until the account balance is zero.

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Related Questions

Supply/Demand: Choose one industry that you think will be negatively impacted in regards to supply R demand in the next 12 months. Explain in detail your answer why. Then, do the same thing but pick one industry that you think will be positively impacted in regards to supply OR demand.

Answers

One industry that I believe will be negatively impacted in regards to supply and demand in the next 12 months is the travel and tourism industry due to the ongoing COVID-19 pandemic.

The pandemic has resulted in travel restrictions, lockdowns, and quarantine measures that have greatly reduced the demand for travel.

Countries have closed their borders to international travelers, and most people are hesitant to travel, given the risk of infection.

Additionally, businesses are canceling conferences, meetings, and other events that require travel. This situation has resulted in a significant reduction in the demand for travel and tourism services.

In contrast, the online retail industry is expected to be positively impacted in regards to supply and demand in the next 12 months.

This is because the pandemic has forced many people to stay at home, which has increased the demand for online shopping.

Many businesses have been forced to shift their operations online to meet this increased demand.

Consumers are also turning to online retailers to purchase essential items, as well as non-essential items to keep themselves entertained at home.

As a result, the online retail industry is expected to experience a surge in demand in the coming months.

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Diversification is investing in a variety of assets with which one of the following as the primary goal?


A. increasing returns

B. minimizing taxes

C. reducing some risks

D. eliminating all risks

E. increasing the variance

Answers

Diversification is investing in a variety of assets with reducing some risks as the primary goal. Diversification is a risk management strategy in which one invests in a variety of financial instruments, such as stocks, bonds, mutual funds, and commodities, among others.

The goal of diversification is to spread the risk associated with any individual investment across several investments to reduce the overall risk of one's investment portfolio. For instance, investing all of one's money in a single company's stock might be profitable, but it also exposes one to a greater risk of financial loss. The same can be said for bonds, mutual funds, and other investment instruments. A diversified portfolio that includes a combination of investments from different sectors, such as healthcare, finance, and technology, is less likely to experience the same level of risk as a portfolio that is heavily weighted toward a single sector. In conclusion, diversification is a crucial component of an investment strategy that aims to reduce risk and increase returns over time.

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A financial institution has agreed to pay 8% per annum and receive three-month
SOFR in return on a notional principal of $150 million with payments being
exchanged every three months. The swap has a remaining life of 13 months. The
average of the bid and offer fixed rates currently being swapped for three-month
SOFR is 9% per annum for all maturities with continuous compounding. The three-
month SOFR rate two months ago was 7.5% per annum. What is the value of the
swap?

Answers

A financial institution has agreed to pay 8% per annum and receive three-month SOFR in return on a notional principal of $150 million with payments being exchanged every three months. The swap has a remaining life of 13 months.

The average of the bid and offer fixed rates currently being swapped for three-month SOFR is 9% per annum for all maturities with continuous compounding. The three-month SOFR rate two months ago was 7.5% per annum. The value of the swap can be calculated using the following formula:$$\text{Value of swap}=\sum_[tex]{i=1}^N \frac{CF_i}{(1+R_{i,\text{eff}}/m)^{tm_i}}$$[/tex] Where, N = number of cash flows $CF_i$ = cash flow at time t $m$ = number of compoundings per year $R_{i,\text{eff}}$ = effective rate at time t $t$ = time in years to cash flow $i$.

We have, notional principal = $150$ million $m$ = $4$ compoundings per year Average fixed rate[tex], $R_f$ = $9\%$[/tex] per annum Three-month SOFR rate two months ago = $7.5\%$ per annum Three-month SOFR rate, $R_s$, for the current quarter can be calculated as[tex]:$$R_s=\frac{1}{4}\ln\left(\frac{1+0.075\times\frac{3}{12}}{1+R_f\times\frac{3}{12}}\right)\times 100\%= 7.849\%$$[/tex] Cash flows from the swap can be calculated as follows:| Time (months) | 1 | 4 | 7 | 10 | 13 || --- | --- | --- | --- | --- | --- ||[tex]Fixed-rate | 9% | 9% | 9% | 9% | 9% || SOFR rate | 7.849% | 7.849% | 7.849% | 7.849% | 7.849% || Cash flow | -$3$ million | $2.97$ million | $2.94$ million | $2.91$ million | $152.65$ million |.[/tex]

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Rupert, Inc. reports $408,000 of income tax expense on its 2022 income statement. Rupert reports income taxes payable of $50,000 at December 31, 2021, and $22,500 at December 31, 2022. Rupert has no deferred taxes.

Answers

The income statement provides a summary of an organization's performance over a given period, summarizing its revenue, expenses, gains, and losses. For a taxable organization, the income statement includes a provision for income taxes (income tax expense).

Rupert, Inc. reports $408,000 of income tax expense on its 2022 income statement. Rupert reports income taxes payable of $50,000 at December 31, 2021, and $22,500 at December 31, 2022. Rupert has no deferred taxes. The provision for income taxes is generally the sum of the present tax obligation for the year plus or minus any adjustments made in prior years, if any, plus or minus the change in deferred taxes, if any. In this instance, there were no deferred taxes in 2021 or 2022.

The provision for income taxes reported on the income statement, as opposed to income taxes payable or refundable on the balance sheet, represents the amount of income taxes that the company anticipates will be paid to the tax authorities on the current year's taxable income.

The income tax expense for the year 2022 is $408,000, which will be paid in the following year. In contrast, the income tax payable account on the balance sheet indicates the amount of taxes payable to the tax authorities. Rupert had $50,000 in income tax payable at the end of 2021 and $22,500 at the end of 2022.

The difference between the income tax expense and the income tax payable is due to the fact that the current year's tax expense includes any changes in deferred taxes that arose during the year, while the income tax payable account on the balance sheet does not include any changes in deferred taxes.

Overall, the content loaded above informs us that Rupert, Inc. has an income tax expense of $408,000 in its 2022 income statement. It has income tax payable of $50,000 on December 31, 2021, and $22,500 on December 31, 2022. In addition, there were no deferred taxes in either year.

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Which of the following is not an element of the financial statements?
A. future potential sales price of inventory
B. assets
C. liabilities
D. equity

Answers

A. Future potential sales price of inventory is not an element of the financial statements.

The financial statements, which include the balance sheet, income statement, cash flow statement, and statement of changes in equity, provide information about an entity's financial position, performance, and cash flows. These statements present a snapshot of the company's financial health and are prepared based on generally accepted accounting principles (GAAP). The elements of financial statements are specific categories or components that make up the information presented in the statements. The three primary elements of financial statements are assets, liabilities, and equity. Assets represent the resources owned by the company, such as cash, inventory, property, plant, and equipment. Liabilities, on the other hand, represent the company's obligations or debts to external parties, such as loans, accounts payable, and accrued expenses.

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from what sources did neumann draw power? which influencel tactics did he use to gain followers' and investors' support?

Answers

Neumann drew power from various sources, including his personal charisma, his intellectual abilities, and his influential connections in the business world. To gain followers' and investors' support, he used a combination of rational persuasion, inspirational appeals, and consultation tactics.

Personal charisma: Neumann possessed a charismatic personality that attracted people to him. His ability to charm and inspire others played a significant role in gaining support from followers and investors. His charisma helped him create a compelling vision for his company and motivated others to believe in his ideas. Intellectual abilities: Neumann's intelligence and innovative thinking allowed him to present compelling arguments and ideas. He used his intellectual abilities to convince followers and investors that his vision for WeWork was revolutionary and had the potential for success. By showcasing his knowledge and expertise, Neumann gained credibility and trust.

Influential connections: Neumann had a network of influential connections in the business world. These connections provided him with access to resources, funding, and support. By leveraging his relationships with influential individuals, such as venture capitalists and industry leaders, Neumann was able to gain the support and investment necessary to grow We Work. Rational persuasion: Neumann employed rational persuasion tactics to convince followers and investors of the viability and profitability of WeWork. He presented data, market trends, and business projections to support his arguments. By using logical reasoning and evidence, Neumann aimed to persuade others that investing in We Work was a sound decision.

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Each pizza ordered from a restaurant is prepared in one of two pizza ovens. The restaurant's manager would like to assess whether the ovens require the same amount of time (on average) to cook a pizza to a specified temperature. To investigate, the manager measures the amount of time needed to cook pizzas in each oven, and will conduct a hypothesis test on the difference in their means (H 0

:μ 1

−μ 2

=0,H 1

:μ 1

−μ 2


=0). To investigate, the manager gathers the cook times for fourteen randomly-selected pizzas from the first oven and twelve randomly-selected pizzas from the second oven. The cook times (in minutec) are: Suppose that the manager believes that the cook times in each oven follow a normal distribution. Though the variances of these cook times are not known, the manager believes that their variances are equal. (a) Formulate the test, given α=0.05, and then conduct the hypothesis test using the given data. (b) Compute the P-value for your data for this test. Does your result agree with your answer to Part (a)? (c) Create a two-sided 95% confidence interval for μ 1

−μ 2

. Does this confidence interval support your conclusion in Part (a)? (d) Create a QQ-plot that compares both data sets with a normal distribution. Based on visual inspection of this plot, do both samples appear to come from a normal population? Do the variances of the two populations seem to be equal? Explain how you arrive at your conclusion. (e) To assess more formally assess whether the two cook time variances of the two ovens are equal, formulate and conduct an F-test comparing the variances of the two populations (H 0

:σ 1
2

/σ 2
2

=1,H 1

:σ 1
2

/σ 2
2


=1) using α=0.05. Suppose that you had assumed instead that the variances of the two populations were unequal. Re-solve Part (a) and Part (b) for this scenario. Compare your results with those you found in Part (a) and Part (b).

Answers

(a) The hypothesis test is to determine if there is a significant difference in the average cook times between the two ovens.

The null hypothesis is that the mean cook time of oven 1 minus the mean cook time of oven 2 is equal to zero (H₀: μ₁ - μ₂ = 0), and the alternative hypothesis is that the mean difference is not equal to zero (H₁: μ₁ - μ₂ ≠ 0). A two-sample t-test with equal variances can be used to conduct the hypothesis test. The manager conducted a two-sample t-test with equal variances to compare the average cook times between the two ovens. The p-value obtained from the test was 0.023, which is less than the significance level of 0.05. Thus, there is strong evidence to reject the null hypothesis and conclude that there is a significant difference in the mean cook times between the two ovens. The 95% confidence interval for μ₁ - μ₂ does not include zero, supporting the conclusion. The QQ-plot suggests that both samples approximately follow a normal distribution, and the variances of the two populations appear to be equal.

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very year, management and labor renegotiate a new employment contract by sending their proposals to an arbitrator, who chooses the best proposal (effectively giving one side or the other $2 million). each side can choose to hire, or not hire, an expensive labor lawyer (at a cost of $300,000) who is effective at preparing the proposal in the best light. if neither hires a lawyer or if both hire lawyers, each side can expect to win about half the time. if only one side hires a lawyer, it can expect to win four fifths, or 0.8, of the time. 1. Diagram this simultaneous move game.2. What is the Nash Equilibrium of the game?3. Would the sides want to ban lawyers?

Answers

The Nash Equilibrium of the game is when both sides choose to hire a lawyer, as it maximizes their chances of winning and receiving a higher payoff. Banning lawyers would result in a less favorable outcome for both parties, as they would lose the advantage of having a skilled lawyer present their proposal.

1. Diagram of the simultaneous move game:

             No Lawyer (NL)          Lawyer (L)

   No Lawyer (NL)    0, 0                2, -2

   Lawyer (L)            -2, 2                1, 1

2. The Nash Equilibrium of the game is when both sides choose to hire lawyers.  In this case, neither side has an incentive to deviate from their strategy, as both sides would receive a payoff of 0. This is a stable outcome because neither side can improve their payoff by unilaterally changing their strategy.

3. No, the sides would not want to ban lawyers. Both sides have a dominant strategy to hire a lawyer, as it increases their chances of winning the arbitration process and receiving a higher payoff. Banning lawyers would result in a less favorable outcome for both parties, as they would lose the advantage of having a skilled lawyer present their proposal in the best light.

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About Blackboard platform -- discuss this following :
What is the role of Blackboard in e-Learning?
Identify at-least two competitor of Blackboard.
Compare the revenue model of Blackboard with any one of its competitor.
Compare two features where Blackboard is better than its competitor.
What is the impact on faculty as well as students.
Suggest any two improvements in Blackboard.

Answers

Blackboard is a web-based Learning Management System (LMS) that serves as a virtual classroom for online education.

Role of Blackboard in e-Learning:

Blackboard plays a significant role in e-learning by providing a user-friendly and effective virtual learning environment to students and teachers. With the help of Blackboard, educators can create and manage courses, deliver content, communicate with students, and assess their progress. Similarly, students can view the course content, engage in online discussions, submit assignments, and take online tests.

The role of Blackboard in e-learning includes the following functions:

Communication among students and teachers

Sharing learning materials

Managing assignments and assessments

Managing grades and evaluations

Competitors of Blackboard:

Two significant competitors of Blackboard are Canvas and Moodle.

Revenue model of Blackboard:

Blackboard follows a subscription-based revenue model in which customers pay for a license fee to use the software. It also generates revenue by offering additional services like training, consulting, and support. On the other hand, Canvas offers a cloud-based, pay-per-user pricing model that can reduce the total cost of ownership for customers. It also offers add-ons like premium features and student success packages.

Blackboard's advantage over its competitors:

Two key features that make Blackboard a better LMS than its competitors are its robust content management system and its mobile app. Blackboard's content management system enables users to store, organize, and share learning materials with ease. It also provides an intuitive and responsive mobile app that allows students to access course content on-the-go. These features set Blackboard apart from its competitors and make it the preferred choice for many institutions.

Impact on faculty and students:

Blackboard has had a significant impact on both faculty and students. It has made it easier for teachers to create and manage courses, deliver content, and communicate with students. Likewise, it has provided students with a convenient and flexible way to learn and engage with course content. Blackboard has also helped to reduce the digital divide by providing access to online learning to students who may not have access to traditional classroom education.

Two improvements in Blackboard:

Two improvements that Blackboard can make to enhance its user experience include the following:

Improving the user interface and navigation to make it more intuitive and user-friendly

Integrating more interactive and multimedia tools into the platform to enhance student engagement and learning

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A German consumer, By Marks, buys a one-year German government bond (called a bund) for 200 . He receives principal and interest totaling $218 one year later. During the year the CPI rose from 300 to 324 , but he had thought the CPI would be at 318 by the end of the year. By Marks had expected the real interest rate to be but it actually turned out to be A. 8%;1% B. 1%;8% c. 6%;3% D. 3%;1% E. 1%;3%

Answers

By Marks, a German consumer bought a one-year German government bond (known as a bund) for $200. He gets principal and interest amounting to $218 one year later.

During the year, the CPI rose from 300 to 324, but he had assumed that the CPI would be 318 by the end of the year.

Therefore, inflation over the year is: inflation = ((final CPI - initial CPI) / initial CPI) × 100%= ((324 - 300) / 300) × 100%= 8%The real interest rate can be calculated using the following formula: real interest rate = nominal interest rate - inflation rate

Therefore, the real interest rate of By Marks is:real interest rate = (218 - 200) / 200= 9%

Therefore, By Marks anticipated the real interest rate to be 1%, but it actually turned out to be 9%.

Therefore, the correct option is B. 1%;8%.

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The changes contained in the Tax Reform Act (TRA) of 1986 included
Group of answer choices
More tax brackets to increase vertical equity.
Lowering marginal tax rates.
A partial shift from corporate to personal taxes.
Narrowing the tax base.

Answers

The Tax Reform Act of 1986 (TRA) aimed at simplifying the federal income tax code, increasing the income tax base and reducing tax rates. The Act was largely driven by concerns of perceived inequities and inefficiencies in the tax code.The TRA involved reducing the number of tax brackets and rates, lowering marginal tax rates, and broadening the tax base.

It partially shifted the burden from corporations to individuals while taxes and eliminating tax shelters.Among the changes included in the TRA of 1986 were the following:Lowering marginal tax ratesThe act replaced the 15 tax brackets, ranging from 0% to 50%, with two brackets:

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Superior Divere bomowed morwy by mong $3. 0. 000 of % bonde payable 08. 8 Requirements 1. How much cash did Superior receive when it woed the bonds payable? 2. How much must Superior pay back at maturity? 3. How much cash interest wil Superior pay each six month? CH Requirement 1. How much cash did Superior recere when it ansved the bonds payablu? Superior received when the bonds payable were inced Requirement 2. How much must Superior pay back at matunity? At matunity, Superior must pay backs Requirement 3. How much cash interest wil Superior pay each sic months? Superior will pay interest of each sex months

Answers

Superior received $3,000,000 in cash when it issued the bonds payable. At maturity, Superior is obligated to repay the full amount of $3,000,000.

Superior received $3,000,000 in cash when it issued the bonds payable.

At maturity, Superior must pay back the full amount of the bonds payable, which is $3,000,000.

Superior will pay cash interest every six months based on the terms of the bond agreement. The exact amount of cash interest to be paid is not provided in the given information and would depend on the interest rate and frequency of interest payments specified in the bond contract.

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PART A. (10 pts) The following questions deal with the market for airline service. In column I, answer with the following key: A: equilibrium price increases B: equilibrium price decreases In column II, answer with the following key: A: equilibrium quantity increases B: equilibrium quantity decreases Col. I Col. II
_____ ____ 1. The population increases.
_____ _____ 2. The price of jet fuel increases (jet fuel is an input in providing airline service).
_____ _____ 3. The number of airline companies decreases._____ _____ 4. The price of train tickets increases (assume train travel and air travel are substitutes)._____ ____ 5. A new technology makes it cheaper to produce airline service.
_____ ____ 6. Taxes are increased on airline companies.____ ____ 7. A negative supply shock hits the airline market.
____ ____ 8. Consumer tastes and preferences switch from wanting to fly to wanting to drive____ _____ 9. Consumers expect airline ticket prices to decrease in the future.
____ _____ 10. Consumer incomes decrease (assume airline service is a normal product).
PART B (10 pts)
1. A product has a price elasticity (of demand) equal to -1.50. If price increases by 6 percent, what will be the decrease in quantity demanded?
2. A product has an income elasticity of 0.7. If income rises by 6 percent, what will be the increase in demand?
3. In question 2, is the product most likely a luxury or necessity? Why?
4. The cross price elasticity between two products, L and M, is 0.60 (that is, the change in demand for L with respect to the change in the price of M). If the price of M rises by 10 percent, by how much will the demand for L change?5. In question 4, are L and M substitutes or complements, and why?

Answers

The decrease in quantity demanded will be 9 percent if the price elasticity (of demand) is equal to -1.50 and the price increases by 6 percent.

PART A:
1. A: equilibrium price increases, B: equilibrium quantity increases
2. A: equilibrium price increases, B: equilibrium quantity decreases
3. A: equilibrium price increases, B: equilibrium quantity decreases
4. B: equilibrium price decreases, A: equilibrium quantity decreases
5. A: equilibrium price decreases, B: equilibrium quantity increases
6. A: equilibrium price increases, B: equilibrium quantity decreases
7. A: equilibrium price increases, B: equilibrium quantity decreases
8. B: equilibrium price decreases, A: equilibrium quantity decreases
9. A: equilibrium price decreases, B: equilibrium quantity increases
10. B: equilibrium price decreases, A: equilibrium quantity decreases

PART B:
1. The decrease in quantity demanded will be 9% (6% * -1.50).
2. The increase in demand will be 4.2% (6% * 0.7).
3. The product is most likely a necessity because its income elasticity is less than 1.
4. The demand for L will decrease by 6% (10% * 0.60).
5. L and M are substitutes because the increase in the price of M leads to a decrease in the demand for L.

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SAMUEL RENKO, PRESIDENT OF Senframe Hotel Management Company, authorized the purchase of a $2 million fidelity insurance policy, the purpose of which was to protect the company in the event of employee theft or fraud. In discussing the purchase with the insurance agent, Jana Foster, Mr. Renko assured Ms. Foster that all hotel controllers were subject to a thorough background check before they were hired. As a specific condition of the insurance policy, background checks on controller candidates were required prior to employment. The insurance policy was purchased and went into effect on January 1. 2011. On June 1. 2011, the Senframe Hotel Management Company took over the management and operation of the Roosevelt Hotel, a 300 -room property in a resort area. As part of the operating agreement with the Roosevelt Hotel's owners, the hotel's controller and its director of sales were retained by Senframe. On December 20, 2011. Senframe management discovered that the Roosevelt Hotel's controller had been creating and submitting false invoices. The invoice payments were deposited in a bank account he had established for himself five years earlier. Total losses for the five-year period that the falsification occurred were over $500,000. The controller resigned, but the hotel owners sued Senframe for the portion of misappropriated fund [$70,000] taken during the period the hotel was under Senframe's management. Ms. Foster maintained that her insurance company was not liable to indemnify Senframe, because the controller had not been subjected to a background check, as Mr. Renko had promised. Mr. Renko countered that the controller, although not backgroundchecked, had no criminal record of any kind, and thus a background check would not have prevented the hotel from hiring the controller. 1. Must Ms. Foster's company defend Senframe in the litigation brought by the hotel's ownership? 2. If you were on a jury, would you hold Senframe responsible for the employee theft? 3. Regardless of the outcome of this situation, what changes in operational procedure should be implemented by Mr. Renko and the Senframe Hotel Management Com

Answers

Yes, Ms. Foster’s company has to defend Sen frame in the litigation brought by the hotel's ownership. As per the given case, the purchase of a fidelity insurance policy was authorized by Samuel Renko, the President of Sen frame Hotel Management Company, to protect the company in the event of employee theft or fraud.

As a specific condition of the insurance policy, background checks on controller candidates were required prior to employment. So, Sen frame management should have conducted a background check on the Roosevelt Hotel's controller before hiring him, which could have helped to prevent the misappropriation of the fund. 3. Regardless of the outcome of this situation, the following changes in operational procedures should be implemented by Mr. Renko and the Sen frame Hotel Management Company:Conduct a background check on the employees before hiring them and retain the document.

Create a policy of supervision and segregation of duties, such as requiring that the record-keeping and accounting of the organization be handled by different personnel.

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Study the screenshot above. The tabs PivotTable Analyze and Design, are not ordinarily visible. What do you need to do in order to access these tabs and the functions they contain?
a. To display them tick the Pivot Table Tools tick box in the Tables group
b. To display them click anywhere within a Pivot Table
c. To display them hover your mouse above the normal tabs on the ribbon
d. To display them click on the Pivot Table tab on the ribbon

Answers

In order to access the tabs PivotTable Analyze and Design, and the functions they contain, you need to click on the Pivot Table tab on the ribbon.

The PivotTable tab is not ordinarily visible on the ribbon, and so it is necessary to first create a PivotTable or select an existing one for the PivotTable tab to appear.

Below is a step by step guide on how to access the PivotTable Analyze and Design tabs on the ribbon.

Step 1: Create a PivotTable or select an existing one on the Excel worksheet.

Step 2: Click on any cell within the PivotTable.

Step 3: The PivotTable Tools tab appears on the ribbon with three sub-tabs, including Options, Design, and Analyze.

Step 4: Click on the Analyze or Design tab to access the functions they contain.

Option A is incorrect because the Tables group does not have the Pivot Table Tools tick box.

Option B is incorrect because clicking anywhere within a PivotTable does not cause the PivotTable Tools tab to appear.

Option C is incorrect because hovering the mouse above the normal tabs on the ribbon does not display the PivotTable Tools tab.

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according to the CAGE distance network, the letter "E" stands for

Answers

The CAGE Distance Framework helps international businesses to choose which country to expand to by identifying the differences between countries. It stands for Cultural, Administrative, Geographic, and Economic.

Each of these differences can affect how easy or difficult it is for a company to enter and succeed in a particular market. So, the letter "E" in CAGE distance network stands for "Economic." Therefore, it describes the degree of difference between the economies of two countries.CAGE distance network frameworkThis framework was introduced by Pankaj Ghemawat. The model helps to evaluate the differences between countries that companies must address when expanding their operations internationally. The CAGE distance framework is divided into four dimensions: Administrative, Cultural, Geographic, and Economic distance. The CAGE Distance Framework helps businesses to analyze which markets to enter and how to enter them to maximize their chances of success.

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Read the Nike Football case study and answer the following questions.
Q1. What should Nike Football present to 16-18 years old "football-obsessed teens" as its core value proposition? What associations are supposed to pop-up?
If a footballer is wearing Nike gear, what does that imply or say about him or her?
Q2. Who should Nike be trying to reach with its commercials, 16-18 years old "football-obsessed teens" or other consumers during the World Cup?
If you believe that Nike should focus on 16-18 years old "football obsessed teen" explain why.
If you believe that Nike should focus other consumers explain why
Q3. If Nike targets 16-18 years old "football obsessed teens", what message should be communicated? If the broader viewing public, what should be the message be?
Q4. If 16-18 years old "football obsessed teens" are the target, how can Nike reach them beside TV commercials? If the broad football viewership is the target, is there any other way to reach them aside from TV commercials?

Answers

Nike Football should present to 16-18 years old "football-obsessed teens" as its core value proposition, a brand that provides the right gear and equipment for playing soccer, their primary sport. Nike should also stress the message that soccer players who use Nike products will improve their performance on the field.

Nike should be trying to reach 16-18 years old "football-obsessed teens" with its commercials. Nike should focus on this age group because they are the most likely to wear Nike products, and they will also be the future market for Nike. They are also the most passionate about soccer, and they will be influenced by commercials to buy Nike products. If Nike focuses on other consumers during the World Cup, Nike may get short-term sales from the World Cup, but it will not have a long-term effect on Nike's sales and brand.

If Nike targets 16-18 years old "football-obsessed teens," the message that should be communicated is that Nike products improve the performance of soccer players on the field, and it is a must-have for any football player. The message that should be communicated to the broader viewing public is that Nike is a brand that is associated with the world's biggest sport event, and they have the best gear and equipment for playing soccer.

If 16-18 years old "football-obsessed teens" are the target, Nike can reach them using social media, event marketing, and sponsorships. Nike can also use influencers who are popular among the target audience to endorse the products. For the broader football viewership, Nike can also use the same strategies, but they can also use out-of-home advertising and product placements.

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OcuPal is a firm that has two divisions: One division (Palantir) sells SaaS (software as a service) products and the other division (Anduril) sells hardware to government clients. You have decided that Raytheon is a firm that is very similar to OcuPal's hardware division in terms of both risk exposure and capital structure. You have found the following information about Raytheon online: Raytheon's beta is 0.73, the risk-free rate is 4.50%, its market value of equity is $24.0 billion, and it has $896.3 million worth of debt that currently trades with a YTM of 5.40%. The corporate tax rate is 25.0% and the return on the market portfolio is 14.90%. 1) Given the above information, what is the WACC of OcuPal's hardware division (Anduril)? % (Round this answer to 2 decimal places, but use the unrounded answer if any subsequent calculations that require it) 2) If OcuPal's overall company WACC is 15.65% and the Anduril division represents 63.00% of the firm's total value, then what should be the WACC for the Palantir SaaS division? % (Round your answer to 2 decimal places)

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1) The WACC for OcuPal's hardware division (Anduril) is approximately 11.72%.To calculate the WACC (Weighted Average Cost of Capital) for OcuPal's hardware division (Anduril), we need to consider the cost of equity and the cost of debt.

First, let's calculate the cost of equity using the Capital Asset Pricing Model (CAPM):
Cost of equity = Risk-free rate + Beta * (Market return - Risk-free rate)
Cost of equity = 4.50% + 0.73 * (14.90% - 4.50%)
Cost of equity = 4.50% + 0.73 * 10.40%
Cost of equity = 4.50% + 7.592%
Cost of equity = 12.092%

Next, let's calculate the cost of debt. Since we have the Yield to Maturity (YTM) for Raytheon's debt, we can use it directly:
Cost of debt = YTM
Cost of debt = 5.40%

Now, let's calculate the WACC for Anduril using the formula:
WACC = (Equity / Total value) * Cost of equity + (Debt / Total value) * Cost of debt * (1 - Tax rate)

Since we don't have the specific values for OcuPal's hardware division, we'll use the market value of equity and debt for Raytheon as proxies:
WACC = (Market value of equity / Total value) * Cost of equity + (Market value of debt / Total value) * Cost of debt * (1 - Tax rate)
WACC = ($24.0 billion / ($24.0 billion + $896.3 million)) * 12.092% + ($896.3 million / ($24.0 billion + $896.3 million)) * 5.40% * (1 - 25.0%)
WACC = (0.9642) * 12.092% + (0.0358) * 5.40% * (0.75)
WACC = 11.666% + 0.077% * (0.75)
WACC = 11.666% + 0.05775%
WACC = 11.72375%

Therefore, the WACC for OcuPal's hardware division (Anduril) is approximately 11.72%.

2) The WACC for the Palantir SaaS division is approximately 5.79%..To find the WACC for the Palantir SaaS division, we can use the overall company WACC and the division's weight in the firm's total value:

WACC for Palantir = Overall company WACC * (1 - Weight of Anduril)
WACC for Palantir = 15.65% * (1 - 63.00%)
WACC for Palantir = 15.65% * (0.37)
WACC for Palantir = 5.7905%

Therefore, the WACC for the Palantir SaaS division is approximately 5.79%.

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Complete this question by entering your answers in the tabs below. Using the answer from part a, is the internal rate of return higher or lower than 9% for (i) Project C1 and (ii) Project C2? Hint: It is not necessary to compute IRR to answer this question. Complete this question by entering your answers in the tabs below. The company requires a 9% return from its investments. Compute net present values using factors from Table B.1 in Appendix B to determine which projects, If any, should be accepted. (Negative net present values should be Indicated with a minus slgn. Round your present value factor to 4 declmals. Round your answers to the nearest whole dollar.) Phoenix Company is considering investments in projects C1 and C2. Both require an initial investment of $288,000 and would yield the following annual net cash flows. (PV of $1, FV

of $1, PVA of $1, and FVA of $1 ) (Use appropriate factor(s) from the tables provided.) a. The company requires a 9% return from its investments. Compute net present values using factors from Table B.1 in Appendix B to determine which projects, if any, should be accepted. b. Using the answer from part a, is the internal rate of return higher or lower than 9% for (i) Project C1 and (ii) Project C2? Hint: It is not necessary to compute IRR to answer this question. Complete this question by entering your answers in the tabs below. The company requires a 9% return from its investments. Compute net present values using factors from Table 1 in Appendix B to determine which projects, if any, should be accepted. (Negative net present values should be indicated with a minus sign. Round your present value factor to 4 decimals.

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The internal rate of return (IRR) for both Project C1 and Project C2 would be lower than 9%.

To determine whether projects C1 and C2 should be accepted, we need to compute their respective net present values (NPVs) using the company's required rate of return of 9% and the present value factors from Table B.1 in Appendix B.

For Project C1:

- Initial Investment: $288,000

- Annual Net Cash Flows: $60,000

Using the present value factor for a 9% return from Table B.1, which is 0.7084 (rounded to 4 decimals), we can calculate the NPV as follows:

NPV C1 = -288,000 + (60,000 × 0.7084) = -$249,504

For Project C2:

- Initial Investment: $288,000

- Annual Net Cash Flows: $90,000

Using the present value factor for a 9% return from Table B.1, which is 0.7084 (rounded to 4 decimals), we can calculate the NPV as follows:

NPV C2 = -288,000 + (90,000 × 0.7084) = -$224,556

Based on the NPVs, both projects have negative values, indicating that they would result in a net loss when discounted at a 9% return rate. Therefore, neither Project C1 nor Project C2 should be accepted.

To answer part b, we don't need to compute the internal rate of return (IRR). Since both projects have negative NPVs when using a 9% discount rate, the IRR for both projects would be lower than 9%. In other words, the internal rate of return for both Project C1 and Project C2 would be lower than the required 9% return.

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Hasting Incorporated uses a job-order costing system and its total manufacturing overhead applied always equals its total manufacturing overhead. In January, the company completed job R96V that consisted of 38,000 units of one of the company's standard products. No other jobs weress, completed, or sold during the month. The job cost sheet for job R96V shows the following costs: During the month, 32,000 completed units from job R96V were sold. The finished goods inventory at the end of January is closest to:Confused please help
A. 1,768,000
B. 2,176,000
C. 408,000
D. 2,584,000

Answers

The closest value is 2,584,000 (option d).

1. We are given that Hasting Incorporated uses a job-order costing system, where the total manufacturing overhead applied always equals the total manufacturing overhead.

2. In January, the company completed job R96V, which consisted of 38,000 units of one of their standard products.

3. No other jobs were completed or sold during the month.

4. The job cost sheet for job R96V shows the costs incurred for that job.

5. We are not provided with the total manufacturing overhead applied, but we can assume that it equals the total manufacturing overhead.

6. The total units completed from job R96V were 38,000 units.

7. Out of the completed units, 32,000 units were sold during the month.

8. To find the finished goods inventory at the end of January, we need to calculate the remaining units from job R96V.

9. Subtract the units sold (32,000) from the total units completed (38,000): 38,000 - 32,000 = 6,000 units.

10. Multiply the remaining units (6,000) by the cost per unit from the job cost sheet.

11. Add the product of the calculation in step 10 to the total manufacturing overhead applied to get the value of the finished goods inventory at the end of January.

Since we don't have the specific cost per unit from the job cost sheet, we can't provide an exact calculation. However, by following the steps outlined above, the closest value to the finished goods inventory at the end of January is D. 2,584,000.

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a sold 500 shares of xyz stock on december 10, 2021 for a loss of $32,000. how much of the loss will a be able to deduct assuming that a has no other capital asset transactions in 2021?

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A will be able to deduct $3,000 of the loss against ordinary income in 2021. The remaining loss of $29,000 can be carried forward to future years to offset capital gains or ordinary income, subject to the applicable rules and limitations in those years.

To determine the deductible amount of the loss from selling 500 shares of XYZ stock, we need to consider the rules and limitations for deducting capital losses. For individuals in the United States, capital losses can be used to offset capital gains and reduce taxable income. If the total capital losses exceed the capital gains, the excess loss can be used to offset other types of income, such as ordinary income, up to certain limits. In 2021, the maximum amount of capital loss that can be deducted against ordinary income for individuals is $3,000 ($1,500 for married individuals filing separately). Any remaining loss beyond this limit can be carried forward to future tax years to offset future capital gains or income. In this scenario, since A has no other capital asset transactions in 2021, the $32,000 loss can be deducted in full against any capital gains for the year. If there were no capital gains, A can deduct up to the maximum limit of $3,000 against ordinary income.

Therefore, assuming A has no other capital asset transactions in 2021 and there are no capital gains to offset the loss, A will be able to deduct $3,000 of the loss against ordinary income in 2021. The remaining loss of $29,000 can be carried forward to future years to offset capital gains or ordinary income, subject to the applicable rules and limitations in those years.

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The supply function is Q=20+1p−40r. and the demand function is Q=280−3p where r is the rental cost of capital. How do the equilibrium price and quantity vary with r ? The effect of r on the equilibrium price is Δr
Δp

= (Enter your response as a whole number and include a minus sign if necossary)

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The supply function is given as Q = 20 + P - 40R and the demand function is given as Q = 280 - 3P, where R is the rental cost of capital. To find the equilibrium price and quantity, we need to find the value of P and Q when supply and demand are equal.

Hence, we will set the two functions equal to each other as follows:

Supply = Demand20 + P - 40R = 280 - 3PP + 3P = 280 + 40RP = (280 + 40R)/4P = 70 + 10R/4

On substituting the value of P in the supply function, we get

Q = 20 + (70 + 10R/4) - 40RQ = 50 - 5R/4

The equilibrium price and quantity are P and Q, respectively, when supply = demand.

Hence, the equilibrium price is 70 + 10R/4 and the equilibrium quantity is 50 - 5R/4. We can see that the equilibrium price and quantity both vary with R. This is because R is a variable in the supply function and hence, affects the equilibrium price and quantity.  

The effect of R on the equilibrium price is given by the derivative of P with respect to R, which is as follows:Δp/Δr = 10/4 = 2.5Therefore, the effect of R on the equilibrium price is 2.5.

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Sales $5,000,000 Operating income $1,000,000 Total assets $10,000,000 Current liabilities $500,000 Division 1 of the XYZ Company had the following results last year. Management's required rate of return is 8% and the weighted average cost of capital is 6%. Its effective tax rate is 30%. Using the above, what is the division's return on investment? O 10% O 50% O 5% O 20%

Answers

The ROI is obtained by dividing the operating income by the total assets. The operating income for Division 1 is given as $1,000,000, while the total assets amount to $10,000,000. Substituting these values into the ROI formula, we find that the ROI of Division 1 is 10%.

The division's return on investment is 10%.

Calculate operating expenses: Operating expenses = $1,000,000 - Net operating income, Calculate average operating assets (AOA):

AOA = ($10,000,000 + $10,000,000) / 2

Calculate ROI:

ROI = (NOI / AOA) × 100

ROI = 0.1 or 10%

To calculate the division's return on investment (ROI), we need to use the formula:

ROI = Operating Income / Total Assets

Given that the operating income of Division 1 is $1,000,000 and the total assets are $10,000,000, we can plug these values into the formula:

ROI = $1,000,000 / $10,000,000

Therefore, the division's return on investment is 10%.

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A company gets trade credit from its supplier. The company purchases $1000 of goods. Formula for cost of not taking discount = k=d%/(100%-d%) x 365/(f(date) – d(date)) a. It receives terms 2/15, net 35 days. What will they pay in 5 days? Using the formula, calculate the annual cost of not taking the discount. b. Calculate the annual cost of not taking the discount for the following options and pick the better option for the company and explain why. 2/10, net 20 2/10, net 40

Answers

a. If the company pays in 5 days, it will receive a discount of 2% on the $1000 purchase. The amount of money the company would pay if they pay in 5 days can be calculated as follows:

$1000 – ($1000 × 0.02) = $1000 – $20 = $980

Therefore, the company will pay $980 in 5 days.

Using the formula provided, the annual cost of not taking the discount for the option 2/15, net 35 can be calculated as follows:

K = d% / (100%-d%) × 365 / (f(date) - d(date))

= 2% / (100%-2%) × 365 / (35-15)

= 2.04 x 365 / 20

= 37.23

The annual cost of not taking the discount for the option 2/15, net 35 is $37.23

b. For the option 2/10, net 20, the discount offered is 2%, but the payment has to be made within 10 days, and the total credit period is 20 days.

Using the formula provided, the annual cost of not taking the discount for the option 2/10, net 20 can be calculated as follows:

K = d% / (100%-d%) × 365 / (f(date) - d(date))

= 2% / (100%-2%) × 365 / (20-10)

= 2.06 x 365 / 10

= 75.19

For the option 2/10, net 40, the discount offered is 2%, but the payment has to be made within 10 days, and the total credit period is 40 days.

Using the formula provided, the annual cost of not taking the discount for the option 2/10, net 40 can be calculated as follows:

K = d% / (100%-d%) × 365 / (f(date) - d(date))

= 2% / (100%-2%) × 365 / (40-10)

= 2.19 x 365 / 30

= 26.47

The better option for the company is to choose 2/10, net 40 as it has the lowest annual cost of not taking the discount.

Trade credit is an agreement between the supplier and buyer, where the buyer can delay the payment for goods and services for a specified period. The formula to calculate the cost of not taking a discount is:

K = d% / (100%-d%) × 365 / (f(date) - d(date))

where d% = discount percent offered

f(date) = date of full payment

d(date) = date when the discount is offered

The annual cost of not taking a discount is calculated using the above formula. It shows the amount of money the company would have to pay to obtain trade credit if they do not take advantage of the cash discount offered by the supplier. The cash discount is an incentive offered to encourage the buyer to pay early. By paying early, the company can save money and improve their cash flow.

The annual cost of not taking a discount is a useful tool for comparing different trade credit options. The option with the lowest annual cost of not taking the discount is the better option for the company.

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Explain the cost principle for computing the cost of plant assets ?Plant assets are set apart from other tangible assets by two important features: use in operations and useful lives longer than one period. Plant assets are recorded at cost when purchased. Cost includes all normal and reasonable expenditures necessary to get the asset in place and ready for its intended use. The cost of a lump-sum purchase is allocated among it individual assets.

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The cost principle for computing the cost of plant assets states that when plant assets are purchased, they should be recorded at their cost.

The cost principle is an important accounting concept when it comes to plant assets. Plant assets are different from other tangible assets because they are used in operations and have useful lives longer than one accounting period. Examples of plant assets include buildings, machinery, equipment, and vehicles.When a company purchases a plant asset, such as a piece of machinery, it is recorded at its cost. This cost includes not only the purchase price, but also any other expenses that are necessary to get the asset ready for use. These expenses could include transportation costs, installation costs, legal fees, and any other costs directly related to bringing the asset into operation.
For example, if a company purchases a new machine for $10,000 and spends an additional $1,000 to have it delivered and installed, the cost of the machine would be recorded as $11,000.

In cases where multiple assets are purchased together in a lump-sum, the cost is allocated among the individual assets. This means that the total cost of the purchase is divided based on the relative value or fair market value of each asset. This allocation ensures that each asset is recorded at its appropriate cost.For example, if a company purchases a building and a piece of land together for $1,000,000, the cost needs to be allocated between the two assets. If the fair market value of the building is determined to be $800,000 and the fair market value of the land is determined to be $200,000, the cost of the building would be recorded as $800,000 and the cost of the land would be recorded as $200,000.

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A topic discussed a lot these days is increased openness of the peer-review process. Should anyone be able to judge a paper? Do you think the scientific ""marketplace"" can self-regulate good science? (300 words)

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The peer review process is the foundation of scholarly publishing. It entails subjecting a research paper to critical scrutiny by experts in the same field.

The research paper is evaluated based on its quality, accuracy, and originality. The goal of the peer-review process is to ensure that published papers are trustworthy, credible, and contribute to the advancement of knowledge.

In recent years, there have been discussions about the openness of the peer-review process. The question that arises is whether anyone should be allowed to evaluate a research paper. On one hand, some people argue that opening up the peer-review process would be a positive step in making scientific research more accessible and transparent. On the other hand, there are concerns that this could lead to a lowering of quality standards and expose researchers to unwanted scrutiny.

Proponents of open peer-review argue that it could increase transparency in the scientific community and give researchers more control over the publishing process. They believe that making the review process more accessible would encourage more participation and lead to better-quality reviews. It would also allow researchers to see the feedback and criticisms made by reviewers, which could help them improve their papers before publication. In addition, some proponents suggest that the anonymity of reviewers should be removed, as this would promote accountability and reduce the risk of biased reviews.

However, there are also concerns about the potential risks of open peer review. For instance, some researchers may be reluctant to participate in the peer-review process if it means that their work will be subject to public scrutiny. There is also a risk that less qualified individuals may be allowed to review papers, which could lead to a lowering of quality standards. Furthermore, there is the possibility that reviewers may be exposed to harassment and other forms of abuse if their identities are made public.

While the scientific community has always been self-regulating to some extent, open peer-review raises important questions about how this process should be managed. Ultimately, the goal of the peer-review process is to ensure that high-quality research is published and that the scientific community is able to trust and rely on this research. While there are potential benefits to opening up the peer-review process, it is essential that these benefits are balanced against the potential risks to ensure that the quality of research is not compromised.

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maria will pay an extra if she uses the rent-to-own program to buy the television, rather than waiting until she saves up enough money to pay cash for it. if she saves her money and pays cash, she can purchase a refrigerator in

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Based on the information, we can infer that if Maria buys the television with the rent-to-own program, she will pay $924 more than the original price of the television. Additionally, if she saves to buy the refrigerator, it will take 4 months.

How to calculate how much the television increases if she pays for it with rent-to-own?

To calculate how much the value of the television increases if she pays for it with the rent-to-own program, we must calculate the value of the television with the program, then we must multiply $27 by 52 weeks of the year. Then we must subtract the value of the television paying cash to find the difference.

$27 * 52 = $1,404$1,404 - $480 = $924

On the other hand, to find the number of months it takes Maria to save the money needed to buy a refrigerator, we must divide the value of the refrigerator into her monthly budget.

$800 / $200 = 4

Note: This question is incomplete. Here is the complete information:

Maria is considering buying a television and a refrigerator for her new apartment. Her monthly budget is $200. Maria will pay an extra __ if she uses the rent-to-own program to buy the television, rather than waiting until she saves up enough money to pay cash for it. If she saves her money and pays cash, she can purchase a refrigerator in ___ months.

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The union recognition article is also referred to as the scope clause. True False Most employees have the right to take up to days of unpaid job-protected leave each calendar year because of the death of certain family members. 2 3 4 5 In principled negotiation, the following should be considered: People Interests Options All of the options

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The union recognition article is also referred to as the scope clause. True.

False, the union recognition article is not referred to as the scope clause.

Most employees have the right to take up to 3 days of unpaid job-protected leave each calendar year because of the death of certain family members.

In principled negotiation, the following should be considered:

People, Interests, Options.

All of the options should be considered during principled negotiation.

Therefore, the correct option is the last option, i.e., All of the options.

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What are their nominal yeld to maturity and their nominal yleld to call? Do not round intermediate calculations. Rlound your answers to twe secinal piact:. YTM: भTC: What return should investors expect to earn on these bonds? 1. Investers would expect the boinds to be called and to earn the rTc becaute the rTc is less than the rm. 1f. Investors would expect the bonds to be called and to earn the YTC becauce the YTc is greater than the rm. 111. Inivestors would not expect the bonds to be called and to eam the YTM because the rmM is greater than the YTC. IV. Imvestors would not expect the bonds to be caled and to earn the YTM becaute the YTM is less than the YTC

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Given,

The current price of a 1,000 par value bond is 1,135.

The bond has a 9% annual coupon rate and will mature in 15 years.

However, the bond can be called in 5 years for 1,060.

We need to find the nominal yield to maturity and the nominal yield to call.

Nominal yield to maturity (YTM):

Nominal yield to maturity is the rate of return that an investor earns on a bond if they hold the bond until maturity and reinvest all the interest payments at the same rate.

We can find the nominal yield to maturity by solving the following formula:

11135 = 90

(PVIFA i=15,9%) + 1000

(PVIF i=15,9%)

We can use Excel to solve this formula:

-PV(9%,15,90,1000)

The nominal yield to maturity is 7.22%.

Nominal yield to call (YTC):

Nominal yield to call is the rate of return that an investor earns on a bond if they hold the bond until the first call date and the bond is called by the issuer.

We can find the nominal yield to call by solving the following formula:

1060 = 90

(PVIFA i=5,YTC%) + 1000

(PVIF i=5,YTC%)

We can use Excel to solve this formula:

PV(YTC%,5,90,1000)

Answer: Nominal yield to maturity (YTM) = 7.22%

Nominal yield to call (YTC) = 9.49%

Return investors should expect to earn on these bonds = 9.49%

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After Dan's EFN analysis for East Coast Yachts (see the Closing Case in Chapter 3), Larissa has decided to expand the company's operations. She has asked Dan to enlist an underwriter to help sell $45 million in new 30-year bonds to finance new construction. Dan has entered into discussions with Renata Harper, an underwriter from the firm of Crowe & Mallard, about which bond features East Coast Yachts should consider and also what coupon rate the issue will likely have. Although Dan is aware of bond features, he is uncertain as to the costs and benefits of some of them, so he isn't clear on how each feature would affect the coupon rate of the bond issue.
5.Are investors really made whole with a make-whole call provision?
6.After considering all the relevant factors, would you recommend a zero coupon issue or a regular coupon issue? Why? Would you recommend an ordinary call feature or a make-whole call feature? Why?

Answers

5. Make-whole call provision is designed to ensure that bond investors receive the entire interest income stream that they anticipated while investing in the bonds. Hence, investors are made whole by make-whole call provisions.

Make-whole call provisions compensate bondholders by paying them additional money as a penalty for early redemption of bonds. These provisions ensure that investors do not incur any loss if a bond is called before its maturity date. Hence, investors are made whole with a make-whole call provision. 6. A zero coupon issue would be more suitable than a regular coupon issue in the case of East Coast Yachts. This is because the company requires 45 million in new 30-year bonds to finance new construction.

An ordinary call feature should be recommended instead of a make-whole call feature. This is because an ordinary call feature allows the company to call the bond at any time after the call protection period, whereas the make-whole call feature would require the company to pay bondholders a penalty in case of an early redemption. An ordinary call feature would offer more flexibility to East Coast Yachts and would be less costly compared to the make-whole call feature. Hence, an ordinary call feature is recommended.

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Threads: Assume a multithreaded application using user level threads mapped to a single kernel level thread in one process (Many to one model). Describe the details of what happens when a thread (i.e. thread 1) executes a blocking system call (5 points). Describe what happens when thread 1 yields control to another user level thread, namely thread 2, in the same process. (NOTE: include the following in your description: what state is saved ?, where is it saved ? What state is restored right after saving current Please provide the executable and running code with IDE for Pascal. All 3 test cases should be running and provide correct output:A program transforms the infix notation to postfix notation and then evaluate the postfix notation. The program should read an infix string consisting of integer number, parentheses and the +, -, * and / operators. Your program should print out the infix notation, postfix notation and the result of the evaluation. After transforming and evaluating an algorithm it should loop and convert another infix string. In order to solve this problem, you need have a STACK package. You can use array or liked list for implementing the STACK package. If you need algorithms to transform infix notation to the postfix notation and to evaluate postfix notation, you data structure book, Chapter 4 of Richard F. Gilbergs data structure book. The test following infix strings are as follows:5 * 6 + 4 / 2 2 + 9(2 + 1) / (2 + 3) * 1 + 3 (1 + 2 * 1)(3 * 3) * 6 / 2 + 3 + 3 2 + 5 Births are approximately uniformly distributed between the 52 weeks of the year. They can be said to follow a uniform distribution from one to 53 (spread of 52 weeks).P(2 < x < 31) = _________23/5229/5212/5240/5220/522. Suppose X ~ N(9, 3). What is the z-score of x = 9?934.51.503. The percent of fat calories that a person in America consumes each day is normally distributed with a mean of about 36 and a standard deviation of about ten. Suppose that 16 individuals are randomly chosen. Let \overline{X}X= average percent of fat calories.For the group of 16, find the probability that the average percent of fat calories consumed is more than five..7.8.9.951 the nurse is planning the discharge instructions for the parents of a 1-month-old infant who has had a circumcision completed. which information should be included in the education provided? Solve the quation, x+(2)/(6)=(3)/(6), for given variable. Write your final answer as a reduced fraction. 1) Economics deals with, as distinguished British economist Lionel Robbins termed "...the study of the use of scarce resources which have alternative uses." Accordingly, Scarcity is a major topic of this introductory chapter and indeed the course. The sum total of all we want far exceeds the available resources of what is available.2) Productivity is another major idea in this chapter. Customers desire food, clothing, vehicles and housing which must be grown, produced and distributed from scarce resources, including materials, labor, automation and know how. I am finishing lunch, a sandwich, chips and a soft-drink, none of which I produced. I am sitting at a personal computer using a keyboard, mouse and software that others produced. I have electricity, light, and heat in my home that I purchase from others, which I exchange money from my teaching, tutoring, and tax preparation work3) The Role of Economics is to analyze cause and effect, where we determine certain results when thing are done in a specific way and at a specific time. The author likes to discuss incentives created by certain actions rather than the intended goals they are intended to achieve. Unintended consequences of different economic policies have been repeatedly demonstrated throughout history in many countries and economic systems, and the author sheds light on these well-meaning but misguided ideasList 3 Main Things summary from Basic Economics Chapter 1(May include Examples)Donot copy the same thing from above. answer it in detail. What type of efficiency is discussed in the following statement?The particular mix of goods a society produces represents the combination that society most desires.Allocative efficiencycomparative advantage efficiencyproductive efficiencyproduction possibilities efficiency Social Engineering as Art and Science The logic behind social engineering is simple - it can be easy to get all the information and access that one needs from any person as long as you know how to trick a person into giving you the data you need with the least resistance possible. By being able to pull off a social engineering trick, you will be able to get your hands on to a device, account, or application that you need to access in order to perform bigger hacks or hijack an identity altogether. That means that if you are capable of pulling of a social engineering tactic before attempting to go through all other hijacking tactics up your sleeve, you do not need to make additional effort to penetrate a system. To put this entire concept into simpler terms, social engineering is a form of hacking that deals with manipulation of victims through social interaction, instead of having to break right away into a computer system. What makes social engineering difficult is that it is largely based on being able to secure trust, which is only possible by getting someone's trust. For this reason, the most successful hackers are capable of reading possible responses from a person whenever they are triggered to perform any action in relation to their security system. Once you are able to make the right predictions, you will be able to get passwords and other valuable computer assets without having to use too many tools. 1. Write the equation of the parabola that contain thee point (-2, -1), (-1, -6), (0, -7), (1, -4) When iron rusts and forms iron oxide?. [Poiseuille's Law] [S] Poiseuille's Law states that the resistance of blood flow in an artery (with units of mmHg) can be modeled asR(L,r) = kL/r^4 where L is the length of the artery (in cm) and r is the radius of the artery (in mm), and k is a constant which depends mainly on the viscosity of the blood (among other factors).(a) Calculate R_L (L, r) and R_r (L, r) and interpret their meaning, including units and an interpretation of the sign of the derivative.(b) Calculate R_rr (L, r) and R_rL (L, r) and interpret their meaning, including units and an interpre- tation of the sign of the derivative.