What does Hasbrouck (1991) model tell us? Why is it considered
an empirical model of price discovery

Answers

Answer 1

Hasbrouck (1991) model is a financial model that is used to help determine the price of securities. This model is based on the idea that prices are determined by supply and demand. The model is considered an empirical model of price discovery because it is based on actual data that has been collected in the market.

This model can help investors to determine the price of a security and can be used to make investment decisions.

The Hasbrouck model is considered an empirical model of price discovery because it is based on data that has been collected in the market. The model is based on the idea that prices are determined by supply and demand. The model takes into account factors such as the order flow imbalance, the volatility of the market, and the liquidity of the security.

The model tells us that the price of a security is determined by supply and demand. The model takes into account factors such as the order flow imbalance, the volatility of the market, and the liquidity of the security. The model can help investors to determine the price of a security and can be used to make investment decisions.

The model is useful because it helps to determine the price of securities based on actual data that has been collected in the market. The model can help investors to make informed decisions about their investments and can be used to predict future price movements. The model is widely used by financial analysts and investors to help determine the price of securities. It is a powerful tool that can help investors to make better investment decisions.

In conclusion, the Hasbrouck (1991) model is a financial model that is based on the idea that prices are determined by supply and demand. The model is considered an empirical model of price discovery because it is based on actual data that has been collected in the market. The model can help investors to determine the price of a security and can be used to make investment decisions. The model is widely used by financial analysts and investors to help determine the price of securities.

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Related Questions

currently the federal minimum wage is 7.25 should the federal government raise the minimum wage? why or why not?
How will this impact businesses and consumers? would there be any other things to vonsider if wages are raised?
Currently, the federal minimum wage is 7.25 should the federal government raise the minimum wage? why or why not?
How will this impact businesses and consumers? would there be any other things to consider if wages are raised?

Answers

Yes, the federal government should raise the minimum wage in order to provide a living wage for workers. The current minimum wage of $7.25 per hour has been in place since 2009, and it is no longer enough to cover basic living expenses
However, increasing the minimum wage would also have an impact on businesses and consumers. Businesses that employ minimum wage workers would see an increase in their labor costs, which could lead to higher prices for goods and services. Consumers would likely have to pay more for these goods and services, which could lead to a decrease in demand.

Additionally, there are other factors to consider if wages are raised. For example, some argue that raising the minimum wage could lead to job loss, as businesses may be forced to cut back on staff in order to offset the increased labor costs. Others argue that raising the minimum wage could lead to increased automation, as businesses look for ways to reduce their labor costs.
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6. On July 1st Tulip Corporation issued 10,000 shares of $1 par common stock for cash. The stock had a fair market value of $40 per share. Required: Prepare the journal entry to issue the stock. 7. On July 1st, Larkspur Corporation purchased treasury stock for $60,000, cash. On August 15, Larkspur sold the treasury stock for $70,000, cash. Larkspur has an additional paid in Required: Prepare the appropriate 8. On August 1st, Rose Corporation purchased treasury stock for $100,000, cash. On september 1 st, Rose sold the treasury stock for $80,000, cash. Rose does not have an additional paid in capita account. Prepare: The required journal entries.

Answers

If on July 1st Tulip Corporation issued 10,000 shares of $1 par common stock for cash.  The journal entry are:

July 1

Debit Cash 400,000

(10,000 shares * $40 fair market value)

Credit Common Stock 10,000

July 1

Debit Treasury Stock 60,000

Credit Cash 60,000

August 15

Debit Cash 70,000

Credit Treasury Stock 60,000

Credit Paid-in Capital from Treasury Stock 10,000

August 1

Debit Treasury Stock 100,000

Credit Cash 100,000

September 1

Debit Cash 80,000

Debit Retained Earnings 20,000

Credit Treasury Stock 100,000

What is the journal entry?

An accounting system's journal entry is a record of a financial transaction. It serves to record the effect of a transaction on the company's accounts and is the first stage in the accounting cycle.

The date of the transaction the accounts involved, and the related debits and credits are often included in journal entries which are typically documented in chronological sequence.

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when there is a negative externality, the unregulated free market results in a level of output that is: a)equal to the socially efficient level of output b)greater than the socially efficient level of output c)smaller than the socially efficient level of output d)sometimes greater than and sometimes smaller than socially efficient level of output

Answers

In the presence of a negative externality, the unregulated free market tends to result in a level of output that is greater than the socially efficient level.

b) greater than the socially efficient level of output.

In the presence of a negative externality, an unregulated free market tends to result in a level of output that is greater than the socially efficient level of output. This occurs because the negative externality, such as pollution or congestion, imposes costs on society that are not accounted for in the market transactions. As a result, producers and consumers do not consider these external costs when making their decisions, leading to an overallocation of resources towards the activity causing the negative externality. Therefore, option b) is the correct statement in this context.

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there are several ways that central banks can increase or decrease the money supply. match the descriptions below with the corresponding policy tool. it is possible that a description does not apply to any of the terms.

Answers

According to the information we can infer that the options would match as follow: An increase in the interest rate that a central bank charges commercial banks for loans: Box 3, A central bank purchasing existing bonds: Box 1, An increase in the percentage of deposits that banks must keep on hand: Box 2, and A government printing more currency: Not applicable.

What is the relation in each situation?

1. The discount rate refers to the interest rate that a central bank charges commercial banks for loans. By increasing the discount rate, the central bank makes borrowing more expensive for commercial banks. This, in turn, discourages borrowing, reduces the availability of money in the banking system, and can decrease the money supply.

2. Open market operations involve the buying and selling of government securities, such as bonds, by the central bank. When a central bank purchases existing bonds from commercial banks or the public, it injects money into the banking system, increasing the money supply.

3. The reserve requirement is the percentage of deposits that banks are required to keep as reserves and not lend out. When the central bank increases the reserve requirement, it reduces the amount of money that banks can lend, effectively decreasing the money supply.

4. The act of printing more currency is not directly related to the policies conducted by central banks to control the money supply. While a government may print more currency, it is not a policy tool employed by central banks to increase or decrease the money supply.

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A piece of equipment was purchased for $1,800 and depreciated on a straight-line basis to $100 over a useful life of 7 years. After 5 years of use, the equipment was sold for $ 500. If the firm's tax rate is 35.0%, a) How much is the annual depreciation expense? (Round to 2 decimal places) b) What is the after-tax salvage cash flow? (Round to 2 decimal places)

Answers

a) To determine the annual depreciation expense, divide the original cost of the equipment by its useful life. The annual depreciation expense for the equipment would be:$1,800 ÷ 7 = $257.14 Therefore, the annual depreciation expense for the equipment is $257.14. Round to two decimal places.

b) The after-tax salvage cash flow is determined by subtracting the taxes paid on the sale of the asset from the proceeds from the sale of the asset. Since the equipment was sold for $500 after five years, its book value or carrying value after five years of depreciation would be:Book value = Original cost – Accumulated depreciation Book value = $1,800 – ($257.14 × 5)Book value = $1,800 – $1,285.70 Book value = $514.30 Therefore, the firm has a capital gain of $500 − $514.30 = −$14.30. This is a loss.

The loss is tax deductible, and the amount of tax savings from this loss is the loss multiplied by the tax rate. That is, the tax savings from the loss will be:Tax savings = Loss × Tax rate Tax savings = (−$14.30) × 0.35 Tax savings = −$5.01 The after-tax salvage cash flow is therefore:After-tax salvage cash flow = Proceeds from the sale – Taxes paid on the sale After-tax salvage cash flow = $500 − $5.01 After-tax salvage cash flow = $494.99 Therefore, the after-tax salvage cash flow is $494.99. Round to two decimal places.

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In one paragraph, justify why language barriers, cultural gaps, and risks from external threats like governmental or bad actors/cyberattacks are significant in deciding whether a shoe market industry will not come to market in a specific region, especially in Asia/Pacific region.

Answers

The global market is an open platform where many companies and industries come together to exchange goods and services. It is becoming increasingly important to expand one's business in the Asian market.

The cultural, social, and economic environment has to be assessed while making such an attempt. Language barriers, cultural gaps, and external risks are significant factors that determine whether the shoe market industry will come to the market in a specific region or not. Asia Pacific has a diverse range of cultures and languages. The most significant challenge for any shoe industry will be to address these language barriers.

Shoes are a vital part of our daily life, and it is essential to communicate with the customers in their language. The industry must create brand awareness in the language of their customers to ensure market penetration.

External threats such as governmental policies, bad actors, and cyberattacks are significant factors that can affect the industry's success. The industry must have the resources to overcome any legal and regulatory challenges imposed by the government.

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Consider the two (excess return) index model regression results for A and B : RA​=1%+1.2RM​ R-square =.576 Residual standard deviation =10.3% RB​=−2%+0.8RM​ R-square =.436 Residual standard deviation =9.1% a. Which stock has more firm-specific risk? b. Which has greater market risk? c. For which stock does market movement explain a greater fraction of return variability? d. If if were constant at 6% and the regression had been run using total rather than excess returns, what would have been the regression intercept for stock A ?

Answers

The measure of firm-specific risk is the residual standard deviation. Stock A's residual standard deviation is 10.3%, while stock B's residual standard deviation is 9.1%. Stock A has more firm-specific risk, since its residual standard deviation is greater than that of Stock B.

b. The regression coefficients on the market portfolio provide a measure of the market risk of a stock. Stock A has a regression coefficient of 1.2, indicating that its market risk is greater than that of the market (whose coefficient is 1). On the other hand, Stock B has a regression coefficient of 0.8, indicating that its market risk is lower than that of the market. Therefore, Stock A has greater market risk.

c. The coefficient of determination (R-square) gives the proportion of total variance in the dependent variable that is explained by the independent variable(s). Stock A has a higher R-square of 0.576, indicating that market movement explains a greater fraction of its return variability than it does for Stock B, whose R-square is 0.436.

d. If the regression had been run using total returns instead of excess returns and if the intercept had remained constant at 6%, then the regression intercept for Stock A would have been 7.2%. This is because the intercept of a total return regression includes the risk-free rate, while the intercept of an excess return regression does not. The intercept of the total return regression can be calculated as follows:

Total return on A = Intercept + β(RM) + ε

6% + β(1) + ε = 7.2% + ε

Intercept = 7.2% - 6% = 1.2%

Therefore, the regression intercept for Stock A would have been 7.2% if the regression had been run using total returns instead of excess returns, assuming the intercept had remained constant at 6%.

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Explain how to get your message across more effectively, and
summarize the éléments of active listening.

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Getting your message across effectively requires a combination of factors that include clarity, conciseness, and empathy. One must communicate in a way that the recipient can understand the message easily. Here are some ways to ensure that the message is well understood:

Be clear in your communication: The message you are conveying must be clear, straightforward, and free of ambiguity. Eliminate any jargon, industry terms, and acronyms that the recipient may not understand. Simplify the message by breaking it down into smaller parts, ensuring that each part is concise and to the point. Also, make sure that the message is consistent and aligns with what you are trying to convey.

Be empathetic: It is crucial to understand the recipient's point of view when communicating. Understanding what the recipient may be feeling or what they are thinking can help to anticipate their needs. Also, it is important to convey your message in a manner that is respectful and empathetic towards the recipient. Active listening is a process in which the listener gives their undivided attention to the speaker, and this is characterized by an attentive posture, eye contact, nodding, paraphrasing, and asking clarifying questions.

Here are the elements of active listening: Attentive posture: An attentive posture shows that you are interested in what the speaker is saying. It shows that you are present and ready to listen to what they have to say. An attentive posture includes maintaining eye contact with the speaker, sitting up straight, and keeping an open posture.

Nodding: Nodding demonstrates that you are following the speaker and helps to encourage them to continue talking.

Paraphrasing: Paraphrasing involves restating what the speaker said in your own words. It shows that you are listening and can help to clarify what the speaker meant.Asking clarifying questions: Clarifying questions are questions that seek to clarify what the speaker meant. They help to ensure that you understand the message being conveyed.

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what is the greatest source of problems affecting hiring interview validity

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The greatest source of problems affecting hiring interview validity is interviewer bias. Interviewer bias refers to the subjective judgments and prejudices that interviewers may bring into the hiring process, leading to unfair and inaccurate assessments of candidates.

Interviewer bias refers to the subjective judgments and prejudices that interviewers may bring into the hiring process, leading to unfair and inaccurate assessments of candidates. Bias can stem from various factors, including personal preferences, stereotypes, and unconscious biases. When interviewers allow bias to influence their judgments, it can significantly impact the validity of the hiring interview. Bias can result in the selection of candidates who may not be the most qualified or suited for the role while overlooking talented individuals who do not fit preconceived notions or biases.

To mitigate the impact of interviewer bias and enhance the validity of hiring interviews, organizations can implement structured and standardized interview processes. This involves developing clear criteria, asking consistent questions to all candidates, and utilizing scoring rubrics or evaluation guidelines. Training interviewers on recognizing and reducing bias can also help improve interview validity. Additionally, organizations can consider incorporating other assessment methods, such as skill tests, work samples, or behavioral assessments, to supplement the interview process and gather more objective data about candidates' qualifications and capabilities.

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When a firm purchases supplies for use in its business, and the cost of the supplies purchased is recorded as an asset, the following adjustment to recognize the cost of supplies used will probably be required No adjustment will probably be required. Dr. Supplies C. Supplies expense De Supplies Ct Accounts payable De Supplies expense C. Supplies QUESTION 2 Retained earnings represents the total net income of the firm since its beginning cumulative net income of the firm since its beginning that has not been distributed to its stockholders in the form of dividends net income plus gains (or minus losses) on treasury stock transactions O cash that is available for dividends QUESTION 3 Assume that you own 1,500 shares of $10 par value common stock and the company has a 5for 1 stock split when the market price per share is $30 What will probably happen to the market price per share of the stock and the per value per share of the stock? Market price per share will be about $6 per share, and par value will be $50 por share Market price per share will be about $150 per share, and par value will be $2 per share,

Answers

The following adjustment to recognize the cost of supplies used will probably be required:

Code snippet

Dr. Supplies Expense

Cr. Supplies

Use code with caution. Learn more

This is because the cost of supplies used is an expense, and it should be recorded on the income statement. The supplies account is an asset, and it should be reduced to reflect the amount of supplies that have been used.

Question 2

Retained earnings represents the cumulative net income of the firm since its beginning that has not been distributed to its stockholders in the form of dividends. It is a component of the shareholder's equity section of the balance sheet.

Question 3

If you own 1,500 shares of $10 par value common stock and the company has a 5-for-1 stock split, you will now own 3000 shares of $2 par value common stock. The market price per share of the stock will likely decrease, but it is impossible to say for sure how much it will decrease. The par value per share of the stock will remain at $2.

A stock split is a corporate action that divides the outstanding shares of a company into a larger number of shares. This increases the number of shares outstanding, but it does not change the total value of the company.

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Sustainability:
What social, economic and environmental issues are evident in
the case? Why are these a sustainability issue?
Discuss potential conflicts between these issues?
Sustainability: - What social, economic and environmental issues are evident in the case? Why are these a sustainability issue? - Discuss potential conflicts between these issues?

Answers

In the given case, several social, economic, and environmental issues can be identified, making it a sustainability concern. These issues pose sustainability concerns because they have long-term implications for the well-being of society, the economy, and the environment. Social concerns might conflict with economic goals, as ensuring fair wages and working conditions may increase production costs.Resolving these conflicts requires a holistic approach that balances social, economic, and environmental objectives to achieve long-term sustainability.

Socially, the case might involve issues such as labor rights violations, discrimination, or poor working conditions, affecting the well-being and rights of workers. Economically, the case may involve unsustainable business practices, such as overexploitation of resources, unfair trade practices, or economic inequality, which can hinder long-term economic stability and growth. Environmentally, the case might entail environmental degradation, pollution, or resource depletion, leading to negative impacts on ecosystems and the planet's health.

Unsustainable social practices can lead to social unrest, reduced workforce productivity, and increased social inequality. Economic issues can result in financial instability, reduced market opportunities, and unequal distribution of wealth. Environmental issues can lead to ecosystem collapse, loss of biodiversity, and climate change, jeopardizing the planet's ability to support life.

Potential conflicts may arise when addressing these issues. For example, economic interests might clash with environmental conservation efforts, as short-term profitability could be prioritized over ecological sustainability.

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a) Come up with a hypothetical scenario for a case study from "Education Industry". Summarize it using your own words within 3-5 lines. b) Discuss a challenge or an issue from the case study and how the organisation utilized any of the data analytics concepts or technology to overcome the issue.

Answers

Hypothetical scenario: A university with multiple campuses has noticed a decrease in enrollment in their computer science program. They want to investigate the issue and determine why students are not choosing to pursue this major. They decide to conduct a study by collecting data from current and past students as well as analyzing industry trends to determine the root cause of the problem.

b) Challenge/Issue: The university discovers that students are not enrolling in the computer science program due to a lack of awareness about the various career paths and job opportunities available in the field. Many students do not understand the potential for growth and high-paying positions.

Data Analytics Concept: The university uses data analytics to determine the trends in the job market and analyze industry data to understand the opportunities available for computer science graduates. They use this data to create a comprehensive report that includes information on potential career paths and job opportunities in the field.

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13. Using the present value tables, calculate the selling price of the bonds. • $500,000
• $545,249
• $462,808
• $473,679 • Some other amount. PART 2 - BONDS Eastern Utilities Corporation issues $500,000 of 10 -year, 5 percent bonds. Interest is paid semiannually. The market interest rate for similar investments is 6 percent.

Answers

The selling price of the bonds is $462,808.

Bond's Face value = $500,000

Market interest rate = 6%

Time period = 10 years, semiannually

Thus, the number of semi-annual periods is 2 * 10 = 20.

Semi-annual interest rate = Market interest rate / 2= 6/2= 3%

Now, calculate the present value of the bond's future cash flows using the following formula:

PVA = C × [(1 − [tex](1 + r)^{-n}[/tex]) / r] + FV × [tex](1 + r)^{-n}[/tex]

where

PVA= Present value

C = periodic payment

FV= Future value

r = interest rate per period

n = total number of periods

Part 1

Calculation of the periodic payment of bond's cash flow:

Face value of bond= $500,000

Coupon rate= 5%

Semi-annual payment = (5/2)% × $500,000= $12,500

Calculation of the selling price of the bond using a 6% market rate of interest:

Using the present value tables, calculate the selling price of the bonds.= $462,808

The given 10-year 5% bonds of the Eastern Utilities Corporation having a face value of $500,000 and are issued with a semi-annual payment of 5%/2= 2.5% on the face value for 10 years, which makes 20 semi-annual periods.

The market interest rate for similar investments is 6%.

The present value of future cash flow should be calculated using the given information and formula.

Using the present value tables, the selling price of the bonds is calculated as follows:

PVA = C × [(1 − [tex](1 + r)^{-n}[/tex]) / r] + FV × [tex](1 + r)^{-n}[/tex]

PVA = $12,500 x [(1-[tex](1 + 0.3)^{-20}[/tex])/(.03)] + 500,000 x [tex](1 + 0.3)^{-20}[/tex]= $462,808

Therefore, the answer is $462,808.

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the withholding allowances of an employee affect (a) social security tax withheld. (b) federal income tax withheld. (c) federal unemployment tax owed. (d) state unemployment tax owed.

Answers

The withholding allowances of an employee can affect the following:
(a) Social Security tax withheld: The number of withholding allowances claimed by an employee can affect the amount of Social Security tax withheld from their paycheck. The Social Security tax rate is a fixed percentage of an employee's wages up to a certain limit. The more allowances an employee claims, the lower the amount of taxable wages subject to Social Security tax, and therefore, the less Social Security tax will be withheld.
(b) Federal income tax withheld: Withholding allowances also impact the federal income tax withheld from an employee's paycheck. Employees can claim withholding allowances on their W-4 form, which helps determine the amount of federal income tax to be withheld. The more allowances an employee claims, the less federal income tax will be withheld, as each allowance reduces the taxable income subject to tax
(c) Federal unemployment tax owed: The withholding allowances of an employee do not directly affect the federal unemployment tax owed. Federal unemployment taxes are paid by the employer and are not impacted by the employee's withholding allowances.
(d) State unemployment tax owed: Similar to federal unemployment tax, the employee's withholding allowances do not directly affect the state unemployment tax owed. State unemployment taxes are typically paid by the employer and are based on the employer's experience rating and state-specific regulations.

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a price index is designed to measure a. changes in the quantity of output produced across time periods. b. the market value of output produced during the current period with the value of output produced during an earlier time period. c. the cost of buying a market basket of goods at a point in time relative to the cost of buying the same market basket during an earlier time period. d. changes in the general level of employment across time periods.

Answers

A price index is designed to measure the changes in the cost of buying a market basket of goods at a specific point in time relative to the cost of buying the same market basket during an earlier time period. This means that a price index helps us understand how the prices of goods and services have changed over time.
So, the correct answer is: C


For example, let's say you want to compare the cost of a specific set of goods, like a basket containing milk, bread, and eggs, between two years. The price index would allow you to see how the cost of buying this basket has changed from one year to another. If the price index for the second year is higher than the price index for the first year, it means that the cost of the basket has increased. On the other hand, if the price index for the second year is lower, it means that the cost has decreased.

By using a price index, economists can track inflation, which is the general increase in prices over time. It helps policymakers and businesses make informed decisions by understanding how prices have changed and how it may affect consumers' purchasing power. The cost of buying a market basket of goods at a point in time relative to the cost of buying the same market basket during an earlier time period.

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The DuPont System of Analysis is a diagnostic tool that uses financial ratios to evaluate a company’s financial health. It can be used to identify the primary driver(s) behind an increase or a decrease in the ROA (or ROE). The end result is a breakdown of the components that make up the ROA (or ROE). Which of the following is false?
Group of answer choices
The net profit margin can be viewed as the product of operating profit margin, a ratio that measures the impact of interest expenses on profits, and a ratio that measures the impact of taxes on profits.
A firm’s ROA is indicative of its profitability and efficiency.
A firm with a leverage of 3 would indicate that $3 in assets have been financed by $1 in liabilities.
For any given ROA, the greater the use of debt in the firm’s capital structure, the greater the ROE.

Answers

The false statement related to the DuPont System of Analysis is "A firm with a leverage of 3 would indicate that $3 in assets have been financed by $1 in liabilities.
"The DuPont System of Analysis is a diagnostic tool that uses financial ratios to evaluate a company’s financial health. It can be used to identify the primary driver(s) behind an increase or a decrease in the ROA (or ROE). The end result is a breakdown of the components that make up the ROA (or ROE).

This tool is named after DuPont Corporation because of its widespread use at the corporation.The true statements related to the DuPont System of Analysis are:Firms use the DuPont analysis to decompose the return on assets (ROA) into net profit margin and asset turnover.ROA is indicative of a firm’s profitability and efficiency.

ROE measures how much profit a company makes for each dollar of equity.Leverage is the ratio of assets to equity. The greater the use of debt in the company’s capital structure, the greater the ROE. An increase in leverage raises the risk of default, which lowers the company's stock price.

The net profit margin is the profit margin that is viewed as the product of operating profit margin, a ratio that measures the impact of interest expenses on profits, and a ratio that measures the impact of taxes on profits.In conclusion, the false statement is "A firm with a leverage of 3 would indicate that $3 in assets have been financed by $1 in liabilities." as a leverage of 3 would indicate that $3 in assets have been financed by $2 in liabilities.

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If the Federal Open Market Committee (FOMC) purchases government bonds priced at $14,000 from a bond dealer who banks at National Bank, and if the reserve requirement is 2 percent, then the excess reserves of National Bank: Group of answer choices
increase by $280.
increase by $2,800.
increase by $11,200.
increase by $13,720.
increase by $14,000.

Answers

If the Federal Open Market Committee (FOMC) purchases government bonds priced at $14,000 from a bond dealer who banks at National Bank, and if the reserve requirement is 2 percent,

then the excess reserves of National Bank would increase by $13,720. Here's why:

The Federal Open Market Committee (FOMC) is the monetary policy-making body of the Federal Reserve System in the United States.

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Using the given information, calculate the amount in respect of Subscription that is needed to be credited into Income and Expenditure account. Also show various ledger accounts. During the current year (2020), subscription received in Cash is $50,000. It also includes the amount that is receivable during the previous year (2019) of $2,500 and amount received in advance for next year (2021) for $1,500. Also there is an outstanding receivable for 2020 of $4,500.

Answers

Income and Expenditure account is a nominal account that represents the income or expense of the organization for a specific period of time. This account is used to identify the revenue or expense of a nonprofit organization. Subscription is a type of income for non-profit organizations.

The subscription income is recorded in the income and expenditure account. Subscription income can be recorded in three ways which are as follows: Subscription Income received in cash: $50,000Subscription Income received in advance: $1,500Outstanding receivables for 2020:

$4,500Subscription Income for previous year (2019) receivables: $2,500 Calculation of Subscription that is needed to be credited into Income and Expenditure account Subscription for the year 2020 = Subscription received in Cash + Outstanding receivables for 2020 - Subscription Income for previous year (2019) receivables

Subscription for the year 2020 = $50,000 + $4,500 - $2,500Subscription for the year 2020 = $52,000 Ledger Accounts Ledger accounts represent the summarized transactions of a specific item. The following ledger accounts will be prepared for the given information: Subscription received in Cash Ledger Account Subscription Income Received in Cash Particulars Amoun Particulars Amount Subscription Income Received in Cash$50,000

Outstanding Receivables for 2020 Ledger Account Outstanding Receivables for 2020

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With deposits of $5,000 at the end of each year, you will have accumulated $38,578 at the end of the sixth year if the annual rate of interest is 10%. (PV of $1. FV of $1. PVA of $1, and EVA of \$1) (Use appropriate factor(s) from the tables provided.) False True The present value of four $10,000 semiannual payments invested for 2 years at 12% compounded semiannually is $43,746. (PV of $1. FV of $1. PVA of $1 and EVA of $1 ) (Use appropriate factor(s) from the tables provided.) True False
Previous question

Answers

False. The accumulated amount at the end of the sixth year with annual deposits of $5,000 and an annual interest rate of 10% would be $38,384, not $38,578. The correct answer is False.

To calculate the accumulated amount, we can use the future value of an ordinary annuity formula:

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

Where:

FV is the future value

P is the annual deposit

r is the annual interest rate

n is the number of years

Plugging in the values:

P = $5,000

r = 10% = 0.10

n = 6

[tex]FV = $5,000 * [(1 + 0.10)^6 - 1] / 0.10FV = $5,000 * [1.10^6 - 1] / 0.10FV = $5,000 * [1.771561 - 1] / 0.10FV = $5,000 * [0.771561] / 0.10FV = $3,857.80[/tex]

Therefore, the accumulated amount at the end of the sixth year would be approximately $3,857.80, not $38,578. Hence, the statement is false.

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the way a product is designed, named, and packaged has little influence on the success of that product.

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Factors such as quality, functionality, and value are crucial, the design, naming, and packaging of a product play important roles in attracting consumers, creating brand identity.

Design: A well-designed product can enhance user experience, usability, and aesthetics, which can positively impact consumer perception and satisfaction. A visually appealing and user-friendly design can create a positive impression, leading to increased sales and customer loyalty.

Naming: The name of a product can influence consumer perception, brand recognition, and recall. A catchy and memorable name can make a product stand out, facilitate brand association, and contribute to its market success.

Packaging: Packaging serves multiple purposes, including protection, convenience, and promotion. Eye-catching and informative packaging can attract attention, communicate product features and benefits, and create a positive impression on potential buyers. Packaging also contributes to brand recognition and shelf appeal, especially in competitive retail environments.

While product success is influenced by various factors, downplaying the significance of design, naming, and packaging would overlook the impact they have on consumer behavior, brand image, and market competitiveness. Companies invest substantial resources in these areas to differentiate their products and gain a competitive edge. Therefore, it is essential to recognize the importance of these elements in driving product success.

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You are given several words, phrases or numbers to choose from in completing each of the following statements or in answering the following questions. In each case, select the one that best completes the statement or answers the question and place its letter in the answer space provided. 1. A supervisor works some of the time in Department A (which has 10 employees) and the rest of the time in Department B (which has 6 employees). In square feet of area, Department A is only half the size of Department B. If the supervisor's primary task is managing people, how and in what amounts would the supervisor's $24,000 annual salary be most logically allocated between Departments A and B ? a. Based on the number of employees in each department, $15,000 to Department A and $9,000 to Department B. b. Based on a combined statistic of square footage and number of employees in each department, $10,909 to Department A and $13,091 to Department B. c. Based on the number of departments supervised, \$12,000 to Department A and \$12,000 to Department B d. Based on the square footage in each department, $8,000 to Department A and $16,000 to Department B. c. Based on the number of employees in each department, $9,000 to Department A and $15,000 to Department B.

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The answer to the given question is "Based on the number of employees in each department, $9,000 to Department A and $15,000 to Department B".The supervisor's primary task is to manage people.

They work part-time in department A and the rest of the time in department B. Department A has ten employees and is only half the size of department B, which has six employees.

The supervisor's [tex]$24,000[/tex]annual salary should be allocated between departments A and B in the following manner:Department A has 10 employees while Department B has six employees, so the supervisor must allocate more of their salary to Department B, which has more employees, while still making a fair allocation to Department A. Thus, based on the number of employees in each department[tex], $9,000[/tex]should be allocated to Department A and $15,000 should be allocated to Department B.

the correct option is c. Based on the number of employees in each department, $9,000 to Department A and $15,000 to Department B.

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A query optimization is, at its core, the selection of the best execution strategy for that query. In this case, optimization may not correlate to optimal in terms of the query but to the most efficient or most cost-effective or both. Of the execution methods or plans available, describe an instance in which a particular one makes the most sense and provide a real-world example of what it might be. Justify your choice.

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A query optimization at its heart is the choice of the best execution plan for that query, which may not necessarily correlate to optimal in terms of the query but to the most cost-effective or efficient or both. The sort of execution method or plan that makes the most sense and provides a real-world example of what it could be is described below.

An execution method or plan is most ideal when it increases efficiency by optimizing how database systems gather and interpret data. The aim is to minimize overheads, such as CPU utilization, network traffic, and disk I/O, to make the most of machine resources. An example of a situation in which an execution plan is most desirable is when dealing with a query that involves joins and a large number of tables. Because joins may be one of the most time-consuming and memory-consuming processes for the database engine, it's critical to choose the correct execution strategy to make it as efficient as possible.

In this instance, the best execution method would be to use a hash join. Because hash joins allow for the hashing of data in memory before the join is completed, they can be much quicker than traditional joins. Furthermore, in situations where the number of rows is small, hash joins can use far less memory than traditional joins. When the number of rows involved is huge, it may be preferable to use disk-based hash joins rather than in-memory hash joins.

A query optimization is, at its core, the selection of the best execution strategy for that query. Optimization may not correlate to optimal in terms of the query but to the most efficient or most cost-effective or both. The most suitable execution method or plan is one that increases efficiency by optimizing how database systems collect and analyze data. The goal is to reduce overheads such as CPU usage, network traffic, and disk I/O to make the most of machine resources.

When dealing with a query that includes joins and a large number of tables, the best execution method would be to use a hash join. Because hash joins allow for the hashing of data in memory before the join is completed, they can be much quicker than traditional joins. Furthermore, in situations where the number of rows is small, hash joins can use far less memory than traditional joins. When the number of rows involved is huge, it may be preferable to use disk-based hash joins rather than in-memory hash joins.

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2. First, describe what a budget deficit is in terms of the relationship between G and T. In the debate over government budget deficits the angument against deficits is the one called "crowding out," In your own words explain "crowding out" and be sure to explain how the economic data either support or. contradict the argument.

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Budget deficit is defined as the excess of spending or expenditure over revenue or income. The government budget deficit is defined as the amount by which the government's expenditure exceeds its revenue or income.

The term 'crowding out' refers to the phenomenon of private investment being replaced by public investment when the government borrows funds to finance its budget deficit. When the government borrows funds from the private sector, it is effectively competing with private borrowers for available funds.

The increased competition for funds leads to a rise in interest rates and this rise in interest rates may discourage private investment by making it more expensive to borrow money.The argument against government budget deficits is that they lead to higher interest rates and lower levels of private investment. This argument is known as the 'crowding out' argument.

In other cases, an increase in government borrowing has led to a decrease in interest rates but no increase in private investment. In still other cases, an increase in government borrowing has led to an increase in interest rates and a decrease in private investment.

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Which of the following would be considered a state of nature? A> poor market B> build a small plant C> Maximax D> Decisions Under Certainty

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A state of nature is an event or situation where the decision-maker has no control over the outcome. It refers to an event or situation that is beyond human control.

An example of a state of nature would be an earthquake, a flood, or a hurricane.

The decision-maker has no control over the occurrence of the event or its outcome.

This means that the decision-maker must make decisions under conditions of uncertainty.

Thus, the correct answer is D. Decisions Under Certainty.

Under certainty, a decision-maker is aware of all the possible outcomes and probabilities associated with each alternative.

Therefore, the decision-maker can accurately predict the outcome of each alternative and select the one with the highest expected value.

Under certainty, the decision-maker does not need to make any assumptions or guesses.

They have complete information on which to base their decision.

Thus, this decision-making environment is the simplest of the four types of decision-making environments.

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A company that just paid a dividend of $2.05 per share, which is expected to grow 12.5% each year. the stock is currently selling for $65.90 per share. what is the companys cost of equity

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The company's cost of equity is approximately 15.61%.

To calculate the cost of equity, we can use the dividend discount model (DDM) approach. The formula for the cost of equity using the DDM is as follows:

Cost of Equity = Dividend per Share / Current Stock Price + Growth Rate

Given the information provided:

Dividend per Share = $2.05

Current Stock Price = $65.90

Growth Rate = 12.5% or 0.125 (expressed as a decimal)

Plugging these values into the formula:

Cost of Equity = $2.05 / $65.90 + 0.125

Cost of Equity = 0.03106 + 0.125

Cost of Equity = 0.15606 or 15.61%

Therefore, the company's cost of equity is approximately 15.61%.

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Find the indicated probabilities. If convenient, use technology or Table 2 in Appendix B.
Second-Hand Fashion Fourteen percent of consumers have tried to purchase clothing second-hand rather than new in the past year. You randomly select 11 consumers. Find the probability that the number who have tried to purchase second-hand rather than new clothing is (a) exactly one, (b) at most five, and (c) more than three. (Source: Fashion Revolution)
Workplace Drug Testing Five percent of the U.S. workforce test positive for illicit drugs. You randomly select 14 workers. Find the probability that the number who test positive for illicit drugs is (a) exactly two, (b) more than two, and (c) from two to five. (Source: Quest Diagnostics)

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(a) For the second-hand fashion scenario: (a) The probability of exactly one consumer out of 11 having tried to purchase second-hand clothing can be calculated using the binomial probability formula.

Assuming independence and a success probability of 0.14 (14%), the calculation is as follows:

[tex]P(X = 1) = (11 choose 1) * (0.14)^1 * (0.86)^10 ≈ 0.3524[/tex]

Therefore, the probability that exactly one consumer out of the 11 selected has tried to purchase second-hand clothing is approximately 0.3524.

(b) To find the probability of at most five consumers, we sum the probabilities of having exactly zero, one, two, three, four, and five consumers:

[tex]P(X ≤ 5) = P(X = 0) + P(X = 1) + P(X = 2) + P(X = 3) + P(X = 4) + P(X = 5)[/tex]

Using the binomial probability formula for each term and calculating the sum, we find the probability to be approximately 0.9887.

(c) To calculate the probability of more than three consumers, we can subtract the cumulative probability of having three or fewer consumers from 1:

[tex]P(X > 3) = 1 - P(X ≤ 3)[/tex]

Using the same approach as in part (b), the probability of more than three consumers is approximately 0.4537.

(a) The probability of exactly one consumer trying second-hand fashion is found by applying the binomial probability formula, considering the success probability and the number of trials.

(b) To find the probability of at most five consumers, we sum the probabilities of the individual cases where there are zero, one, two, three, four, or five consumers who have tried second-hand fashion.

(c) The probability of more than three consumers is calculated by subtracting the cumulative probability of having three or fewer consumers from 1. This gives us the probability of having four, five, six, seven, or more consumers who have tried second-hand fashion.

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Use and explain six different images of managing change and how each approach to change affects all that follows in its implementation and continued support.
Using diagnostic model 7S that you can utilize to review aspects of change activities and actions that have been taken by the organization performance.
An important part of any change project is how the change is communicated to the organization, to the change agents, to the line workers, to the customers, and to the public. Explain in your paper how the company handled communicating the change to its stakeholders.

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Change management is a comprehensive process of planning, managing, and implementing alterations to an organization's structure, culture, and operations to improve performance and growth.

Six different images of managing change are Lewin's Change Management Model, Kotter's 8-Step Change Model, McKinsey 7S Framework, Nudge Theory, Bridges' Transition Model, and the ADKAR model.

Each approach to change affects all that follows in its implementation and continued support. Let's discuss these models and their effects on change implementation and support.1. Lewin's Change Management Model: It is a three-stage model comprising Unfreeze, Change, and Refreeze stages.

Lewin's model stresses the importance of preparing people for change by creating a sense of urgency. The change stage is the most challenging, where employees have to accept the new reality. Finally, the refreeze stage ensures the sustainability of change by making it a part of organizational culture.

2. Kotter's 8-Step Change Model: Kotter's 8-step model follows a strategic approach to change implementation. It emphasizes the importance of establishing a sense of urgency, forming a guiding coalition, creating a vision, and communicating the vision to employees. This model also highlights the importance of short-term wins, consolidating gains, and making changes a part of the organizational culture.

3. McKinsey 7S Framework: This framework evaluates seven different aspects of an organization's structure, such as strategy, structure, systems, style, staff, skills, and shared values.

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How do you see the determinants of price elasticity of demand
impacting the price elasticity of demand for doughnuts?

Answers

The concept of price elasticity of demand determines the impact of the change in price on the quantity demanded of a product or service. It explains the effect of price changes on the consumer's willingness and ability to purchase goods and services.Various factors determine the price elasticity of demand, including product substitutes, income levels, availability of close substitutes, and consumer preferences.

The following is how I see the determinants of price elasticity of demand impacting the price elasticity of demand for doughnuts:1. Substitutes: If there are many substitutes for doughnuts, then the price elasticity of demand is likely to be high. This is because if the price of doughnuts increases, customers are likely to switch to substitutes, such as muffins or cookies. The result is a decline in demand for doughnuts, and the elasticity of demand will be greater than 1.2. Income levels: If the price of doughnuts increases, those with a lower income level are likely to be impacted more. The reason being that for those with a lower income, the elasticity of demand will be higher.

Consumer preferences: If customers are loyal to a specific brand of doughnuts, then the price elasticity of demand will be low. This is because even if the price of the product increases, customers may not switch to alternatives due to their loyalty. In conclusion, the price elasticity of demand for doughnuts is impacted by various determinants. These determinants affect the customer's willingness and ability to purchase the product, hence affecting the elasticity of demand.

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A roofing company collects payment when jobs are complete. The work for one customer, at a price of $4,600, has been completed as of December 31, but the customer has not yet paid for the job.
What is the adjusting entry the company would need to make on December 31?

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In an adjusting entry, revenues or expenses are recognized in the income statement. This is to match the revenue and expense transactions with the correct accounting period.

In the case of this roofing company, the work has been completed, but the payment has not yet been collected. Therefore, the adjusting entry would be to record the amount of work completed as revenue even though the payment has not yet been collected.

Here's the adjusting entry the company would need to make on December 31:Revenue: $4,600Accounts receivable: $4,600The company would record $4,600 as revenue earned as of December 31, and would also record $4,600 as an account receivable as of December 31.

This means that the company is entitled to receive the payment of $4,600 from the customer. Since the payment has not yet been received, the amount is considered an account receivable until it is collected from the customer.

Therefore, this adjusting entry would increase the company's revenue and increase its accounts receivable by the same amount.

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The following financial statements and additional information are reported. ICHIBAN INCORPORATED Comparative Balance Sheets At June 30 2021 2020 Assets Cash $ 84,500 $ 49,000 Accounts receivable, net 72,500 56,000 Inventory 68,800 94,000 Prepaid expenses 4,900 6,400 Total current assets 230,700 205,400 Equipment 129,000 120,000 Accumulated depreciation—Equipment (29,500) (11,500) Total assets $ 330,200 $ 313,900 Liabilities and Equity Accounts payable $ 30,000 $ 37,500 Wages payable 6,500 16,000 Income taxes payable 3,900 4,800 Total current liabilities 40,400 58,300 Notes payable (long term) 31,000 65,000 Total liabilities 71,400 123,300 Equity Common stock, $5 par value 230,000 165,000 Retained earnings 28,800 25,600 Total liabilities and equity $ 330,200 $ 313,900 IKIBAN INCORPORATED Income Statement For Year Ended June 30, 2021 Sales $ 703,000 Cost of goods sold 416,000 Gross profit 287,000 Operating expenses (excluding depreciation) 72,000 Depreciation expense 63,600 151,400 Other gains (losses) Gain on sale of equipment 2,500 Income before taxes 153,900 Income taxes expense 44,390 Net income $ 109,510 Additional Information A $34,000 note payable is retired at its $34,000 carrying (book) value in exchange for cash. The only changes affecting retained earnings are net income and cash dividends paid. New equipment is acquired for $62,600 cash. Received cash for the sale of equipment that had cost $53,600, yielding a $2,500 gain. Prepaid Expenses and Wages Payable relate to Operating Expenses on the income statement. All purchases and sales of inventory are on credit. Using the direct method, prepare the statement of cash flows for the year ended June 30, 2021.

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To prepare the statement of cash flows using the direct method, we need to categorize the cash flows into three main sections: operating activities, investing activities, and financing activities. Let's go through each section based on the provided information:

1. Operating Activities:

  - Cash received from customers: Sales - Increase in accounts receivable

     = $703,000 - ($72,500 - $56,000) = $686,500

  - Cash paid for inventory: Increase in inventory - Cost of goods sold

     = $68,800 - $416,000 = -$347,200 (negative because it's an outflow)

  - Cash paid for operating expenses: Operating expenses - Decrease in prepaid expenses + Increase in wages payable

     = $72,000 - ($4,900 - $6,400) + ($16,000 - $6,500) = $81,000

  - Cash paid for income taxes: Income taxes expense

     = $44,390

2. Investing Activities:

  - Cash received from the sale of equipment: Gain on sale of equipment

     = $2,500

  - Cash paid for the acquisition of new equipment: -$62,600 (negative because it's an outflow)

3. Financing Activities:

  - Cash received from the retirement of note payable: $34,000

  - Cash paid for cash dividends: Not given in the provided information, so we assume there were no cash dividends paid.

Now, let's summarize the cash flows in the statement of cash flows format:

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