The mechanism of bond indicates that coupon payment in each period includes both principal and interests. A. True B. False

Answers

Answer 1

The mechanism of a bond indicates that the coupon payment in each period consists of only the interest portion. The principal amount is repaid at the maturity of the bond. The statement is false.

A bond is a debt security, similar to an IOU. Borrowers issue bonds to raise money from investors willing to lend them money for a certain amount of time. When you buy a bond, you are lending to the issuer, which may be a government, municipality, or corporation.

Bond details include the end date when the principal of the loan is due to be paid to the bond owner and usually include the terms for variable or fixed interest payments made by the borrower.

Bonds are debt instruments and represent loans made to the issuer. Governments (at all levels) and corporations commonly use bonds in order to borrow money. Governments need to fund roads, schools, dams, or other infrastructure. The sudden expense of war may also demand the need to raise funds.

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Answer 2

The mechanism of a bond indicates that the coupon payment in each period consists of only the interest portion. The principal amount is repaid at the maturity of the bond. The statement is false.

A bond is a debt security, similar to an IOU. Borrowers issue bonds to raise money from investors willing to lend them money for a certain amount of time. When you buy a bond, you are lending to the issuer, which may be a government, municipality, or corporation.

Bond details include the end date when the principal of the loan is due to be paid to the bond owner and usually include the terms for variable or fixed interest payments made by the borrower.

Bonds are debt instruments and represent loans made to the issuer. Governments (at all levels) and corporations commonly use bonds in order to borrow money. Governments need to fund roads, schools, dams, or other infrastructure. The sudden expense of war may also demand the need to raise funds.

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Related Questions

Last month when Holiday Creations, Inc., sold 38,000 units, total sales were $152,000, total variable expenses were $106,400, and fixed expenses were $38,700. Required: 1. What is the company's contribution margin (CM) ratio? 2. What is the estimated change in the company's net operating income if it can increase sales volume by 675 units and total sales by $2,700? (Do not round Intermediate calculations.) 1. Contribution margin ratio 2. Estimated change in net operating income

Answers

1. The company's contribution margin ratio is 30%. 2.If the company can increase sales volume by 675 units and total sales by $2,700, the estimated change in the company's net operating income would be a decrease of $37,890.

1.The contribution margin ratio is the percentage of each sales dollar that is available to cover fixed costs and contribute to profit after variable costs have been covered. It can be calculated as follows:

CM ratio = (Total Sales - Total Variable Expenses) / Total Sales

In this case:

CM ratio = ($152,000 - $106,400) / $152,000

CM ratio = $45,600 / $152,000

CM ratio = 0.3 or 30%

Therefore, the company's contribution margin ratio is 30%.

2. To calculate the estimated change in the company's net operating income, we can use the following formula:

Estimated Change in Net Operating Income = (Contribution Margin x Additional Sales) - Additional Fixed Costs

First, we need to calculate the contribution margin per unit:

Contribution Margin per Unit = Selling Price per Unit - Variable Cost per Unit

Contribution Margin per Unit = ($152,000 / 38,000 units) - ($106,400 / 38,000 units)

Contribution Margin per Unit = $4 - $2.80

Contribution Margin per Unit = $1.20

Next, we can calculate the additional contribution margin from the increased sales:

Additional Contribution Margin = Contribution Margin per Unit x Additional Sales

Additional Contribution Margin = $1.20 x 675 units

Additional Contribution Margin = $810

Finally, we can calculate the estimated change in net operating income:

Estimated Change in Net Operating Income = (Contribution Margin x Additional Sales) - Additional Fixed Costs

Estimated Change in Net Operating Income = ($1.20 x 675 units) - $38,700

Estimated Change in Net Operating Income = $810 - $38,700

Estimated Change in Net Operating Income = -$37,890

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A licensee lists a home knowing the seller capped a fuel oil tank and then filled it with sand. Does the licensee need to disclose this information to potential buyers?
Yes, but only if the buyer asks about the tank
Yes, because it could affect the buyer’s use of the property
NO, because there is no duty owned to a buyer
No, because the seller said the tank was no longer being used

Answers

The licensee need to disclose this information to potential buyers Yes, but only if the buyer asks about the tank

Which three listing types are most prevalent?

There are three different kinds of real estate listing contracts: open listing, exclusive agency listing, and exclusive right-to-sell listing. The listing agreement is not a real estate transaction, but a contract for employment: Although the broker is employed to represent the seller, no real estate is exchanged between them.

A listing agreement contains what exactly?

the owner's and the agent's names, addresses, and phone numbers. the length of time the property will be up for sale. The cost of the property as it is listed. the kind of listing contract being signed.

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If the absolute price elasticity of demand for good Y is 0.75, when there is a 30 percent increase in price, we can conclude that quantity demanded A. has fallen by 35.0 percent B. has fallen by 10.4 percent. C. has fallen by 40.0 percent. D. has fallen by 22.5 percent.

Answers

The correct answer is D. has fallen by 22.5 percent.

This can be calculated using the formula for price elasticity of demand:
Price elasticity of demand = percentage change in quantity demanded / percentage change in price.

We are given that the absolute price elasticity of demand for good Y is 0.75, which means that a 1 percent increase in price leads to a 0.75 percent decrease in quantity demanded.
Using this information, we can calculate the percentage change in quantity demanded when there is a 30 percent increase in price:
0.75 = percentage change in quantity demanded / 30
Solving for the percentage change in quantity demanded:
percentage change in quantity demanded = 0.75 x 30 = 22.5 percent
Therefore, we can conclude that the quantity demanded has fallen by 22.5 percent.

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As of July 1, Jack Tupp Auto Repair had total retained earnings of $128,000. During July, it wrote checks for $22,000 in salaries expense, $31,000 in prepaid expenses, and $40,000 in rent expense. It also accrued sales revenues of $103,000. None of the expenses had been previously accrued, and none of the prepaid expenses were used in July. Assuming no other transactions occurred during July, what is Jack Tupp Auto Repair's total stockholders' equity as of July 31?

Answers

Jack Tupp Auto Repair's total stockholders' equity as of July 31 is $138,000.

To calculate Jack Tupp Auto Repair's total stockholders' equity as of July 31, we need to adjust for the expenses incurred and the sales accrued during the month.

Starting with the retained earnings of $128,000, we subtract the total expenses incurred in July:

$22,000 (salaries) + $31,000 (prepaid expenses) + $40,000 (rent) = $93,000

This leaves us with:

$128,000 - $93,000 = $35,000

We then add in the accrued sales revenue:

$35,000 + $103,000 = $138,000

Therefore, Jack Tupp Auto Repair's total stockholders' equity as of July 31 is $138,000.

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Suppose an economy has a trade deficit of $85 billion, private domestic savings of $415 billion, a government deficit of $250 billion, and private domestic investment of $750 billion. If the trade deficit decreases by $25 billion, then all else equal by how many billions of dollars must private domestic investment have to change? Use a negative sign in your answer if there must be a decrease in private domestic investment. Recall the savings investment formula: S + (M-X) = 1 + (G-T)

Answers

Private domestic investment must decrease by $25 billion when the trade deficit decreases by $25 billion.

To find out how much private domestic investment must change when the trade deficit decreases by $25 billion, we'll use the savings-investment formula: S + (M-X) = I + (G-T), where S represents private domestic savings, M-X is the trade deficit, I is private domestic investment, G is government spending, and T is taxes.

Given the initial values:

Trade deficit (M-X) = -$85 billion
Private domestic savings (S) = $415 billion
Government deficit (G-T) = -$250 billion
Private domestic investment (I) = $750 billion

New trade deficit after a decrease of $25 billion: -$85 billion + $25 billion = -$60 billion

Now, plug in the new value for the trade deficit and solve for the new private domestic investment (I'):

$415 billion - $60 billion = I' - (-$250 billion)

Simplify and solve for I':

$415 billion + $60 billion + $250 billion = I'

I' = $725 billion

Now, find the change in private domestic investment by subtracting the initial value (I) from the new value (I'):

Change in private domestic investment = I' - I = $725 billion - $750 billion = -$25 billion

So, all else equal, private domestic investment must decrease by $25 billion when the trade deficit decreases by $25 billion. Your answer: -25 billion.

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An analyst who is interested in a company's long term solvency would most likely examine: O ROE O Quick Ratio O Times Interest Earned

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An analyst who is interested in a company's long-term solvency would most likely examine the fixed charge coverage ratio.

Which of the following best describes how long-term solvency is measured?

As a result, we can conclude that the Debt Equity Ratio indicates long-term solvency.

Why should I care about long-term solvency ratios?

A company's ability to pay its debts over the longer and medium terms is evaluated using long-term solvency ratios. Interest coverage, the debt ratio, and gearing are a few examples. Financial Stability Ratios is another name for this concept. The fixed charge coverage ratio would most likely be examined by an analyst who is interested in the long-term solvency of a corporation.

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DIf a bank increases its provisions for loan losses, its interest income is ____, and its noninterest income is ____.
a. reduced; not affected b. reduced; reduced c. not affected; reduced d. not affected; not affected

Answers

If a bank increases its provisions for loan losses, its interest income is not affected, and its noninterest income is reduced.
So, the correct answer is C.


Provisions for loan losses are a reserve that a bank sets aside to cover potential losses from loans that may not be repaid. When a bank increases its provisions for loan losses, it is reducing its earnings because it is setting aside more money to cover potential losses.

This reduction in earnings affects the noninterest income of the bank, which includes fees and commissions earned from services such as wealth management and investment banking. However, the interest income of the bank is not affected because it is earned from the interest charged on loans and other financial instruments, and provisions for loan losses do not impact this income stream.

Therefore, the correct answer to this question is C. not affected; reduced.

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The higher the coverage limit, the ______ the premium
the _______ the coverage limit, the lower the premium
the lower the deductible, the _______ the premium
the _______ the deductible, the lower the premium

Answers

The higher the coverage limit, the higher the premium.

The lower the coverage limit, the lower the premium.

The lower the deductible, the higher the premium.

The higher the deductible, the lower the premium.
The higher the coverage limit, the higher the premium.

The lower the coverage limit, the lower the premium.

The lower the deductible, the higher the premium.

The higher the deductible, the lower the premium.

Data taken from the Department of Energy Indicate that the average price of crude oil in the world increased from $54,63 per barrel on January 5, 2007, to $92.93 on December 28, 2007. Would an increase in oil prices cause a demand shock or a supply shock?

Answers

an increase in oil prices from $54.63 per barrel to $92.93 per barrel would generally cause a supply shock. This is because higher oil prices make it more expensive for businesses to produce goods and services, leading to a decrease in the supply of these products.

An increase in oil prices would typically cause a supply shock, as it becomes more expensive for businesses to produce and distribute goods, which can lead to higher prices for consumers. However, it could also cause a demand shock if the increased prices result in consumers reducing their consumption of oil and related products. Ultimately, the impact of the price increase on supply and demand would depend on various factors, including the specific industries and markets involved, as well as the overall economic conditions at the time.

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When you swipe a credit card, the machine sometimes fails
to read the card. What can you do differently?
(a) Swipe the card more slowly so that the reader has more
time to read the magnetic stripe.
(b) Swipe the card more quickly so that the induced emf is
higher.
(c) Swipe the card more quickly so that the induced currents
are reduced.
(d) Swipe the card more slowly so that the magnetic fields
don’t change so fast.

Answers

it is generally recognized that a large organization's relationship with government can have a significant influence on the organization's strategy. (c) Swipe the card more quickly so that the induced currents are reduced.

For example, if an organization operates in a highly regulated industry, such as healthcare or energy, its relationship with government may be critical to its ability to operate effectively. In such cases, the organization may need to align its strategy with the government's priorities and comply with relevant laws and regulations to avoid penalties or loss of licenses.

On the other hand, if an organization operates in an industry with fewer regulations, such as technology or retail, its relationship with government may be less influential. However, it may still be important for the organization to maintain positive relationships with government officials to protect its interests and advocate for policies that support its business objectives.

Overall, the relationship between a large organization and government can be complex and multifaceted, and can impact various aspects of the organization's strategy, including its legal compliance, financial performance, and public image.

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true or false
Gender differences may be considered in market segmentation; but to avoid stereotyping it is advisable to combine gender with other segmentation methods.

Answers

This statement is true because gender differences can play an important role in market segmentation, as men and women often have different preferences and behaviors when it comes to purchasing products or services.

Relying solely on gender to segment a market can lead to stereotyping and oversimplification of consumer preferences. By combining gender with other segmentation methods, such as age, income, education, lifestyle, and geographic location, marketers can create more targeted and accurate profiles of their target audience.

This approach can help them tailor their marketing strategies to better meet the needs and preferences of different consumer groups, rather than relying on assumptions based solely on gender.

Furthermore, combining gender with other segmentation methods can help to avoid stereotypes and promote inclusivity in marketing. It allows for a more nuanced understanding of consumer behavior and preferences that goes beyond traditional gender roles and stereotypes.

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A company makes an investment in a new product costing $574,000 and is expected to have a service life of 10 years.
If it is expect to generate the following profits:
1- $175K, 2 - $185K, 3- $125K, 4- $125K, 5- $140K 6- $220K, 7-10 $150K
and the project is evaluated at a rate of 4%,
What is the present value of the project & the annual equivalent?
A.PV AE$622,670 $56,710
B.PV AE
$639,315 $78,822
C. None of These
D. PV AE
$702, 540 $86, 617
E.PV AE
$732,540 $66, 617

Answers

The company's decision to invest in a new product for $574,000 is a significant investment. However, the expected 10-year service life of the product can provide significant returns.

The company needs to consider the product's potential revenue, the cost of production, and other expenses to determine its profitability. The calculation of E.P.V. (expected present value) and AE (annual equivalent) can help the company determine the product's financial viability.

The E.P.V. of $732,540 and AE of $66,617 show that the investment is expected to generate a positive return. The company needs to carefully monitor the product's performance and expenses to ensure that it remains profitable throughout its service life.

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Seven economic drivers that influence transportation cost were presented. Select a specific product and discuss how each factor will impact determination of a freight rate.

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There were listed seven economic factors that affect the price of transportation. There are eight of them: handling, liability, market, stowability, weight, and density. Discuss how each aspect will affect determining a freight rate for a particular goods.

In conclusion, a number of factors, including supply, demand, the interplay between supply and demand, and the cost of land, affect the cost of transportation. Transport companies can better manage their pricing strategies to stay competitive in the market by being aware of these aspects. Demand and supply are the main factors affecting transportation costs. Last but not least, transportation makes it feasible for a producer to access a wide range of markets.

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On January 1, 2016, Hackman Corporation issued $1 million face value 12% bonds dated January 1, 2016, for $1,023,000. The bonds pay interest semiannually on June 30 and December 31 and are due December 31, 2020. Hackman uses the straight-line amortization method.
Required:
Record the issuance of the bonds and the first two interest payments.
.

Answers

The issuance of the bonds can be recorded as follows:

Debit Cash $1,023,000

Credit Bonds Payable $1,000,000

Credit Premium on Bonds $23,000

The premium of $23,000 is calculated as the difference between the issue price and the face value of the bonds.

The interest payment on June 30, 2016, can be recorded as follows:

Debit Interest Expense $12,150

Debit Premium on Bonds $1,150

Credit Cash $13,300

The interest expense is calculated as $1,000,000 x 12% x 6/12, and the premium amortization is $23,000 x 6/20.

The interest payment on December 31, 2016, can be recorded as follows:

Debit Interest Expense $12,150

Debit Premium on Bonds $1,150

Credit Cash $13,300

The interest expense and premium amortization are the same as in the previous entry.

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a firm’s long-run total cost curve is given by: c(q) = 40q − 10q2 q3 . over what range of output does this technology exhibit decreasing returns to scale?

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it turns out that the technology exhibits decreasing returns to scale for all values of q greater than approximately 4.126 units of output.

The range of output where this technology exhibits decreasing returns to scale can be found by examining the relationship between the output elasticity of total cost and the scale of production. In this case, the output elasticity of total cost is given by the formula E(q) = q*c'(q)/c(q), where c'(q) is the derivative of the cost function with respect to q.

If E(q) is greater than 1, the technology exhibits increasing returns to scale; if it is less than 1, it exhibits decreasing returns to scale; and if it is equal to 1, it exhibits constant returns to scale.

Taking the derivative of the cost function, c'(q) = 40 - [tex]20q^2 - 3q^2[/tex], and substituting it into the output elasticity formula, we get:

E(q) = q*([tex]40 - 20q^2 - 30q^2)/(40q - 10q^2 - q^3)[/tex]

Simplifying this expression, we get:

E(q) = 40[tex]q^2/(40q - 10q^2 - q^3)[/tex]

To find the range of output where the technology exhibits decreasing returns to scale, we need to find the range of output where E(q) is less than 1. This can be done numerically or graphically, by plotting E(q) and looking for the range of values where it is less than 1.

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If a firm decides to eliminate a product line that produces a yearly net loss of $21,000, its yearly net income
A. will increase by $21,000 only if it can eliminate all of the fixed costs associated with that product line.
B. will increase by $21,000 only if it can eliminate all of the variable costs associated with that product line.
C. will automatically increase by $21,000.
D. will decrease unless the firm can eliminate all of the fixed costs associated with that product line.

Answers

If a firm decides to eliminate a product line that produces a yearly net loss of $21,000, its yearly net income: A. will increase by $21,000 only if it can eliminate all of the fixed costs associated with that product line. Thus, option A is correct.

Net loss is a negative impact on net income, so removing the product line and its associated fixed costs will result in an increase in net income by the same amount as the net loss being eliminated. If the firm cannot eliminate all of the fixed costs, the net income increase will be less than $21,000. The correct answer is option A.

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Identify the following variables as qualitative or quantitative.
a. Gender
b. Salary
c. Class designation
d. Education level
e. Sales
f. Temperature
g. Make of a car
h. Height
i. Season of the year
j. Advertising expenditure
k. Type of advertising
l. Store location

Answers

The following variables are listed as qualitative or quantitative.

a. Gender is a qualitative variable as it refers to a characteristic or attribute of an individual that cannot be quantified.

b. Salary is a quantitative variable as it can be measured and expressed in numerical values.

c. Class designation is a qualitative variable as it is a categorical classification.

d. Education level is a qualitative variable as it refers to a categorical classification of an individual's educational attainment.

e. Sales is a quantitative variable as it can be measured and expressed in numerical values.

f. Temperature is a quantitative variable as it can be measured and expressed in numerical values.

g. Make of a car is a qualitative variable as it refers to a categorical classification of a car's manufacturer.

h. Height is a quantitative variable as it can be measured and expressed in numerical values.

i. Season of the year is a qualitative variable as it refers to a categorical classification of time periods.

j. Advertising expenditure is a quantitative variable as it can be measured and expressed in numerical values.

k. Type of advertising is a qualitative variable as it refers to a categorical classification of advertising methods.

l. Store location is a qualitative variable as it refers to a categorical classification of physical locations.

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Policy makers in the U.S. government have long tried to write laws that encourage growth in per capita real GDP. These laws typically do one of three things:
a. They encourage firms to invest more in research and development in order to boost technology.
b. They encourage individuals to save more in order to boost the physical capital stock.
c. They encourage individuals to invest more in education in order to boost the stock of human capital.

Answers

These laws typically do: a. They encourage firms to invest more in research and development in order to boost technology.

The various laws that target key economic aspects.

Policymakers in the U.S. government aim to encourage growth in per capita real GDP through various laws that target key economic aspects.

These laws generally focus on three strategies:

a. Encouraging firms to invest in research and development, which helps boost technological advancements, increasing productivity and overall economic growth.

b. Promoting individual savings to enhance the physical capital stock, which provides businesses with the necessary resources for expansion and innovation, contributing to GDP growth.

c. Motivating individuals to invest in education to augment the stock of human capital, as a more skilled and knowledgeable workforce can drive improvements in productivity and economic performance.

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Becky needs to decide how many cups of coffee and pieces of cake she will buy for a meeting with an office mate. She estimates her total utility for different quantities of coffee and cakes below. A cup of coffee is $1.00, and each piece of cake is $0.50. Becky has a total of $3 to spend. What is Becky's total utility if she buys 1 cup of coffee and 4 pieces of cake?

Answers

Becky's total utility if she buys 1 cup of coffee and 4 pieces of cake by adding up the utility values for each item. From the table provided, 1 cup of coffee has a utility value of 8, 4 pieces of cake have a utility value of 12. Therefore, Becky's total utility would be 8 + 12 = 20.

To ensure she stays within her budget of $3, Becky can calculate the total cost of her purchase by multiplying the cost of each item by the quantity purchased. 1 cup of coffee costs $1.00, and 4 pieces of cake cost $2.00. Therefore, the total cost of Becky's purchase would be $3.00, which is within her budget.

Overall, Becky's total utility for 1 cup of coffee and 4 pieces of cake would be 20, and the total cost of her purchase would be $3.00. By choosing items with high utility values, Becky can maximize her satisfaction from the purchase while staying within her budget.

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Explain the processes that will bring the growth of real GDP per person to a stop according to_____
a. Classical growth theory b. Neoclassical growth theory C. New growth theory

Answers

Overall, the three theories have contrasting opinions regarding the elements that can cause the real GDP per person to stop increasing. Disappearing returns to capital are a major feature in both classical and neoclassical growth theories, and the latter additionally takes into account the impact of technological advancement.

Real GDP is derived by accounting for changes in the general level of economic prices in the nominal GDP, which represents the total worth of all products and services produced in a nation during a given time period. Inflation can skew the nominal GDP estimates, therefore this adjustment is required to measure changes in economic output over time accurately. Real GDP is a key indicator of an economy's health and is frequently used to gauge a nation's economic growth. A country's production of goods and services is said to be increasing when the real GDP is rising, whereas decreasing real GDP is said to be decreasing.

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The table below gives a firm’s costs.
Output Fixed costs ($) Total costs ($)
0 $70 $50
1 $70 $55
2 $70 $62
3 $70 $72
4 $70 $88
5 $70 $110
What is the marginal cost of expanding production from 3 units to 4 units?
Choose one:A. $16 B. $10 C. $88 D. $7 E. $70 F. $22 G. $0

Answers

The total cost of producing 3 units is $72, and the total cost of producing 4 units is $88. Therefore, the marginal cost of expanding production from 3 units to 4 units is $88 - $72 = $16 So the correct answer is A. $16.

The marginal cost is the additional cost of producing one more unit. To find the marginal cost of expanding production from 3 units to 4 units, we need to look at the change in total cost from producing 3 units to producing 4 units.

1. Look at the total cost for 3 units: $72.
2. Look at the total cost for 4 units: $88.                                                       3. Subtract the total cost for 3 units from the total cost for 4 units:

$88 - $72 = $16.

So, the marginal cost of expanding production from 3 units to 4 units is $16 (Option A).

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The conventional policy tools available to the Fed include each of the following, except the:
a. currency-to-deposit ratio.
b. discount rate.
c. target federal funds rate range.
d. reserve requirement.

Answers

The conventional policy tools available to the Fed include the discount rate, target federal funds rate range, and reserve requirement. The currency-to-deposit ratio is not a conventional policy tool used by the Fed.

The conventional policy tools available to the Fed include each of the following, except the: a. currency-to-deposit ratio.

The other options (b. discount rate, c. target federal funds rate range, and d. reserve requirement) are all conventional policy tools used by the Federal Reserve.

The currency deposit ratio (CDR) measures how much of the public's total wealth is held in physical currency compared to bank deposits. It is a crucial sign of the economy's liquidity situation.

CDR is a measurement of how much cash individuals have in comparison to how much they have in bank accounts. It is computed by dividing the total quantity of bank deposits by the total amount of money in circulation. The CDR is a crucial indication of the economy's liquidity since it shows how inclined individuals are to put their money in banks as opposed to in cash.

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the table shows a sample of prices and the quantity sold by a monopolist. what is the monopolist's marginal revenue of the 101st unit?
A. $0 B. - $2 C. - $6 D. $6

Answers

Therefore, the monopolist's marginal revenue of the 101st unit is -$91, or option B (-$2 when rounded to the nearest whole number).

To determine the monopolist's marginal revenue of the 101st unit, we need to first understand that a monopolist faces a downward-sloping demand curve, which means that to sell more units of the product, the monopolist must lower the price of the product.

Looking at the table, we can see that the monopolist is selling 100 units at a price of $10 per unit. To sell an additional unit (i.e., the 101st unit), the monopolist must lower the price to $9. Therefore, the total revenue for selling 101 units would be:

Total revenue for 100 units = $1,000

Total revenue for 101 units = $909

The marginal revenue of the 101st unit is the change in total revenue resulting from selling the additional unit, which can be calculated as follows:

Marginal revenue = Total revenue for 101 units - Total revenue for 100 units

Marginal revenue = $909 - $1,000

Marginal revenue = -$91

Therefore marginal revenue is 91

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Therefore, the monopolist's marginal revenue of the 101st unit is -$91, or option B (-$2 when rounded to the nearest whole number).

To determine the monopolist's marginal revenue of the 101st unit, we need to first understand that a monopolist faces a downward-sloping demand curve, which means that to sell more units of the product, the monopolist must lower the price of the product.

Looking at the table, we can see that the monopolist is selling 100 units at a price of $10 per unit. To sell an additional unit (i.e., the 101st unit), the monopolist must lower the price to $9. Therefore, the total revenue for selling 101 units would be:

Total revenue for 100 units = $1,000

Total revenue for 101 units = $909

The marginal revenue of the 101st unit is the change in total revenue resulting from selling the additional unit, which can be calculated as follows:

Marginal revenue = Total revenue for 101 units - Total revenue for 100 units

Marginal revenue = $909 - $1,000

Marginal revenue = -$91

Therefore marginal revenue is 91

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32. A. B. C. D. Eurodollars refers to dollar deposits when the depository bank is located in Europe Europe, and the Caribbean. Outside the United States. United States. 25es that work in the euro zome. 33. Eurocredits B. short-to medium-term loans of Eurocurrency extended by Eurobanks to orations, sovereign governments, nonprime banks, or international corp organizations. C. D. none of the above Organi Are dollar deposits accepted by banks outside the United States.

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Yes, foreign financial institutions like Eurobanks in Europe, the Caribbean, or the euro zone can accept deposits made in dollars.

Yes, dollar deposits can be accepted by financial institutions the United States, such as Eurobanks located in Europe, the Caribbean, or the euro zone. These deposits are known as Eurodollars. Additionally, Eurobanks can also extend short-to medium-term loans of Eurocurrency, known as Eurocredits, to organizations such as sovereign governments, nonprime banks, or international corporations. Companies that offer financial services to clients include financial institutions. Clients include people, businesses, and governments. Through the facilitation of financial transactions, risk management, and the provision of financial guidance and support, these institutions play a significant role in the economy.

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Help needed! Please and thank you

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Answer:

I would go with B

Explanation:

Job analysis I think is like a performance evaluation.

write a business profile for a large business in your town. you can use your imagination to supply details you might not know.

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To write a business profile for a large business in your town, we will create a fictional company called "TechTown Innovations." Here's the business profile using the terms "business," "profile," and "supply details":

TechTown Innovations is a leading technology business located in our town that specializes in developing cutting-edge software and hardware solutions.


ABC Corporation is a leading business in the manufacturing industry, specializing in the production of high-quality consumer electronics. The company was established in 1970 and has since grown to become a household name in the local community and beyond.


With state-of-the-art facilities and cutting-edge technology, ABC Corporation is able to produce products that are both innovative and affordable. The company's commitment to quality has earned it a reputation for excellence, and its loyal customer base is a testament to its success.



ABC Corporation prides itself on its commitment to sustainability and the environment. The company has implemented a number of green initiatives, including the use of renewable energy sources and the reduction of waste in its manufacturing process.



Overall, ABC Corporation is a dynamic and innovative business that is poised for continued success in the years to come. Its commitment to quality, sustainability, and community make it a valuable asset to the local economy and a leader in the industry.

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What was the primary benefit for the European Union (EU) of adopting the euro in 1999?

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The primary benefit for the European Union (EU) of adopting the euro in 1999 was the creation of a common currency that could facilitate trade and economic integration among the member countries.

By adopting a single currency, the EU hoped to eliminate the need for currency exchange and reduce transaction costs for businesses operating across borders. This, in turn, would increase trade and investment flows, create a larger market for goods and services, and promote greater economic stability and growth. The euro also served as a symbol of the EU's political and economic unity, as it represented a significant step towards greater integration and cooperation among member countries. Additionally, the adoption of the euro helped to strengthen the EU's position in the global economy by creating a large, stable currency that could compete with other major currencies such as the US dollar and the Japanese yen. Despite the many benefits of adopting the euro, there have also been challenges and criticisms, such as concerns about the loss of national sovereignty over monetary policy and the impact of the euro on inflation and competitiveness in certain member countries.

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basis of $48,000, to raisin and plumacre (real property) having a fair market value of $144,000 and a basis of $132,000, to prune. how much gain does prune recognize as a result of this transaction?

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We can calculate the gain on the sale of raisin and plumacre, but we don't have enough information to calculate the gain on prune.

Based on the information provided, it seems that there was a transaction involving two real properties - a raisin and plumacre with a fair market value of $144,000 and a basis of $132,000, and a prune with an unknown fair market value and basis.

Assuming that the transaction involved a sale of the raisin and plumacre to a third party, we can calculate the gain that prune recognizes as follows:

Total sale price of raisin and plumacre = $144,000
Total basis of raisin and plumacre = $132,000
Gain on sale of raisin and plumacre = $144,000 - $132,000 = $12,000

Since prune received a portion of the $48,000 basis in the original transaction, we need to determine what portion of that basis was allocated to prune. Without additional information, it's impossible to know for sure. However, if we assume that the basis was split evenly among the three properties, then prune's share of the basis would be $16,000 ($48,000 / 3).

To calculate the gain that prune recognizes, we would subtract prune's basis from the amount received in the transaction. However, we don't know the fair market value or sale price of prune, so we can't calculate the gain at this time.

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If at the end of the year, the cost of revenue = $2,500, total revenue = $12,000 and inventory value = $2,000, the inventory turnover ratio would be:
a.0.208
b.0.375
c.2.667
d.0.800
e.1.250

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The inventory turnover ratio with the given set of information following the formula will be 1.250.

The inventory turnover ratio is calculated by dividing the cost of revenue by the average inventory value. We don't have the average inventory value in this case, but we can use the inventory value at the end of the year as an approximation. Inventory turnover ratio = Cost of revenue / Inventory value = [tex]2,500 / 2,000 = 1.25[/tex]  Therefore, the answer is e. 1.250. By dividing the average inventory value throughout the time period by the cost of products sold, inventory turnover calculates how effectively a business utilises its inventory.  Inventory turnover ratios are crucial for retailers because they can only be used to compare similar businesses. While a greater ratio implies good sales but may also be an indication of insufficient inventory stocking, a f low ratio indicates either weak sales or excess inventory.

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A researcher is interested in the size of the current balance of credit card holders. To estimate this, he obtains the size of the current balance of a random sample of 25 credit card holders. A 90% confidence interval for the mean current balance of credit card holders is found to be $662.72 +or- $44.70. Which of the following would produce a confidence interval with a smaller margin of error than this 90% confidence interval?a) Obtain the balances of only five credit card holders rather than 25, because five are likely to be more uniform than 25b) Obtain the balances of 100 credit card holders rather than 25c) Compute a 99% confidence interval rather than a 90% confidence interval. The increase in confidence indicates that we have a better interval.d) None of the above

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To produce a confidence interval with a smaller margin of error than the given 90% confidence interval Obtain the balances of 100 credit card holders rather than 25. The correct answer is option b.

The margin of error of a confidence interval is affected by several factors, including the sample size, the level of confidence, and the variability of the data.

To produce a confidence interval with a smaller margin of error than the given 90% confidence interval, we need to increase the sample size or decrease the level of confidence.

Increasing the sample size will generally decrease the margin of error, assuming the variability of the data remains constant. Therefore, this option is likely to produce a confidence interval with a smaller margin of error than the given 90% confidence interval.

Option (a) suggests obtaining the balances of only five credit card holders rather than 25. Decreasing the sample size is likely to increase the margin of error, making this option less desirable.

Option (c) suggests computing a 99% confidence interval rather than a 90% confidence interval. Increasing the level of confidence will increase the margin of error, making this option less desirable.

Therefore, the correct answer is (b) Obtain the balances of 100 credit card holders rather than 25, because increasing the sample size will generally decrease the margin of error.

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