True: When there are adaptive expectations, it means that individuals base their expectations of future inflation on past inflation.
True: When there are adaptive expectations, it means that individuals base their expectations of future inflation on past inflation. This implies that if there is persistence or inertia in inflation, where past inflation rates influence current and future inflation rates, it is consistent with the concept of adaptive expectations.False: The neutrality of money in the short term refers to the idea that changes in the money supply do not have an immediate impact on real variables such as output and employment. It suggests that in the short run, changes in the money supply primarily affect nominal variables, such as prices and inflation, rather than real economic activity.True: The upward sloping aggregate supply curve suggests that as output increases, firms need to hire more inputs, leading to higher costs and potentially higher prices. This positive relationship between output and prices supports the notion that changes in aggregate supply can affect inflation.False: Changes in inflation expectations do not necessarily imply a movement on the curve. Inflation expectations can influence economic behavior and decisions, including wage-setting and price-setting decisions, which can, in turn, affect the aggregate supply or demand. Changes in inflation expectations can lead to shifts in the aggregate supply or demand curves, rather than movements along the curves.False: The relationship between inflation and the unemployment rate is described by the Phillips curve. The specific values given in the statement do not align with the standard Phillips curve relationship. The Phillips curve suggests a negative relationship between unemployment and inflation, meaning that lower unemployment is associated with higher inflation, and vice versa.False: The sensitivity of inflation to cyclical unemployment, also known as the Phillips curve slope, indicates the responsiveness of inflation to changes in cyclical unemployment. However, reducing inflation by 1 percentage point does not necessarily mean sacrificing 0.5 percentage points of unemployment. The trade-off between inflation and unemployment, as described by the Phillips curve, is not always linear, and the specific relationship between changes in inflation and unemployment depends on various factors and economic conditions.The correct question is:
Please mark true or false for the following statements.
1. When there are adaptive expectations, it implies that there is persistence (inertia) in inflation:
2. It implies neutrality of money in the short term:
3. It can be derived from the upward sloping aggregate supply curve:
4. Changes in inflation expectations imply a movement on the curve:
5. Inflation would be 4% if the unemployment rate is 1 percentage point above its natural level; 3= 0.5; and expectations are 4%:
6. If the sensitivity of inflation to cyclical unemployment is 0.5, to reduce inflation by 1 percentage point, 0.5 percentage points of unemployment must be sacrificed.
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the ultimate purpose of business reports is to . predict trends make decisions reconcile differences summarize
The ultimate purpose of business reports is to summarize, reconcile differences, and make decisions.
Reports are an essential tool for business decision-making. Reports contain accurate, timely, and objective information that management can use to make informed decisions. As a result, reports are created in a variety of formats, such as a summary report, comparative analysis, and detailed report. The purpose of these reports is to provide an accurate account of an organization's performance, identify trends, and recommend action. Reports help managers and decision-makers stay informed about their business and make better decisions.
Here are some of the purposes of business reports: To monitor and analyze trends, such as sales or costs. To measure progress against objectives. To provide information to support decision-making. To monitor performance against budget or targets. To provide information for external audiences, such as shareholders or regulatory bodies.
Business reports can be used to predict trends, but this is not their ultimate purpose. The primary purpose of business reports is to provide decision-makers with accurate, timely, and objective information that they can use to make informed decisions. In conclusion, the ultimate purpose of business reports is to summarize, reconcile differences, and make decisions. Reports are a critical tool for businesses, providing managers with accurate and timely information to support decision-making.
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what influence does risk premium have on the investment decision. Discuss the three (3) approaches that can be used to determine an individuals’ overall risk profile
Risk premium refers to the extra return that investors demand from investing in a high-risk investment, and it's an essential aspect that can influence an investment decision.
Here are some of the ways that risk premium can impact an investment decision:
Impact on Expected Return:
Risk premium impacts an investment decision by influencing the expected return from an investment. As investors take on higher risk investments, they expect higher returns to compensate for the extra risk. As a result, investors might choose to invest in high-risk securities, such as stocks, commodities, or derivatives, in the hope of achieving a higher return.
Impact on Risk Tolerance:
Risk premium can also influence an investor's risk tolerance, or their ability to take on risk. Investors who are risk-averse will tend to avoid high-risk investments, as the higher potential returns do not compensate for the added risk. In contrast, risk-seeking investors will be more comfortable investing in high-risk securities, as they believe the potential rewards are worth the additional risk.
Impact on Diversification:
Risk premium can also influence the way investors diversify their portfolios. By investing in different types of securities, investors can reduce their overall risk by diversifying their investments. However, risk premium might impact this decision, as investors might choose to invest in securities that are uncorrelated with other investments in their portfolio to reduce overall risk.
To determine an individual's overall risk profile, the following are the three approaches that can be used:
Quantitative Approach: The quantitative approach to determining an individual's risk profile involves using mathematical models to analyze different variables such as investment objectives, time horizon, risk tolerance, and investment experience. This approach typically uses financial models to help investors make informed investment decisions.Qualitative Approach: The qualitative approach to determining an individual's risk profile involves analyzing their investment objectives, investment experience, and investment style. This approach is more subjective and involves asking questions such as how much risk an investor is willing to take, what their investment goals are, and what their investment time horizon is.Combined Approach: The combined approach to determining an individual's risk profile involves combining both quantitative and qualitative approaches to get a more comprehensive view of an individual's risk profile. This approach is generally more accurate, as it takes into account both quantitative and qualitative factors to determine an individual's risk profile.Learn more about Risk premium from the given link:
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customers should not expect a company to keep their information confidential true or false
Answer:
False
Explanation:
sorry if this is wrong
If the government cuts taxes by 10 billion dollars and cuts spending by the same amount, RGDP will
decrease by $10 billion.
increase by $10 billion.
remain the same.
increase by some amount less than $10 billion.
decrease by some amount less than $10 billion.
If the government cuts taxes by 10 billion dollars and cuts spending by the same amount, RGDP will: C. remain the same.
What will happen to RGDP?RGDP will remain the same because the two actions, tax cuts and spending cuts, cancel each other out in terms of their effect on the overall economy. While the tax cuts may stimulate consumption and investment, the reduction in government spending may have a contractionary effect on the economy.
The net effect on RGDP would be zero, assuming all else remains equal. However, in reality, the impact on the economy could be more complex and depend on various factors such as the overall state of the economy, the specific sectors affected by the spending cuts, and the way the tax cuts are distributed among different income groups.
Therefore the correct option is C.
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Olde ple designs and manufactures shoes Olde ple can select only one of two protsenth of which wow Depending on the state of the economy, nach project has different throws Project Casual shoes Formal shoes Weak Economy 200,000 800,000 Strong Economy 1.600.000 1.400,000 The probability of a weak economy is 45% and a strong economy in 65%. The firm needs to raise 600.000 cott toner om next year Calculate the total firm wealth for both projects in both scenarios. If Olde ple's managers wish to maximize the total wealth of the who they invest in? Calculate the wealth available to shareholders for both projects in both scenarios. It Olde ple's managers wish to maximize shareholder en which proact should they invest in? mark it.
To calculate the total firm wealth and wealth available to shareholders for both projects in both scenarios, we can multiply the profits of each project by their respective probabilities.
Let's calculate the total firm wealth: For Project Formal shoes: Weak Economy: 800,000 * 0.45 = 360,000 Strong Economy: 1,400,000 * 0.65 = 910,000 Now, let's calculate the wealth available to shareholders: Assuming the cost of capital is 600,000: For Project Casual shoes: Weak Economy: 90,000 - 600,000 = -510,000 (Loss) Strong Economy: 1,040,000 - 600,000 = 440,000 To maximize total firm wealth, Olde Ple should invest in the project with the highest total firm wealth. In this case, it would be Project Formal shoes, which has a higher total firm wealth in both scenarios. To maximize shareholder wealth, Olde Ple should invest in the project that provides a positive wealth available to shareholders. In this case, it would be Project Formal shoes in the strong economy scenario, which has a wealth available to shareholders of 310,000.
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According to the video, what products were made by Biomedical Engineers?
imaging systems
prescription drugs
artificial limbs
lasers for surgery
naturopathic
Answer:
Imaging systems
artificial limbs
lasers for surgery
Explanation:
I just did the assignment
Answer:
→imaging systems←
→artificial limbs←
→lasers for surgery←
( 1, 3, and 4)
Explanation:
Doing the Assignment, but I hope this helps
The person above is correct so all credit to them↑↑
what is product recall?
Answer:
Below
Explanation:
a product recall from a manufacturer to return a product after the discovery of safety issues or product defects that might endanger the consumer or put the makers / seller at risk at legal action.
you get a part time job at a jewelry store. you receive $350 weekly salary, plus a 2% commision on sales over $8000. asumming that you sell enough this week to get the commision, answer the following. how much money do you make in a week when you sell $16,000 in merchaindise?
When we sell $16,000 worth of merchandise in a week, your total earnings will be $510.
Since the threshold for the commission is $8000, subtract this amount from our total sales: $16,000 - $8000 = $8000.
Multiply the qualifying sales by the commission rate: $8000 x 2% = $160.
Add our commission to your weekly salary to determine your total earnings: $350 + $160 = $510.
Therefore, when we sell $16,000 worth of merchandise in a week,our total earnings will be $510.
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Identify the problem by analyzing the given scenario. An IT software company is losing market share because it fails to launch new products in a timely manner. Decisions are centralized at the top, and employees have little or no voice. One way to solve this problem is to use teams to eliminate ____ in the company.
Explanation:
to eliminate their best efforts in the company
Answer:
"bureaucratic barriers"
Explanation:
i got it right on plato
in a limited partnership (keeping in mind our discussion of the grand rapids b.o.b.), who assumes unlimited personal liability for the debts of the limited partnership? general partners limited partners special partners general partners, limited partners, and special partners general partners, special partners, but not limited partners
Limited partners are restricted to investors. - Don't run the company. - are exempt from debt liability. By law, limited partners who do so become general partners.
Who in a limited partnership is individually responsible?Nonetheless, in a limited partnership, the general partners are still individually accountable for the debts of the partnership. In order to establish a limited partnership in California, certain registration requirements must be satisfied.
In a limited partnership, does the general partner have unrestricted liability?Each general partner is totally responsible for the company's debts. Each limited partner's liability is capped at his capital investment in the company. Each general partner is a representative of the limited partnership and has the authority to administer the company.
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The Mean Corporation has two major franchise operations each with many outlets across the country: a coffee house franchise and a fast food franchise. For both franchises, a statistician has collected and analyzed data for the annual profits of the outlets. Figures for the means and standard deviations are presented in the table below. John Q owns both a coffee and fast food franchise. His annual profit for the coffee house is $368,100 and his annual profit for the fast food franchise is $686,300. a) Calculate the standardized values for both franchises. Give your answer rounded to 1 decimal place. Coffee standardized value = Fast food standardized value = b) Relative to the rest of the outlets in each group, John's coffee franchise is performing than his fast food franchise.
a) To calculate the standardized value of both franchises, we will use the formula;Standardized value = (Value - Mean) / Standard Deviation Coffee standardized value = (368100 - 292500) / 62000Coffee standardized value = 1.2 (rounded to 1 decimal place)Fast food standardized value = (686300 - 577500) / 169000Fast food standardized value = 0.6 (rounded to 1 decimal place)
b) Since John's coffee franchise has a standardized value of 1.2 and his fast food franchise has a standardized value of 0.6, we can say that his coffee franchise is performing better relative to the rest of the coffee house outlets than his fast food franchise is performing relative to the rest of the fast food outlets.
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Please help--
Spending that is based on the purchase decisions you make that can vary from month to month is a ___
Suppose an industry has 50 firms, each with an equal 2 percent share of the market. According to the Herfindahl-Hirschman Index (HHI), if two firms propose to merge, will the Department of Justice and the Federal Trade Commission allow it?
Because the HH index is so low (1500), neither the DOJ nor the FTC will oppose the planned merger.
Define HH Index.The Herfindahl-Hirschman Index (abbreviated "HHI") is a widely used index that measures market concentration. The market share of each company that competes in the market is squared, and the resulting numbers are then added to determine the HHI.
A market is regarded to be competitive if its HHI is less than 1,500, moderately concentrated if it is between 1,500 and 2,500, and highly concentrated if it is 2,500 or higher. Mergers that raise the HHI in highly concentrated areas by more than 200 points typically generate antitrust issues since they are thought to strengthen market dominance.
HHI before = 0.022 + 0.022 .................................. (50 times)
= 50*0.022
= 0.02 or 200
HHI after = 0.042 + 0.022 + 0.022 .................................. (49 times)
= 0.042 + 49*0.022
= 0.0212 or 212
Because the HH index is so low (1500), neither the DOJ nor the FTC will oppose the planned merger.
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How many publications are related to green nanoparticles?
Answer:
If you mean nanoparticles for environmental applications then let's see…
2018, more than 166,000 articles related to nanotechnology were published, indicating an increase of more than 7% compared to the corresponding period last year.
No specific category for the environment is disclosed. However, I would say at least 3/4 are related to climate change or environmental
Banks do not hold a lot of their assets in the form of cash mainly because of:
a. regulation.
b. the fear of being robbed.
c. the opportunity cost of holding cash, cash does not earn interest.
d. it can encourage employee theft.
Banks do not hold a lot of their assets in the form of cash mainly because of the opportunity cost of holding cash, cash does not earn interest. The correct option is C.
Opportunity costs are the possible advantages that a person, investor, or company forgoes while deciding between two options. It is necessary to weigh the advantages and disadvantages of each choice offered in order to correctly assess opportunity costs.
The interest that could have been made if the cash had been used to buy bonds instead is the opportunity cost of keeping any money balance.
Therefore, due to the opportunity cost of holding cash and cash does not earn interest banks does nor prefer to hold a lot of their assets in the form of cash .
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a peach tree will yield 100 pounds of peaches now, which will sell for 40 cents a pound. each week that the farmer waits will increase the yield by 50 pounds, but the selling price will decrease by 5 cents per pound. how long (in weeks) should the farmer wait to pick the fruit in order to maximize her revenue?
The farmer should wait for 30 weeks to maximize revenue.
To maximize revenue, the farmer needs to find the point at which the increase in yield and decrease in selling price will balance out. Let's assume the farmer waits for 'w' weeks before picking the fruit.
After waiting for 'w' weeks, the total yield will be 100 + 50w pounds, and the selling price will be (40 - 5w) cents per pound. We can convert the selling price to dollars per pound by dividing by 100
selling price in dollars per pound = (40 - 5w) / 100
So the total revenue can be calculated as:
revenue = (100 + 50w) × (40 - 5w) / 100
Expanding this equation, we get
revenue = (4000 - 250w + 200w - 25w^2) / 100
revenue = -0.25w^2 + 15w + 40
To find the value of 'w' that maximizes revenue, we need to find the vertex of the parabola represented by this equation. The vertex can be found using the formula
w = -b / (2a)
where a = -0.25 and b = 15. Plugging these values in, we get
w = -15 / (2×(-0.25))
w = 30 weeks
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which behavioral economics bias can result in someone forgoing possible long-term growth of assets because he or she want his or her investments to be safe?
The disposition effect bias might cause an investor to hold onto a losing investment or sell a winning investment too soon to make up for prior losses.
What is disposition effect?A peculiarity in behavioral finance known as the disposition effect. It has to do with investors' propensity to hold onto assets that have decreased in value while selling those that have gained in value. Because investors will cling onto equities that have decreased in value while selling those that have increased, this impact has been dubbed one of the most powerful realities affecting individual investors. The "prospect theory" was identified as the root cause of the disposition effect by Daniel Kahneman and Amos Tversky in 1979. According to the prospect theory, even though both options would produce the same economic outcome, when given two equal options, one with potential benefits and the other with potential losses, people are more inclined to choose the former.
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What might be the short run impact of a completely open immigration policy that allowed labor to move freely across the U.S. border
Answer:
it will be harder to stop drugs and illegal weapons from coming into the US due to the fact that there would be no checks and if there was it would be easier to scope out the people with and without identification
b) The company has found a new national chain retailer who will pay more money for more cans of paint, compared to its current small business retailers. This new retailer will increase the company's profits. How can the company make this switch to the new retailer ethically? (2 points)
Direct-to-consumer (DTC) marketing refers to the practice of a company selling its own goods directly to consumers.
What is direct-to-consumer (DTC)?When a company sells its own goods directly to consumers, this is known as direct-to-consumer (DTC) marketing. Without the assistance of other merchants or distributors, DTC retail involves direct-to-consumer sales of goods.The DTC retail model is explained by:
DTC brands control the quantity of their supply. It is the brand's responsibility to sort, package, and ship the merchandise when customers submit purchases.not being required to use other sources or delivery services for the goods.Direct-to-consumer (DTC) brands are in charge of the fulfilment process and have direct customer communication.Due to the increased accessibility of companies to consumers, the DTC retail model is becoming more and more popular. Direct to consumer (DTC) brands have direct customer interactions that improve connections. Going DTC helps brands understand their customers' demographics and motivations better.DTC streamlines the client experience by removing numerous steps from the purchasing process. In fact, within the last three months, 66% of internet customers made direct purchases from brands.US DTC ecommerce sales are expected to reach $151.2 billion in 2022, up 16.9% from 2021, according to eMarketer's prediction.To Learn more About Direct-to-consumer (DTC) marketing refer To:
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which of the following might financial planning help you do? (select the best answer.) question 3 options: understand economic systems keep track of earning and spending tell the difference between competition types stay aware of inflation rates
Financial planning helps you keep track of earning and spending, and stay aware of inflation rates.
Financial planning involves creating a budget, tracking your expenses, and setting financial goals. It helps you understand how much money you are earning and where you are spending it, so you can make informed decisions about how to allocate your resources and reach your financial goals.
Financial planning also helps you stay informed about inflation rates, which can impact the purchasing power of your money and affect your ability to save and invest.
By staying aware of inflation rates, you can make adjustments to your financial plan to ensure that you are able to maintain your standard of living over time.
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Why is it valuable for entrepreneurs to understand political and regulatory factors? select all that apply.
Understanding political and regulatory considerations is important for entrepreneurs because we want to know how the laws affect the firms that we are in or that we may start.
Why is it important for business owners to comprehend political and regulatory factors?We are interested in learning how the laws affect the businesses that we are in or may start. We also want to consider the government as a consumer and potential growth areas. We also wish to raise awareness of these factors and changes in politics and regulation.
Does politics have a role in fostering entrepreneurship?In a certain geographic area, entrepreneurial development is greatly influenced by political issues. This is due to the fact that politicians determine the kind of market that is present. The market may be capitalistic, communist, or a mixed economy in various nations.
Why is a stable political environment crucial for business?The foundation of a country's commercial climate is its political environment. Businesses would be positively influenced by stable and improved government policies, and vice versa. Changes in policy are frequently brought about by changes in government.
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2. An effective classroom arrangement allows for the following:
A. helps students focus their attention on the current instructional activity.
B. makes access to learning materials efficient and orderly.
C. is flexible enough to accommodate different types of learning activities.
D. all of above.
Answer:
D) All of the above
Explanation:
If you are with people that make you disruptive you can't focus
If the room organization is awkward it's difficult to hand assignments back
And if the seats are organized well than you can do all sorts of activities like presentations or games
Samantha makes $250.00 a week and saves 10% of her paycheck each week. How much will she save in 12 months
Answer:
7
Explanation:
9867=7
How much of the market did Vanderbilt control?
Since Vanderbilt started to issue shares to take over the company, a Us stock market has already been experiencing a trading frenzy.
How can you predict the future value of a stock?From of the current market prices, we are interested in knowing whether a stock will increase or decrease. Stock's fair price is the most accurate predictor of this. Stocks have a good chance of increasing in value in the future when their fair price is lower than their current price.
Why are stocks declining in value?The worldwide markets have recently fared nicely, but our markets have lagged behind our global peers since they have not experienced this trend. The selling by FIIs, who liquidated stocks in both the cash and index futures segments, has been the primary cause of the underperformance.
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The data on price and quantity purchased relating to a commodity for 10 months are given
below:Calculate coefficient of correlation between price and quantity.
Price and number of goods purchased are inversely correlated. Consequently, price rises as quantity rises.
What is data on price ?Pricing Data is accurate information on the costs of goods that are strikingly comparable to those being purchased. Prices are used interchangeably in this definition to refer to actual selling prices as well as suggested or prospective selling prices. Data pertinent to both primary and subcontract prices are referred to in the definition. Data may consist of specific costs, weights, addresses, names, ages, temperatures, dates, or distances, for instance. Data is a basic type of knowledge and has no meaning or use by itself. In other words, facts must be interpreted in order to have any significance. A pricing list again for new term has been sent by the Contractor to authorized buyers.
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Navel County Choppers, Inc., is experiencing rapid growth. The company expects dividends to grow at 19 percent per year for the next 8 years before leveling off at 5 percent into perpetuity. The required return on the company’s stock is 10 percent. If the dividend per share just paid was $1.52, what is the stock price?
Answer:
Price of stock = $74.636
Explanation:
The Dividend Valuation Model is a technique used to value the worth of an asset. According to this model, the worth of an asset is the sum of the present values of its future cash flows discounted at the required rate of return.
The price of the stock will the sum of the present value of the growing annuity and the growing perpetuity
Present value of dividend from year 1 to 8
The PV of the growing annuity = A/r-g) ( 1- (1+g)/(1+r)^n )
A- dividend payable now , r- required of return, g-growth rate, number of years
PV = 1.52×(1.19)/(0.1-0.19) × (1 -(1.19/1.1)^8)= 17.605
PV of Dividend from year 9 and beyond:
P = D× g/(r-g)
This will be done in two steps:
Step 1: PV(in year 8)of dividend = (1.52× 1.19^8× 1.05)/(0.1-0.05)= 122.250
Step 2 : PV in year 0 = 122.25× 1.1^(-8)= 57.030
Price of stock = 17.60 + 57.030= 74.63
Price of stock = $74.636
What is one major effect of specialization on an economy?
O A. Self-sufficiency becomes more important as many businesses
shut down.
B. Opportunity costs for trade rise as businesses are slow to change.
C. Labor becomes more divided as workers focus on certain skills.
D. Voluntary exchange declines as fewer countries can trade
internationally.
Answer: It’s C
Explanation: read it before you check it because the order might be different in different test.
The one major effect of specialization on an economy is that the Labor becomes more divided as workers concentrate on definite skills.
What is specialization in an economy?Specialization is a manufacturing method in which an organization concentrates on producing a narrow range of products in order to increase efficiency.
Specialization has one cardinal determinant on an economy, that the labor becomes more and more divided as workers focus on specific abilities.
Therefore, option C is correct.
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Which of the following should NOT appear on a resume?
age
work experience
education
references
Answer:
Age
Explanation:
Age should not appear on a resume.
Extra : -
These also should not appear on a resume
Too much informationA solid wall of text.Spelling mistakes and grammatical errors.Inaccuracies about your qualifications or experience.Unnecessary personal information.Your age.Negative comments about a former employer.Details about your hobbies and interests.your company is estimated to make dividends payments of $3.00 next year, $3.60 the year after, and $4.00 in the year after that. the dividends will then grow at a constant rate of 8% per year. if the discount rate is 13% then what is the current stock price?
If the discount rate is 13%, the current stock price is $13.11.
To calculate the current stock price, we need to use the dividend discount model, which takes into account the future dividends and the discount rate to calculate the current stock price. The formula for the dividend discount model is:
\(P = D1 / (r - g)\)
where: P = current stock price D1 = dividend payment in the first year r = discount rate g = dividend growth rate
We are given the following information in the question:
D1 = $3.00 D2 = $3.60 D3 = $4.00 g = 8% r = 13%
Using this information, we can calculate the future dividends for each year using the dividend growth rate formula:
\(Dt = D0 * (1+g)^t\)
where: Dt = dividend in year t D0 = dividend in year 0 (current year) g = dividend growth rate t = number of years in the future
Using this formula, we can calculate the dividends for the next three years:
\(D2 = $3.00 * (1+0.08)^1 = $3.24\)
\(D3 = $3.24 * (1+0.08)^1 = $3.50\)
\(D4 = $3.50 * (1+0.08)^1 = $3.78\)
Now, we can use the dividend discount model to calculate the current stock price:
\(P = ($3.00 + $3.24 + $3.50 + $3.78) / (0.13 - 0.08) = $13.11\)
Therefore, the current stock price is $13.11.
It's important to note that the dividend discount model is based on several assumptions, such as constant growth rate and dividend payout ratio. Any changes in these assumptions can significantly impact the calculation of the stock price. Additionally, investors should consider other factors, such as market trends and company performance, before making investment decisions.
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To satisfy demands for withdrawals, banks keep:
A. discount rates.
B. monetary policies.
C. balance sheets.
D. fractional reserves.