The effective performance measures have all the following characteristics except B. inaccuracy.
Effective performance measures have all the following characteristics measurable, actionable, attainable, relevant, timely, meaningful and valid. They are used to evaluate an organization's goals and objectives and to track progress towards achieving them. Effective performance measures should be quantifiable, actionable, achievable, relevant, and timely.
They are designed to provide feedback on how well an organization is performing and to identify areas that need improvement to enhance productivity and profitability. The accuracy of the performance measures is the most important characteristic, and it must be ensured that they are reliable and precise in order to provide the necessary data for decision-making. Therefore the answer is that effective performance measures do not include inaccuracy. So the correct answer is B. innacuracy.
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Which of the following best defines goal?
a. aim or purpose
b. disregard or disrespect
c. freedom from doubt
d. influence
suppose you owe a creditor $10,000 due in a single payment in 5 years. how much should your creditor be willing to accept now if he can earn 8% on his money?
To calculate the worth that a creditor should be helpful to accept now, we ought to solve the equation:
X=10,000/1.085
Solving for X.This equation shows the parity of X and the present significance of $10,000 5 years from now using a rate of 8%.
Solving for X.
X=10,0001.4693
X= 6,805.83 X= 6,805.83
The creditor should be willing to accept $6,805.83 now in exchange for future payment of $10,000 5 years from now
we need to solve the equation:
200,000 = 100,000 × 1.07 x 200,000 = 100,000 × 1.07x
where x is the numeral of years it will bear to double the $100,000 asset (= $200,000 )
Decoding for X.
200,000
100,000 = 1.07x= 2200,000
100,000 = 1.07x= 2
x × log1.07 = log2x × log1.07 = log2
x = log2 log1.07 x= log2 log1.07
x=0.30100.029
4 x= 0.30100.0294
x =10.2448 x=10.2448
It will take 10.2448 years for a $100,000 investment to double with 7% annual interest.
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Debra spends 22 hours a week studying in the gatton building. Debra currently has a 3. 7 gpa. If debra reduced her time studying to 10 hours a week she would have a 2. 7 gpa. If she only studied for 10 hours a week she could spend 12 hours working at common grounds for $9. 25/hour. What is debra/s marginal cost in terms of dollars per week of improving her gpa from a 2. 7 to a 3. 7?.
Debra spends 22 hours a week studying in the Gatton building. Debra currently has a 3.7 GPA. If Debra reduced her time studying to 10 hours a week she would have a 2.7 GPA. If she only studied for 10 hours a week she could spend 12 hours working at Common Grounds for $9.25/hour. Debra's marginal cost in terms of dollars per week of improving her GPA from a 2. 7 to a 3. 7 will be $111.
What GPA manner?
Grade factor average (GPA) is the measure used to summarize your academic fulfillment at Griffith. After the publication of very last grades each trimester, your program and profession GPA are calculated, and will be used by the college to inform choices, including the following: educational progression.
Is a GPA 3.5 properly?
However, a grade factor common of three.5 and above is good in college. 3.5 GPA college students usually qualify for the dean's list and honors packages. The common GPA in four-year undergraduate courses in U.S. schools is 3.15. So, we will optimistically say that yes, a 3.5 GPA is good in university.
Can get into Harvard with a 3.5 GPA?
A 3.5 GPA may be surprisingly competitive and admission may be reasonably expected at many colleges, but it's no longer the maximum competitive at locations like Harvard, Yale, and Dartmouth, which, on average, accept college students with GPAs exceeding 4.
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Costs for office equipment in the first year of a business can run from approximately
A 500 to $1,500.
B3,000 to $12,000.
C6,000 to $18,000.
D10,000 to $25,000.
Answer:
c
Explanation:
if it's a green technology than the answer could be c
Select the correct answer.
Apex Bank lent a substantial amount of money to Polytech Inc. After reviewing the financial statements of Polytech, Apex Bank finds some
Inconsistencies. Which body can Apex Bank approach to verify Polytech's financial data?
ОА.
Chartered Financial Analysts
OB.
Financial Accounting Standards Board
ОС.
American Association of Public Accountants
OD
American Institute of Certified Public Accountants
Ο Ε.
Security and Exchange Commission
This is wrong do not use this
Answer:
E. Security and Exchange Commission
Explanation:
I'm not 100% sure but i looked through all of them and that one seems to fit best
Apex Bank lent a substantial amount of money to Polytech Inc. After reviewing the financial statements of Polytech, Apex Bank finds some Inconsistencies. Security and Exchange Commission body can Apex Bank's approach to verifying Polytech's financial data. The correct option is E.
Why does the SEC protect investors?In order to maintain a flexible and effective regulatory environment. Federal securities laws aim to support competitive, fair, and transparent markets that safeguard investors from hidden risk while promoting market access and innovation.
The Securities and Exchange Commission regulates stock exchanges, brokers and dealers in securities, investment advisers, and mutual funds in an effort to encourage ethical business practices, the public disclosure of crucial market information, and the avoidance of fraud.
Thus, the ideal selection is option E.
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if there was a street corner with four different gasoline stations, one at each corner, what type of demand would each gas station would face?
If there were four distinct petrol stations, one at each corner of a street, There would be a lot of sales lost if one gas station raised its price while the others did not.
Status quo pricing is the decision to charge the same fixed price for your goods as everyone else. When nobody wants to "rock the boat" and maybe create a price war, this pricing is used.
A status quo pricing objective is to keep prices where they are or to match prices of competitors. Even while the existing price structure stimulates competition, it's ultimately better than engaging in a price war. Status quo pricing is frequently illustrated using the soft drink industry. In order to maintain the status quo and follow market trends, status quo pricing is strategically replicating competitors' rates for a certain good or service. Consumers will switch to one's competitors if the price of a product is raised on the market.
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in the hvacr trade tubing is joined together by what?
Answer:
Copper tubing is joined using flare connection, compression connection, pressed connection, or solder. Copper offers a high level of corrosion resistance but is becoming very costly.
Gray uses Hofstede's cultural values that were discussed in Chapter 1 to:
a Set forth accounting values that can be used to define a country's cultural foundation with respect to financial reporting
b Set forth corporate governance provisions that define an ethical organization culture
c Define what is meant by the public interest in accounting
d Define what is meant by internal controls over financial reporting in a cultural context
Answer:
a. Set forth accounting values that can be used to define a country's cultural foundation with respect to financial reporting.
Explanation:
Gray Hofstede's presented six dimensions of cultural values. Power distance index, Individualism vs collectivism, Masculinity vs Femininity, Uncertainty Avoidance Index, Long term vs short term orientation, Indulgence vs Restraint. He used footing for comparing state based accounting values. He set accounting values to define a country's cultural foundation with respect to financial reporting.
Choose the best description of the goal of the financial manager in a corporation where shares are actively traded.
a. Maximize profits
b. Maximize risk
c. Maximize shareholders’ wealth
d. Maximize number of outstanding shares
The correct answer is (c) Maximize shareholders’ wealth.
The goal of the financial manager in a corporation where shares are actively traded is to maximize shareholders' wealth.
By maximizing shareholders' wealth, the financial manager aims to increase the value of the company's stock, which benefits the shareholders who own those shares.
This is achieved through various financial decisions and strategies, such as optimizing the allocation of resources, making sound investment choices, and managing risk.
Maximizing profits (option a) may be a short-term goal, but it does not necessarily lead to long-term wealth maximization.
Similarly, maximizing risk (option b) would not align with the goal of wealth maximization, as it would increase the likelihood of losses for shareholders.
Maximizing the number of outstanding shares (option d) does not directly contribute to wealth maximization. It is the increase in the value of existing shares that benefit shareholders.
In conclusion, the financial manager's primary goal in a corporation where shares are actively traded is to maximize shareholders' wealth by increasing the value of the company's stock.
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(01. 01 LC)
Why might a person choose to attend a four-year university over a
technical school? (5 points)
The demand for certain trades is low.
The cost is lower than a technical school,
O Entering the workforce sooner is appealing.
There are more options and greater earning potential.
There are more options and greater earning potential, that's Why might a person choose to attend a four-year university over a technical school.
What are technical schools?The United Nations believes that technical education is essential for adapting to new technology. The global development of literacy, transversal, and citizenship skills is the goal of Technical and Vocational Education and Training (TVET), according to various UN bodies.After completing a course that teaches specific education courses based on an occupational skill set, a technical degree is a certification. This can be chosen by students either while still in high school or prior to pursuing a bachelor's degree. There are degrees that also include vocational subjects.Students who know what they want to do professionally and want to start working right away are the ideal candidates for a technical school program. However, it also works well for people who want to switch careers or colleges.Everything you need to know about technical schools is covered in this article. This article is also for people who just want to improve their skills and learn something new.learn more about the importance of university over technical school
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sport directs and British Heart Foundation: mission, vision, and values.
Our British goal is to create a world without the worry of cardiovascular and Foundation circulation conditions. These illnesses destroy the hearts mission of millions of families and claim the lives of 1 in 4 people.
We intend to alter that. In order to permanently defeat sadness, we raise money for research into treatments and Foundation cures. According to the BBC's Royal Charter, its purpose is to act in the public interest mission while providing all audiences with objective, outstanding, and distinctive products and services that inform, educate, and amuse them. The British Heart Foundation Society seeks to promote the charity and raise funds for it.
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Each of the following documents is a control for bank account except:
Signature card
Geographic location of ATMs
Bank statement
Bank reconciliation
The geographic location of ATMs documents is not a control for a bank account.
A bank account is a financial record of the financial transactions between a bank and a customer that is kept by a bank or other financial organisation. The terms and conditions for each type of account each financial institution offers are set by the institution itself. These accounts are categorised into categories that are easily understood, such as deposit accounts, credit card accounts, current accounts, loan accounts, and many other types of accounts. A consumer could have multiple accounts. When a customer opens an account, the money they deposit with the financial institution is recorded in the account they choose. Loan loaders allow for the withdrawal of money.
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Marcus invested $700 in a savings account at 1.9% annual interest rate. He made no deposits or withdrawals on the account for 3 years. The interest was compounded semiannually. Find, to the nearest cent, the balance in the account after 3 years. Please show any work possible.
Marcus invested $700 in a savings account with a 1.9% annual interest rate. The interest is compounded semiannually, and there are no deposits or withdrawals for 3 years. We need to calculate the balance in the account after 3 years.
To calculate the balance in the account after 3 years, we can use the formula for compound interest:
A = P(1 + r/n)^(nt)
Where:
A = the final amount
P = the principal amount (initial investment)
r = the annual interest rate (in decimal form)
n = the number of times interest is compounded per year
t = the number of years
In this case, the principal amount (P) is $700, the annual interest rate (r) is 1.9% or 0.019, the interest is compounded semiannually (n = 2), and the time (t) is 3 years.
Plugging in the values into the formula:
A = 700(1 + 0.019/2)^(2*3)
A = 700(1.0095)^6
A ≈ $735.97
Therefore, the balance in the account after 3 years would be approximately $735.97.
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HELP ASAP PLEASE
The CPI is calculated by comparing
the spending levels at the beginning of
each year to the end of each year. In
this way, the calculation is similar to
what?
A. Unemployment
B. Inflation
C. Circular Flow Model
Answer:inflation
Explanation:
When government is trying to raise tax revenue, it sometimes attempts to target higher-income people because they are in a better position to bear the burden of a tax. However, it can be very difficult to earn tax revenue from wealthy people. Consider the progressive nature of the U.S. federal income tax system: It's designed so that higher incomes are taxed at higher tax rates. Thinking about the elasticity of labor supply, why might it be more difficult to collect tax revenue from a wealthy individual than from a poor person, all else equal
Answer: The labor supply curve for a wealthy individual is usually more elastic than a poor person's labor supply curve
Explanation:
Tax could be described as individuals paying a particular percentage of their income and whatever they use then pay to the government. The aim of the tax being collected is to generate funds internally which could be used in maintaining the economy.
Despite the government attempts to make tax be one-sided, it yields little or no result in favour of the poor as they end up being well tax as same as the rich. Those who are poor make use of services regularly, and most societies have them than those who are already established. The labor supply curve for a wealthy individual is usually more elastic than a poor person's labor supply curve. We would realize that we have more poor people in labour than those who are rich.
surprise inflation can help people who have borrowed money. True or False
It is true that surprise inflation can help the people who have borrowed money.
What is inflation?The progressive decline in the purchasing power is what is meant by price increases, or inflation. A proxy for the rate at which purchasing power dwindles is average price increase of a sample of goods and services over time. The increase in price, which is frequently expressed as a percentage, results in unit of currency effectively buying less. To ascertain the overall impact of increases in price for a variety of goods and services, inflation must be measured. It allows for a single value representation of how prices for products and services have increased through time in an economy.
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In which of the five basic supply chain activities do you support customers and product returns?
In returns of the five basic supply chain activities customers and product returns. Five characteristics or elements can be thought of as being present in supply chain management in order to assure sustainability and efficacy.
Unavoidably, customers will want to return items. This could occur for a variety of reasons, such as damage, noncompliance with quality standards, defective products, products that are past their expiration dates or are close to doing so, or products that were delivered in the wrong quantity or with the incorrect products.
The process of returning an item and receiving a refund are both critical to the customer experience.
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Consumers tend to purchase a good at a lower than at a higher price. Why (state any assumptions made)? Do consumers always behave this way? Explain your response.
According to the law of demand, the price of a good is negatively related to the quantity demanded all other things remaining equal.
Consumers do not always buy good at a lower price than at a higher price.
What is the law of demand?According to the law of demand, the higher the price, the lower the quantity demanded and the lower the price, the higher the quantity demanded. there is an inverse relationship between price and quantity demanded.
Consumers do not always buy goods at a lower price than a higher price. For example, for luxury goods, consumers would prefer to buy it at a higher price than at a lower price. This is because luxury goods are used to show wealth. If the price of a good that is considered to be used solely be wealthy people declines, some rich people would not want to purchase the goods again because it is now affordable by the masses.
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If a monopsonist hires labor, it will choose to hire that quantity at which _ ..................and pay a wage rate that is _.
MR = MC; equal to the MRP curve.
the supply curve intersect the MRP; less than MFC
MRP = MFC; less than MRP
the supply curve intersect the MRP; equal to MRP
A monopsonist hires labor at the quantity where the supply curve intersects the marginal revenue product (MRP) curve and pays a wage rate that is less than MRP.
A monopsonist, as a single buyer of labor with market power, aims to maximize its profits when hiring labor. It determines the optimal quantity of labor to hire by finding the point where the supply curve intersects the MRP curve. This quantity ensures that the additional revenue generated from hiring equals the additional cost incurred.
In terms of the wage rate, the monopsonist pays less than the MRP. By leveraging its market power, the monopsonist can negotiate a lower wage rate, allowing it to reduce labor costs and increase its profits.
In summary, a monopsonist hires labor at the intersection of the supply curve and the MRP curve, while paying a wage rate lower than the MRP. This strategy allows the monopsonist to maximize its profitability in the labor market.
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Choose the correct answer. The RSA public-key cryptosystem can be used to achieve the following objectives. (a) Exchange a secret key over the Internet. (b) Perform message origin authentication. (c) Perform digital signatures. (d) All of the above. (e) None of (a), (b) or (c). (f) Both (a) and (b). (g) Both (b) and (c) (h) Both (a) and (c)
The correct answer is (d) All of the above. The RSA public-key cryptosystem is a versatile encryption algorithm that can be used to achieve multiple objectives.
(a) It can be used to exchange a secret key over the Internet by encrypting the key with the recipient's public key, ensuring secure communication between parties.
(b) It can perform message origin authentication by using digital signatures. A digital signature created with the sender's private key can verify the authenticity and integrity of the message, allowing the recipient to validate that it was indeed sent by the expected sender.
(c) It can also perform digital signatures, allowing the sender to sign a message with their private key to provide integrity, authenticity, and non-repudiation.
Therefore, the RSA public-key cryptosystem is capable of achieving all of these objectives.
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______is a corporate-level strategy that emphasizes re-investing a company's profits in strengthening its competitive position in its current industry. A. Concentration on a single industry.B. Forward vertical integration.C. Diversification.D. Backward vertical integration.E. International expansion.
Answer:
A. Concentration on a single industry
Explanation:
The concentration strategy refers to the strategy in which the company wants to compete successfully handling a single industry. The company focused on a single product or the single market in this type of strategy
Here in the given situation, the reinvesting a company profits to strengthen the competitive position in the current industry represents the concentration on a single industry
Hence, the correct option is A.
economists call the pursuit of a transfer of wealth through government at someone else's expense:
The term used by economists to describe the pursuit of a transfer of wealth through government at someone else's expense is "redistribution." Redistribution involves taking money from those who have more of it and using it to provide benefits to those who have less. The goal of redistribution is often to reduce inequality and ensure that everyone has a minimum standard of living.
There are different methods of redistribution, including progressive taxation, social welfare programs, and subsidies. Progressive taxation involves taxing higher-income earners at a higher rate than lower-income earners. Social welfare programs provide financial assistance to those in need, such as unemployment benefits, food stamps, and housing subsidies. Subsidies are payments made by the government to support certain industries or activities.
Critics of redistribution argue that it can disincentivize work and productivity, as people may feel that their efforts are not rewarded. They also argue that redistribution can be unfair, as it takes money from those who have earned it and gives it to those who have not. However, supporters of redistribution argue that it is necessary to reduce poverty and ensure that everyone has access to basic needs such as healthcare, education, and housing.
In summary, redistribution is the pursuit of a transfer of wealth through government at someone else's expense, and it is a contentious issue in economics and politics.
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Additional Algo 11-2 In-Stock Calculation The Phllipp Greenhouse carries 975 different plants for people to choose from. During an average week, there are 45 plants that are not avallable for customers to purchase. What is the in-stock rate for the greenhouse? Note: Round your answer to 1 decimal place.
The in-stock rate for the greenhouse is 95.4%.
To calculate the in-stock rate for the greenhouse, we need to determine the percentage of plants that are available for customers to purchase out of the total number of different plants carried by the greenhouse.
The formula for calculating the in-stock rate is as follows:
In-Stock Rate = (Number of Available Plants / Total Number of Different Plants) * 100
Given:
Total Number of Different Plants = 975
Number of Plants Not Available = 45
First, let's calculate the number of available plants by subtracting the number of plants not available from the total number of different plants:
Number of Available Plants = Total Number of Different Plants - Number of Plants Not Available
= 975 - 45
= 930
Next, we can plug in the values into the in-stock rate formula:
In-Stock Rate = (Number of Available Plants / Total Number of Different Plants) * 100
= (930 / 975) * 100
= 95.38
Rounding to one decimal place, the in-stock rate for the greenhouse is approximately 95.4%.
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How effective is it to request to push back the deadline for your project?
It can be very effective to request to push back the deadline for your project if it is for a valid reason, such as unexpected illness or an unanticipated delay in receiving necessary materials.
In these cases, it is usually in everyone's best interest to adjust the deadline to allow for unforeseen circumstances.
However, if the request to push back the deadline is based on a lack of adequate planning or progress, then it may not be effective as the project manager may be unwilling to adjust the timeline.
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What is the primary thing a company risks when attempting to find a cheaper vendor?
A. reliability
B. quality
C. delivery timeline
D. consistency
Answer:
B. Quality
Explanation:
You know I always keep it a century ⭕️
a(n) ____ has been appointed to investigate the pending merger of your company and the tyrell corporation.
a) ad hoc committee
b) task force c) standing force d) standing committee e) grievance committee
d) A standing committee has been appointed to investigate the pending merger of your company and the Tyrell Corporation.
Committee with a continued existence, formed to do its assigned work on an ongoing basis. Budget and finance committees generally are standing committees. See also ad hoc committee. Many publicly traded companies, both large and small, use a standing committee inorder to best deliver good results for the companies shareholders.
Pending Mergers means the mergers, consolidations or similar winding up of certain subsidiaries (the “Pending Merger Subsidiaries”) of the Issuer with an into certain Guarantors as to which a certificate of merger (or other document, instrument or filing to effect such merger, consolidation or winding up) was filed prior to the date of the Offering Memorandum.
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7. according to the capm, what is the market risk premium given an expected return on a security of 11.5%, a stock beta of 1.2, and a risk-free interest rate of 4%? group of answer choices 4.80% 4.00% 6.60% 6.25%
The 6.60%, According to the Capital Asset Pricing Model (CAPM), the expected return on a security can be calculated by adding the risk-free rate to the product of the stock's beta and the market risk premium. In this case, the risk-free rate is 4% and the stock beta is 1.2.
We are given the expected return on the security as 11.5%. Therefore, using the CAPM formula, we can calculate the market risk premium as follows:
11.5% = 4% + (1.2 x Market Risk Premium)
Market Risk Premium = (11.5% - 4%) / 1.2
Market Risk Premium = 6.25%
Expected return is equal to the risk-free rate plus the beta of the market.
We are given the expected return (11.5%), stock beta (1.2), and risk-free interest rate (4%). Rearranging the CAPM equation to solve for MRP:
(Expected return - Risk-free rate) / Beta, or market risk premium
Substituting the given values:
MRP = (11.5% - 4%) / 1.2
MRP = 7.5% / 1.2
MRP = 6.25%
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In one year, Hitech Microdevices will pay a common stock dividend of $4.35. You predict that you will be able to sell your Hitech stock for $57 per share after 1 year. If you require a rate of return of 16 percent on Hitech stock, how much would you be willing to pay now for a share of the stock?
Answer:
Price to be paid now = $52.89
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 stock would be held for just a period, hence we would use the single period return model. This is given as follows:
Price now = D/(1+r) + P×(1+r)
Dividend , r - rate of return, P -year-end price of stock
Dividend = 4.35, r-16%, P- 57
Price = 4.35/(1.16) + 57/(1.16)= $52.89
Price to be paid now = $52.89
Disposable income consists of:
A. consumption plus saving
B. personal income plus personal taxes
C. GDP corrected for inflation
D. net domestic product minus personal taxes
Disposable income refers to the amount of money left over from an individual's total income after taxes and other government deductions have been subtracted. It's the amount of money a household has available to spend and save at the end of the day.
Disposable income is often regarded as a better measure of household economic power than gross income or net income since it reflects the amount of money actually available for spending and investing.
Therefore, the correct option is (B) Personal income plus personal taxes.
The disposable income is the portion of an individual's income that is available for spending, saving, and investing after income taxes and other government-mandated expenses have been subtracted.
Disposable income is calculated by subtracting federal, state, and local income taxes, Social Security taxes, and Medicare taxes from gross income.
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The yield to maturity on a bond is currently 9.84 percent. The real rate of return is 3.29 percent. What is the rate of inflation?
a) 6.53 percent
b) 5.64 percent
c) 6.34 percent
d) 6.24 percent
e) 6.71 percent
The yield to maturity on a bond is currently 9.84 percent. The real rate of return is 3.29 percent. The rate of inflation is 6.53 percent (Option A). The rate of inflation is the rate at which the general level of prices for goods and services is rising.
Yield to maturity: The yield to maturity of a bond is the total rate of return expected on a bond if held until maturity. This includes both the interest payments received and the increase/decrease in the bond's value.
The real rate of return: This is the rate of return adjusted for inflation. It is the rate of return on an investment after inflation has been taken into account.
According to the question, the yield to maturity on a bond is 9.84%. This means that if the bond is held until maturity, the investor will receive a total return of 9.84% (including interest payments and any change in the bond's value).
The real rate of return is 3.29%. This means that the investor's purchasing power will increase by 3.29% after taking inflation into account. In other words, if inflation is 2%, the investor's actual rate of return would be 5.29%.
We can use the following formula to calculate the rate of inflation:
Rate of inflation = (1 + nominal rate) / (1 + real rate) - 1
Where nominal rate = yield to maturity and real rate = real rate of return.
Substituting the given values: Rate of inflation = (1 + 0.0984) / (1 + 0.0329) - 1= 0.0653 or 6.53%
Therefore, the rate of inflation is 6.53%, which is Option A.
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