My leadership style is based on empowering and motivating my team members to achieve their goals. I believe that this aligns most closely with the transformational leadership type, which focuses on inspiring and influencing others through a shared vision and positive feedback. I picked this style because I think it fosters creativity, innovation and collaboration among the team, and helps them grow as professionals and individuals.
About LeadershipLeadership is a field of research as well as a practical skill that includes the ability of a person or an organization to "lead" or mentor another person, team, or entire organization.
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When advertisers want to reach the same audience more than once, they are concerned with ______.a. humorb. targetc. frequency
When advertisers want to reach the same audience more than once, they are concerned with frequency.
What is frequency?
Frequency refers to the number of times an ad is exposed to the same audience during a certain period. It is a key concept in advertising because it allows marketers to ensure that their message reaches their target audience, and it is frequently used in the context of media planning and buying to maximize the impact of advertising campaigns.
How does frequency help advertisers?
Frequency helps advertisers by increasing the chances that their message will be noticed, remembered, and acted upon. By exposing their target audience to their message more than once, advertisers can reinforce their brand, build trust, and create a lasting impression that will drive sales and boost brand loyalty.
How to calculate frequency?
Frequency can be calculated by dividing the total number of impressions by the total number of people in the target audience. For example, if a campaign generated 10,000 impressions and reached 5,000 people, the frequency would be 2. This means that the average person in the target audience saw the ad twice during the campaign.
What are the benefits of frequency?
There are many benefits to using frequency in advertising campaigns. For one, it helps to reinforce the message and create a lasting impression. It also helps to build trust and credibility with the target audience, as well as increase brand loyalty. Additionally, it can help to drive sales and generate more revenue for the business. All of these factors contribute to the overall success of an advertising campaign, and make frequency an essential component of any marketing strategy.
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assume that interest rate parity holds. in both the spot market and the 90-day forward market, 1 japanese yen equals 0.0086 dollar. in japan, 90-day risk-free securities yield 4.6%. what is the yield on 90-day risk-free securities in the united states?
Nom=US= 4.6% is the yield on 90-day risk-free securities in the united states.
What is Interest Rate Parity?When interest parity is true, the ratio of the forward rate to the spot rate is always equal to the interest rate ratio. If not, anyone can benefit from arbitrage trading by borrowing in one currency and depositing in another. According to
interest parity,
forward / spot = (1+ iq) / (1 + ib)
ib is the base country interest rate.
For example, for USD/JPY, where Yen is the base currency and iq is the interest rate in USD
spot and future rates are equal, so the F/S ratio is (0.0086/0.0086) = 1.
Hence the given question,
1 + iq = 0.0086 / 0.0086 x 1.046
or iq = 0.046
= 4.6 %
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What is the name for the process that marketers use to plan, develop, execute, and evaluate coordinated, measurable, persuasive brand communication programs over time to target audiences?
Answer:
Integrated Marketing Communication
Explanation:
As the name implies, the concept of integrated marketing communication is aimed at leveraging the power that comes with the synergy between different marketing and communication tools and services such as consistent and repetitive advert placement, sales and promotional offers, coordinated and friendly marketing campaigns, and son on, all these carefully and strategically tailored towards the gradual and steady capture of a specific target audience over a certain period of time. These integrated marketing strategy or procedure is aimed towards such audience so that it would cover all aspects of the consumers wants in other to ultimately impact their deciak making and adoption of the product or services.
QUESTION 8 of 10: What is a focus group?
what's a focus group, well it's a group that focus
question 1 what is a deliverable? 1 point any communications sent from one party to another during a project the team feedback gathered during a project the tasks produced during a project a tangible outcome from a project that provides customer value 2. question 2
A deliverable refers to a tangible outcome or result that is produced during a project and provides value to the customer or stakeholders.
It represents a specific task, product, or service that is completed and delivered as part of the project's objectives. Deliverables can take various forms depending on the nature of the project, such as reports, prototypes, software applications, designs, marketing materials, or physical goods. Deliverables play a crucial role in project management as they provide measurable and tangible evidence of progress and achievement. They serve as milestones and checkpoints that help track project performance, ensure accountability, and enable effective communication between project teams and stakeholders.
The significance of deliverables lies in their ability to fulfill the intended purpose of the project and meet the expectations of the customer or end-users. They represent the tangible value that is delivered upon project completion and are often subject to review, acceptance, and evaluation by the stakeholders.Ultimately, deliverables contribute to the overall success and satisfaction of a project, as they signify the concrete outcomes that fulfill project objectives and customer requirements.
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Schaad Corporation has entered into an eight-year lease for a piece of equipment. The annual payment under the lease will be $2,500, with payments being made at the beginning of each year. If the discount rate is 14%, what’s the present value of the lease payments? Ignore income taxes in this problem
Based on the payments being made at the beginning of the year and the discount rate, the present value of the lease payments is $13,220.75.
What is the present value of the lease payments?The fact that the payments are made at the beginning of the year makes this an annuity due.
The present value is:
= Amount x ( Present value of annuity due factor, 14%, 8 years)
Solving gives:
= 2,500 x 5.2883
= $13,220.75
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ECONOMICS CHAPTER 2 SECTION 3
explain the relationship between the terms in each of these pairs
A. Private property rights and market
B. laissez-faire and capitalism
C. Specialization and profit
D. Factor market and product market
ECONOMICS CHAPTER 2 SECTION 3
Private property rights and market is in which people buy and sell resources or goods and services.
Private property rights are the rights of individuals and groups to own property and the market is any place or situation in which people buy and sell resources and goods and services.
Laissez-faire and capitalism-The relation-ship between laissez-faire and capitalism is laissez-faire is an economic philosophy of free-market capitalism that opposes government intervention.
Specialization and profit- The relation-ship between specialization and profit is the companies specialize in making one product or one component of a product, if this product will make at large scale, companies reduces it's cost to earn profit.
Factor market and product market- The relation-ship between Factor market and product market is the factor market is running by the demand of product market. The product market is sold their goods and services with the demand of factor market to production these goods and services.
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What is one result of competition in a free-market economy?
A. Businesses control the price that all the companies within an
industry can charge.
B. Consumers can choose which company's products they want to
buy.
C. The government decides who is allowed to compete in the market.
D. Traditional values determine who will compete in the market.
People producing goods and services are called
Answer: human resources
Explanation:
what factors do you believe have contributed to the very large GDP of the United of America compared to that of the most other countries?
Please help!
A Population growth, including immigration. America's population growth results in a younger workforce, which is more adaptable and trainable.
Explanation:
In comparison to most other sophisticated economies, the United of America produces more per person each year. The United States' real GDP per capita in 2015 was $56,000.
In summary, the US continues to be wealthier than its competitors. Yet why?
A growing population, including from immigration. America's population growth results in a younger workforce, which is more adaptable and trainable. There are limitations on immigration to the United States, but there are also unique guidelines that grant access to the country's economy and a route to citizenship (green cards), based on individual skill and corporate sponsorship.
A decentralized political system in which states compete. States compete for enterprises and for individual inhabitants via their legal frameworks and taxation policies. This stimulates entrepreneurship and employment across the nation. In other states, there are no income taxes and union is restricted by labor regulations. For students who live in the state, states offer affordable tuition at top colleges. In terms of their legal liability laws, they also compete.
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What does the concept of scarcity explain?choose three answers
The concept of scarcity explains:
why consumers are willing to pay high prices for items.why decisions must be made on how to use resourceswhy a single resource has more value than another resource.Scarcity as an economic idea "refers back to the basic reality of lifestyles that there exists most effective a finite quantity of human and nonhuman resources which the first-rate technical expertise is capable of the usage of to provide most effective restricted most amounts of each economic appropriate. shortage in economics refers to whilst the call for for a resource is greater than the deliver of that aid, as assets are limited. shortage consequences in purchasers having to make selections on how high-quality to allocate assets a good way to satisfy all simple needs and as many desires as feasible. shortage refers back to the confined availability of a useful resource in contrast to the infinite desires. shortage may be with appreciate to any natural assets or with admire to any scarce commodity. scarcity can also be called paucity of sources.
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Answer:
why consumers are willing to pay high prices for items.
why decisions must be made on how to use resources
why a single resource has more value than another resource.
Explanation:
why a product could lose significant value over time.
why people continue to purchase different products.
why consumers are willing to pay high prices for items.
why decisions must be made on how to use resources
why resources can be both renewable and nonrenewable.
why a single resource has more value than another resource.
(i took the test)
Table: Total Cost for a Perfectly Competitive FirmQuantity012345678910Total Cost ($)1016202224252730343945If the market price is $4.50, average variable cost at profit maximization output is:answers below$3.5$4.25$3.22$3
Total Cost for a Perfectly Competitive none of the options provided.
To find the profit maximization output, we need to determine the quantity at which marginal cost equals price. Since this is a perfectly competitive market, the market price is also the firm's marginal revenue.
We can calculate the marginal cost (MC) by taking the difference between total cost (TC) for each unit of output:
MC = TC(1) - TC(0) = 10 - 0 = 10
MC = TC(2) - TC(1) = 16 - 10 = 6
MC = TC(3) - TC(2) = 22 - 16 = 6
MC = TC(4) - TC(3) = 25 - 22 = 3
MC = TC(5) - TC(4) = 27 - 25 = 2
MC = TC(6) - TC(5) = 30 - 27 = 3
MC = TC(7) - TC(6) = 34 - 30 = 4
MC = TC(8) - TC(7) = 39 - 34 = 5
MC = TC(9) - TC(8) = 45 - 39 = 6
MC = TC(10) - TC(9) = 54 - 45 = 9
From the above, we can see that the marginal cost is equal to the market price of $4.50 at a quantity of 4 units of output. Therefore, the profit maximizing output for this firm is 4 units of output.
The average variable cost (AVC) at the profit maximization output can be calculated by dividing the total variable cost (TVC) by the output quantity:
AVC = TVC / Q
For Q = 4, the TVC is the sum of the total cost for Q=1, Q=2, Q=3, and Q=4, which is:
TVC = TC(1) + TC(2) + TC(3) + TC(4) = 10 + 16 + 22 + 25 = 73
So the average variable cost at Q=4 is:
AVC = TVC / Q = 73 / 4 = $18.25
Since AVC is greater than the market price of $4.50, this firm is not able to cover its variable costs at the profit-maximizing output level, and therefore, it will shut down in the short run.
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What are two examples of Intellectual property?
Answer:
Intellectual property (IP) refers to creations of the mind, such as inventions; literary and artistic works; designs; and symbols, names and images used in commerce.
Explanation:
1) Name at least two ways in which you believe you can use internal control and cash in accounting for your future career as a nurse or HSA major
2) two ways you have likely developed in which you like to prepare for an exam. What methods or approaches do you like to implement and how does this contribute to your overall outcome?
Two ways in which I can use internal control and cash accounting in my future career as a nurse or HSA major are managing patient billing and ensuring financial accuracy of medical expenses.
As a nurse or HSA major, managing patient billing and ensuring financial accuracy of medical expenses is a critical aspect of the job. With a strong understanding of internal control and cash accounting, I can effectively manage patient billing procedures, ensure timely payments, and reduce errors in financial reporting.
Additionally, I can ensure that medical expenses are properly recorded and tracked, helping to minimize waste and optimize overall financial performance.
In terms of preparing for exams, I typically like to implement two different approaches. The first is to review class notes and study guides, focusing on key concepts and important details.
I also like to create flashcards or other study aids to help reinforce my knowledge and retention of information. The second approach I like to implement is to practice problem-solving and critical thinking skills through practice exams and sample questions.
This approach helps me to better understand how concepts can be applied in real-world scenarios, and also helps to build my confidence and reduce test anxiety. By combining these two approaches, I am able to effectively prepare for exams and achieve strong academic outcomes.
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Please help............
3. ______ are defined as goods or services that are required for health and safety.
Occupational Health and Safety are defined as goods or services that are required for health and safety. Information standards are guidelines governing the information that must be provided to consumers when they purchase specific goods.
What is the safety of goods?A safe product is one that delivers either no risk or a minimum tolerable level of risk, taking into account the product's typical or reasonably foreseeable use and the need to maintain a high level of consumer protection.
Occupational health and safety is a multidisciplinary discipline that deals with all elements of workplace health and safety, with a heavy emphasis on preventing workplace dangers.
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Discuss the fiscal policy and monetary policy and how they
differ.
Discuss the differences between macroeconomics and
microeconomics.
Fiscal policy and monetary policy are two tools used by governments to manage the economy.
Fiscal policy refers to the government's use of taxation and spending to influence the economy. It involves decisions on how much money the government should spend on public goods and services, as well as how much it should collect in taxes. The main goal of fiscal policy is to stabilize the economy by promoting economic growth and reducing unemployment.
In contrast, monetary policy focuses on controlling the money supply and interest rates. It is managed by the central bank and aims to influence borrowing, investment, and spending. By adjusting interest rates and conducting open market operations, the central bank can stimulate or slow down the economy.
Differences between macroeconomics and microeconomics:
Macroeconomics and microeconomics are two branches of economics that focus on different scales of analysis.
Macroeconomics examines the overall performance of the economy as a whole. It analyzes variables such as gross domestic product (GDP), inflation, unemployment, and national income. Macroeconomists study how aggregate variables interact and affect the economy's overall health. Microeconomics, on the other hand, zooms in on individual economic agents, such as households, firms, and markets.
It looks at the behavior of these agents and how they make decisions regarding production, consumption, and pricing. Microeconomics also explores concepts like supply and demand, market equilibrium, and the allocation of resources. In summary, while macroeconomics focuses on the big picture, microeconomics delves into the details of individual economic units.
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your stakeholders express concern that the results of your analysis are very different from the predictions they made last year. which kind of objection are they making? 1 point data presentation skills analysis findings
As the protest that partners express worries the consequences of your investigation are different from the expectations they made last year, they are making complaints in light of discoveries.
Stakeholders are any individuals or associations that are influenced by an undertaking, drive, strategy, or association, either well or horribly. They might be inner (workers utilized by your business) or outer (individuals beyond your association).
A party with an interest in an organization and the ability to impact or be affected by it is alluded to as a partner. Financial backers, representatives, clients, and providers make up a normal company's fundamental partners. A partner connected with discoveries and can make complaints in light of it.
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TinTak Corp. just paid an annual dividend of $ 9. The company follows a dividend policy that raises dividends annually at a rate of 4 % (and expects this rate to go forever ). The required rate of return is 12%. What is today's stock price?
To calculate today's stock price, we can use the Gordon Growth Model formula, today's stock price for TinTak Corp. is $117.
which states that the stock price is equal to the dividend expected to be received next year divided by the difference between the required rate of return and the growth rate.
Let's break down the information given:
- The annual dividend just paid is $9.
- The dividend growth rate is 4%.
- The required rate of return is 12%.
Step 1: Calculate the expected dividend next year
To calculate the expected dividend next year, we need to multiply the current dividend by the growth rate (expressed as a decimal):
Expected dividend next year = Current dividend * (1 + growth rate)
Expected dividend next year = $9 * (1 + 0.04)
Expected dividend next year = $9 * 1.04
Expected dividend next year = $9.36
Step 2: Calculate the stock price using the Gordon Growth Model formula
Stock price = Expected dividend next year / (Required rate of return - Growth rate)
Stock price = $9.36 / (0.12 - 0.04)
Stock price = $9.36 / 0.08
Stock price = $117
Therefore, today's stock price for TinTak Corp. is $117.
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Oreo cookies are now extremely expensive to purchase. Instead of buying oreo cookies, i now want to buy chips ahoy. What determinant of demand does this likely fall under?.
In economics, the determinant of demand that this scenario fall under , when you go for chips ahoy because Oreo cookies are now extremely expensive is Change in Price of Substitute Good.
What is Substitute Good?
A substitute good can be regarded as product or service that is been used as alternative for other goods.
It should be When the price of a substitute good rise, then demand for the other substitute as well will rise.
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which of the following best describes the kind of resource for which individuals may compete?
Answer:
It can be any resource that is limited in the environment. When two species compete for similar resources, resource partitioning can alter the niche of the species that compete.
list and explain 3 non price factors affecting demand market of iPhone.
list and explain 3 non price factors affecting supply market of iPhone
Non price factor affecting demand market of iPhone:
Product design and featuresBrand reputationAdvertising and marketingThree non-price factors that can affect the supply of iPhones include:
Production costsGovernment regulationsAvailability of componentsNon price factor affecting demand market of iPhoneProduct design and features: The design and features of the iPhone, such as its camera quality, screen size, and overall aesthetic, can greatly affect consumer demand. For example, if a new iPhone model is released with improved camera capabilities, this may increase demand for the product.Brand reputation: The reputation of the iPhone brand can also affect demand. Apple has a strong reputation for producing high-quality, innovative products, which can drive consumer demand for the iPhone.Advertising and marketing: The way that the iPhone is marketed and advertised can also affect demand. If Apple launches a successful advertising campaign for a new iPhone model, this may increase demand for the product.Three non-price factors that can affect the supply of iPhones include:Production costs: The costs associated with producing iPhones can affect the supply of the product. If production costs increase, the supply of iPhones may decrease.Government regulations: Government regulations can also affect the supply of iPhones. For example, if a government imposes tariffs on imported electronics, this may increase the cost of producing iPhones and decrease the supply of the product.Availability of components: The availability of components used in the production of iPhones can also affect supply. If a key component becomes scarce or unavailable, this may affect the ability of manufacturers to produce iPhones, and thus affect the supply of the product.Read more on demand and supply here: https://brainly.com/question/4804206
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Why does an enterprise need to listen to its customers
Assume that the next morning, the bond credit rating changes to A-/A-, and the new yield to maturity becomes 8.2%. What is the price of the bond after this change?
[From the prior problem: Calculate the price of the following corporate bond with a credit rating of BBB+ / Baa+: $1000 par value, 8% semi-annual pay coupon, 8.40% yield to maturity, and 5 years to maturity.}
If the bond credit rating changes to A-/A-, and the new yield to maturity becomes 8.2%, then the price of the bond will be $635.21.
To calculate the price of the bond after the credit rating change, we'll use the updated yield to maturity of 8.2%. The bond details remain the same:
Par value (PV) = $1000
Coupon rate (C) = 8% (semi-annual)
Yield to maturity (YTM) = 8.2% (semi-annual)
Years to maturity (n) = 5 (semi-annual)
To calculate the price of the bond, we can use the present value of the bond's cash flows:
Price = (C / 2) * [1 - (1 / (1 + YTM/2)ⁿ] + PV / (1 + YTM/2)ⁿ
Let's calculate the price of the bond after the credit rating change:
Price = (40 / 2) * [1 - (1 / (1 + 0.082/2)¹⁰)] + 1000 / (1 + 0.082/2)¹⁰
Price = 20 * [1 - (1 / (1.041)¹⁰)] + 1000 / (1.041)¹⁰
Price = 20 * (1 - 0.598799) + 1000 / 1.593848
Price = 20 * 0.401201 + 627.19
Price = 8.02402 + 627.19
Price = $635.21402
Therefore, after the credit rating change, the price of the bond would be approximately $635.21.
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What is the difference between a total and a subtotal?
Explanation:
SUB-TOTAL:
The total for a part of a list of numbers being summed.
TOTAL:
An amount obtained by addition of smaller amounts.
Answer:
subtotal is all the different parts being added together from different list.
total is the all items being added together plus tax.
Explanation:
Pineapple whip, a company that makes an ice cream-like treat using pineapple, sells its branding, production techniques, and proprietary flavors to other companies for a fee and a share of the profits. Pineapple whip is engaged in.
In this context, the Pineapple whip is engaged in a business arrangement called Franchising.
What is Franchising?Franchising is a business arrangement where the franchisor (one party) grants some rights and authorities to the franchisee.
In this case, the franchisee will pays a fee to the franchisor because he is using the business's success, trademarks, proprietary knowledge etc.
In conclusion, the Pineapple whip is engaged in a business arrangement called Franchising.
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The class trip is going to cost each of the fifty
students $130.00. If tax is 5%, what is the total
cost for the entire class?
Answer:
$6,825.00
Explanation:
50x$130=$6,500.00
$6,500 × 5% = $325.00
$325.+$6,500=6,825.00
Assume that at a given level of output, a monopoly firm has marginal revenue of $9, its average total cost is $9, and marginal cost is $7. If this firm were to continually increase its output, then:
If the monopoly firm has a marginal revenue of $9, it means that its revenue increases by $9 for every additional unit of output it produces. If its marginal cost is $7, it means that the cost of producing an additional unit of output is $7.
Marginal revenue is the additional revenue generated by selling one additional unit of a product or service. It is the change in total revenue that results from selling an additional unit of output. In other words, it is the difference between the total revenue from the current level of output and the total revenue from the previous level of output.
Marginal revenue is an important concept in economics because it helps businesses determine the optimal level of production that will maximize their profits. If the marginal revenue from selling an additional unit of output is greater than the marginal cost of producing that unit, the business should increase its production. Conversely, if the marginal revenue is less than the marginal cost, the business should decrease its production.
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singapore has low crime, safe cities, low unemployment, few homeless citizens, and a stable economy. should we strive to emulate singapore?
The Singapore has low crime, safe cities, low unemployment, few homeless citizens, and a stable economy. Yes, should we strive to emulate Singapore.
What is Unemployment?The unemployment refers to a term for an individual who is able and willing to do a work but unable to get a job. Unemployment on a national level is caused by a slowing economy or economic recession.
Due to the globalization, the recession at the global level also increases the unemployment in a country. Competition in particular industries, advancing technology, and outsourcing can also cause unemployment.
The Singapore has low crime, safe cities, low unemployment, few homeless citizens, and a stable economy. Yes, should we strive to emulate Singapore.
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Eduardo sells a European style put option on TFS expiring in 3 months. TFS is trading at $379.06 with an annual volatility of 40%. The cc interest rate is 9.250% and the cc dividend rate is 1.875%. a) Eduardo delta hedges the option. Compute the price, delta, and gamma for his position, and also the cash in his delta hedged portfolio (including the cash from the option trade). b) 1 months later the stock price is $375.27 and Eduardo rebalances the delta hedge. Compute the new price, delta, and gamma for the option, the new cash in his portfolio (after rebalancing), and his total profit or loss on the trade so far. c) Another 1 months later the stock price is $364.01 and Eduardo again rebalances the delta hedge. Compute the new price, delta, and gamma for the option, the new cash in his portfolio (after rebalancing), and his total profit or loss on the trade so far. d) 1 months later the stock price is $374.93 and the option expires. Eduardo closes out his portfolio (the option gets exercised or not, he buys or sells whatever shares he has). Compute his total profit or loss on the trade. e) What would his profit or loss been if he had just delta hedged initially (as in part a)) and never rebalanced the hedge?
By considering these calculations and scenarios, Eduardo can evaluate the profitability of his put option trade and understand the impact of different stock price movements and hedging strategies on his overall profit or loss.
a) Eduardo delta hedges the put option and calculates the price, delta, and gamma for his position. The cash in his delta hedged portfolio, including the cash from the option trade, is also determined based on these calculations.
b) After one month, the stock price changes, and Eduardo rebalances the delta hedge. The new price, delta, and gamma for the option are computed, along with the new cash in his portfolio after rebalancing. The total profit or loss on the trade so far is calculated.
c) Another month later, the stock price changes again, and Eduardo rebalances the delta hedge once more. The new price, delta, and gamma for the option are determined, along with the new cash in his portfolio after rebalancing. The total profit or loss on the trade up to this point is calculated.
d) After one more month, the stock price changes again, and the option expires. Eduardo closes out his portfolio, which includes exercising the option and buying or selling shares as required. The total profit or loss on the trade is computed at this stage.
e) The potential profit or loss is analyzed if Eduardo had only delta hedged initially without rebalancing the hedge throughout the trade.
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