Answer:
$774
Explanation:
Price of bond is the present value of future cash flows. This Includes the present value of coupon payment and cash flow on maturity of the bond.
As per Given Data
As the payment are made semiannually, so all value are calculated on semiannual basis.
Coupon payment = 1000 x 8% = $80 annually
Number of Payments = n = 10 years x 1 = 10 periods
Yield to maturity = 12% annually
To calculate Price of the bond use following formula of Present value of annuity.
Price of the Bond = C x [ ( 1 - ( 1 + r )^-n ) / r ] + [ F / ( 1 + r )^n ]
Price of the Bond =$80 x [ ( 1 - ( 1 + 12% )^-10 ) / 12% ] + [ $1,000 / ( 1 + 12% )^10 ]
Price of the Bond =452.02 + $321.97 = 773.99
Click this link to view O*NET’s Work Activities section for Architects. Note that common activities are listed toward the top, and less common activities are listed toward the bottom. According to O*NET, what are common work activities performed by Architects? Check all that apply.
repairing and maintaining mechanical equipment
communicating with persons outside of the organization
drafting, laying out, and specifying technical devices, parts, and equipment
using dynamic flexibility to repeatedly bend, stretch, or twist with arms or legs
using night vision and peripheral vision
making decisions and solving problems
thinking creatively
Answer:
b)communicating with persons outside of the organization c)drafting, laying out, and specifying technical devices, parts, and equipment f)making decisions and solving problems g)thinking creatively
Explanation:
Answer:
B, C, F, G
Explanation:
Yield to maturity: Serengeti Corp. has five-year bonds outstanding that pay a coupon of 8.8 percent. If these bonds are priced at $1,064.86, what is the yield to maturity on these bonds? Assume semiannual coupon payments. What is the effective annual yield?
The yield to maturity on the bonds is 3.939% and the effective annual yield is 17.01%.
What are bonds?Bonds are debt securities that are issued by corporations, governments, and other organizations to raise capital. Essentially, when an organization issues a bond, it is borrowing money from investors.
First, we need to calculate the present value of each cash flow. The bond pays a semiannual coupon of 8.8%/2 = 4.4%. It will pay this coupon for ten semiannual periods (5 years x 2 semiannual periods per year). At the end of the ten periods, it will also pay back the face value of the bond, which is $1,000.
The present value of each semiannual coupon payment can be calculated using the following formula:
PV = C / (1 + r/2)^n
Where C is the coupon payment, r is the semiannual yield to maturity, and n is the number of semiannual periods until the payment.
Using the given numbers, we get:
PV of each coupon payment = $44 / (1 + r/2)^n
The present value of the face value payment can be calculated as:
PV of face value payment = $1,000 / (1 + r/2)^10
Now we can calculate the present value of all the cash flows by adding up the present values of each coupon payment and the face value payment:
Bond price = PV of coupon payments + PV of face value payment
$1,064.86 = $44 / (1 + r/2)^1 + $44 / (1 + r/2)^2 + ... + $44 / (1 + r/2)^10 + $1,000 / (1 + r/2)^10
To solve for r, we can use a financial calculator or a spreadsheet program. Using a financial calculator, we get a semiannual yield to maturity of 3.939%.
To calculate the effective annual yield, we first calculate the semiannual effective yield:
Effective semiannual yield = (1 + 3.939%)² - 1 = 8.149%
Then we can calculate the effective annual yield by compounding the semiannual effective yield:
Effective annual yield = (1 + 8.149%)² - 1 = 17.01%
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glass co. had net income of $70,000 during the year. Depreciation was $10,000. the following information is available: accounts receivable increase (sale price $100,000) non trade notes payable increased by 50,000, equipment purchases increased by 40,000 account payable increase 30,000. what amount should galss report as net cash provided by investing activities
Answer:
Net cash from investing activities (40,000)
Explanation:
The investing activities are those that pertain to the purchase and sales of non-current assets and marketable securities.
Example of such includes the sales and purchase of property plant an equipment. Therefore, the only item to be considered here is the purchase of equipment.
$
Investing activities
Equipment purchase (40,000)
Net cash from investing activities (40,000)
According to O*NET, what are common skills needed
by Tour Guides? Select three options.
active listening
science
speaking
social perceptiveness
troubleshooting
equipment maintenance
repairing
Answer:
1 3 4
Explanation:
Answer:
1 3 and 4
Explanation:
...
The following information is available regarding John Smith's capital account in Technology Consulting Group, a general partnership, for a recent year: Beginning of the year balance $ 32,000 His share of partnership income $ 11,000 Withdrawals made during the year $ 7,000 What is Smith's partner return on equity during the year in question
Answer:
32.35%
Explanation:
Calculation for What is Smith's partner return on equity during the year in question
First step is to calculate the Ending partner equity
Ending partner equity = $32,000 + $11,000 - $7,000
Ending partner equity = $36,000
Now let calculate the partner return on equity
Partner return on equity= $11,000 / (($32,000 + $36,000)/2)
Partner return on equity= $11,000/($68,000/2)
Partner return on equity= $11,000/$34,000
Partner return on equity= 32.35%
Therefore Smith's partner return on equity during the year in question will be 32.35%
Alibaba has a labyrinth-like internal structure that is complex when compared to most business models. The structure allows the company to grow rapidly integrating product offerings while preserving management flexibility. This structure is designed to counter multiple choice 4 both domestic competition and international competition. domestic competition. international competition. None of the answers are correct.
Answer:
The correct answer would be "Both domestic competition and international competition." Alibaba's labyrinth-like internal structure is indeed complex and allows the company to rapidly integrate product offerings while preserving management flexibility. This structure is designed to counter competition, both from domestic companies within China and international companies outside of China. By having a complex and adaptable internal structure, Alibaba can navigate the competitive landscape more effectively and seize opportunities in various markets.
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Phân tích điều kiện bản thân với tư cách là người chủ doanh nghiệp
Answer:
iwan ko load anong subject bayan hahahsha
what are the functions of business.
A) employee staff support personnel and logistics.
B) employment accounting marketing and management.
C) logistics social media the Internet and staffing.
D) production accounting and finance management administration human resources and sales and marketing.
evaluate the effects of many sources of power in the economy
The four production factors—natural resources, labor, capital equipment, and entrepreneurship—are what largely determine a country's economic power if GDP per capita growth is the primary metric.
A variety of electricity sources can have distinct consequences on an economy. These power sources can include, among others, the government, businesses, labor unions, financial institutions, and consumer advocacy organizations.
Governments have the authority to influence economic policy through laws, regulations, and fiscal and monetary policies. Taxation, government spending, interest rates, and other elements that affect the broader economy can be impacted by these policies.
Investing in infrastructure, generating jobs, and promoting economic growth are all things that entrepreneurship can do. On the national economy and local communities, their decisions about employment, pay, investment, and production may have a big impact.
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A company has sales of $375,000. Its gross profit is $157,500, and total expenses of $75,000. Its cost of goods sold equals
The cost of goods sold equals $217,500
Cost of goods sold is the cost of a product to a manufacturer or retailer. It is a direct cost incurred in the production of goods and services
Cost of goods sold includes but not limited to the following :
Material costDirect labor costDirect factory overheadCost of goods sold is computed as :
= Sales - Gross profit
Given that :
Sales = $375,000
Gross profit = $157,500
Then,
Cost of goods sold would be :
= $375,00 - $157,500
= $217,500
Hence, the company's cost of goods sold is $217,500
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Create a business memo to HR director regarding the following: Describe the problems with the company’s hiring practices and the laws that have been violated. Provide one example and evidence to support the problems and the laws that have been violated. Explain how the firm can increase employee diversity
The business memo is expected to have the following: address of the sender with designation and date, the address of the HR Director with company name, title or subject of the memo, salutation, body, conclusion, complementary close, your name and contact.
What should be the format of the content of the memo?The content of the memo is expected to be in the following format:
Sender: [Your Name]
[Your Position]
[Date]
HR: [HR Director's Name]
[Company Name]
[Company Address]
Subject: Problems with Hiring Practices and Violations of Employment Laws
Salutation: Dear [HR Director's Name],
Body: I hope this memo finds you well. I am writing to bring to your attention some significant concerns regarding our company's hiring practices, specifically related to potential violations of employment laws. It is crucial that we address these issues promptly to ensure legal compliance and promote a fair and diverse work environment.
Problem Description: Our hiring practices have been observed to contain elements that may infringe upon existing employment laws. The following example illustrates one such instance:
Example: In a recent job opening for a senior management position, several qualified candidates from underrepresented groups were overlooked in favor of less qualified individuals from dominant groups. This discrepancy raises concerns about potential violations of anti-discrimination laws, such as the Equal Employment Opportunity Commission (EEOC) guidelines.
Evidence of the Problem and Violations: 1. Job Application Records: Careful analysis of the job application records reveals that a significant number of candidates from underrepresented groups, possessing the required qualifications and experience, were not selected for interviews or job offers. This evidence suggests a potential bias in our selection process, which could be in violation of Title VII of the Civil Rights Act of 1964, as well as other relevant federal and state laws.
Recommendations for Increasing Employee Diversity: To address these concerns and enhance employee diversity, I propose the following measures:
1. Review and Revise Hiring Policies: Conduct a comprehensive review of our hiring policies and procedures to ensure compliance with all applicable employment laws and regulations. Pay particular attention to practices that may introduce bias or hinder the recruitment of a diverse talent pool.
2. Training Programs: Implement mandatory diversity and inclusion training programs for all hiring managers and members of the interview panel. These programs should provide insights into unconscious biases, promote inclusive decision-making, and educate employees about the importance of diversity in the workplace.
3. Diverse Sourcing Strategies: Expand our recruitment efforts to attract a wider range of candidates. Collaborate with organizations, job boards, and educational institutions that focus on fostering diversity and inclusion. Proactively seek out potential candidates from underrepresented groups to create a more diverse applicant pool.
4. Diversity Metrics and Reporting: Establish clear diversity metrics and regularly monitor and report progress in achieving diversity goals. This approach ensures accountability and allows us to identify areas for improvement and take corrective actions as needed.
5. Employee Resource Groups: Encourage the formation of employee resource groups (ERGs) that focus on diversity and inclusion. ERGs provide a platform for employees to share experiences, support each other, and contribute to initiatives aimed at fostering a more inclusive workplace culture.
By implementing these recommendations, we can create a more equitable and diverse workforce that not only complies with employment laws but also brings a range of perspectives and experiences to drive innovation and success.
I request your support and guidance in addressing these concerns effectively. Please let me know if you would like to discuss this matter further or if you have any additional insights to contribute. I believe that by working together, we can make significant strides toward creating a more inclusive and diverse workplace.
Thank you for your attention to this matter.
Closing: Sincerely,
[Your Name]
[Your Position]
[Contact Information]
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Jacob distributed a survey to his fellow students asking them how many hours they'd spent playing sports in the past day. He also asked them to rate their mood on a scale from 000 to 101010, with 101010 being the happiest.
Answer:
whats the question
Explanation:
Answer:
the answer is A 1.5
Explanation:
Which situation would MOST benefit from creating performance-based goals?
A singing a favorite song on stage
B. building a dresser and bed for your room
C. succeeding in competitive video gaming
D. buying a new house in a new city
Option D. buying a new house in a new city is the situation would most benefit from creating performance-based goals. So option d is the correct option.
How do performance-based goals work?Employees are expected to meet performance goals, which are short-term objectives. Employees can better comprehend the type of work expected of them or of their roles when goals are clearly defined. Additionally, it aids companies in properly assessing workers and directing them.
A performance-based strategy is what, exactly?Performance-based learning is a method of teaching and learning that places an emphasis on students' ability to carry out or accomplish particular tasks as a result of training. In this paradigm, students show that they can apply or use knowledge rather of just memorizing it.
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What is market segmentation in marketing with example?
Market segmentation, in marketing, is the division of a broad target market into more focused groups based on shared characteristics, tendencies, requirements, or preferences.
Market segmentation in marketing with example.In marketing, market segmentation refers to the process of breaking up a large target market into more narrowly defined segments based on shared traits, tendencies, needs, or preferences. Identification of various market segments is necessary in order to target them with specialized marketing techniques and messages.
Think about a business that sells athletic shoes. They choose to use market segmentation to find particular segments with varied wants and preferences when it comes to athletic shoes rather of targeting the full market of potential clients.
The corporation can effectively target these niche markets with goods and advertising messages that speak to their particular needs and preferences by using market segmentation. Their chances of succeeding in the market are eventually increased by being able to customize their product offers, pricing, promotional techniques, and distribution networks to each segment.
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Explain how each of the following events would affect the equilibrium price and quantity of new textbooks. (Explain which curve(s) would shift and in which direction(s).)
The events that would affect the equilibrium price and quantity of new textbooks include changes in production costs, shifts in student enrollment, changes in government policies etc.
How do these events impact the equilibrium price and quantity?The changes in production costs will shift the supply curve of new textbooks. If production costs increase, the supply curve would shift to the left resulting in decrease in the equilibrium quantity and an increase in the equilibrium price.
But if production costs decrease, the supply curve would shift to the right leading to an increase in the equilibrium quantity and a decrease in the equilibrium price of new textbooks.
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The first step in starting your own business is:
Answer:
go to an investor to find a building
Explanation:
The cost of capital is:___________
a. the return that a previous project for the firm had earned.
b. the minimum return that a capital budgeting project must earn for it to be accepted.
c. the maximum return a project can earn.
d. none of these.
Answer:
I think that the correct answer is b.
Answer:
B
Explanation:
i think the correct answer is B
TravelLite and FareLine compete as online travel agencies. Historically, TravelLite has focused more on flights, whereas FareLine has focused on hotel bookings. The following amounts were reported by the two companies in 2015. (in millions) Net Income Total Assets Total Liabilities Total Revenues TravelLite $ 1,080 $ 9,010 $ 6,400 $ 6,430 FareLine 3,020 8,490 4,270 7,660 Required: Calculate each company’s net profit margin expressed as a percent. (Round your answers to 1 decimal place.)
Answer:
16.80% and 39.43%
Explanation:
The formula to compute the net profit margin is shown below:
Net profit margin = Net income ÷ Total revenues × 100
For Travel lite, the net profit margin is
= $1,080 ÷ $6,430 × 100
= 16.80%
And, for fare line, the net profit margin is
= $3,020 ÷ $7,660 × 100
= 39.43%
By dividing the net income or net profit by the total revenues we can get the net profit margin or we can say it is profit percentage that is earned by the company
It is always expressed in percentage
Question 3 of 10
What is an advertising campaign?
A. A method of finding customers according to particular
characteristics
B. A set of games customers receive for free when they buy certain
products
C. An electronic device that enables customers to interact with an
advertisement
D. A series of product-related activities designed to get the attention
of customers
An advertising campaign is a series of product-related activities designed to get the attention of customers. Option D
What is an advertising campaign?An advertising campaign is a series of product-related activities designed to get the attention of customers. It involves the creation and dissemination of advertising messages through various channels such as TV, radio, print, online and social media, with the goal of promoting a product, service or brand to a specific target audience.
The campaign typically has a specific objective and a set budget and may run for a defined period of time.
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On a bank reconciliation, the amount of. bank service charge not yet recorded by the company should be
All bank charges that appear on your bank statement and have not yet been documented in your company's books should be entered as expenses.
A bank reconciliation is what?The cash balance on a company's balance sheet and the corresponding amount on its bank statement are compared in a document called a bank reconciliation statement. comparing the two accounts, it is possible to determine whether accounting changes are necessary. By ensuring that all transactions that have been recorded on the bank statements have been reviewed and verified, bank reconciliation lowers the likelihood that the data used to prepare the accounts contains errors. Account reconciliation types.The cash balance on a company's balance sheet and the corresponding amount on its bank statement are compared in a document called a bank reconciliation statement. By comparing the two accounts, it is possible to determine whether accounting changes are necessary.
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On a bank reconciliation, the amount of. bank service charge not yet recorded by the company should be
a. enter the expense
b. not to enter the expence
Flat organizations are more horizontal and have
a team approach. Which of these is a benefit of
this structure?
A. chain of command
B. more nimble change
C. supervisors and middle management
Flat organizations are more horizontal and have a team approach. The benefit of this structure is more nimble change. Thus the correct option is B.
What is team?A team is referred to as a collection of people who come together to display a structured and formal environment and work in collaboration to achieve a common objective through individual role-playing.
Flat organizations are more team-oriented and horizontal. This structure has the advantage of enabling more rapid change. These appear to be quick to comprehend and pick up on new information, which improves the business's capacity for change and adaptation.
Therefore, option B is appropriate.
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Malcolm (37) is a U.S. citizen. He was married at the beginning of 2020. His wife lived in the household until the end of February, then she moved out of the home. Their divorce was finalized on November 30, 2020, and Malcolm has not remarried. Malcolm provided 100% of the support for his son, who lived with him all year and is his qualifying child. Malcolm's most advantageous filing status is:
Based on the fact that Malcolm is a U.S. citizen and provided 100% of the support for his son, who lived with him all year and is his qualifying child, his most advantageous filing status is D. Head of household.
It should be noted that Malcolm can file a separate return from his ex-wife as the head of household. This is due to the fact that he stayed with his son and paid 100% maintenance for the son.
Under the head of household, the gross income is $18650 for those under the age of 65. Malcolm can also get dependent care credit, earned income credit, and education credit.
Therefore, he should file as head of household.
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generally, under final capitalization and repairs regulations, a taxpayer must capitalize as an improvement an amount paid for which of the following?
D. All of the above. Generally, A taxpayer is required to capitalise as an improvement any amount paid for an improvement to the property unit under the final Capitalization and Repairs Regulations.
The final Capitalization and Repairs laws provide that any money spent on the following must be capitalised as an improvement: A. Improvement to the property unit - Any sum spent to significantly raise the value or extend the usable life of the asset. B. Restoration of the Property Unit - Any sum spent to return the Property to its regular taxpayer , effective operational state. Any sum paid to make significant changes to the property so that it may be utilised in a way that is significantly different from its original intended use. C. Adaptation of the unit of property to a new or different use. In general, all of the aforementioned circumstances necessitate capitalization of the sum spent as a property improvement.
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how does compensation useful to the prospect
Answer:
Including incentives in the sales compensation plan makes a totally new level of worth within your organization. Sales compensation enables you to realize decided results and reassure behaviors in a way planned for an individual role in the organization.
Wally's Walleyes wants to introduce a new product that has a start-up cost of $7,800. The product has a 2-year life and will provide cash flows of $4,500 in Year 1 and $4,300 in Year 2. The required rate of return is 15 percent. Should the product be introduced? Why or why not?
The calculated NPV is negative, indicating that the present value of expected cash flows does not exceed the start-up cost of the project. In other words, the project is expected to generate a net loss.
To determine whether Wally's Walleyes should introduce the new product, we can calculate the net present value (NPV) of the project. The NPV measures the present value of expected cash flows, taking into account the required rate of return.
To calculate the NPV, we need to discount the cash flows using the required rate of return (15 percent). The formula for calculating NPV is:
NPV = Cash Flow Year 1 / (1 + Required Rate of Return)^1 + Cash Flow Year 2 / (1 + Required Rate of Return)^2 - Start-up Cost
\(NPV = $4,500 / (1 + 0.15)^1 + $4,300 / (1 + 0.15)^2 - $7,800\)
\(NPV = $4,500 / 1.15 + $4,300 / (1.15)^2 - $7,800\)
NPV = $3,913.04 + $3,537.41 - $7,800
NPV = -$350.55
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Assessing an organization's strengths and weaknesses is an essential part of aligning projects with the organization. A project may be difficult to complete successfully if it supports the organization's goals, but the organization does not have the right capabilities. All of these are factors that could cause the project to be unsuccessful EXCEPT: a. necessary skills required for potential projects are not available internally and not easily acquired. b. project management processes are clearly defined and understood. c. individuals and teams require higher level leadership to assign tasks and make project decisions. d. organization is risk-averse at all levels.
All of these are factors that could cause the project to be unsuccessful EXCEPT necessary skills required for potential projects are not available internally and not easily acquired.
What does a SWOT analysis in project management accomplish?SWOT analysis is a technique used in project management to evaluate a project's advantages, disadvantages, opportunities, and threats. It aids stakeholders in deciding which project components to concentrate on as well as any dangers to prepare for.
Which of the following, by choosing the appropriate programs or projects, prioritizing the work, and providing the required resources, is in line with organizational strategies?By choosing the appropriate projects, setting work priorities, and allocating necessary resources, portfolio management works in accordance with organizational strategies.
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t the end of the current year, the following information is available for both Pulaski Company and Scott Company. Pulaski Company Scott Company Total assets $ 2,276,500 $ 1,145,500 Total liabilities 882,500 576,500 Total equity 1,394,000 569,000 Required: 1. Compute the debt-to-equity ratios for both companies. 2. Which company has the riskier financing structure?
Answer:
0.63
1.01
Scott company
Explanation:
Debt to equity ratio is an example of solvency ratio.
Solvency ratios measure a firms ability to honour its long term financial obligation
The higher the debt to equity ratio, the higher the financial risk and the weaker solvency is
Debt to equity ratio = total liabilities to equity ratio
Pulaski Company : 882,500 / 1,394,000 = 0.63
Scott company : 576,500 / 569,000 = 1.01
Laura, an inventory manager, always maintains a certain quantity of goods as a buffer to utilize in times of emergency. Which technique of controlling inventory costs does Laura use?
A.
ABC classification
B.
just in time
C.
maintaining safety stock
D.
following economic order quantity
Answer:
C. maintaining safety stock
Explanation:
Safety stock refers to the minimum stock level that businesses would wish to maintain at all times. The safety stock level assures a business does not experience stock out. Every time stock approaches the safety stock level, an order should be placed to replenish inventory. Businesses that apply the concept of safety stock do not allow the inventory to go below the level marked at safety stock.
The safety stock method requires inventory to be ordered when it approaches safety stock. Allowing inventory to drop below the safety stock is risking running out of stock leads to halting production.
Answer:
C. maintaining safety stock
Explanation:
I just took the test on Edmentum/Plato and got the answer right
Question 4 of 10
During a depression or recession, which of the following is most likely to
happen to interest rates?
A. Interest rates will likely decrease as the Federal Reserve Board
increases inflation rates.
O B. The Federal Reserve Board will likely lower interest rates.
O C. Interest rates will likely rise as the Federal Reserve board
decreases inflation rates.
O D. The Federal Reserve Board will likely raise interest rates.
SUBMIT
B.The federal reserve board will likely lower interest rates
Explanation:
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An investment will pay you $24,000 in 7 years. The appropriate discount rate is 6 percent compounded daily. What is the present value
Answer:
$15,769.67
Explanation:
The formula for determining present value is
FV x (1 + r/m)^-mn = P
FV = Future value
P = Present value = $24,000
R = interest rate = 6%
N = number of years = 7
m = number of compounding = 365
$24,000 x ( 1 + 0.06/365)^-365 x 7 = $15,769.67