assume bond portfolio managers actively manage their portfolios. if they expect interest rates to , they would shift toward . a. decrease; long-maturity bonds with zero-coupon rates b. increase; long-maturity bonds with zero-coupon rates c. decrease; short-maturity bonds with high-coupon rates d. increase; high-coupon bonds with long maturities

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Answer 1

Assuming bond portfolio managers actively manage their portfolios, they would shift towards high-coupon bonds with long maturities if they expect interest rates to increase.

How do bond portfolio managers shift their portfolios?

Bond portfolio managers are tasked with developing and managing portfolios of bonds that meet the investment objectives and policies of their clients. As market conditions evolve, their investment preferences and market outlook may change, leading to a reallocation of the portfolio holdings.

The steps below are taken by bond portfolio managers to adjust their portfolios:

Assess the investment environment to determine whether it is favorable to maintain the existing allocation or to make adjustments.Identify and prioritize changes in the portfolio. Because investment objectives and market conditions can shift over time, portfolios should be routinely rebalanced.Prioritize trades that align with the fund's investment policies and objectives.Manage the cash flow and liquidity needs of the portfolio.Assume bond portfolio managers actively manage their portfolios. If they expect interest rates to increase, they would shift towards high-coupon bonds with long maturities.

Option D, high-coupon bonds with long maturities, is the correct answer. When bond portfolio managers expect interest rates to rise, they shift their portfolio towards high-coupon bonds with long maturities.

The reasoning behind this is that when interest rates rise, the price of bonds decreases, but high-coupon bonds with long maturities are less affected because the investor is still receiving a higher coupon rate than those offered by other bonds.

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Related Questions

what was the effect of the great recession on the middle class? a. more middle class american found themselves richer. b. more middle class american found themselves poor. c. more middle class american found themselves with new job opportunities. d. more middle class americans were sent overseas.

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the effect of the great recession on the middle class is b. more middle class American found themselves poor.

What was the Great Recession?

The Great Recession was a global economic downturn that began in late 2007 and continued until mid-2009. It was triggered by a series of factors, including the collapse of the housing market, the subprime mortgage crisis, and the failure of many large financial institutions, such as Lehman Brothers.

The crisis quickly spread to other sectors of the economy, including manufacturing, services, and retail. As a result, millions of people around the world lost their jobs and were pushed into poverty.

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true or false unless specific sales criteria are met, the factoring of accounts receivable with recourse is accounted for as a loan.

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Unless specific sales criteria are met, the factoring of accounts receivable with recourse is accounted for as a loan is a true statement.

Factoring of accounts receivable is an alternative financing method in which an enterprise sells its accounts receivable to a third party at a discount. Factoring with recourse is accounted for as a loan when specific sales criteria are not met.

The buyer agrees to accept the credit risk of the accounts receivable as part of the factoring contract, which means that the seller is liable to the buyer for any losses that occur as a result of unpaid accounts. As a result, factoring with recourse is accounted for as a loan.

Therefore, the statement "Unless specific sales criteria are met, the factoring of accounts receivable with recourse is accounted for as a loan" is correct.

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for this year, the corporation reports earnings beofre ontrest and taxes of $5,000,000 the company is in the 34% tax bracket. the company's reported earnings per share is:

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The corporation's earnings per share is $3.30.

It is given that Earnings before interest and taxes = $5,000,000 and Tax bracket = 34%.

We can find the net income by using the formula:

Net income = Earnings before interest and taxes - Taxes paid

Net income = $5,000,000 - 0.34($5,000,000)

Net income = $5,000,000 - $1,700,000

Net income = $3,300,000

To find the earnings per share, divide the net income by the total number of shares.

Net income per share = Net income / Total number of shares

If we assume the total number of shares as 1,000,000,

Net income per share = $3,300,000 / 1,000,000

Net income per share = $3.30

Therefore, the earnings per share for the corporation is $3.30.

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If the government imposes a ceiling price on apartment rents, we would expect to observe all of the following except one. Which is the exception?
A. Conversion of some apartment complexes to condos
B. A shortage
C. An increase in the number of new apartment complexes being built
D. Lower maintenance of existing apartments
E. Long waiting lists for apartment seekers supply; movement along the supply curve both cause shortages.

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If the government imposes a ceiling price on apartment rents, we would not expect "an increase in the number of new apartment complexes being built". Option C is the correct answer.

A price ceiling is a government-imposed limit on how high a price can be charged for a product. A price ceiling is set below the equilibrium price, resulting in a shortage of goods or services at the stated price. A price ceiling may be imposed on a variety of goods and services by the government to ensure that a large number of people can afford to access the said good or service. The government would rather spend money to give everyone access to it than allowing individuals to buy it for themselves.

As per the given case, if the government imposes a ceiling price on apartment rents, we would not expect an increase in the number of new apartment complexes being built.

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in hiring a physician practice office manager, a critical incidents approach to selection is best used for

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A critical incidents approach to selection is best used for hiring a physician practice office manager.

What is a critical incidents approach?

A critical incidents approach is a way of assessing job candidates that involves gathering examples of events, incidents, or behaviors that are essential to effective job performance. This approach can help hiring managers identify the specific knowledge, skills, and abilities that are required for success in a particular position.

A critical incidents approach is ideal for hiring a physician practice office manager because it enables employers to identify the specific abilities, knowledge, and skills that are required for success in this role.

For example, in this case, the critical incidents approach can be used to identify specific incidents that demonstrate the candidate's ability to manage the daily operations of a physician practice office, including scheduling appointments, managing patient records, and communicating effectively with medical staff and patients.

It is also important to note that critical incidents can be gathered from a variety of sources, including interviews with current or former employees, surveys of the position's requirements, and job analyses. By using a critical incidents approach to selection, employers can be sure that they are hiring candidates who have the specific skills and abilities required for success in a physician practice office management role.

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Organizations often use surveys to determine how their employees feel about proposed changes before they happen. These surveys are distributed in the _________ part of the change process.
a. change
b. unfreezing
c. refreezing

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Organizations often use surveys to determine how their employees feel about proposed changes before they happen. These surveys are distributed in the unfreezing part of the change process. The correct answer is option b.

What is Unfreezing in Change Management?

In the change management process, unfreezing is the initial phase. It involves getting individuals to understand why a change is necessary and begin to make plans to adjust to the new environment. This stage entails preparing the company for change, assessing the degree of change that must occur, and deciding which behaviors and actions should be modified in order to accomplish the objectives.The purpose of the unfreezing phase is to identify the changes that must be made and to explain why they are necessary. This step should include the creation of a sense of urgency among employees so that they will be more receptive to the forthcoming changes. If people are resistant to change, it is vital to communicate with them and make them aware of the need for change.

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vesting rights refer to nonforfeitable rights to retirement benefits. question 4 options: true false

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The statement "Vesting rights refer to nonforfeitable rights to retirement benefits" is true because it refers to the rights given to a worker that guarantee them access to a portion or all of their pension benefits.

The employees are entitled to their retirement benefits after the vesting period, regardless of whether they continue working for the company. When they resign or retire, they can claim their vested pension benefits.

Why is it significant to vesting rights?

Vesting is essential since it guarantees that employees who spend their careers with a firm can receive a portion of their pensions when they retire. They don't lose everything if they don't stay with the company, as they would if there weren't vesting provisions.

Vesting provides long-term retirement security, ensuring that workers have some savings to supplement their Social Security income when they retire. Vesting has become increasingly important as workers have become more mobile and as the number of employer-sponsored pensions has declined.

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Which of the following statements best distinguishes the difference between real and financial assets?
a. Real assets have less value than financial assets.
b. Real assets are tangible; financial assets are not.
c. Financial assets represent claims to income that is generated by real assets.
d. Financial assets appreciate in value; real assets depreciate in value.

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The correct option is C. The statement that best distinguishes the difference between real and financial assets is "Financial assets represent claims to income that is generated by real assets."

Real assets: Real assets refer to tangible physical properties, such as land, property, and equipment, that a company holds to operate and earn money. The actual value of real assets changes with market conditions and the economy.

Financial assets: Financial assets are monetary instruments such as stocks, bonds, and bank deposits that have a future monetary benefit. Financial assets cannot be physically touched or seen, but they are an essential component of an individual or company's investment portfolio because they generate income and growth opportunities.

Thus, the correct option that best distinguishes the difference between real and financial assets is option C. Financial assets represent claims to income that is generated by real assets.

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What happens when the Federal Reserve increases the interest rate on bank deposits?

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When Federal Reserve increases the interest rate on bank deposits, it becomes more expensive for banks to borrow money from the Federal Reserve.

What is a Federal Reserve?

The Federal Reserve, commonly referred to as the "Fed," is the central bank of the United States. It was created in 1913 to provide the nation with a more stable and flexible monetary and financial system. The Fed's primary responsibilities include regulating and supervising banks, conducting monetary policy to promote maximum employment, stable prices, and moderate long-term interest rates, and providing financial services to the U.S. government, banks, and foreign official institutions. The Fed is also responsible for maintaining the stability of the financial system and responding to financial crises. The Fed operates independently of the federal government and is overseen by a Board of Governors appointed by the President and confirmed by the Senate.

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Businesses that are _______ and have a relatively low potential for liability usually do not require the protection and flexibility offered by more complex forms of business entities.a. self-fundedb. over-capitalizedc. taxes as a separate entityd. managed by a third party

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The answer to the question is "c. taxed as a separate entity." Business entities that are taxed as separate entities are the ones that do not require the protection and flexibility provided by more complex forms of business entities.

The complexity of a business entity is highly influenced by its potential for liability. Thus, businesses with a relatively low potential for liability can do well with a simple business entity, while businesses with a higher potential for liability require more complex structures. A business entity is a specific kind of legal entity that is utilized for business activities, business dealings, or other similar activities. A business entity provides a platform for managing a commercial enterprise and ensures that its owners are well-protected.

Business entities are of various forms, such as sole proprietorship, partnership, corporation, or limited liability company (LLC). "Business liability" is the legal responsibility of a business for its actions or omissions that cause harm to others. Liability is a factor to consider when choosing a business entity. A company can choose to operate as a separate legal entity that protects the owners' personal assets from the business's liabilities.

Therefore, to limit business liability, businesses require more complex forms of business entities.

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If a breach relates to a fundamental term of the contract, it is called a total breach and the nonbreaching party is entitled to either: _______ or _______. (Choose two correct answers)
be completely discharged from her obligations
suspend performance

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If a breach relates to a fundamental term of the contract, it is called a total breach and the non-breaching party is entitled to either be completely discharged from her obligations or suspend performance.

What is a Total breach of Contract?

A total breach of contract refers to a violation of a fundamental contract term. This kind of violation frees the non-breaching party from any obligation under the contract. A non-breaching party, in addition, has the right to demand damages caused by the breach. The non-breaching party is entitled to either suspend performance or be completely discharged from her obligations.

If a total breach occurs, suspension of performance may be justified. Suspension of performance refers to the right of the non-breaching party to pause their part of the contract until the breaching party can fulfil their part of the agreement. It is done to provide time for the other party to fulfil their obligations, safeguard resources, and assess the situation before taking any additional action.

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in most behavior feedback workshops for management development, the primary source of information about a manager's behavior is:

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In most behavior feedback workshops for management development, the primary source of information about a manager's behavior is the feedback of subordinates.

Feedback is the process of providing information to a manager or employee regarding his or her behaviour. The aim of behaviour feedback is to assist the person in improving their effectiveness by focusing on their behaviour, attitude, and abilities. In a sense, it is a tool for assisting managers in improving their performance by assisting them in identifying areas for improvement.

In most behaviour feedback workshops for management development, the primary source of information about a manager's behaviour is the feedback of subordinates. Because subordinates deal with the manager on a daily basis and are familiar with the manager's behaviour patterns, they are the best source of information. By obtaining input from subordinates on a manager's behaviour, a more comprehensive view of the manager's effectiveness can be obtained.

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Indicate whether each statement best describes the allowance method or the direct write-off method. Method List 1. Does not predict bad debts expense. 2. Accounts receivable on the balance sheet is reported at net realizable value. 3. The write-off of a specific account does not affect net income. 4. When an account is written off, the debit is to Bad Debts Expense. Usually does not best match sales and expenses because bad debts expense is not recorded until an account becomes uncollectible, which usually occurs in a period after the credit sale 6. Estimates bad debts expense related to the sales recorded in that period.

Answers

1. Direct - No estimation are made and bad debt expense are charged when an account is written-off.

The answers are mentioned below.

What is debt expense?

Debt expense is the amount of interest that a business pays on any outstanding debt liabilities on its balance sheet.  This can include any interest payments on short-term loans, long-term loans, bonds, and other debt instruments. Generally, debt expenses are recorded as an expense on the income statement, reducing the overall net income of the business.

2. Allowance - Account receivable is reported as Total - Allowance = Net

3. Allowance - The amount charged from receivable hits allowance account not income statement

4. Direct - The amount hits Income Statement

5. Direct - Sales is recorded in period of sales while Bad-debt is recorded when it is confirmed that it is bad

6. Allowance - It requires estimation of bad debt expenses

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As with all financial decisions, a firm should try to set a capital structure that maximzes the stock price, or shareholder value. This is called the optimal capital strucutre; it is also the debt-equity mix that:a. Maximizes the WACCb. Maxmizes the net incomec. maximizes the dividendsd. Minimizes the WACC

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The optimal capital structure; it is also the debt-equity mix that minimizes the WACC. Therefore, option D is the correct answer.

In finance, the optimal capital structure is the one that produces the highest weighted average cost of capital (WACC). The WACC is the weighted average of the cost of equity and the cost of debt.

Thus, the optimal capital structure is determined by the company's mix of debt and equity financing that produces the lowest WACC. The WACC is a reflection of the total cost of capital, which is the total amount a company pays to acquire and maintain its financing resources.

It includes both the cost of equity and the cost of debt, and it considers the interest rates, the company's tax rate, and other factors.

The optimal capital structure is crucial since it provides a framework for a company to use debt and equity financing to increase profits and value for shareholders. Therefore, option D is the correct answer.

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during 2022, concord corporation entered into the following transactions. 1. borrowed $59,600 by issuing bonds. 2. paid $9,120 cash dividend to stockholders. 3. received $19,200 cash from a previously billed customer for services performed. 4. purchased supplies on account for $3,000. using the following tabular analysis, show the effect of each transaction on the accounting equation. (if a transaction causes a decrease in assets, liabilities or stockholders' equity, place a negative sign (or parentheses) in front of the amount entered for the particular asset, liability or equity item that was reduced. see illustration 3-4 for example.) assets

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The accounting equation for Concord Corporation is affected by the transactions as follows:
Assets: +$76,680, Liabilities: +$62,600 and Stockholders' Equity: -$69,120

The effect of each transaction on the accounting equation is as follows:
1. Borrowed $59,600 by issuing bonds.

Assets: +$59,600

Liabilities: +$59,600

Stockholders' Equity: -$59,600

2. Paid $9,120 cash dividend to stockholders.

Assets: -$9,120

Liabilities: $0

Stockholders' Equity: -$9,120

3. Received $19,200 cash from a previously billed customer for services performed.

Assets: +$19,200

Liabilities: $0

Stockholders' Equity: $0

4. Purchased supplies on account for $3,000.

Assets: +$3,000

Liabilities: +$3,000

Stockholders' Equity: $0

In summary, the accounting equation for Concord Corporation is affected by the transactions as follows: Assets: +$76,680, Liabilities: +$62,600, and Stockholders' Equity: -$69,120.

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The selected cells D2:D26 have conditional formatting rules applied. Apply the Stop if True option to the cell value <10 rule so cells with the top five values will not have the Data Bar rule applied to them.

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The "Stop if True" option is used in Microsoft Excel to stop processing the subsequent rules in a conditional formatting scheme when a particular rule evaluates to TRUE. It means that once the first rule is true, the subsequent rules will not be executed. This option can be utilized to limit the number of rules implemented in a conditional formatting scheme. following steps can be used to apply the Stop if True option to the cell value <10 rule: Select the cells where the conditional formatting rule has been applied, i.e., cells D2:D26.Go to the Conditional Formatting option in the Home tab on the Excel Ribbon .In the dropdown menu, select Manage Rules, and the Conditional Formatting Rules Manager dialogue box will appear. The current rules used in the conditional formatting scheme will be shown here. Click on the rule whose order you want to adjust. To access the Edit Formatting Rule dialogue box, click the Edit Rule option in the lower right corner of the Conditional Formatting Rules Manager dialogue box. The Edit Formatting Rule dialogue box will display. In the bottom left corner, you will see the "Stop If True" checkbox. Click the checkbox to enable the Stop If True option .When this option is enabled, Excel will evaluate the criteria in the conditional formatting rule. If it evaluates to TRUE, Excel will stop processing the subsequent conditional formatting rules in the list, as they will not be needed in the instance that the first rule is True.

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in a market economy, if the sum of the consumption, investment, and net export shares of gdp is greater than 1 minus the government share of gdp, market forces will result in

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In a market economy, if the sum of the consumption, investment, and net export shares of GDP is greater than 1 minus the government share of GDP, market forces will result in economic growth.

What is a market economy?

A market economy is an economic system in which economic decisions and the pricing of goods and services are guided solely by the forces of supply and demand. It is a mechanism of economic organization that relies on market forces and price signals to distribute goods and services efficiently.

Why is economic growth important?

Economic growth is important because it leads to higher levels of prosperity for citizens, improved quality of life, and a more robust and dynamic economy. Economic growth is critical because it generates more jobs and enables businesses to expand and thrive, which results in increased wealth for everyone.

How does a market economy lead to economic growth?

A market economy promotes economic growth by incentivizing individuals and firms to be productive, efficient, and innovative.

However, when people and companies have the freedom to pursue their own self-interest, they are more likely to take risks, innovate, and invest in productive activities that increase the size of the economy.

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an accounting information system (ais) must include certain source documents in order to control purchasing and accounts payable. for a manufacturing organization, the best set of documents should include

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In an accounting information system (AIS), certain source documents must be included in order to control purchasing and accounts payable. For a manufacturing organization, the best set of documents would include the following purchase requisition, purchase order, and receiving report invoice.

1. Purchase requisition: The request for materials or goods that will be needed for production is known as a purchase requisition. It's normally generated by the purchasing department or a department that has been approved to make purchases.

2. Purchase order: The document that authorizes the supplier to deliver the goods and the terms under which the delivery will take place is known as a purchase order. It's generally sent to the vendor following the creation of the purchase requisition.

3. Receiving report: When products are delivered, a receiving report is created. It identifies the receipt of goods and serves as evidence that the goods were received in the proper condition and amount.4. Invoice:Finally, the vendor will send an invoice after the goods have been delivered. It includes the details of the order, as well as the total sum due for the products. This is utilized by the accounting department to record the bill in the accounting system.

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Jill is writing a business plan for a small home based operation. If well written, the business plan will assist her in determining ifa. the business aligns with personal goals.
b. an investor would be a perfect fit for the proposed company.
c. suppliers can be found for the operation.
d. outsiders can be made into insiders.

Answers

Writing a well-crafted business plan for her small home-based operation will aid Jill in evaluating whether the business is aligned with her personal goals. Thus, Option A is correct.

What is a Business Plan?

A business plan is a formal document that describes in detail the nature of the business, the sales and marketing strategy, and the financial background. It includes an executive summary, a company summary, a products or services overview, a market analysis, a strategy, a management summary, and a financial plan. Business plans are created as a way for businesses to outline their goals and objectives, as well as how they plan to achieve them.

Business plans are also a way to attract investors or potential partners. In this question, Jill is writing a business plan for a small home-based operation. If well written, the business plan will assist her in determining if the business aligns with personal goals. Therefore, option A is correct, as a business plan can help her determine if the business aligns with her personal goals.

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the three phases of business processes re-engineering are group of answer choices unfreezing, changing, refreezing analyze, diagnose, design job analysis, job description, job specification rethink, redesign, retool

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The three phases of business process re-engineering are unfreezing, changing, and refreezing.

Unfreezing is the process of undoing the "freeze" that is placed on an account or process. It is often used in financial contexts, such as when a bank unlocks a frozen account so that funds can be accessed.

Changing involves analyzing, diagnosing, and designing to come up with new solutions that meet business objectives.

Refreezing involves implementing these changes and testing them to make sure they work. This ensures that the newly implemented processes are successful and effective.

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marketing occurs when firms market to organizations that acquire goods and services in the production of other goods and services that are then sold or supplied to others. true or false?

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Marketing occurs when firms market to organizations that acquire goods and services in the production of other goods and services that are then sold or supplied to others is true.

What is marketing?

Marketing is the process of creating, planning, implementing, and promoting ideas, goods, and services to meet the needs of customers with the aim of satisfying them and earning revenue for the organization. According to the definition, it is defined as the process of identifying and satisfying customer needs while also earning a profit. The first step in marketing is to recognize the need or requirement of the customer, then create and produce the product that fulfills the customer's requirement, and finally, to deliver the product or service to the customer.The marketing process is used to promote the product or service to potential customers in order to generate demand and increase sales. This process involves product pricing, promotion, distribution, and packaging, among other things. Marketing strategies are used to determine the best way to market a product or service in order to reach the target audience and achieve sales objectives. It is aimed at increasing the sales of the organization, and it aims to ensure that the product or service is readily available and accessible to the customers.Marketing to organizations that acquire goods and services in the production of other goods and services that are then sold or supplied to others is referred to as business-to-business (B2B) marketing. B2B marketing entails promoting goods or services to other companies rather than to end-users or consumers. This approach is employed by firms that produce goods and services for sale to other companies. Therefore, the statement "Marketing occurs when firms market to organizations that acquire goods and services in the production of other goods and services that are then sold or supplied to others" is true.

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When the bicycle manufacturer Trek determined that some consumers use bikes for green transportation whereas others use them for a hobby, it was most likely assessing the _____ of its bicycles to consumers. -brand equity -associated services -brand awareness -core customer value -physical characteristics

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"When the bicycle manufacturer Trek determined that some consumers use bikes for green transportation whereas others use them for a hobby, it was most likely assessing the core customer values of its bicycles to consumers." Option D is correct.

Trek's assessment of its consumers' values indicates that the company is trying to understand the underlying motivations behind their customers' purchase decisions. By recognizing that some customers value bicycles as a means of environmentally friendly transportation, while others see them as a hobby or leisure activity, Trek can tailor its marketing efforts and product offerings to better appeal to these distinct customer segments.

This segmentation strategy can help Trek target the specific needs and desires of each customer group and ultimately improve customer satisfaction and loyalty. Based on this explanation, Option D is correct.

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xyz is an annual bond that pays a coupon rate of 4%. what payment would you expect to receive every year?

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If xyz is an annual bond that pays a coupon rate of 4%, the payment that you would expect to receive every year would depend on the: face value of the bond.

The face value is the amount that the bondholder will receive upon maturity.

To calculate the annual payment, you would need to multiply the face value of the bond by the coupon rate. This would give you the annual interest payment that the bondholder would receive.

The formula to calculate the annual payment is:

Annual payment = Face value x Coupon rate

For example, if the face value of the bond is $1000, and the coupon rate is 4%,

the annual payment would be:

Annual payment = $1000 x 0.04

Annual payment = $40

Therefore, you would expect to receive $40 every year as the payment for the bond.

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accounts payable, accrued expenses, 2-year notes payable, and 90-day notes are all short-term liabilities. true false

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The statement "Accounts payable, accrued expenses, 2-year notes payable, and 90-day notes are all short-term liabilities" is true. Short-term liabilities are defined as liabilities that are expected to be paid within one year, or within the operating cycle of the business (whichever is longer).


Accounts payable are defined as the amount of money a company owes its suppliers for goods or services received on credit. These are typically due within 30 days and are considered short-term liabilities.

Accrued expenses are expenses that have been incurred but have not yet been paid. These can include salaries, rent, interest, and taxes. These are also considered short-term liabilities because they are typically due within a few weeks.

2-year notes payable are liabilities that are due in two years. However, since they are short-term liabilities, they can also be paid earlier than two years. As such, they are considered short-term liabilities.

90-day notes payable are liabilities that are due within 90 days. As such, these are considered short-term liabilities as well. In conclusion, the statement "Accounts payable, accrued expenses, 2-year notes payable, and 90-day notes are all short-term liabilities" is true.

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give an example in which one person has an aboslute advantage in doing something but another person has a comperative advantage

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Absolute advantage refers to the ability to produce more of a good or service using the same resources as another country or individual. On the other hand, comparative advantage refers to the ability to produce a good or service at a lower opportunity cost than another country or individual.

What is an example of a scenario where one person has an absolute advantage but another person has a comparative advantage?

John and Sarah are both farmers, and they each have a field of wheat and a field of corn. John is able to produce 100 units of wheat and 50 units of corn, whereas Sarah can produce 80 units of wheat and 70 units of corn.

In this scenario, John has an absolute advantage over Sarah in producing both wheat and corn, as he is able to produce more of each with the same resources.

However, Sarah has a comparative advantage in producing corn, as she has a lower opportunity cost of producing corn compared to wheat. This means that Sarah would be better off specializing in producing corn and trading with John for wheat.

By specializing in their comparative advantages and trading with one another, both John and Sarah can achieve a higher level of production and consumption than if they tried to produce everything themselves.

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how might a change in fixed costs affect the contribution margin?

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A change in fixed costs affects the contribution margin. If the fixed costs decrease, the contribution margin increases, and vice versa. This happens because contribution margin is the difference between sales and variable costs.

The greater the contribution margin, the more money is left to cover fixed costs and generate profit. So, if fixed costs decrease, more revenue is available to cover these costs, and the contribution margin goes up. On the other hand, if fixed costs increase, less revenue is available to cover these costs, and the contribution margin goes down. In other words, a reduction in fixed costs would lead to an increase in the contribution margin, as the variable costs would be reduced.

As a result, a company would have a greater amount of funds available to cover its fixed costs, and generate a profit margin. The contribution margin is the difference between sales revenue and variable costs, where variable costs are the costs that vary with the level of production. It can be calculated using the formula: Contribution Margin = Sales Revenue - Variable Costs

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A manufacturer of Bluetooth headphones examines the historical demand of its product and learns that the average monthly demand is about 3,090 headphones but varies between 2,350 and 4,100 headphones. Each pair of the headphones has a retail price of $120 . The monthly fixed production cost ranges from $5,500 to $6,500 , with an average of $6,000 . The average variable cost of producing a pair of headphones is $35 , but because the manufacturing process is not fully automated, the variable cost may vary between $31 and $39 per pair. Develop a risk analysis model to answer the following questions. a. What is the monthly profit from the Bluetooth headphones for the most likely, pessimistic, and optimistic scenarios? b. The company notices that during the holiday season in December, the demand tends to be higher than in other months. Historically, the demand in December is about 3,578 pairs on average, but also ranges from 2,535 to 4,757 pairs. What is the December profit for the most likely, pessimistic, and optimistic scenarios?

Answers

a. Monthly profits, most likely scenario a.=$256,950, b.$297,530,

Pessimistic scenario a.$185,850 b. $200,785

Optimistic scenario, a. $363,500 b. $421,573

a. To determine the most likely, pessimistic, and optimistic scenarios for the monthly profit from the Bluetooth headphones, we need to calculate the profit for each scenario.

The formula for calculating profit is as follows:

Most likely scenario:

Monthly demand: 3,090, Retail price per unit: $120,

Fixed production cost: $6,000,

Variable cost per unit: $35,

Total revenue = 3,090 × $120 = $370,800,

Total cost = $6,000 + 3,090 × $35 = $113,850

Profit = $370,800 - $113,850 = $256,950

Pessimistic scenario:

Monthly demand: 2,350, Retail price per unit: $120, Fixed production cost: $6,500, Variable cost per unit: $39,

Total revenue = 2,350 × $120 = $282,000,

Total cost = $6,500 + 2,350 × $39 = $96,150

Profit = $282,000 - $96,150 = $185,850

Optimistic scenario:

Monthly demand: 4,100, Retail price per unit: $120,

Fixed production cost: $5,500,

Variable cost per unit: $31,

Total revenue = 4,100 × $120 = $492,000,

Total cost = $5,500 + 4,100 × $31 = $128,500

Profit = $492,000 - $128,500 = $363,500

b. To determine the most likely, pessimistic, and optimistic scenarios for the December profit from the Bluetooth headphones, we need to calculate the profit for each scenario using the demand for December.

Most likely scenario:

Monthly demand: 3,578, Retail price per unit: $120,

Fixed production cost: $6,000,

Variable cost per unit: $35,

Total revenue = 3,578 × $120 = $429,360,

Total cost = $6,000 + 3,578 × $35 = $131,830

Profit = $429,360 - $131,830 = $297,530

Pessimistic scenario:

Monthly demand: 2,535, Retail price per unit: $120,

Fixed production cost: $6,500,

Variable cost per unit: $39,

Total revenue = 2,535 × $120 = $304,200,

Total cost = $6,500 + 2,535 × $39 = $103,415

Profit = $304,200 - $103,415 = $200,785

Optimistic scenario:

Monthly demand: 4,757, Retail price per unit: $120,

Fixed production cost: $5,500,

Variable cost per unit: $31,

Total revenue = 4,757 × $120 = $570,840,

Total cost = $5,500 + 4,757 × $31 = $149,267

Profit = $570,840 - $149,267 = $421,573

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the price of a preferred stock is $42. it pays a dividend of $5. calculate the required return: correct answer 11.9% you answered 8.4% 0.119% 8%

Answers

The required return for a preferred stock with price $42 and dividend $5 is 11.9%. Hence, the correct option is A.

Preferred stock are types of stock equity that represents an ownership in a company as well as the right to claim income from the company's operations. Preferred stockholders have a higher claim on distributions (e.g. dividends) than common stockholders.

The required return for a preferred stock is calculated by dividing the dividend by the stock price.

In this case, the stock price of the preferred stock is $42 and dividend paid is $5.

Hence, the required return is calculated as:

Required return = Dividend / Stock Price

Required return = $5 / $42

Required return =  0.119 or 11.9%

Therefore, the required return of the preferred stock is 11.9%. Hence, option A is correct.

Note: The question is incomplete. The complete question probably is: The price of a preferred stock is $42. It pays a dividend of $5. Calculate the required return: A) 11.9% B) 8% C) 0.119% D) 8.4%.

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on april 25, foreman electric installs wiring in a new home for $3,500 on account. however, on april 27, foreman’s electrical work does not pass inspection, and foreman grants the customer an allowance of $600 because of the problem. the customer makes full payment of the balance owed, excluding the allowance, on april 30.1. Record the Journal entries for the above information2. calculate net revenue associated with these transactions

Answers


On April 25, Foreman Electric installs wiring in a new home for $3,500 on account.

On the same day, a journal entry of Debit Accounts Receivable and Credit Service Revenue is recorded. On April 27, Foreman’s electrical work does not pass inspection and Foreman grants the customer an allowance of $600 because of the problem. This is recorded as a Debit Allowance for Uncollectible Accounts and Credit Accounts Receivable. On April 30, the customer makes full payment of the balance owed, excluding the allowance, and a journal entry of Debit Cash and Credit Accounts Receivable is recorded. The net revenue associated with these transactions is $2,900 ($3,500 less $600).

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when writing an internal memo to her statistics research company about maintaining professional integrity, marissa reminds her employees to always use proper citations but to also protect their clients and themselves from issues by responses a. anonymizing and protecting data.
b. not considering the purpose and relevance of the data. c. synchronizing and protecting data. d. never disclosing the results of their data analysis.

Answers

Marissa aims to protect their clients and themselves from issues by anonymizing and protecting data. This is a practice of data anonymization in the business communication.

What is data anonymization?

Data anonymization, in the business communication, is the process of protecting sensitive or private information by removing or encoding identifiers that connect specific people to the data that is being stored. It is done to maintain the validity of the information gathered and shared while protecting an individual's or company's private behaviour.

One method that businesses can utilise to comply with stringent data privacy laws that demand the security of personally identifiable information (PII), such as medical records, contact information, and financial information, is data anonymization.

Attackers can employ de-anonymization techniques to track back the process of data anonymization even after the identifiers' data has been cleared.

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