If international trade takes place as a result of comparative advantage, it will cause which of the following effects in the participating countries??
a. Inequality among households will be reduced.
b. All individuals in each country will be better off.
c. The average well-being of people in both countries will increase. d. Both countries will grow faster over time.
e. All of the above.

Answers

Answer 1

If international trade takes place as a result of comparative advantage, it will cause both countries will grow faster over time effects in the participating countries. Thus, option (d) is correct.

What is trade?

Trade is a term used to describe economic activities. Trade is the term used to describe the purchasing and selling of goods and services. Trade can take many various forms, including both domestic and international trade. Trading in financial terms refers to the buying and selling of securities or other assets.

The comparative advantage of the international trade was the advantage on the both the country as the producing ability of goods and services. It was the growth of the economy. It was the goods exported and imported at a lower price are the created the opportunity.

As a result, the significance of the trade as the aforementioned. Therefore, option (d) is correct.

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Related Questions

Suppose private saving in a closed economy is $12b and investment is $10b.

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Suppose private saving in a closed economy is $12b and investment is $10b. The government budget deficit must equal $2b. Thus the correct option is D.

What is a Closed Economy?

A closed economy refers to an economy that avoids or prevents trade activities with other countries and depends on strengthening the economy with domestic activities rather than using import or export as a feature to boost the economy.

Private saving = GDP - Investment

GDP=$12b

Investment = $10b.

Private saving= $12b- $10b.

                           = $2b

Therefore, option D is appropriate.

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The complete question is Probably

Suppose private saving in a closed economy is $12b and investment is $10b.

a. National saving must equal $12b.

b. Public saving must equal $2b.

c. The government budget surplus must equal $2b.

d. The government budget deficit must equal $2b.

identify which of the following are correct statements about the process of journalizing in the general journal:

Answers

The description should refer to the information's source, the debit is placed on the first line of the entry, and the date is put correctly in the general journal by entering the year first, then the month and day.

General Journal: What is it?

The transactions relating to adjustment entries, opening stock, depreciation, accounting errors, etc. are documented in a general journal, which is a daybook or subsidiary journal. General journal entries may have invoices, copies of management reports, and journal vouchers as their source documents.

Prime entry books, also known as books of original entry, are journals because transactions were first recorded in a journal before being physically posted to accounts in the general ledger or a subsidiary ledger. It is the process of recording double-entry accounting transactions by debiting one or more accounts and crediting one or more other accounts with the same sum of money.

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Correct question:

Identify which of the following are correct statements about the process of journalizing in the general journal: the description should refer to the source of the information debit is recorded on the first line of the entry date should be entered year first, then the month and day

americans tend to fly domestically multiple times per year. the number of times a sample of 38 families has taken a domestic flight last year has been included in the provided data set.Instructions: copy the sample data provided in the data table below (Ctrl-C) and paste Match Destination Formatting it into Worksheet Q5 to answer the following questions. Important: when copying the data set, make sure not to include the extra character (space) to the right of the bottom right table element, or the table will not parse properly in Excel. Flying per year (#) 1 1 4 80 11 2 103 5 4 14 14 4 76 7 3 15(a). Compute the mean and median, mean _____ median ______(b). Compute the first and third quarties first quartile ______ third quartile _______(C). Compute the range and interquartile range range _______Interquartile range ______(d). Compute the variance and standard deviation, Round your answers to two deomal places) variance ______standard deviation _______

Answers

The response will be: Mean: 24.95, Median: 7, First Quartile: 3, Third Quartile: 15, Range: 99, Interquartile Range: 12, Variance: 1653.53, Standard Deviation: 40.68

What is Variance?

Variance is a measure of the spread or dispersion of a set of data. It is a measure of how far each value in the data set is from the mean. Variance is calculated by taking the average squared differences of each value from the mean and then dividing by the number of values in the data set. Variance can be used to analyze data, identify outliers, and identify trends in data sets. Variance can also be used to compare data sets and make predictions about future data. Variance can help to gain insight into the data and to make better decisions.

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if your purchases of toothpaste remain constant at 9 units per year when the price of shampoo increases from $8 to $12, all other things equal, for you, shoes and shirts are goods. group of answer choices a. inferior b. unrelated c. substitute d. complementary

Answers

If your purchases of toothpaste remain constant at 9 units per year when the price of shampoo increases from $8 to $12, then, shoes and shirts are Unrelated goods.

b. Unrelated

What are Unrelated goods?

Unrelated goods can be described as goods that have no corresponding effect on each other. This often means that the price of one of such goods does not affect the other in any way.

This is seen in the description above, where the shirts and shoes are paired. These two goods are unrelated because the increase in the price of one has no direct bearing on the price and sales volume of the other.

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suppose that a firm is facing an upward-sloping yield curve and needs to borrow money to invest in production. does this mean that the firm should consider borrowing only at short-term rates? no, the firm needs to take the volatility of short-term rates into account. yes, using short-term financing will give the firm the lowest possible interest rate over the life of the project. no, an upward-sloping yield curve means that the firm will get a lower interest rate if it uses long-term financing. credit ratings affect the yields on bonds. based on the scenario described in the following table, determine whether yields will increase or decrease and whether it will be more expensive or less expensive, as compared to other players in the market, for a company to borrow money from the bond

Answers

No, the firm needs to take the volatility of short-term rates into account.

What is volatility in finance?

Volatility in finance is the degree of change in a trading price series over time, often quantified by the standard deviation of logarithmic returns. Volatility is typically symbolised by the symbol.

A time series of previous market values is used to quantify historic volatility. Because it is generated from the market price of a market-traded derivative, implied volatility looks forward in time (in particular, an option).

The breadth of the distribution grows with time for a financial asset whose price exhibits a Gaussian random walk, or Wiener process. This is due to the possibility that as time passes, the instrument's price will move further away from its original value. Yet, as time goes on, the volatility rises with the square-root of time rather than linearly.

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In the context of job motivation, which of the following is an example of an extrinsic reward as a motivator? Longer vacations. Identify the esteem need.

Answers

Longer vacations are an example of an extrinsic reward as a motivator.

What are extrinsic rewards ?

Extrinsic rewards are external incentives that are offered to employees in order to motivate them, such as pay raises, bonuses, promotions, and benefits like longer vacations.

These rewards are given to employees from outside sources, rather than being inherently rewarding on their own. Extrinsic rewards can be effective motivators for employees who are primarily motivated by external factors like salary and benefits, but they may be less effective for employees who are more motivated by intrinsic factors like job satisfaction and personal growth.

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Which of the following are characteristics of negotiable certificates of deposit (NCD)? Check all that apply. Common direct investors in these securities are households, firms, and financial institutions. Their denominations are typically in multiples of $100,000. Their maturities are normally between 2 weeks and 1 year. Activity in their secondary market is moderate.

Answers

Their maturities are normally between 2 weeks and 1 year and activity in their secondary market is moderate are characteristics of negotiable certificates of deposit (NCD).

What are certificates of deposit?

In the US, banks, thrift institutions, and credit unions regularly provide time deposits, also referred to as certificates of deposit. Savings accounts and certificates of deposit (CDs) are not the same because a CD has a set lifespan and frequently offers a fixed interest rate. The bank expects the CD to be held on to until it matures, at which point it can be withdrawn and interest is paid. Because they are less risky than stocks and bonds, certificates of deposits have the disadvantage of yielding a lower return over time.

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answer the question based on the given supply and demand data for wheat. bushels demanded per month price per bushel bushels supplied per month 45 $ 5 77 50 4 73 56 3 68 61 2 61 67 1 57 if the price in this market was $4, multiple choice farmers would not be able to sell all their wheat. buyers would want to purchase more wheat than is currently being supplied. the market would clear; quantity demanded would equal quantity supplied.

Answers

The given statement claims that the following price shift will cause the amount of wheat distributed to decrease.

Why is the market collapsing?

There are many reasons why the stock market declines, but the declining economy is the most frequent one. Companies lose money when the economy weakens, and buyers worry that those who won't be able to earn a living inside the future.

How did the market collapse turn out?

Because companies had invested money in stocks in addition to private investors, the stock market collapse severely damaged the American economy. The stock market collapse cost companies money. Additionally, consumers lost money as a result of numerous institutions investing customer funds without their awareness or consent.

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Relationship between tax revenues, deadweight loss, and demandelasticity The government is considering levying a tax of $60 per unit on suppliers of either concert tickets or bus passes. The supply curve for each of these two goods is identical, as you can see on each of the following graphs. The demand for concert tickets is shown by Dc (on the first graph), and the demand for bus passes is shown by Dg (on the second graph). Suppose the government wants to tax the good that will generate more tax revenue at a lower welfare cost. In this case, it should tax [Bus passes / concert tickets] because, all else held constant, taxing a good with a relatively [Less / more] elastic demand generates larger tax revenue and smaller deadweight loss.

Answers

Taxing a good whose demand is substantially less elastic enables the government to increase income while minimizing welfare losses.

In India, what are the taxes?

Indirect taxes include price tax, service tax, value - added taxes, customs duty, etc. while direct taxes include income tax, capital gains tax, personal income tax, etc. Customs charge, regional vehicle tax, income tax, and sales taxes are just a few of the taxes that the Indian central government imposes.

How is income tax determined?

How can I figure out my income tax? You must total up all streams of income taxes earned throughout a tax year in order to determine your income tax liability. The following action is figuring out your adjusted gross revenue (AGI). Once you've done that, deduct from your total any allowable deductions.

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Fill in the missing value in the table below
Economics

Answers

The values based on the information given in the table will be:

1. Real GDP = 14925.591

2. Nominal GDP = 15783.762

3. Price Index = 1.052

4. Nominal GDP = 16966.49

5. Price Index = 1.087

6. Real GDP = 16518.66

What is Real GDP about?

Real gross domestic product (GDP), which refers to the volume level of GDP, is GDP expressed at constant prices. By quantifying the values of all the goods and services produced in a given year in terms of a base period, one can derive constant price estimates of GDP.

However, nominal GDP is divided by the price index multiplied by 100 to get real GDP. The price index's value for the base year is set at 100 to make comparisons easier. Prices were typically lower prior to the base year, so those GDP estimates had to be inflated in order to be comparable to the base year.

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Lee Willis loaned Audrey Chin $16,000 to open Snip its hair salon. After 6 years, Audrey will repay Lee with 8% interest compounded quarterly. How much will Lee receive at the end of 6 years?

Answers

Interest : After solving the problem the Lee will receive $23,454.25. at the end of 6 years.

What is Interest?

Interest is the cost of borrowing money, or the income earned from lending money. It is expressed as a percentage rate, which represents the amount of money (called interest) paid relative to the amount of money borrowed (called the principal). Interest is a necessary part of any loan or credit agreement. It is the price paid for the use of money over time.

At the end of 6 years, Lee will receive $23,454.25. This is calculated by using the formula A = P(1 + r/n)^nt,
where A is the future value,
P is the principal amount,
r is the annual interest rate,
n is the number of times the interest is compounded, and
t is the number of years.
In this case, P = $16,000, r = 0.08 (8%), n = 4 (quarterly), and t = 6. Plugging those values into the equation, we get A = $16,000(1 + 0.08/4)^4*6 = $23,454.25.

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(Table: Market for Mexican Take-Out) Use Figure: Market for Mexican Take-Out. If income changes from $1,000 to $1,400 per month, the income elasticity of demand, computed using the midpoint method at a price of $18 per Mexican take out meal, is: Table: Market for Mexican Take-OutPrice (per meal) Quantity of Meals Demanded (income = Quantity of Meals Demanded (income =$1,000 per month) $1,400 per month) 20 3 7 18 4 8 16 5 9 14 6 10 12 7 11 10 8 12 8 9 13 6 10 14 O 0.50. O 0.95. O 0.33 O 2

Answers

The elasticity based on the information will be d. 2.

How to calculate the elasticity

Income Elasticity = % change in quantity / % change in Income

% change in quantity = [(8-4)÷ (8+4)/2]*100

= 4/6*100= 66.67%

% change in Income =

[(1400-1000)÷( 1400+1000)/2] *100

= 400/ 1200*100 = 33.33%

Elasticity = 66.67/33.33= 2.00 = 2

So, this commodity is a luxury goods as income Elasticity is higher and Elastic Demand.

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Ricky Ripov’s Pawn Shop charges an interest rate of 12.5 percent per month on loans to its customers. Like all lenders, Ricky must report an APR to consumers. a. What rate should the shop report? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) b. What is the effective annual rate? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

Answers

a. The APR that the Ricky Ripov’s Pawn Shop should report is 150%

b. The effective annual rate of the Ricky Ripov’s Pawn Shop is 203%

How to calculate annual rate

The interest rate charged by Ricky Ripov's Pawn Shop is 12.5% per month. To find the APR, we need to multiply this monthly rate by 12 to get the annual rate.

a. The APR that the shop should report is:

APR = 12.5% x 12 = 150%

b. The effective annual rate takes into account the effect of compounding interest. To find the effective annual rate, we use the following formula:

Effective annual rate = (1 + monthly interest rate)12 - 1

Effective annual rate = (1 + 0.125)12 - 1

Effective annual rate = 3.03 - 1

Effective annual rate = 203%

So the effective annual rate is 203%, which is higher than the APR of 150% because it takes into account the effect of compounding interest.

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is the process by which a model (real or simulated) is constructed to assess a product's performance under actual operating conditions, as well as consumer reactions to the model.

Answers

"Prototype testing," is the process by which a model (real or simulated) is constructed to assess a product's performance under actual operating conditions, as well as consumer reactions to the model.

Hence, option (a) is correct choice.

A physical prototype of a system or product is developed and evaluated as part of the prototype testing process to assess its functionality, performance, and user experience. Before the product is created and made available on the market, prototype testing seeks to find and correct any problems or defects in the design. Testing prototypes early in the product development process helps to lower the risk of expensive design mistakes and potential failures. Moreover, it gives engineers and designers a chance to hear from consumers and other interested parties and incorporate that input into future design revisions.

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The complete question may be:

_______________is the process by which a model (real or simulated) is constructed to assess a product's performance under actual operating conditions, as well as consumer reactions to the model.

(a) Prototype testing

(b) Product testing

(c) Marketing testing

(d) Market surveying

On December 31, 2017, Sheridan Company prepared an income statement and balance sheet, but failed to take into account three adjusting entries. The balance sheet showed total assets $183,000, total liabilities $85,400, and stockholders’ equity $97,600. The incorrect income statement showed net income of $85,400.
The data for the three adjusting entries were:
1. Salaries and wages amounting to $12,200 for the last 2 days in December were not paid and not recorded. The next payroll will be in January.
2. Rent payments of $9,760 was received for 2 months in advance on December 1. The entire amount was credited to Unearned Rent Revenue when paid.
3. Depreciation expense for 2017 is $10,980.
Complete the following table to correct the financial statement amounts shown (indicate deductions with parentheses).
Item Net Income Total Assets Total Liabilities Stockholders’ Equity
Incorrect balances $85,400 $183,000 $85,400 $97,600
effects of:
salaires and wages
rent rev
depreciation
correct balances

Answers

We can make a complete table to correct the financial statement amounts shown as net income and balances.

What is a financial statement and what is the correct table?

Financial statements are written records that convey the business activities and the financial performance of a company. Financial statements are often audited by government agencies, accountants, firms, etc. to ensure accuracy and for tax, financing, or investing purposes. For-profit primary financial statements include the balance sheet, income statement, statement of cash flow, and statement of changes in equity. Nonprofit entities use a similar but different set of financial statements.

The financial statements are used by investors, market analysts, and creditors to evaluate a company's financial health and earnings potential.

The image attached here shows the table

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Determine the total annual fica tax for an annual salary of $38,480. (fica is 7. 65%) a. $294. 37 b. $717. 96 c. $2,385. 76 d. $2,943. 72.

Answers

The correct option is D. the overall annual FICA tax for an annual income of $38,480 is $2,943.72

The FICA tax for an annual income of $38,480 would be:

FICA tax = 0.0765 x $38,480

FICA tax = $2,943.72

FICA stands for Federal Insurance Contributions Act, which is a law that requires employers to withhold a portion of their employee's wages to fund two government-run social programs: Social Security and Medicare. FICA tax is the tax that is withheld from an employee's paycheck to fund these programs.

Employers are required to match their employees' FICA tax contributions, which means that they are also responsible for paying a portion of their employees' Social Security and Medicare taxes. The combined employee and employer contributions make up the total FICA tax payment.

FICA tax is an important source of funding for Social Security and Medicare, which provide financial support to retired and disabled individuals, as well as medical care for those over 65 years of age.

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Why does bankruptcy make it difficult to obtain loans? a. it causes a loss of assets., b. it harms a person's credit report., c. it relieves a person of their debts., d. it increases the cost of insurance

Answers

Option A is the best choice because it results in a loss of assets.

What occurs when a person declares bankruptcy?

A individual or business who is unable to pay off their outstanding debts may file for bankruptcy. A petition is filed, either on behalf of the debtor, which is more often, or on behalf of creditors, which is less frequent, to start the bankruptcy process.

A corporation is in bankruptcy when it is unable to cover its daily expenses as a result of significant losses. Every area of the economy is susceptible. If a large financial institution is affected, it will be challenging for that institution to offer new or fresh loans since they lack the funds to do so. As a result, all new businesses that take out loans will suffer indirectly.

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What is the major challenge presented by Amazon and uber to GrubHub's businesses

Answers

The Grub hub asset may develop as a result of the Amazon agreement. The Grub hub+ membership plan has the potential to reduce turnover among Amazon Prime subscribers.

Why is Grub hub the most pertinent of the five business environments?

The five business environments that are important to Grub hub are the technological, social, economic, legal, and competitive ones. The technology environment, however, is the most important relevant business environment. For business transactions, Grub Hub connects its clients with their eateries via the internet.

Does Amazon intend to buy Grubhub?

For one year, Prime members will have access to Grubhub+ as part of the agreement. The promise of free delivery is one of the attractions of Amazon's Prime membership option, a service it is expanding into the restaurant industry after striking a business partnership with Grub hub.

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__________ helps Williams compete for and hire talented, engaged employees who help the business succeed. Multiple Choice - Corporate philanthropy - Corporate audit - Retail sourcing - Environmental regulation - Regulatory policy

Answers

Corporate philanthropy helps Williams compete for and hire talented, engaged employees who help the business succeed.

What is the importance of corporate philanthropy?

Corporate philanthropy is significant for a number of reasons. For starters, demonstrating a commitment to social responsibility and giving back to the community can help to strengthen a company's reputation and build brand loyalty. Second, it can boost employee morale and retention because employees are frequently proud to work for a company that supports charitable causes. Third, corporate philanthropy can have a tangible impact on the communities and causes it supports, assisting in the resolution of social and environmental issues as well as the improvement of the lives of those in need. Finally, by fostering collaboration and partnerships with other organisations and stakeholders, it can help to drive innovation and create new business opportunities.

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As part of convergence efforts, the FASB and IASB have developed a common definition and common set of financial statement ____ for discontinued operations.

Answers

In an effort to achieve convergence, the FASB and IASB have developed a shared definition and set of "presentation requirements" for financial statements for discontinued businesses. An entity's discontinued activities are those parts that have either been sold or are indicated as being held for sale.

What do FASB and IASB stand for?

In order to enhance comparability and simplify the financial statement-reading process for users, the FASB and IASB have sought to align their accounting principles with regard to discontinued businesses. This entails creating a standard definition and a set of presentation guidelines that both FASB and IASB must adhere to.

In addition to the International Accounting Standard Board (IASB), the Financial Accounting Standards Board (FASB) is mentioned. The accounting subject is present on these two boards. The IASB focused on global standards, whereas the FASB focused on American accounting rules.

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What is the role of the securities and exchange commission? it adjusts the interest rates for loans. It ensures all financial institutions follow banking laws. It protects up to $250,000 of customer deposits. It regulates the business practices of stockbrokers.

Answers

According to the claim, it controls stockbrokers' commercial activities.

What does commission cost in dollars?

A commission fee is a payment made to an employee after they successfully complete a job, typically selling a predetermined volume of products or services. Sales commissions are a common reward used by employers to boost employee efficiency. A commission can be given instead of or in add to a wage.

What does a commission in company mean?

Employees receive commission, also referred to as sales incentive, based on the revenue they generate. SumUp Invoices offers complimentary statement creation. A commission is frequently determined as a proportion of the sale's worth.

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Answer: D

Explanation: It regulates the business practices of stockbrokers.

Got it right on flvs

The CEO is meeting with his top managers to determine how best to compete successfully in the company's market. This group is developing the company's:
A) strategy
B) competitive advantage
C) strengths and weaknesses
D) opportunities and threats

Answers

(A) Strategy. As part of creating a company's strategy, the CEO is meeting with his top management to discuss how to compete most successfully in the company's market.

What is the competitive advantage?

The company's strategy places a major emphasis on creating a competitive advantage. To distinguish the business from rivals and draw in clients, this entails discovering and utilizing its distinctive assets. The business can establish itself as the leader in its market and succeed over the long term by building a solid competitive edge. Ultimately, the CEO and his top executives must collaborate to develop a thorough and successful strategy that will help the business prosper in its market.

To review the company's strategy for successfully competing in its market, the CEO is meeting with his senior managers. In order to do this, a plan must be created that explains how the business will meet its objectives and overcome market hurdles. A thorough evaluation of the company's existing situation, including its strengths and shortcomings, should serve as the foundation for the strategy, which should also take into account the market's opportunities and dangers.

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calculate the yield to maturity on the following bonds: a 8 percent coupon (paid semiannually) bond, with a $1,000 face value and 20 years remaining to maturity. the bond is selling at $885. an 5.1 percent coupon (paid quarterly) bond, with a $1,000 face value and 10 years remaining to maturity. the bond is selling at $917. an 7.1 percent coupon (paid annually) bond, with a $1,000 face value and 8 years remaining to maturity. the bond is selling at $1,067. (For all requirements, do not round intermediate calculations. Round your percentage answers to 3 decimal places.

Answers

In order to determine the yield to maturity (YTM) for each bond, we must first determine the interest rate (yield) that corresponds to the present value of the bond's anticipated future cash flows multiplied by its current market price.

How can it be calculated in detail?

About the first bond:

N = 20 x 2 = 40 (number of semiannual periods remaining to maturity) (number of semiannual periods remaining to maturity)

I/Y = ? (yield to maturity) (yield to maturity)

PMT = 8% x $1,000 / 2 = $40 (semiannual coupon payment) (semiannual coupon payment)

FV = $1,000 (face value) (face value)

PV = -$885 (current market price, negative because it reflects an outflow) (current market price, negative because it represents an outflow)

Hence, the first bond's yield to maturity is 4.738%. (rounded to 3 decimal places).

About the second bond:

N = 10 x 4 = 40 (number of quarterly periods remaining before maturity) (number of quarterly periods remaining to maturity)

I/Y = ? (yield to maturity) (yield to maturity)

PMT = 5.1% x $1,000 / 4 = $12.75 (quarterly coupon payment) (quarterly coupon payment)

FV = $1,000 (face value) (face value)

PV = -$917 (current market price, negative because it reflects an outflow) (current market price, negative because it represents an outflow)

Thus, the second bond's yield to maturity is 2.345%. (rounded to 3 decimal places).

About the third bond:

N = 8 (number of yearly periods remaining to maturity) (number of annual periods remaining to maturity)

I/Y = ? (yield to maturity) (yield to maturity)

PMT = 7.1% x $1,000 = $71 (annual coupon payment) (annual coupon payment)

FV = $1,000 (face value) (face value)

PV = -$1,067 (current market price, negative because it reflects an outflow) (current market price, negative because it represents an outflow)

Thus, the third bond's yield to maturity is 5.863%. (rounded to 3 decimal places).

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assume that maturity markets are completely segmented. if the treasury issues a large amount of long-term treasury bonds to finance the budget deficit, this would place pressure on -term yields. group of answer choices upward; long upward; short downward; long downward; short

Answers

If the treasury Issues a large amount of long-term treasury bonds to finance the budget deficit, this would place pressure on upward-term yields. The correct option is b.

What are treasury bonds?

Treasury bonds are government debt securities issued by the U.S. Federal government that have maturities greater than 20 years. T-bonds earn periodic interest until maturity, at which point the owner is also paid a par amount equal to the principal. Treasury bonds are part of the larger category of U.S. sovereign debt known collectively as treasuries.

They are typically regarded as virtually risk-free since they are backed by the U.S. government's ability to tax its citbonds.

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You are a pension consultant who was recently engaged by Awesome Benefit Company (ABC) to become the valuation actuary for their frozen defined benefit pension plan. You have also been hired to help with delivering and tracking a funding strategy for the maintenance and eventual termination of the plan. • Your assignment with the pension plan is brand new to your consulting firm and the valuation processes are being initiated for the first time. You will be given experience data and prior valuations from the previous actuary. • The plan has an annual valuation every January 1. • The plan was frozen (no additional benefit accruals for plan participants) 5 years ago. • ABC has adopted a liability driven investment (LDI) strategy to maintain funded status. • The LDI strategy involves creating an asset mix of similar nature to the characteristics of the plan liabilities (e.g. duration matching) to prevent large swings in funded status).

Answers

As the valuation actuary for ABC's frozen defined benefit pension plan, my main responsibilities will include conducting the annual valuation of the plan, helping to develop and track a funding strategy for the maintenance and eventual termination of the plan, and analyzing experience data and prior valuations from the previous actuary.

In order to conduct the annual valuation, I will need to gather and analyze data on the plan's assets, liabilities, and participants. This will involve using actuarial assumptions and methods to estimate the plan's future benefit obligations and comparing them to the current value of the plan's assets.

Additionally, I will work with ABC to develop a funding strategy that is consistent with their liability driven investment (LDI) strategy. This will involve creating an asset mix that matches the characteristics of the plan's liabilities in order to prevent large swings in funded status. I will also be responsible for tracking the progress of this funding strategy and making any necessary adjustments.

Finally, I will analyze the experience data and prior valuations from the previous actuary in order to gain a better understanding of the plan's history and make informed decisions about the plan's future. This will involve examining trends in the plan's assets, liabilities, and participant demographics, and using this information to make recommendations for the plan's future funding strategy.

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Which of the following most involves coordinating the activities among all the elements of the business including its suppliers and distributors?Multiple Choice- pollution control- quality management- supply chain management- competition from foreign manufacturers- technological change

Answers

The following that involves coordinating the activities among all the elements of the business including its suppliers and distributor is supply chain management. The correct option is c.

What is supply chain management?

Supply chain management is the management of the flow of goods and services and includes all processes that transform raw materials into final products. It involves the active streamlining of a business's supply-side activities to maximize customer value and gain a competitive advantage in the marketplace. Good supply chain management keeps companies out of the headlines and away from expensive recalls and lawsuits.

The five most critical elements of SCM are developing a strategy, sourcing raw materials, production, distribution, and returns.

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Poole Company made a $100,000 cash expenditure this year. Which of the following statements is false?Group of answer choicesNone of the choices are false.Poole must capitalize the expenditure if it extends the estimated useful life of an existing asset by three years.Poole must capitalize the expenditure if it results in a long-term economic benefit to the company.Poole must capitalize the expenditure if it creates a new asset that the company can use for the next four years.

Answers

No assertion in the scenario given, in which Poole Corporation spent $100,000 in cash, is FALSE; thus, the appropriate response is (D).

What is expenditure?

In order to pay for a good, service, or another sort of cost, an expense necessitates the movement of money or wealth in general from one person or organization to another.

For a tenant, rent is an expense.

Parents and students must pay for tuition.

Buying anything, whether it be furniture, a car, food, clothing, or anything else, is commonly referred to as a cost.

An expense is a cost that is "paid" or "remitted," typically in exchange for something of worth.

Something that appears to be exceedingly expensive is "expensive."

Something that appears to be inexpensive is referred to as "inexpensive."

"Expenses of the table" include prices related to consuming food, and beverages, hosting a feast, etc.

Therefore, no assertion in the scenario given, in which Poole Corporation spent $100,000 in cash, is FALSE; thus, the appropriate response is (D).

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Correct question:

Poole Company made a $100,000 cash expenditure this year. Which of the following

statements is false?

A. Poole must capitalize the expenditure if it creates a new asset that the company can use for

the next four years.

B. Poole must capitalize the expenditure if it extends the estimated useful life of an existing

asset by three years.

C. Poole must capitalize the expenditure if it results a long-term economic benefit to the

company.

D. None of the above is false.

for the purchase of an airline ticket, a consumer may use _____ like time of day, percentage of on-time departure, brand, and price to choose between offerings.a. a consideration setb. value attributesc. selective featuresd. evaluative criteria

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For the purchase of an airline ticket, a consumer may use consideration set like time of day, percentage of on-time departure, brand, and price to choose between offerings. Hence, option A is correct.

What is consideration set?

Alternatives that customers actively weigh before deciding on a purchase; also known as the evoked set.

For instance, a consumer might limit their selection of smartphones by first deciding on Apple as their preferred brand, then only evaluating Apple smartphones that were introduced within the past year, and then only considering Apple smartphones that had 128GB of memory.

Thus, option A is correct.

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If sales returns and allowances are a large dollar amount relative to initial sales revenue, it may mean O the shipping terms should be changed to FOB destination O the shipping terms should be changed to FOB shipping point O the discount period is too short O the discount period is too long O there are product quality issues

Answers

If sales returns and allowances are a large dollar amount relative to initial sales revenue, it may mean there are product quality issues. Thus, option E is correct.

What is product quality?

Product quality describes how well a product meets industry standards, satisfies customer needs, and accomplishes its intended function. Businesses consider a number of important factors when assessing the quality of a product, including whether it solves a problem, functions effectively, or serves the needs of customers.

Companies may also assess a product's quality using a variety of viewpoints that illustrate how various audiences view a product's utility. Customer perspectives, manufacturing perspectives, product- and value-based perspectives, as well as transcendental perspectives—which weigh a product's value in relation to its price—should all be taken into account when evaluating product quality.

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According to the tax schedule, rich has to pay $37,498. 00 in taxes. What is rich's taxable income?.

Answers

For the Rich, $180,000 in taxable income is necessary. The portion of your gross income known as "taxable income" is used to determine your tax liability for a certain tax year.

It can be roughly defined as adjusted gross income (AGI) less permitted standard or itemised deductions. Wages, salaries, bonuses, and gratuities are all considered forms of taxable income, as are investment income & different unearned income streams.

The Rich's additional taxable income after $160,700 should be denoted by the letter x. As shown in the question, the Rich must pay $37,498.00 in taxes.

Rich tax pay = 31,322 + 32% of x

37,498 = 31,322 + 32% × x

x = [37,498 - 31322] / 0.32

x = 19,300

Taxable income = $160,700  + 19300 = $1,80,000.

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