during periods of uncertainty about the economy, there is a shift from risky money market securities to treasury securities. a. true b. false

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Answer 1

The statement "During periods of uncertainty about the economy, there is a shift from risky money market securities to treasury securities" is True.

What are Money Market Securities?

Money market securities are short-term debt instruments issued by corporations, the government, and financial institutions to fund daily expenses. The maturity of these securities is 1 year or less. The main function of these securities is to provide liquidity to the money market as well as to the economy.

Money market securities are regarded as safe, low-risk investments with low returns.Money market securities include, but are not limited to, the following types of investments:Treasury Bills (T-bills)Certificate of Deposit (CD)Commercial Paper (CP)Repurchase Agreement (Repo)

What are Treasury Securities?

Treasury securities are long-term financial instruments issued by the U.S. Treasury Department to finance the government's activities. Treasury securities' maturity periods are more than a year long, and they are classified as either short-term, medium-term, or long-term securities. T

reasury securities are considered to be a safe investment and are backed by the full faith and credit of the United States Government. Because they are backed by the government, they are virtually risk-free. These securities are traded in the secondary market by individual investors, financial institutions, and banks.

Treasury bills, notes, and bonds are the three types of Treasury securities, with varying maturity dates. Treasury securities are used by investors who are looking for a safe and steady investment that will provide a return that is typically greater than money market securities.

Conclusion

During periods of uncertainty about the economy, there is a shift from risky money market securities to treasury securities. Treasury securities are considered to be low-risk investments, making them appealing to investors during periods of uncertainty. They are considered to be a safe and steady investment that will provide a return that is typically greater than money market securities.

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mis can also provide businesses with a competitive advantage by allowing them to analyze their data and make data-driven decisions. this can help businesses to identify market trends, opportunities, and threats, and adjust their strategies accordingly. true or false

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This can help businesses to identify market trends, opportunities, and threats, and adjust their strategies accordingly" is true.

What is MIS?

MIS stands for Management Information System. It is the system that provides the business's management with the information they require to make informed decisions. This can include financial, operational, and other types of data.

MIS will provide the management with the details required to make a choice when it comes to organizing, planning, and controlling the business.MIS allows businesses to make better decisions by providing them with timely and accurate data. This can help businesses to identify market trends, opportunities, and threats, and adjust their strategies accordingly.

They can also use MIS to analyze data and make data-driven decisions. MIS can also help to improve business performance by enabling businesses to monitor their performance and make improvements where necessary.

MIS has many advantages for businesses. These include the ability to analyze data, make data-driven decisions, and monitor business performance. MIS can also help businesses to identify market trends, opportunities, and threats and adjust their strategies accordingly. Therefore, we can say that the given statement is true.

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If the export value of American educational institutions is more than twice that of America’s top agricultural export, and supports 455,000 jobs, we can conclude that
Multiple Choice
A. exports of higher education represent an important component of the U.S. economy.
B. exports of higher education are paid for in foreign currencies effectively bypassing EXIM bank requirements.
C. American universities have been recruiting foreign students to the detriment of U.S. students.
D. exports of higher education will continue to grow without export assistance.
E. U.S. taxpayer dollars are being spent in foreign countries rather than domestically.

Answers

The export value of American educational institutions is more than twice that of America's top agricultural export and supports 455,000 jobs. As a result, we can conclude that exports of higher education represent an important component of the U.S. economy. The correct option is (A).

Exports of higher education represent an important component of the U.S. economy because the export value of American educational institutions is more than twice that of America's top agricultural export, which supports 455,000 jobs. In 2015, 974,926 international students attended American colleges and universities, contributing $35.8 billion to the economy in the form of tuition, room and board, and other expenses. For each job supported by foreign students, three jobs are created or supported, according to NAFSA.

The correct option is (A).

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how much would you pay to receive $100 at the end of 20 years if you can earn 12% interest on alternative investments of similar risk?

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To calculate the present value of an investment that will yield $100 at the end of 20 years with 12% interest, you can use the following formula:
PV = FV / (1 + r)^n
Where PV is the present value, FV is the future value, r is the interest rate, and n is the number of years.
Therefore, in your case, the present value would be:
PV = $100 / (1 + 12%)^20= $7.31

To get $100 at the end of 20 years if you can earn 12% interest on alternative investments of similar risk you would need to pay $7.31.

What is present value?

Present value refers to the current value of a future sum of money or stream of cash flows given a specified rate of return. It is also known as the discounted value. The present value of a future payment decreases as the rate of interest increases and decreases as the time until payment increases.

What is future value?

The future value is the value of an asset or cash at a specified time in the future. It measures the nominal future sum of money that a particular sum of money is "worth" at a specified time in the future considering the potential interest rate earned over that time period.

The future value of a present sum of money or investment depends on the interest rate or investment return over time.

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frankie's savings account has earned a lot of interest. he wants to know if he must pay taxes on the interest earned. what would the irs tell him?

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According to the Internal Revenue Service (IRS), Frankie must pay taxes on the interest earned in his savings account.

The Internal Revenue Service (IRS) is a government organization in the United States that is responsible for collecting taxes and enforcing tax laws. Taxpayers are expected to pay their taxes to the IRS every year to support the government's programs and services.The IRS requires taxpayers to report all of their earnings, including interest earned from bank accounts, on their tax returns. If Frankie earned a significant amount of interest on his savings account, he must report it on his tax return and pay taxes on it.

Interest earned on a savings account is considered taxable income, and it is subject to both federal and state income taxes. The amount of taxes owed on the interest earned depends on Frankie's income level and his tax bracket.For instance, if Frankie is in a higher tax bracket, he will owe more taxes on his savings account interest than someone in a lower tax bracket. Additionally, the interest earned may be subject to additional taxes, such as the Medicare tax or the Net Investment Income Tax (NIIT).Therefore, Frankie must report the interest earned on his savings account on his tax return and pay any taxes owed on it.

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session 05 featured a supply chain manager at unilever. she grew up in china and began working for unilever in australia. her greatest sense of achievement is when she:

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Session 05 featured a supply chain manager at Unilever who grew up in China and began working for Unilever in Australia.

Her greatest sense of achievement is when she is able to deliver tangible results that positively impact Unilever's bottom line.

The feeling of accomplishment

This could be a successful project launch, a cost reduction initiative, or improved customer service.

She also enjoys seeing the positive change her work has on her team and her colleagues. Finally, the feeling of accomplishment she gets when she is able to exceed customer expectations is one of her greatest motivations.

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the company just took a physical count of inventory and found $75 worth of inventory was unaccounted for. it was either stolen or damaged. which journal would the company use to record the correction of the error in inventory?

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Option d is correct. General Journal is the Journal the company will use to record the correction of the error in the inventory of  $75.

Which is also called journal residual or journal proper.

All the rectification entries shall have to be recorded in the general journal itself but not either in the sales journal or purchase journal or cash journal. Since the general journal is used to record transactions that cannot be recorded in any other journal, the business would use it to record the correction of the inventory error.

The adjustment of the inventory balance and recognition of a loss or expense, which cannot be recorded in the sales or purchase journal, are required to correct the inventory error.

The entry to record the adjustment would be:

Debit: Cost of goods sold or inventory loss expense $75

Credit: Inventory $75

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The full Question is:

The company just took a physical count of inventory and found $75 worth of inventory was unaccounted for. It was either shoplifted by a customer or stolen by an employee. Which journal would the company use to record the correction of the error in inventory?

a. Sales journal.

b. Purchases journal.

c. Cash receipts journal.

d. General journal.

the term used to describe the organization of training into phases or periods that allows for optimal rest and recovery is .

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The term used to describe the organization of training into phases or periods that allows for optimal rest and recovery is "periodization".

Periodization is the systematic planning of athletic or physical training. It involves the on-going manipulation of training variables such as intensity, volume, and duration in order to maximize performance gains over time. The term used to describe the organization of training into phases or periods that allows for optimal rest and recovery is Periodization.

Periodization refers to the organization of training into distinct phases or periods to ensure optimal rest and recovery. This method is used by athletes to plan and structure their training program by incorporating training cycles and recovery periods. Periodization is primarily based on the concept of physiological adaptation, where the body adapts to the demands of the exercise. By following a periodized training program, athletes can prevent overtraining and injuries while improving their performance.

A periodized training program typically consists of three main phases: the preparatory phase, the competition phase, and the transition phase. During the preparatory phase, athletes focus on building a foundation of strength, power, and endurance. In the competition phase, the focus shifts to refining skills and peaking for competition. Finally, the transition phase allows for recovery and rest before starting the next cycle of training.

Thus, periodization is a crucial concept in sports training that helps athletes organize their training into phases or periods to ensure optimal rest and recovery.

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premier corporation has an roe of 13 percent and a payout ratio of 15 percent. what is its sustainable growth rate? (do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

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Premier corporation has an roe of 13 percent and a payout ratio of 15 percent. Its sustainable growth rate is 11.05%

The highest rate of growth that a business or social enterprise may sustain without using more equity or debt to fund expansion is known as the sustainable growth rate (SGR).

The sustainable growth rate (g) of a company can be calculated using the following formula:

g = (ROE x Retention Ratio)

where ROE is the return on equity and the retention ratio is (1 - payout ratio)

Plugging in the given values, we get:

g = (0.13 x (1 - 0.15))

g = 0.1105

Therefore, the sustainable growth rate of Premier Corporation is 11.05% (rounded to two decimal places).

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does nostalgia marketing only work with consumers who have memories of the era focused on in the advertising? how might others who are younger be attracted as well

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Nostalgia marketing does not only work with consumers who have memories of the era focused on in the advertising. Many younger consumers can also be attracted to nostalgia marketing.

To attract younger consumers to nostalgic advertising, marketers should consider appealing to the emotions of the younger generation. By creating a story behind the product or service being advertised, marketers can help younger consumers to connect with the brand on a deeper level.

Additionally, incorporating elements of pop culture into the advertising can be an effective way to capture the attention of younger consumers. Finally, leveraging current technologies such as virtual reality and social media can help create more interactive and engaging experiences that appeal to younger consumers.

In conclusion, nostalgia marketing can be successful in appealing to both older and younger generations. By understanding the needs and emotions of the target audience, marketers can create nostalgia-driven advertising campaigns that attract a range of consumers.

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as the price of gummy bears rises from $2.60 to $3 , what are the price elasticities of demand of sugar-free gummy bears and of ordinary gummy bears?

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The price elasticities of demand of sugar-free gummy bears and of ordinary gummy bears when the price of gummy bears rises from $2.60 to $3 are 1.54 and 0.93, respectively.

What's Price Elasticity of Demand

Price elasticity of demand is a measure of the responsiveness of demand for a commodity or a service to a change in the price of the commodity or the service.

The price elasticity of demand of sugar-free gummy bears and of ordinary gummy bears when the price of gummy bears rises from $2.60 to $3 is given below:

Sugar-free gummy bears

Price elasticity of demand is given by the following formula:

PED = (% change in quantity demanded) / (% change in price)

PED = ((5-4) / 4) / ((3-2.60) / 2.60) = 1.54

The price elasticity of demand of sugar-free gummy bears is 1.54.

This means that demand for sugar-free gummy bears is elastic because the value of price elasticity of demand is greater than 1.Ordinary gummy bearsPrice elasticity of demand is given by the following formula:

PED = (% change in quantity demanded) / (% change in price).

PED = ((10-8) / 8) / ((3-2.60) / 2.60) = 0.93

The price elasticity of demand of ordinary gummy bears is 0.93. This means that demand for ordinary gummy bears is inelastic because the value of price elasticity of demand is less than 1.

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a tool that is increasingly used by service providers to minimize the heterogeneity between those who deliver the service is to employ

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Service providers, to minimize the heterogeneity between those who deliver the service, employ the tool of standardization.

What is standardization?

Standardization is a tool used by service providers to minimize the heterogeneity between those who deliver the service. It's done to provide a consistent service experience to customers, regardless of who is delivering the service or where it is delivered.

Standardization entails developing specific processes and protocols that all service providers must follow when delivering a service. It helps to reduce the likelihood of human error, ensure service consistency, and enhance the quality of the service.

Additionally, it ensures that all customers receive the same level of service, regardless of which service provider they engage with or where they are located.

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assume that $9,100 of the inventory was not damaged. what is the amount of the loss from the tornado?

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The amount of loss from the tornado can be calculated by subtracting the value of the remaining undamaged inventory from the total inventory value before the tornado. The amount of the loss from the tornado is $14,100.

Assuming that $9,100 of the inventory was not damaged and the total inventory value before the tornado was $23,200,

the amount of inventory damaged would be $23,200 - $9,100 = $14,100. Loss is an event that occurs when a company incurs expenses that are greater than revenue, resulting in a decrease in equity. A company's net income decreases when it incurs a loss.

A tornado is a devastating weather event that can cause significant damage to buildings, infrastructure, and inventory. Natural disasters, such as tornados, can have a significant impact on a company's operations and financial performance.

If a company's inventory is damaged in a tornado, it will incur a loss that must be recognized on its financial statements. To determine the amount of the loss from the tornado, the company must calculate the value of the inventory that was damaged.

This value can then be subtracted from the total inventory value before the tornado to determine the amount of the loss.

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after the petty cash fund is established, the petty cash account is not debited or credited again unless the amount of the fund is changed. true flase

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False; after the petty cash fund is created, it is not necessary to debit or credit the account again unless the fund's size changes.

What occurs after a petty cash fund is created?

The corporation has internal control over the money in the fund by designating one person as the fund's manager. to start a small cash fund. The petty cash custodian typically deposits the cash in a small, lockable box once the check is cashed. The fund is now prepared for distribution as required.

Is small change a debit or credit?

The petty cash account is a current asset in financial accounting. As a result, the money is recorded as a typical debit balance.

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in budgeting, variance is: group of answer choices a measure of the degree of dispersion of a distribution about its mean value. the difference between a realized value and a budgeted, or standard, value. the percentage decrease in volume that can occur without causing the organization to lose money. the difference between operating profit and total profit. the difference between total revenues and total costs.

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In budgeting, variance is the difference between a realized value and a budgeted, or standard, value (option B).

In the context of budgeting, variance is the difference between a budgeted, or standard, value and a realized value. The variance is a quantitative measure of the degree of deviation between budgeted or expected outcomes and actual outcomes of a situation, process, or event. It is the numerical representation of how far apart actual performance or results are from the expected or budgeted performance or results.

Variance is calculated as the difference between an actual value and the standard or budgeted value. In other words, variance is a measure of the degree of dispersion of a distribution about its mean value.

Dispersion measures in budgeting: Dispersion measures are essential components of budgeting. Budgets serve as a guide for the allocation and use of resources to achieve the goals of an organization. Dispersion measures, such as variance, help management to understand how actual results compare to budgeted results, making it easier for them to plan and make decisions about resource allocation in the future.

Budgeting is a process of allocating scarce resources to various competing needs in an organization. By providing feedback on actual results and comparing them to budgeted results, dispersion measures such as variance assist managers in making better decisions about the allocation and use of resources.

Therefore, the difference between a realized value and a budgeted, or standard, value (option b) is variance.

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bensol co. and sable co. exchanged similar trucks with fair values in excess of carrying amounts. in addition, bensol paid sable to compensate for the difference in truck values. as a consequence of the exchange, which lacked commercial substance, sable recognizes:

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In accordance with ASC 845-10-25, Sable Co. recognizes a loss on disposal on the exchange that lacks commercial substance when Bensol Co. and Sable Co. exchanged similar trucks with fair values in excess of carrying amounts.

Additionally, Bensol paid Sable to compensate for the difference in truck values. What is an exchange lacking commercial substance? An exchange that lacks commercial substance is one in which the exchange has no commercial purpose other than to trade assets.

When an exchange lacks commercial substance, it implies that the future cash flows of the assets obtained or relinquished by a firm differ significantly from their cash flows before the exchange. In essence, commercial substance refers to the future cash flows associated with the transactions, rather than to the form of the transactions.

What is a loss on disposal? A loss on disposal occurs when an asset is sold, abandoned, or destroyed for an amount that is less than its carrying amount (or book value). A loss on disposal is reported on the income statement as an expense, and it reduces net income.

A loss on disposal can arise from the sale or disposition of land, buildings, equipment, or other assets.

Explanation: Sable recognizes a loss on disposal on the exchange that lacks commercial substance.

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The company Sable would recognize a gain in the transaction due to the difference in the fair value of the trucks and the cash received from Bensol.

In accounting, a transaction that lacks commercial substance is a transaction where no net cash inflow or outflow is expected in the future. In simpler words, it's a transaction that doesn't change the future cash flows of a company.A company may conduct such transactions to move liabilities and/or assets from their balance sheet to get a more favorable position. However, the Financial Accounting Standards Board (FASB) guidelines require that any transaction that lacks commercial substance should not be recorded on the balance sheet.

The transaction between Bensol and Sable doesn't change the future cash flows of Sable. Instead, it's just an exchange of trucks between the two companies. However, the trucks exchanged have a difference in their fair values, and Bensol pays Sable cash to compensate for the difference in truck values.Sable, therefore, recognizes a gain in the transaction due to the difference in the fair value of the trucks and the cash received from Bensol. The gain is usually calculated as the difference between the fair value of the asset received and the carrying value of the asset given up.

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businesses come and go. in many countries some businesses have been around for 100 years, and then all of a sudden are gone or at least it appears that way. usually this is not the case, but to the consumer's eyes they are there one day and gone the next. what is the most common reason for this happening? group of answer choices loss of investments failure to adapt world pandemics bad employees ran out of money

Answers

The most common reason for the sudden disappearance of a business is the failure to adapt to the changing times (option b).

This often results in loss of investments or running out of money.

However, to the consumer's eyes, businesses come and go. In many countries, some businesses have been around for 100 years, and then all of a sudden are gone or at least it appears that way. Usually, this is not the case, but to the consumer's eyes, they are there one day and gone the next. It is, therefore, important for businesses to be proactive and anticipate changes that may affect their operations to ensure continuity and growth. Investment plays a crucial role in a business's success, and any losses could result in its downfall.

Bad employees could also be a contributing factor, but the most common reason for a business's failure is the failure to adapt to changing trends and evolving consumer needs. This is especially true in today's fast-paced world where consumer preferences are ever-changing.

Businesses need to be responsive to changing trends and consumer needs. It is important to remain relevant by adopting new technologies and strategies that enhance their competitiveness in the market. Failure to do so will lead to a decline in sales and ultimately, the failure of the business.

So, the reason for their disappearance is option b. the failure to adapt to the changing times .

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whose responsibility is it to determine if all of the questions on an application have been answered?

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It is the responsibility of the applicant to determine if all of the questions on an application have been answered.

What is an application?

An application is a formal request for a job, loan, admission to an institution, or for some other service or assistance that is often made on a paper or digital form. The application form includes a set of questions that are designed to collect information about the applicant's personal and professional life, qualifications, and experience.

Who is responsible for determining whether or not all of the application's questions have been answered?

The responsibility of ensuring that all questions on an application are answered falls on the applicant. Applicants should read the instructions and questions carefully, ensuring that they understand what information is required and the format in which it should be presented. When filling out an application, it's critical to be thorough, accurate, and honest in your answers. Any information that is missing or incomplete may result in your application being rejected.

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briefly describe the key advantages and disadvantages of the three approaches to management education. under what conditions would you recommend that an organization send its managers to an executive mba program?

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The three approaches to management education are traditional degree programs, executive MBA programs, and non-degree executive education programs. Each approach has its own advantages and disadvantages.

Advantages of traditional degree programs:
- Thorough instruction on a wide range of management topics
- Coursework typically includes the ability to focus on a specific subject or area of study
- Learning is structured, with a clear path of progression

Disadvantages of traditional degree programs:
- Long time commitment
- Can be costly
- Not designed for experienced managers

Advantages of executive MBA programs:
- Focuses on practical applications of management skills
- Structured curriculum tailored to experienced managers
- Variety of learning opportunities, such as team building and problem-solving

Disadvantages of executive MBA programs:
- Costly
- Typically require a lot of travel
- Not suitable for someone with limited experience

Advantages of non-degree executive education programs:
- Flexible learning schedule
- Lower cost
- Hands-on instruction from experts

Disadvantages of non-degree executive education programs:
- Less comprehensive instruction
- Limited choice of subjects

I would recommend that an organization send its managers to an executive MBA program when the managers have experience in management and the organization has the budget for it. Executive MBA programs provide an opportunity to apply theory to practice and gain practical skills from experienced professionals.

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prepare a schedule of cost of goods manufactured. assume all raw materials used in production were direct materials. 2. prepare a schedule of cost of goods sold. assume that the company's underapplied or overapplied overhead is closed to cost of goods sold. 3. prepare an income statement.

Answers

To prepare a schedule of cost of goods manufactured and cost of goods sold, as well as an income statement, begin by gathering all necessary information, such as beginning and ending inventory, direct materials used, and overhead costs.

To prepare the schedule of cost of goods manufactured:

Start with the beginning raw material inventory and add direct material used to get total raw material available for use.Then subtract the ending raw material inventory to get raw material used in production.Add the cost of the raw material used in production to the cost of labor and overhead to get the total manufacturing cost.Subtract the ending work-in-process inventory from the total manufacturing cost to get the cost of goods manufactured.

To prepare the schedule of cost of goods sold:

Start with the beginning finished goods inventory and add the cost of goods manufactured to get total goods available for sale.Subtract the ending finished goods inventory to get the cost of goods sold.Add any underapplied or overapplied overhead to the cost of goods sold.

To prepare the income statement:

Start with the net sales and subtract the cost of goods sold to get the gross profit.Then subtract any operating expenses, such as administrative and selling expenses, to get the operating income.Lastly, subtract any non-operating expenses or gains to get the net income.

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an investment will pay you $97,000 in four years. assume the appropriate discount rate is 7.75 percent compounded daily. what is the present value?

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The present value of an investment paying $97,000 in four years, assuming the appropriate discount rate is 7.75 percent compounded daily, is $74,953.20.



The present value of an investment is the current worth of a future sum of money or stream of cash flows given a specified rate of return. This can be calculated by discounting the future cash flows back to the present day. The discount rate is the interest rate used to calculate the present value.


In this case, the investment will pay $97,000 in four years, and the appropriate discount rate is 7.75 percent compounded daily. To calculate the present value, we need to calculate the present value of each of the future cash flows using the discount rate.

We can use the formula PV = FV / (1 + r)^t, where PV is the present value, FV is the future value, r is the interest rate, and t is the time period.

In this case, the FV is $97,000, r is 7.75%, and t is 4 years. Using this formula,

the present value is $74,953.20. Therefore, the present value of an investment paying $97,000 in four years,

assuming the appropriate discount rate is 7.75 percent compounded daily, is $74,953.20.


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THIS IS FOR ECONOMICS (please help)
One of the main concepts on successful investing is diversification of your portfolio. What does this mean? How would you select stocks?

Answers

Answer:

RESATE THIS QUESTION PLS

Explanation:

apple has just paid a quarterly dividend of $3.02. dividends are expected to grow by 10% for the next 4 quarters, and then grow by 1.2% thereafter. apple has a required quarterly return of 5%.what is the terminal value in the fourth quarter (

Answers

The terminal value in the fourth quarter is $101.58 if Apple has a required quarterly return of 5% in the last quarter.

Quarterly dividend  = $3.02

Growth rate = 10% in the next 4 quarters

After 4 quarters, growth rate = 1.2%

Quarterly return of required =  5%.

To calculate the terminal value in the fourth quarter, we need to calculate the present value for future dividends. The formula for the present value is:

PV = D / (r - g)

PV1 = D1 / (r - g)

PV1 = $3.02 / (0.05 - 0.1)

PV1 = -$60.40

PV2 = D2 / (r - g)

PV2 = ($3.02 * 1.1) / (0.05 - 0.1)

PV2 = $34.13

PV3 = D3 / (r - g)

PV3 = ($3.02 * 1.1^2) / (0.05 - 0.1)

PV3 = $49.33

PV4 = D4 / (r - g)

PV4 = ($3.02 * 1.1^3) / (0.05 - 0.1)

PV4 = $71.46

We need to calculate the terminal value. The formula is:

PV(Terminal Value) = D5 / (r - g)

PV(Terminal Value) = ($3.02 * 1.1^4) / (0.05 - 0.012)

PV(Terminal Value) = $101.58

Now by adding all the present values, we get the terminal value:

Total PV = PV1 + PV2 + PV3 + PV4 + PV(TV)

Total PV = -$60.40 + $34.13 + $49.33 + $71.46 + $101.58

Total PV = $196.10

Therefore, we can conclude that the terminal value in the fourth quarter is $101.58.

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sales plan formulation, sales plan implementation, and salesforce evaluation are the three functions of

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Sales plan formulation, sales plan implementation, and salesforce evaluation are the three functions of the sales management process.

Sales management refers to the management of an organization's sales activities, which include setting sales targets, managing salespeople, and forecasting sales, among other things. Sales management is critical for an organization's success because sales revenue is frequently a significant source of income.

Sales plan formulation is the process of determining the optimal sales strategy for an organization. This stage may involve identifying the target market, determining the appropriate pricing, and assessing the competition. A well-crafted sales plan will set the foundation for a successful sales strategy.

The second step in the sales management process is sales plan implementation, which is the process of executing the sales plan. The sales team is responsible for ensuring that sales objectives are achieved by engaging with potential customers and closing deals. A successful sales plan implementation should result in an increase in sales revenue.

Salesforce evaluation is the process of assessing the performance of a sales team. Salesforce evaluation enables sales managers to identify areas of improvement, develop strategies to address underperformance, and recognize top performers. Regular evaluations assist in the maintenance of a high-performing sales team.

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max moore is a widower (his spouse died in 2020) and maintains a separate apartment for his father. max cannot take a dependency exemption for his father because his father's income is $4,500 per year. what is the best filing status for max for 2022?

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The best filing status for Max for 2022 would be "Head of Household" as he is unmarried, supports a qualifying person (his father), and pays for more than half of the cost of maintaining a household for his father.

For tax purposes, filing status determines the taxpayer's tax rate, standard deduction, and eligibility for certain tax benefits. In this case, Max is a widower who cannot claim a dependency exemption for his father because his father's income is above the exemption threshold. Therefore, Max should look at the other filing statuses available to him.

The Head of Household filing status would be the best option for Max, as it is specifically designed for unmarried taxpayers who support a qualifying person, such as a parent, and pay for more than half of the cost of maintaining a household for that person. This filing status has a higher standard deduction and a lower tax rate than the Single filing status, which is another option available to Max.

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bill has discovered a method for purifying drinking water that also cleans the air. bill needs financial capital to produce and market his invention. consider the graph of the market for financial capital. use this information to answer the questions. how much financial capital will bill borrow and invest on his own?

Answers

The amount of financial capital that Bill will borrow and invest on his own would be $ 20 million.

How to find the amount invested ?

The point that would show the amount that Bill would borrow and invest to be able to market his own invention, would be the point where the Supply curve intercpts demand curve for Bill.

Looking at the graph on the rate of return in the market for financial capital , this point would be $ 20 million to the rate of return of 5 %. Bill will therefore ( all else being equal ) borrow and invest $ 20 million.

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if money is neutral, what does this imply about the use of monetary policy? monetary policy is more effective in the short term than the long term. mechanisms should be introduced to ensure that the federal reserve is making sound decisions. monetary policy can influence the price level but cannot be used to encourage economic growth.

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If money is neutral, it implies that monetary policy cannot be used to encourage economic growth. This means that monetary policy can influence the price level but not the real GDP.

The monetary policy is more effective in the short-term than the long-term. So, it should be used as a short-term tool to adjust the economy. Monetary policy is a tool used by the government to stabilize the economy. If money is neutral, it means that changes in the supply of money have no impact on the economy's real GDP. Hence, the government cannot use monetary policy to stimulate economic growth by increasing the money supply. Instead, monetary policy can only influence the price level by increasing or decreasing the demand for goods and services.

In the short run, changes in the money supply can impact the economy's price level. However, in the long run, changes in the money supply cannot influence the economy's real GDP. Hence, monetary policy should be used as a short-term tool to adjust the economy. Mechanisms should be introduced to ensure that the federal reserve is making sound decisions. The federal reserve is responsible for implementing monetary policy. As such, it is important to ensure that the federal reserve is making sound decisions when implementing monetary policy. To achieve this, mechanisms such as transparency, accountability, and public oversight should be introduced to ensure that the federal reserve is making sound decisions.

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based on the relationship between average total cost and marginal cost, which of the curves appears to be average total cost?

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The curve that appears to be the average total cost curve is the U-shaped curve. Let's find out the relationship between average total cost and marginal cost. As the ATC rises, the MC cuts through it.

What is average total cost (ATC)?The average total cost (ATC) is the total cost per unit of output that a firm experiences, computed as follows: ATC = TC / Q.

The average total cost of producing a given quantity of output is the sum of total fixed costs and total variable costs divided by the output quantity. Marginal cost, on the other hand, refers to the increase in total cost as output rises by one unit. The marginal cost of producing the next unit of output is the marginal cost. MC = ΔTC / ΔQ or the derivative of the total cost function, TC, with respect to output.

The curve for marginal cost typically intersects the average total cost and average variable cost curves at their lowest points. The U-shaped curve is the average total cost (ATC) curve. As production expands, both average fixed cost (AFC) and average variable cost (AVC) tend to decline, leading to the formation of the U-shaped ATC curve. Here's a graph of average total cost and marginal cost:

Figure Explanation: The U-shaped curve on the graph represents the average total cost (ATC) curve, whereas the MC curve represents the marginal cost curve. As the level of production increases, the ATC curve falls to a low point and then rises. As the ATC rises, the MC cuts through it.

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(3 pts) a stock index currently stands at 350. the risk-free interest rate is 8% per annum (with continuous compounding) and the dividend yield on the index is 4% per annum. what should the futures price for a four-month contract be?

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The futures price for a four-month contract should be  357.10.

The futures price is the price that two parties agree upon in a contract (known as a futures contract) for the sale and delivery of the item at a future date.

To calculate the futures price, we can use the formula:

[tex]F= S_{0} * e^{a-b} *T[/tex]

where:

F = futures price

S₀ = current index level

a= risk-free interest rate

b = dividend yield

T = time to expiration in years

Plugging in the given values, we get:

[tex]F= 350 * e^{0.08-0.44} *\frac{4}{12}[/tex]

[tex]F= 350 * e^{0.0133[/tex]

F = 357.10 (rounded to two decimal places)

Therefore, the futures price  should be approximately 357.10.

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if the economy is initially at long-run equilibrium and aggregate demand declines, then in the long run the price level (hint: what will happen to the price level after the economy self-corrects) group of answer choices and output are higher than in the original long-run equilibrium. and output are lower than in the original long-run equilibrium. is lower and output is the same as the original long-run equilibrium.

Answers

In the long run, if aggregate demand declines and the economy is initially at long-run equilibrium, the price level will be lower and output will be the same as the original long-run equilibrium. This is option D.

The long-run equilibrium is a situation in which the output of an economy is equal to the potential output, all input prices are perfectly elastic, and the economy is at full employment. In the long run, all costs are variable, and the level of capital, labor, and technology is assumed to remain unchanged. There is no excess supply or excess demand in any industry because the price adjusts to equalize demand and supply.

Assuming that the economy is initially in a state of long-run equilibrium and that aggregate demand falls, then there will be excess supply in the market, which will lead to a decline in prices. Because businesses will have fewer profits at a lower price level, they will reduce their production, which will eventually lead to a lower output level. As a result, in the long run, the price level is lower, and the output is the same as the original long-run equilibrium.

Option D is the correct answer.

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identify whether each of the following is best described as a fixed, variable, or mixed cost with respect to product units. 1. Peanuts used in making trail mix.
2. Maintenance of factory machinery.
3. Rubber used in making tennis balls.
4. Milk used in making ice cream.
5. Electricity used in factory building.
6. Wages of an assembly-line worker paid on the basis of acceptable units produced
7. Cameras used in making smartphones.

Answers

1. Peanuts used in making trail mix:

This is a variable cost. Variable costs change in direct proportion to the volume of units produced. As more trail mix is made, more peanuts are needed, so the cost increases with production.

6. Wages of an assembly-line worker paid on the basis of acceptable units produced: This is also a variable cost. The worker's wages are dependent on the number of acceptable units they produce, meaning that their pay increases as they produce more units.

7. Cameras used in making smartphones: This is a fixed cost. Fixed costs do not change with the number of units produced. The cameras needed for smartphones are likely purchased in bulk, with a set price, so the cost remains the same regardless of how many smartphones are made.

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