An increase in the degree of integration with the other members of a currency union likely reduces the cost of joining the union for a prospective new member as They will fall because labor market integration allows labor to move to other member countries when there are negative macroeconomic shocks at home.
A currency union (otherwise called monetary union) is an intergovernmental agreement that includes at least two states having a similar currency. These states may not be guaranteed to have any further joining, (for example, a financial and money related association, which would have, likewise, a traditions association and a solitary market).
There are three kinds of currency union:
Casual - one-sided reception of an unfamiliar currency.Formal - reception of unfamiliar cash by uprightness of respective or multilateral concurrence with the financial power, in some cases enhanced by issue of nearby money in cash stake system.Formal with normal strategy - foundation by numerous nations of a typical financial strategy and money related expert for their normal cash.The hypothesis of the ideal currency region resolves the subject of how to figure out what geological locales ought to share a money to boost monetary proficiencyKnow more about Currency Union - https://brainly.com/question/364672
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what is the npv of a project expected to generate $1,000 a year for 5 years assuming a discount rate of 10% and an initial outlay of $3,250?
$540.79 is the NPV of a project expected to generate $1,000 a year for 5 years assuming a discount rate of 10% and an initial outlay of $3,250.
What Is Net Present Value (NPV)?The difference between the present value of cash inflows and outflows over time is known as net present value (NPV). The profitability of a proposed investment or project is examined using NPV in capital budgeting and investment planning.
NPV is the outcome of computations that determine the current value of a future stream of payments using the appropriate discount rate. Projects that have a positive NPV are often worthwhile pursuing, but those that have a negative NPV are not.
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matzinger company budgets sales of $800,000, fixed costs of $111,600, and variable costs of $496,000. what is the contribution margin ratio for matzinger company?
Matzinger company budgets sales of $800,000, fixed costs of $111,600, and variable costs of $496,000. 40% is the contribution margin ratio for matzinger company.
A corporation, often known as company, is a legal entity that stands for a group of people with a certain goal who are either natural, legal, or a combination of the two. Members of the company work together for a shared cause in order to accomplish clearly stated objectives. Companies come in many shapes, including: voluntary associations, such as nonprofit organizations, for-profit companies, banks, and programs, or educational institutions, whose goal is to make a profit. So that the company itself has limited liability as members fulfill or fail to fulfill their obligations in accordance with the publicly stated incorporation, or published policy, a company may be established as a legal entity. It may be necessary to liquidate a firm after it closed in order to discharge any outstanding debts. A company is a "artificial person" with a common seal, perpetual succession, and a discrete legal personality that was founded by or pursuant to law. Companies are unaffected by the death, insanity, or insolvency of a specific member, with the exception of some senior positions.
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when the economy is in a recession, what fiscal policy tool will be used to lessen the effects of the recession?
Expansionary fiscal policy is most appropriate when an economy is in recession and is producing below its potential GDP.
Expansionary fiscal policy is when the government increases money in the economy using financial instruments to increase spending or cut taxes - both of which have more money to invest in consumers and companies.
Expansionary fiscal policy is intended to promote growth to a healthy level of the economy, which should be done during the contractionary period. The government seeks to reduce unemployment, increase consumer demand, and stop the recession. When a bankruptcy has occurred, it is intended to end the business and prevent depression.
Two important examples include increasing government spending as well as tax cuts. These policies seek to increase aggregate demand while increasing deficits or drawing down deficits. They are employed during economic downturns or in the midst of concerns to support the recovery or head out of the economy.
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your home insurance policy has a $400 deductible. if a small fire causes $600 damage to your home, what amount of the claim would the insurance company pay?
The amount of claim, the Insurance company would pay is $200.
Insurance is an agreement in which the people organizing a sporting event pay a company money and they pay the costs if there are any accidents, injuries, etc.
An insurance claim is a request to the insurance company for payment after a policyholder experiences a loss. The steps to claim your insurance includes:
(a) File police report.
(b) Document the damage.
(c) Review the coverage.
(d) Contact the insurance company.
(e) Prepare for the adjuster.
(f) Review the settlement.
(g) Receive the payment and repair the damage.
It is given that the Insurance company will pay $ 200 out of the $400 policy. The rest has to be paid by the insurer.
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which policy is appropriate when a rising aggregate price level is a concern but gdp is growing at an acceptable rate?
Contractionary or restrictive monetary policy is appropriate when a rising aggregate price level is a concern but gdp is growing at an acceptable rate.
In order to restrain the expansion of the money supply and slow the pace of the economy, restrictive monetary policy is used. Its primary goal is usually to lower inflation. The terms contractionary and tight monetary policy are also used to describe it. Consumers have a lot of confidence. Family incomes are generally higher. Some buy a brand-new house. Others could invest on a brand-new vehicle or treat themselves to a luxurious getaway. Debt, such as a mortgage, business loan, vehicle loan, or credit cards, is a common way for families and businesses to finance their purchases. Life is, after all, wonderful. They believe their incomes will continue to be high because of the rising aggregate demand in the economy. There is a business boom. Increasing demand for their products and services is their largest issue.
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during which of the four phases of analysis can you find a correlation between two variables?
Diagnostic Analysis is the phase of analysis where we can find a correlation between two variables.
The goal of diagnostic analysis is to provide an explanation for what occurred. The most abstract type of analysis is looking for correlations between various variables.
T-shirt sales revenue fell off at your clothes store. To ascertain which factor has the strongest link with t-shirt sales, a diagnostic study will examine the relationships between factors including seasonality, the location of the t-shirts inside the store, and social media involvement. You concluded that seasonality had the greatest effect in this situation.
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Financing with _____ requires borrowing, whereas financing with _____ requires issuing shares of stock.
Financing with debt requires borrowing, whereas financing with equity requires issuing shares of stock.
Debt financing is the process by which a business raises funds by offering investors debt instruments. Equity finance, which involves issuing stock to raise money, is the reverse of debt financing. When a company sells fixed income securities like bonds, bills, or notes, debt financing takes place.
The practice of obtaining money through the selling of shares is known as equity financing. The reason companies raise money is because they can have an immediate need to pay bills or a long-term initiative that would help them expand that needs funding. A company that sells shares effectively transfers control of the business in exchange for money.
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productive inefficiency implies that group of answer choices it is possible to obtain gains in one area without losses in another. it is impossible to obtain gains in one area without losses in another. there are too many resources. there are too few resources.
Productive inefficiency implies that in option b, it is impossible to obtain gains in one area without losses in another.
Productive efficiency refers to an optimized market producing maximum output from limited resources. It is also known as production efficiency. Contrary to this, productive inefficiency refers to a market operating with underutilized labor and resources. This causes the market to have production below its capabilities.
Productive inefficiency occurs when present technology in the industrial sector is unable to increase the production of one good without causing a loss in the production of another good. For instance, during a recession, labor is typically underutilized as limited labor is hired to produce the same amount of goods. Therefore, it implies that it is impossible to gain in one area without loss in another area.
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a small restaurant with wait staff that reports to staff manager who reports to a floor manager who reports to the restaurant manager is a clear example of a(n) organizational structure.
The general manager of a restaurant or managing partner's position, if they have ownership interest in the File communications, reports, personnel files, etc.
For instance, the manager of the marketing department would be responsible for overseeing all employees in a company who are involved in product marketing. An official organization chart can display an informal organization. Corporate culture doesn't really affect a company's performance all that much. An organization's chain of command includes staff supervisors. To reduce harm, take quick action to correct the false grapevine information. recognizes that the person who delegated the work is still responsible for it.
Job specialization has the advantage of lowering your risk of error. When you have deep expertise in a particular
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suppliers can gain power from a number of sources in the buyer / supplier relationship. when a supplier values identification with a buyer, this is called a(n) source of power
The level of influence a provider of goods or services has over its customers is known as supplier power. The capacity of a supplier to raise prices, lower quality, or restrict the quantity of goods they will sell is known as supplier power.
Porter has explored a number of deciding elements for supplier power. Supplier bargaining power is high if there are few suppliers relative to numerous customers, or if suppliers are concentrated.
By rising costs, diminishing product quality, and reducing product availability, powerful suppliers can put pressure on purchasers. These are the expenses that the buyer must pay. A strong supplier might also increase industry competition and reduce the buyer's potential for profit.
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a written job description typically includes themultiple choicetitle of the job.required educational experience.skills needed to perform the job.personal characteristics of the job candidate.
The job title, the tasks to be completed, the essential characteristics of the position, and the authority and obligations of the jobholder are common components of a job description.
A job description includes the following components: the title of the position, its purpose, its responsibilities, its duties, its desired and necessary qualities, and its working environment.
A job description is a document that lists the necessary skills, responsibilities, and qualifications to complete a certain activity. A thorough job description will explain how success is measured in the role so that it can be used in performance evaluations. It may include information about the official to whom the position reports, the qualifications or expertise necessary for the role, the tools, equipment, and work aids utilized, the working environment, the salary, and other factors.
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select consists of all the activities concerned with obtaining money and using it effectively.
Financial Management consists of all the activities concerned with obtaining money and using it effectively.
At its center, financial management is the exercise of creating a marketing strategy and then making sure all departments stay heading in the right direction. strong economic control permits the CFO or vp of finance to offer statistics that helps introduction of an extended-variety vision, informs choices on in which to invest, and yields insights on how to fund the ones investments, liquidity, profitability, coins runway and more.
In easy phrases, financial management is the enterprise characteristic that deals with making an investment the to be had economic resources in a way that greater commercial enterprise success and return-on-funding (ROI) is finished. financial control experts plan, organize and control all transactions in a enterprise.
The number one intention of economic management is to manage an agency's price range in order that corporations are compliant with important regulations and are a hit of their area. The process involves excessive-stage making plans and right execution. whilst executed proper, groups prevail and improve profitability.
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tock a has an expected return of 20%; stock b has an expected return of 5%. what is the expected return on a portfolio is comprised of 67% of stock a and 33% of stock b? % (keep two decimal places)
The portfolio's predicted return is 9.8%. The predicted return on stock A is 11.4 percent, but the expected return on stock B is 6.4 percent.
What is a portfolio's anticipated portfolio return?The weight of each asset is multiplied by its projected return to arrive at the expected return. The total predicted return for your portfolio can be calculated by adding the figures for each investment. Hence, the formula Expected Portfolio Return = (Asset 1 Weight x Expected Return) + (Asset 2 Weight x Expected Return).
What is the anticipated return for each of the two portfolios?Expected Return for a Two Asset Portfolio
The weighted average of the returns on individual assets in a portfolio equals the expected return of the portfolio.
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Last year, Jane spent all of her income to purchase 200 units of corn at $5 per unit. This year, she spent all of her income to purchase 180 units of corn at $6 per unit
Jane's nominal income increased this year, but her real income decreased
In the situation given above, it can be concluded that the nominal income of Jane increased during the current year, but her real income has been led with a decrease.
The real income of an individual can be referred to or considered as the total amount of earnings made by an individual during a given financial period, which is also subjected to have adjusted with the current levels of inflation in the prevailing economic conditions. Real income can either be more or less than the actual or nominal income of the individual, depending upon the change in the rates of inflation.
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marcos currently makes $72,000 per year and has been told he needs to buy a life insurance policy with an earnings multiple of twelve. how much life insurance should he purchase?
Marcos, who makes $72,000 a year, has been advised to get a life insurance policy with an earnings multiple of 12. He needs to buy $8,64,000 worth of life insurance.
The easiest way to determine how much life insurance you require is, to sum up, all of the debts you wish to pay off (such as a mortgage or income replacement), then deduct any assets your family might need.
Numerous individuals employ the "multiple of earnings" technique to determine the appropriate level of life insurance. A lady earning $60,000 a year traditionally determined that she needed coverage equal to ten times her income, or $60,000. Although this approach is straightforward, it has drawbacks if the multiples are too small.
So here is life insurance = $72,000 × 12
= $8,64,000
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if 600,000 households are tuned to a show, 1,200,000 households are using their tv and there are 1,800,000 total us households, what is the advertising share of audience for the tv show?
The advertising share of audience for the tv show is 67%
Define advertising?
In marketing, advertising means a marketing tactic involving paying for space to promote a product, service, or cause.
Here we have if 600,000 households are tuned to a show, 1,200,000 households are using their tv and there are 1,800,000 total us households.
Now, we need to find the advertising share of audience for the tv show.
Here we know that the formula to calculate the advertising share of audience for the tv show is written as,
=> Share of audience = 1,200,000/1,800,000 x 100
=> Share of audience = 0.67 x 100
=> Share of audience = 67%.
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the balance in accounts receivable at the beginning of the year amounted to $2,240. during the year, $7,920 of credit sales were made to customers. if the ending balance in accounts receivable amounted to $1,440, and uncollectible accounts expense amounted to $600, what is the amount of cash inflow from customers that would appear in the operating activities section of the cash flow statement?
Amount of cash inflow from customers that would appear in the operating activities section of the cash flow statement is $8,720
Money coming into a business is known as cash inflow, and it may come through sales, investments, or financing. The reverse of a cash outflow is a cash inflow, which is money entering a business. Making more informed strategic decisions and maximizing the use of your limited resources requires having a solid understanding of how to compute and interpret both of these SaaS financial KPIs.
The term "cash flow from operating activities" describes the money that comes into or goes out of your company as a result of the production and sale of your goods and services, which constitute your regular business operations.
Accounts receivable(beginning) = $2,240
Credit sales = $7,920
Accounts receivable (ending) = $1,440
Bad debt expense = $600
Cash inflow from customers = Accounts receivable(beginning)+ Credit sales - Accounts receivable(ending)
= 2,240+7,920-1,440
= $8,720
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taza is: a.a retailer. b.a wholesaler. c.in the downstream of the supply chain. d.in the upstream of the supply chain
Option d is correct. Taza is in the upstream of the supply chain. The supply chain upstream is the "supply," while the downstream supply chain can be viewed as the "demand."
Supply chain management is challenging because there are numerous moving elements and complications even though the supply chain appears to be very linear. Some businesses divide the supply chain into upstream and downstream supply chains to streamline their operations.
The actions associated with the organization's suppliers—those parties who find raw materials to send to the manufacturer—are all part of the upstream supply chain. The term "downstream supply chain" describes actions taken after product manufacture, namely the act of transferring the good to the buyer.
The supply chain upstream is the "supply," while the downstream supply chain can be viewed as the "demand." To avoid lost sales, inventory shortages, or overordering, supply chain managers work to maintain a balance between demand and supply.
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Who, in a centrally planned economy, decides what goods and services will be produced with the scarce resources available in that economy?
Answer: the central goverment or the goverment
Explanation:
In a centrally planned economy the central government makes all decisions about the production and consumption of goods and services. In a market economy economic decisions
total ordering and holding costs a. are relatively stable. b. are relatively stable around the economic order quantity. c. are relatively unstable around the economic order quantity. d. are unstable.
The correct Option is B. are relatively stable around the economic order quantity
To put it another way, the quantity that is ordered at once should be as such to reduce the sum. Costs associated with placing orders, getting the items, storing the goods, and interest on capital investments. The following straightforward formula can be used to obtain the economic order quantity. Around the economic order quantity, are often steady. Around the economic order quantity, total ordering and holding costs are largely consistent. In most cases, a company is better off ordering a convenient lot size that is close to the EOQ (economic order quantity) than the exact EOQ.
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the primary cost associated with the level production strategy is the: group of answer choices cost of holding inventory cost of hiring and firing workers cost of overtime cost of subcontracting
Cost of holding inventory is the primary cost associated with the level production strategy.
The expenses incurred for keeping products or stock in a warehouse are known as inventory holding costs. Inventory that is kept in stock is a liability that reduces profit margins and raises operating costs for firms. Inventory holding costs include rent for the facility, security fees, depreciation costs, and insurance. The main goal of keeping inventory on hand is to make sure that customer service standards can always be satisfied without endangering cash flow or running out of product.
Customers frequently stop being customers when they can't buy what they need when they need it. When a corporation employs a level approach, it implies that production will remain consistent regardless of the level of demand. This indicates that finished goods inventories in businesses that manufacture to stock.
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as part of the marketing team at delta airlines, you must develop a strategy to increase demand for flights between kansas city and detroit. you examine data from previous flights and determine that the existing demand for flights between the two cities is as given in the accompanying table. price per flight quantity demanded per day $200 1,200 $300 1,100 $400 1,000 $500 900 $600 800 $700 700 a. your team launches a viral advertising campaign that is so successful that all existing consumers increase their willingness to pay by $100, and 50 new customers demand flights at every price. how will this affect the quantity demanded per day?
After the marketing campaign, the results in the next flight will be increased to $300 price and 1400 demanded per day.
What is the marketing campaign?A marketing campaign is a well-planned series of actions and tasks that advertise the goods or services offered by your business with a clear objective in mind.
A variety of media, including radio, television, live events, and digital media, may be used in campaign activities.
Campaigns are meticulously designed and the activities are modified to produce the best results.
So, after the marketing campaign, the results are as follows:
Before: $200, 1350
New:
$200 + $100, 1350 + 50
$300, 1400
Therefore, after the marketing campaign, the results in the next flight will be increased to $300 price and 1400 demanded per day.
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Packaged foods inc. And competitive merchants who deal in goods of the same kind imply that their products are properly packaged and labeled. This is.
Wrapped Foods Inc. and other businesses who sell comparable goods claim that their goods are properly labeled and packaged. There is an implied guarantee here.
Why is there an implied warranty?A guarantee that is deemed to be offered in the sale of goods or real estate due to the terms of the transaction is referred to as an implied warranty in common law jurisdictions. An implicit warranty is instantly taken in the sale of goods or real estate, preventing the transfer of risk to the purchaser.
Upon the purchase or sale of goods, a written or verbal implied guarantee is often recognized as being in effect.
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Question:
Packaged Foods Inc. and competitive merchants who deal in goods of the same kind imply that their products are properly packaged and labeled. This is a. an express warranty. b. puffery. c. an implied warranty. d. a warranty of title.
the federal government makes interest payments on __________ while you’re enrolled in school at least half-time, for the first six months after you leave school, and during any period of deferment.
The Federal Government makes interest payments on your loan while you’re enrolled in school at least half-time.
What is student loan repayment?Repayment is the repayment of money previously borrowed from a moneylender. Funds are typically repaid through regular payments that include both principal and interest. Your monthly payment is 10% or 15% of your disposable income, depending on when you borrowed it, but not more than you would pay on a standard 10-year amortization schedule. You are eligible for government loan forgiveness after 20 or 25 years of payments.
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what matters most in determining the efficient distribution of production over the world is: absolute advantage. efficiency. the allocation of resources. comparative advantage.
what matters most in determining the efficient distribution of production over the world is comparative advantage.
What is comparative advantage?is an economy's cap potential to provide a selected desirable or provider at a decreased possibility price than its buying and selling partners. Comparative gain is used to give an explanation for why companies, countries, or people can gain from trade.When used to explain global trade, comparative gain refers to the goods that a rustic can produce greater affordably or effortlessly than different countries. While this commonly illustrates the advantages of trade, a few modern economists now well know that focusing handiest on comparative benefits can bring about exploitation and depletion of the country's resources.The regulation of comparative gain is popularly attributed to English political economist David Ricardo and his ee-e book On the Principles of Political Economy and Taxation written in 1817, even though it is probable that Ricardo's mentor, James Mill, originated the analysis.learn more about comparative gain
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the _____________ is the result of eliminating middle management positions in order to shorten lines of communication within the organization?
The trend towards flatter organization is the result of eliminating middle management positions in order to shorten lines of communication within the organization.
Which communication channels are there?In order to grasp someone else's meaning, you must listen to what they are saying. To understand someone else's meaning in writing, you must read what they are saying. And to understand someone else's meaning in nonverbal cues, you must observe the person in question.
What do organizational communication channels entail?Lines of communication can include a chain of command, which mandates that staff members only address their immediate superiors in the event of comments or complaints rather than going straight to leaders farther up the org chart.
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true or false: whereas certain white-hat techniques may provide a temporary improvement in rankings, they are unlikely to benefit a website long term.
True. Whereas certain white-hat techniques may provide a temporary improvement in rankings, they are unlikely to benefit a website long term.
What is the white-hat techniques?The best SEO strategies are known as "white hat" strategies since they adhere to search engines' terms of service while boosting a website's placement on search engine results pages (SERPs). Black hat SEO practices are evil; they may raise a site's SERP rankings, but they are unethical and go against search engine policies.
White hat link building is a strategy for increasing website traffic through search engine optimization (SEO) methods, such as meaningful linking to additional, pertinent Web content.
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what would be the affect of equilinrium price and equilibirum quantity of new housing if mortgage interest rates rise and the costs fo building a house rises simultaneously
Although the market equilibrium cannot be predicted, the equilibrium price will decrease.
Why is business equilibrium important?Equilibrium is required to create a both balanced and efficient market. When a market reaches its equilibrium between price and quantity, there is no reason to depart from that point because it is balancing the supply curve and also the quantity demanded.
What is the significance of the equilibrium price?Equilibrium is required to create both an equitable and efficient market. When a market reaches its equilibrium price & quantity, there is no reason to depart from that point because it is balancing the producer surplus as well as the quantity demanded.
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a bond currently sells for $925, has 7 years left to maturity and pays a 9% annual coupon. what is the ytm
The YTM is 10.57.
1) Calculation of Yield to Maturity (YTM)
Face Value = $1000
Coupon Amount = Face Value * Coupon Rate
= 1000 * 9%
= $90
Cash Flows through Year 1 to Year 6 = Coupon Amount = $90
Cash Flows through Year 7 = Coupon Amount + Face Value = $1090
We will be Discounting cash flows using two rates (10% and 11%) and then using interpolation to calculate YTM.
Bond Price = $925
Present Value of Cash Flows 10% (Lower Rate)
Period Cash Flow Present Value Factor [1/(1+Rate)^Period] Present Value [Cash Flow * PVF]
1 90 0.9091 [1/(1,10)^1] 81.82
2 90 0.8264 [1/(1,10)^2] 74.38
3 90 0.7513 [1/(1,10)^3] 67.62
4 90 0.6830 [1/(1,10)^4] 61.47
5 90 0.6209 [1/(1,10)^5] 55.88
6 90 0.5645 [1/(1,10)^6] 50.80
7 1,090 0.5132 [1/(1,10)^7] 559.34
Sum Total 951.32
Present Value of Cash Flows 10% (P1) = $951.32
Present Value of Cash Flows 11% (Higher Rate)
Period Cash Flow Present Value Factor [1/(1+Rate)^Period] Present Value [Cash Flow * PVF]
1 90 0.9009 81.08
2 90 0.8116 73.05
3 90 0.7312 65.81
4 90 0.6587 59.29
5 90 0.5935 53.41
6 90 0.5346 48.12
7 1,090 0.4817 525.01
Sum Total 905.76
Present Value of Cash Flows 11% (P2) = $905.76
Interpolation
YTM = Lower Rate + [{(P1 - Bond Price) / (P1 - P2)} * (Higher Rate - Lower rate)]
= 10 + [{(951.32 - 925) / (951.32 - 905.76)} * (11 - 10)]
= 10 + [{26.32/ 45.56} * 1]
= 10 + 0.57
= 10.57
So, Yield to Maturity is 10.57%
The subsequent yields are worth knowing, and you can discover them the usage of FINRA Bond statistics: Yield to maturity (YTM) is the overall hobby rate earned through an investor who buys a bond at the marketplace price and holds it until maturity.
As these fee amounts are constant, you will want to buy the bond at a lower fee to increase your income, this means that a higher YTM. alternatively, in case you buy the bond at a better charge.
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how does paying a liability in cash affect the accounting equation? a.assets increase; liabilities decrease b.assets decrease; liabilities decrease c.liabilities decrease; stockholders' equity increases d.assets increase; liabilities increase
Paying a liability in cash affect decreases assets and decreases liabilities in accounting equation.
What is a liability?An obligation that a person or company owes, usually in the form of money, is known as a liability. In order to pay off liabilities over time, financial benefits like cash, goods, or services are provided. On the right side of the balance sheet, liabilities are listed and include debts like loans, accounts payable, mortgages, deferred revenue, bonds, warranties, and accumulated charges. Liabilities are things for which you owe money or for which you have borrowed money, whereas assets are things you possess or for which you are owed money. Financial responsibility is a duty in the field of accounting, but it is more directly associated with prior business transactions, events, sales, the exchange of products or services, or anything else that could lead to future financial gain.
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