The price of a European call that expires in six months and has a strike price of $30 is $2. The underlying stock price is $29, and a dividend of $0.50 is expected in two months and again in five months. Risk-free interest rates for all maturities are 10%. What is the price of a European put option that expires in six months and has a strike price of $30?

Answers

Answer 1

Answer:

The price of put option is $2.51

Explanation:

The relation between the European Put option and Call option is called the Put-Call parity. Put-Call parity will be employed to solve the question

According to Put-Call parity, P = c - Sо + Ke^(-n) + D. Where P=Put Option price, C=Value of one European call option share. Sо = Underlying stock price,  D=Dividend, r=risk free rate, t = maturity period

Value of one European call option share = $2

Underlying stock price = $29

Dividend = $0.50

Risk free rate = 10%

Maturity period = 6 month & 2 month, 5 month when expecting dividend

P = c - Sо + Ke^(-n) + D

P = $2 - $29 + [$30 * e^[-0.10*(6/12)] + [$0.50*e^(-0.10*(2/12) + $0.50*e^(-0.10*(5/12)]

P = $2 - $29+($30*0.951229) + ($0.50*0.983471 + $0.50*0.959189)

P = -$27 + $28.5369 + $0.4917 + $0.4796

P = $2.5082

P = $2.51

Therefore, the price of put option is $2.51


Related Questions

Determine which is the better investment: compounded semiannually or compounded quarterly. Round your answers to decimal places.

Answers

Answer:

the numbers are missing, so I looked for a similar question and found:

Determine which is the better investment: 5.22% compounded semiannually or 5.24% compounded quarterly. Round your answers to 2 decimal places.

effective interest rate for semiannual compounding = (1 + 5.22%/2)² - 1 = 5.29%effective interest rate for quarterly compounding = (1 + 5.24%/4)⁴ - 1 = 5.34%

Compounded quarterly is a better investment than compounded semiannually

Explanation:

The shorter the compounding period, the more interests received (or paid if it is a loan) and the nominal interest rate is the same:

E.g. lets assume that the nominal interest rate is 10% per year:

effective interest rate for annual compounding = 10%effective interest rate for semiannual compounding = (1 + 10%/2)² - 1 = 10.25%effective interest rate for quarterly compounding = (1 + 10%/4)⁴ - 1 = 10.38%effective interest rate for monthly compounding = (1 + 10%/12)¹² - 1 = 10.47%

Jeff needs to copy a phrase from one paragraph to the second paragraph

Answers

need more information!

The balance sheet for Kingbird, Inc. shows the following: total paid-in capital and retained earnings $860,000, total stockholders’ equity $788,400, common stock issued 42,000 shares, and common stock outstanding 36,000 shares.

Required:
Compute the book value per share.

Answers

Answer:

$21.9 per share

Explanation:

Book value per share = Total stockholders’ equity/Common stock outstanding

Book value per share = $788,400 / 36,000

Book value per share = $21.9 per share

Market power is_____________

Answers


Description
Market power refers to the ability of a firm (or group of firms) to raise and maintain price above the level that would prevail under competition is referred to as market or monopoly power. The exercise of market power leads to reduced output and loss of economic welfare.
The level of influence that a company has on determining market price, either for a specific product or generally within its industry.

Faldo Corp sells on terms that allow customers 45 days to pay for merchandise. Its sales last year were $425,000, and its year-end receivables were $60,000. If its DSO is less than the 45-day credit period, then customers are paying on time. Otherwise, they are paying late. By how much are customers paying early or late

Answers

Answer:

Faldo Corp

Customers are paying late by 6.5 days (51.5 - 45)

Explanation:

DSO = Accounts Receivable/Sales last year * 365 days

= $60,000/$425,000 * 365

= 51.5 days

Customers are paying late by 6.5 days (51.5 - 45)

b) Faldo Corp's Days Sales Outstanding (DSO) is an estimate of the number of days it takes Faldo to collect its outstanding accounts receivable.  This means that DSO measures how long it takes Faldo's customers to pay an invoice.  Faldo can calculate its DSO by dividing the total accounts receivables of last year by the total credit sales of last year.  This is then multiplied by 365 days.

A business taxpayer sells inventory for $80,000. The adjusted basis of the property is $58,000 at the time of the sale and the inventory had been held more than one year. The taxpayer has:______

a. No gain or loss.
b. Sold a long-term capital asset.
c. Sold a short-term capital asset.
d. An ordinary gain.
e. None of the above.

Answers

Answer:

d. An ordinary gain.

Explanation:

The business taxpayer sells inventory for $80,000. The adjusted basis of property is $58,000 at the time of the sale and the inventory had been held more than one year. The taxpayer has an ordinary gain. Inventory (stock in trade) is classified as an ordinary Asset; and it will be reported as an ordinary gain.

Zach buys a car for $18,900 with 5% interest over 5 years. What is true about this monthly payment loan?
Select the correct answer below:
Zach will pay $4,725 in interest on the loan.
Zach will pay $3,780 each year of his loan.
O Zach will pay $4,725 each year of his loan.
Zach will pay $2,500 in interest on this loan.

Answers

Answer:

Zach will pay $4,725 in interest on the loan.

Explanation:

In calculating interest the formula that applies is

I= P x R x T

where I = interest

P = principal amount

R = interest rate

T= time

In the case of Zach

I= $18,900 x 5/100 x 5

I = $18,900 x 0.05 x 5

I =$945 x 5

I =$4,725

Interest for the loan is $4,725

Answer: Zach will pay $2,500 in interest on this loan

Explanation: First, we must calculate Zach's monthly payment.

P=18900⋅ (0.05/12)

________________. = 356.67

1- ( 1 + 0.05/12) ^-60

If the monthly payments are $356.67, then the yearly payback is 356.67⋅12=$4280.04.

And, he will pay that each year for 5 years. So, 4280.04⋅5=$21,400.20 is the total payback amount.

Therefore, Zach will pay 21,400.20−18,900=$2500.20 in interest over the life of the loan.

What distinguishes the true ribs from the false ribs from the floating ribs? What functional advantage is provided by these three types of ribs, i.e., why have three types?

Answers

Answer:

Explanation:

For these ribs, the costal cartilage of each attaches to the cartilage of the next higher rib. The last false ribs (11–12) are also called floating (vertebral) ribs, because these ribs do not attach to the sternum at all.

Let understand that the main function of the Ribs is to aid respiration. The rib also serves as a cage to protect vital organ such as Lungs, Heart.

The ribs structure is characterized with 12 thoracic vertebrae.

The true ribs are the number 1 to 7 of the thoracic vertebrae, the false ribs are the number 8 to 12 of the thoracic vertebrae and the floating ribs are the number 11 to 12 of the thoracic vertebrae.

In conclusion, what distinguish the true ribs from others is that the first seven ribs are connected directly to the sternum which is located at the middle of the chest while the false ribs are linked to the sternum indirectly.

Learn more about the ribs here

brainly.com/question/18917198

A stock currently sells for $65. The dividend yield is 3.5 percent and the dividend growth rate is 4.8 percent. What is the amount of the dividend to be paid in one year

Answers

Answer:

$2.275

Explanation:

Calculation for the amount of the dividend to be paid in one year

Using this formula

D1 =Dividend yield* Stock Amount

Let plug in the formula

D1= .035($65)

D1= $2.275

Therefore the amount of the dividend to be paid in one year will be $2.275

$6 million contract. The contract calls for a payment of $1.2 million today, $1.5 million one year from now, $1.5 million two years from now, and $1.8 million three years from today. What is this contract really worth if Ramon can earn 10.5 percent on his money

Answers

Answer:

the present value is $5.12 million

Explanation:

The computation of the present value is shown below:

As we know that

Present value = Cash flows × Present value of discounting factor (rate% and duration)

= $1.2 million + $1.5 million ÷ 1.105 + $1.5 million ÷ 1.105^2 + $1.8 million ÷ 1.105^3

= $5.12 million

Hence, the present value is $5.12 million

We simply applied the above formula so that the correct value could come

And, the same is to be considered  

In periods subsequent to an asset transfer from a subsidiary to its parent at a gain, what effects continue on the seller's and buyer's books from a consolidated reporting perspective?

a. retained earnings of the seller are overstated
b. retained earnings of the buyer are overstated
c. retained earnings of the seller are understated
d. retained earnings of the buyer are understated

Answers

Answer:

a. retained earnings of the seller are overstated

Explanation:

An asset transfer from a subsidiary to its parent at a gain is an Intragroup transaction. Intragroup transactions must be eliminated otherwise the financial statements would be misleading and not have a faithful representation.

The consequence of this transfer is that the Income of the Seller (subsidiary) increases and this also increases the Retained Income Balance of for the Subsequent years. We should eliminate this Income.

Elena's aunt gave her $100 for her birthday with the condition that Elena buys herself something. In deciding how to spend the money, Elena narrows her options down to four choices: Option A, Option B, Option C, and Option D. Each option costs $100. Finally, she decides on Option B. The opportunity cost of this decision is

Answers

Answer: b. the value to Elena of the option she would have chosen had Option B not been available.

Explanation:

The opportunity cost of a course of action is the value of the next best alternative that would have been chosen had the current action not been undertaken.

The opportunity cost to Elena therefore, is the value of whatever option she would have chosen had option B not been available because that would have been the next best alternative.

A large bakery buys flour in 25-pound bags. The bakery uses an average of 1,215 bags a year. Preparing an order and receiving a shipment of flour involves a cost of $10 per order. Annual carrying costs are $75 per bag.

Required:
a. Determine the economic order quantity.
b. What is the average number of bags on hand?
c. How many orders per year will there be?
d. Compute the total cost of ordering and carrying flour.

Answers

Answer:

annual demand = 1,215 bags of flour

ordering costs = $10 per order

annual carrying costs = $75 per bag

a. Determine the economic order quantity.

EOQ = √[(2 x S x D) / H]

EOQ = √[(2 x $10 x 1,215) / $75] = 18 bags of flour

b. What is the average number of bags on hand?

average number of bags on hand = 18 / 2 = 9

c. How many orders per year will there be?

total number of orders per year = 1,215 / 18 = 67.5 orders

d. Compute the total cost of ordering and carrying flour.

total cost of ordering flour = 67.5 x $10 = $675

since we assume that the company keeps operating after the year ends, we can use fractions when calculating the number of orders per year

total cost of carrying flour = 9 x $75 = $675

total cost of ordering and carrying flour = $1,350

The results in the large bakery are as follows:

(a). Economic Order Quantity = 18 Bags of Flour.

(b). Average Number of Bags on Hand = 9 Bags.

(c). Total Number of Orders Per Year =  67.5 orders.

(d). Total cost of ordering and carrying flour = $675.

What is economic order quantity?

The Economic Order Quantity is employed to undervalue the costs of the order.

The total costs contain the Fixed Cost and Variable costs. These costs include the acquisition costs from the supplier, ordering costs, and moving costs.

(a). Computation of Economic Order Quantity:

According to the given information,

Annual Demand(D) = 1,215 bags of flour

Ordering Costs(O)= $10 per order

Annual Carrying Costs(C) = $75 per bag

Apply the given values in the formula of Economic Order Quantity,

[tex]\text{Economic Order Quantity} = \sqrt{\dfrac{2 \times O \times D }{C} }\\\\\text{Economic Order Quantity} =\sqrt{\dfrac{2\times \$10 \times \$1,215}{\$75} }\\\\\text{Economic Order Quantity} = 18 \text{bags}[/tex]

Therefore, the Economic Order Quantity is 18 bags.

(b). Computation of the average number of bags on hand:

[tex]\text{Average Number of Bags on Hand} =\dfrac{ \text{Economic Order Quantity}}{2}\\\text{Average Number of Bags on Hand} =\dfrac{18}{2}\\\\\text{Average Number of Bags on Hand} =9 \text{bags}[/tex]

(c). Computation of total numbers of orders per year:

[tex]\text{Total Number of Orders Per Year} = \dfrac{\text{Actual Demand}}{\text{Economic Order Quantity}}\\\\\text{Total Number of Orders Per Year} = \dfrac{1,215}{18}\\\\\text{Total Number of Orders Per Year} =67.5\text{Orders}[/tex]

(d). Computation of the total cost of ordering and carrying flour:

[tex]\text{Total Cost of Ordering Flour} = \text{Total Numbers of Orders Per Year} \times \text{\text{Ordering Cost}}\\\text{Total Cost of Ordering Flour} =9 \times \$75\\\text{Total Cost of Ordering Flour} = \$675[/tex]

Learn more about the economic order quantity, refer to:

https://brainly.com/question/16986815

Consider Tralfamadore, a hypothetical country that produces only burritos. In 2018, a burrito is priced at $4.00.
Complete the first row of the table with the quantity of burritos that can be bought with $300.
Hint: In this problem, assume it is not possible to buy a fraction of a burrito, and always round down to the nearest whole burrito. For example, if
your calculations result in 1.5 burritos, the answer should be 1 burrito.
Price of a Burrito Burritos Bought with $300
Year (Dollars)
(Quantity)
2018
4.00
2019
4.80

Answers

Answer:

price of a burrito in 2018 = $4.00

In 2018, you could purchase $300 / $4 = 75 burritos.

Since the money supply increased by 20% during 2019 and money neutrality holds, the price of burritos will increase by 20% to $4.80.

In 2019, you could purchase $300 / $4.80 = 62.5 ≈ 62 burritos.

By printing more money to pay its debts, the government simply increased the inflation rate and devaluated its currency.

The number of burritos can be bought by $300 in year 2018 and 2019 is 75 and 62 burritos respectively.

A hypothetical country produces only Burritos.

In 2018, a burritos price = $4

In 2019, a burritos price = $4.8

So, in 2018 the number of burritos can be bought by $300 = [tex]\bold {\dfrac{300} {4} }[/tex]  

= 75 burritos

in 2018 the number of burritos can be bought by $300 =[tex]\bold {\dfrac{300} {4.8} }[/tex]

=  62.5 = about 62 burritos.

Therefore, the number of burritos can be bought by $300 in year 2018 and 2019 is 75 and 62 burritos respectively.

To know more about economic exchange,

https://brainly.com/question/12394159

On October 1, 2018, Bullseye Company sold 250,000 gallons of diesel fuel to Schmidt Co. at $3 per gallon. On November 8, 2018, 150,000 gallons were delivered; on December 27, 2018. another 50,000 gallons were delivered; and on January 15, 2019, the remaining 50,000 gallons were delivered. Payment terms are 10% due on October 1, 2018, 50% due on first delivery; 20% due on the next delivery; and the remaining 20% due on final delivery. Required: Do the three deliveries each represent a distinct performance obligation, or is there a single performance obligation requiring three deliveries

1. Do each of the three deliveries represent a distinct performance obligation, or is there a single performance obligation requiring three deliveries?2. What amount of revenue should bullseye recognize from this sale during 2018?

Answers

Answer:

1) We must follow the revenue recognition principle in order to determine whether these transactions represent one single performance obligation or three separate ones. If revenue can be recognized after each delivery has been made, then each transaction will be considered a separate performance obligation.

Personally, I believe that on November 8, 2018, $450,000 in revenue must be recognized since title of the goods passed from Bullseye to Schmidt. That means that the earning process had been realized. The same for the other transactions, so I would consider them 3 separate performance obligations.

2) total revenue for 2018:

November 8 = $450,000

December 27: $150,000

total = $600,000

What career would a graduate of a drama school be most likely to pursue?

.Fine Artist
.Musician
.Actor
.Dancer

Answers

Answer:

actor is the answer. have a good day, and pls mark brainlest

Answer:

Id say actor.

duuuuh if anything dancer

Explanation:

Can I please get brainleist.

Rachel entered into a contract to purchase a 2004 Dodge from Hanna, who lived in the neighboring apartment. When a dispute arose over the terms of the contract, Hanna argued that, because neither she nor Rachel was a merchant, the dispute should be decided under general principles of common law. Rachel, on the other hand, argued that Hanna was legally considered to be a merchant because she sold the car for profit and that, consequently, the sale was governed by the Uniform Commercial Code. Who is correct? Explain.

Answers

Answer:

Hanna is correct.

Explanation:

The sale of the 2004 Dodge cannot be construed to be a sale of goods under the Uniform Commercial Code since this law covers sales of goods by merchants.  Hanna cannot be said to be a merchant of 2004 Dodge as she is not known to be in the business for the purchase and sale of cars.  Therefore, the case should be adjudicated under the common law.  What has taken place in this instance is the exchange of a personal asset.  Hanna cannot make a trading profit from the sale, but a capital gain.  Rachel is not correct.

Tatum Company has four products in its inventory. Information about the December 31, 2021, Inventory is as follows: Product 101 102 103 104 Total Cost $161,000 119,400 79,500 40,600 Total Replacement Cost $146,900 112,700 53,000 37,900 Total Net Realizable Value $133,500 145,900 67,100 68,100 The normal profit is 40% of total cost. The normal profit is 40% of total cost. Required:1. Determine the carrying value of inventory at December 31, 2021, assuming the lower of cost or market (LCM) rule is applied to individual products.2. Assuming that inventory write-downs are common for Tatum Company, record any necessary year-end adjusting entry.Complete this question by entering your answers in the tabs below. Required 1 Required 2 Determine the carrying value of inventory at December 31, 2021, assuming the lower of cost or market (LCM) rule is applied to individual products. Product Total Cost Replacement cost NRV NRV - NP Market Inventory Value 101 102 103 104 Totals Required 1 Required 2 > Required 1 Required 2 Assuming that inventory write-downs are common for Tatum Company, record any necessary year-end adjusting entry. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.) View transaction list Journal entry worksheet Record any necessary year-end adjusting entry assuming that inventory write- downs are common for Tatum Company. Note: Enter debits before credits. Transaction General Journal Debit Credit Record entry Clear entry View general journal

Answers

Its okay just 19191 + 1020

Read the following cases and answer the questions given at the end.

Wasi sold his factory carrying motorcycles manufacturing plants to Tipu stating its production capacity of 200,000 units annually. Tipu, after buying the factory came to know that the contract was based on false claim of the stated production capacity. Briefly describe whether the contract is valid, voidable or void contract.
A music hall was rented out for a series of concerts. The hall caught fire before the date of first Concert. Explain the nature of contract with respect to executed/executor/valid or voidable contract.
A threatens B to kill if he does not sell his BMW worth Rs. 1.65M to the former for Rs 1M. B, to save his life, agreed to sell his BMW to A and receives the payments. Is this a valid contract? Explain your answer with reason in either case.

Answers

Answer:

Wasi sold his factory carrying motorcycles manufacturing plants to Tipu stating its production capacity of 200,000 units annually. Tipu, after buying the factory came to know that the contract was based on false claim of the stated production capacity.

This contract is voidable. It might be valid in princple, but there is one undeniable fact, and that is that Wasi misrepresented the production capacity of the plant. Tusi could easily render this contract void in a civil court.

A music hall was rented out for a series of concerts. The hall caught fire before the date of first Concert. Explain the nature of contract with respect to executed/executor/valid or voidable contract.

This contract is valid. The principles of the contract are valid: the hall was in good condition, and the parts of the agreement willfully signed the contract. The fact that the hall shortly after caught fire is not anyone's fault in particular.

A threatens B to kill if he does not sell his BMW worth Rs. 1.65M to the former for Rs 1M. B, to save his life, agreed to sell his BMW to A and receives the payments. Is this a valid contract?

This contract is void, from start. The reason is simply that threatening to kill a person in order to make this person act as one wishes is an illegal act. Person B did not have any other option but to accept the terms, since his life was at stake. This contract would immediately struck down in court, and person A would have to face criminal justice.

If a target was purchased for $1,500.0m with an equity contribution of $500.0m, what is the enterprise value of the target if it used $500.0m of cash flow to repay debt?

a. $1,000.0m
b. $500.0m
c. $1,500.0m
d. $2,000.0m

Answers

Answer: a. $1,000.0m

Explanation:

Even though the company's enterprise value has no growth, the equity investment of the sponsor will rise from $500.0m when purchased to $1,000.0m when the target for the value of the enterprise is sold for $1500.0m.

The debt was $1000m at year 0 while the remaining $500m was for equity. It should be noted that at the fifth year, equity will be $1,000.0m while the debt will be $500m.

Economic and political freedom​

Answers

Answer:

....

Explanation:

Laura works for a company that sells luxury cars. Laura approaches a customer by offering the keys to a customer and encouraging them to take a test drive. Laura has
adopted the _____ approach method.

Answers

Laura has adopted the hands-on approach method.

How does Laura engage customers in test driving luxury cars?

By offering keys to customers and encouraging them to take test drive, Laura demonstrates hands-on approach which allows customers to experience the luxury cars firsthand and gives them opportunity to feel the power, comfort and overall experience of the vehicle.

By physically engaging with the product, customers can develop a deeper connection and understanding of the car's features and capabilities. It also allows them to assess the suitability of the vehicle for their needs and preferences.

Read more about  hands-on

brainly.com/question/22972434

#SPJ1

Which activity is a good practice when selling online media?
A.
Avoid integrating contests and promotions because this will draw attention away from the product.
B.
Avoid endemic advertising because the ad will not stand out on the page.
C.
Avoid integrating the advertiser’s brand into online content.
D.
Avoid quoting too high a price.

Answers

Answer:

For Plato the answer is D: Avoid quoting too high a price.

Explanation:

I got it right

mention at least two reason due to which business is necessary. ​

Answers

Explanation:

Business is essential and promotes the quality of human life for two reasons: for producing economic goods and services and for generating jobs.

Economics is the science that studies and uses the set of actions that use resources to produce and distribute goods and services for consumption whose objective is to assist in the survival and quality of life of individuals. Companies are responsible for producing essential goods and services, such as food, medicine, clothing, etc.

The generation of jobs is also a factor that comes from business, through the human labor force that companies need to operate the business, it is possible to generate income for individuals, strengthen the economy, etc.

In a decentralized company in which the divisions are organized as investment centers, how could a division be considered the least profitable even though it earned the largest amount of income from operations?

Answers

Answer:

This can be due to the method of allocating cost.

Explanation:

In the given scenario a division in a decentralised company earned the largest amount of income from operations, yet it was the least profitable.

This can be as a result of the cost allocation method the company uses.

If the company uses a cost allocation method where cost from other division is paid for by the division with largest income. The result will be that the other divisions that generate less income will appear to be more profitable.

The remedy for this is to use activity based costing. Where cost is allocated based on the level of activity of a division.

That way divisions will only pay for cost associated with their activity

A static budget: _________

a. should be compared to actual costs to assess how well costs were controlled.
b. should be compared to a flexible budget to assess how well costs were controlled.
c. is valid for only one level of activity. represents the best way to set spending targets for managers.
d. A planning budget is prepared before the period begins and is valid for only the planned level of activity.

Answers

Answer:

Explanation: A planning budget is prepared before the period begins and is valid for only the planned level of activity.

A static budget a planning budget is prepared before the period begins and is valid for only the planned level of activity. The answer is OPTION D.

A static budget is a type of planning budget that is prepared in advance of a specific period, such as a fiscal year or a quarter. It is based on the expected level of activity or production for that period and sets spending targets for various cost categories. However, a static budget is only valid for the planned level of activity and does not adjust for changes in actual activity levels.

To assess how well costs were controlled during the period, the static budget should be compared to the actual costs incurred. This comparison helps identify any variations or differences between planned and actual performance, which can provide valuable insights for future budgeting and cost management decisions.

In contrast, a flexible budget is a more dynamic tool that adjusts for changes in activity levels. It allows managers to see how costs should have behaved based on the actual level of activity achieved, providing a more accurate evaluation of cost control performance.

To learn more about managers, click here.

https://brainly.com/question/32150882

#SPJ2

A review of the sales, costs, and profit projections for a new product to find out whether they satisfy the company's objectives is called a:______

a. vendor analysis
b. portfolio analysis
c. business analysis
d. SWOT analysis
e. concept analysis

Answers

Answer:

c. business analysis

Explanation:

A review of the sales, costs, and profit projections for a new product to find out whether they satisfy the company's objectives is called a business analysis.

This ultimately implies that, many organizations and business owners use business analysis to measure the level of satisfaction with respect to the company's objectives and its customers through the process of analyzing or reviewing the sales, costs and profits projection of its new products before pushing them out into the market.

Suppose the State bank of Pakistan instructs its Trading Desk to purchase Pkr 5 billion of securities. Analyze the result of this transaction on the balance sheets of the State bank of Pakistan and commercial banks.

Answers

Answer:

In simple words, the transaction given in the question will result different for state bank and commercial banks. Assuming the securities will be purchased from the commercial banks, the balance sheet of commercial banks will decrease assets and will increase their cash balance, thus, resulting in overall no change balance on assets side.

On the other hand, the state bank will add securities on the asset side of the balance sheet and will decrease cash balance.

The Wiz Co. owes $60 to its bondholders. The company expects to have a cash flow of $136 if the economy continues as is but that cash flow will deceases to $54 if the economy enters a recession. Should the company face the real possibility of bankruptcy, it will incur legal and other fees of $30. What amount will bondholders be paid in the case of a recession?

Answers

Answer:

$24

Explanation:

Calculation for the amount that the bondholders

will paid in the case of a recession

Using this formula

Amount to be paid by Bondholder=Decreased in cash flow- Legal and other fees

Let plug in the formula

Amount to be paid by Bondholder = $54 − $30

Amount to be paid by Bondholder= $24

Therefore the amount that the bondholders will paid in the case of a recession is $24

social elements common to this work. Note that common contexts are listed toward the top, and less common contexts are listed toward the bottom. According to O*NET, what are common work contexts for Construction Carpenters? Check all that apply.
spend time sitting
wear common protective or safety equipment
face-to-face discussions
exposed to hazardous equipment
spend time using hands to handle, control, or feel objects, tools, or controls
public speaking

Answers

Answer:  2.wear common protective or safety equipment

3.face-to-face discussions

4.exposed to hazardous equipment

5.spend time using hands to handle, control, or feel objects, tools, or controls

Explanation: i just took the test :)

Answer:

outdoors, exposed to weather

spend time using hands to handle objects, tools, or controls

exposed to contaminants

Explanation:

Got it right on edge2021

Other Questions
Which of these events is affected by the Moon?a) day and nightb) high and low tidesc ) spring and summerd) the water cycleNote: I think b). is answer ..any idea??? 10(x + 4) + 15(x + 1)55 x25 x + 525 x + 55 Will mark Brainliest!!!Can someone please explain the different types of stock:- Income- Growth- Common- Preferred A farmer who has grown corn for the past five years notices in the sixth year that his harvest is significantly smaller, despite an increase in labor on the farm. The following year, the harvest continues its decline. Which of the following explanations most plausibly accounts for the reduction in corn yield? A. soil degradation B. desalinization C. better irrigation D. terracing Reset Next Pleas help me with this I hate math Which biome has the highest average temperature? PLS ASAP NOW ITS FOR TOMORROW.. island of the blue dolphins.. What did Karana do to stay with Ramo? Help! i need a response, QUICK!During the Gilded Age, factories hired unskilled workers tooperate machines.help skilled workers.manage the business.use special tools. Which graph shows the line y=35x3? Nine more than the product of a number and 4 is equal to 7. Complete the following sentences with the appropriate forms of the verb ir. 1. Ricardo _____ a limpiar el cuarto. 2. Yo _____ a escuchar la radio. 3. Ella _____ a escribir una carta. 4. Ellas _____ a comet en el restaurante nuevo. 5. Paco y yo _____ a escuchar una cancin. If the area of a circle is 324 cm, find:Its circumference in terms of pi Black Lives Matter All Day ever Day. The sum for three numbers is 57 the second number is 2x the first the third number is 18 less than the second what is the third number what is 1,495 45 step by step without a decimal Find the mean, variance and standard deviation of the binomial experiment. In a recent survey, 70% of the community favored building a police substation in their neighborhood. If 30 citizens are chosen, what is the mean number favoring the substation? What would be the variance and standard deviation of their responses? Select the best answer.1. A principal spent $1780 on c calculatorsfor her school. Write an expression thatshows the cost of one calculator? Examine a two-gene cross that follows simple Mendelian inheritance of freckles and eyebrow shape between a woman with genotype Mmpp and a man with genotype mmpp. How many phenotypes are possible in their offspring and in what ratio?a. 4 phenotypes: 9:3:3:1 b. 2 phenotypes; 1:1 c. 3 phenotypes; 8:4:4 d. 3 phenotypes; 1:2:1 Which is a solution to the equation? (x-3)(x-5) = 35-8-5210 The lesser of the two solutions to x(x + 4) = 21 is: