Suppose the spot and six-month forward rates on the Norwegian krone are Kr5.70 and Kr5.90, respectively. The annual risk-free rate in Canada is 4 percent, and the annual risk-free rate in Norway is 6 percent. The six-month forward rate on the Norwegian krone would have to be ........Kr ? to prevent arbitrage. (Do not round intermediate calculations. Round the final answer to 4 decimal places. Omit Kr / $ sign in your response.)

Answers

Answer 1

the six-month forward rate on the Norwegian krone to prevent arbitrage, we will use the Interest Rate Parity (IRP) formula:Forward Rate = Spot Rate x (1 + Interest Rate of Domestic Currency) / (1 + Interest Rate of Foreign Currency)

Here, the domestic currency is Canadian Dollar (CAD) and the foreign currency is Norwegian Krone (NOK).
Given data: Spot Rate = Kr5.70 ,Annual risk-free rate in Canada = 4% = 0.04,Annual risk-free rate in Norway = 6% = 0.06

Since we are dealing with a six-month forward rate, we need to adjust the interest rates accordingly: Six-month risk-free rate in Canada = (1 + 0.04)^(1/2) - 1 = 0.0199 (approx) Six-month risk-free rate in Norway = (1 + 0.06)^(1/2) - 1 = 0.0295 (approx.)

Now, plug these values into the IRP formula:Forward Rate = 5.70 x (1 + 0.0199) / (1 + 0.0295),Forward Rate = 5.70 x 1.0199 / 1.0295,Forward Rate ≈ 5.70 x 0.9907,Forward Rate ≈ 5.6460 Kr (rounded to 4 decimal places).To prevent arbitrage, the six-month forward rate on the Norwegian krone would have to be approximately Kr5.6460.

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Related Questions

The young men below are in colloquial language, “getting their hustle on!” Explain how their business is a sole proprietorship. Secondly, explain why the government will have a difficult time taxing this type of business.

The young men below are in colloquial language, getting their hustle on! Explain how their business is

Answers

These businesses are typically not registered with the government, and they do not have an official structure.

The government may be unwilling or unable to regulate these types of businesses because they are frequently viewed as necessary for economic growth and development.

In colloquial language, the young men below are "getting their hustle on." A sole proprietorship is a type of business that is owned and operated by a single individual. The young men's business can be referred to as a sole proprietorship since they are the sole owners of the business.

They are the ones who started the business, are responsible for all of its operations, and are accountable for all of the profits or losses.The government will have a tough time taxing this type of business for a variety of reasons.

Firstly, these businesses are typically not registered with the government, and they do not have an official structure. As a result, it's difficult for the government to track their activities and evaluate their taxes.

Secondly, many of these businesses operate in the informal sector, and they do not have formal accounting procedures or systems in place. As a result, it's difficult for the government to determine their exact revenue and taxable income.

Thirdly, these businesses are frequently involved in cash transactions, and it's difficult for the government to monitor their cash flow and revenue. As a result, they may not accurately report their earnings or pay the required taxes.

Finally, the government may be unwilling or unable to regulate these types of businesses because they are frequently viewed as necessary for economic growth and development. As a result, they may not be heavily taxed, if at all, since the government may be hesitant to discourage their operations.

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Brady's Inflation Needle Co. reports accounts receivable of $100,000 in 2020 and $250,000 in 2021. Using horizontal analysis, what would be the percentage increase or decrease in accounts receivable

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Using horizontal analysis, what would be the percentage increase or decrease in accounts receivable is: 15% increase.

Percentage increase or decrease

Using this formula

Percentage increase or decrease =2021 Account receivable- 2020 Account receivable/ 2020 Account receivable

Let plug in the formula

Percentage increase or decrease=$250,000 ‐ $100,000/ $100,000

$100,000

Percentage increase or decrease= .15 x 100

Percentage increase or decrease = 15%

Therefore what would be the percentage increase or decrease in accounts receivable is: 15% increase.

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According to Peter G. Keen, a former MIT professor, which is a benefit of a decision support system (DSS)

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According to Peter G. Keen, a benefit of a decision support system is that it helps in making better decisions.

A decision support system simply means a computerized program that is used for supporting judgments in an organization. It's used for decision-making.

According to Peter G. Keen, a decision support system is also vital as it helps in increasing communication and saves costs. It also aids new insights and learning.

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Recording, classifying, and summarizing economic events in a logical manner for the purpose of providing financial information for decision making is commonly called Group of answer choices auditing. economics. finance. accounting.

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Recording, classifying, and summarizing economic events in a logical manner for the purpose of providing financial information for decision making is commonly called accounting.

Accounting is a fundamental process in business and financial management. It involves systematically recording financial transactions, classifying them into appropriate categories, and summarizing the information to create financial statements such as the income statement, balance sheet, and cash flow statement. These financial statements provide a snapshot of a company's financial performance, position, and cash flows, enabling decision-makers to analyze and make informed decisions about the organization's operations, investments, and financial strategies.

While auditing, economics, and finance are related disciplines, each has its own distinct focus. Auditing involves examining and evaluating financial records and statements to ensure accuracy, compliance, and reliability. Economics studies the production, distribution, and consumption of goods and services within an economy. Finance, on the other hand, focuses on managing financial resources, investments, and the financial aspects of decision making. However, accounting serves as the foundation for providing the necessary financial information in these areas.

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Directions: For the following problems, compute (a) total installment price, (b) amount of finance charge, and (c) annual percentage rate. Use Figure 18.4 in your textbook as an example.
1. Cash price is $500. After ma price is $910, with a down payment of $100. Balance due in 24 equal payments of $40

Answers

The total installment price is sum of the cash price and the finance charge which comes to $960.

What is finance charge?

A finance charge refers to cost of borrowing money from lender. It includes interest charges, fees, and other costs associated with a loan or credit account. When a borrower takes out a loan, the lender charges a fee for the use of the funds, and this fee is added to the amount owed. For credit accounts, finance charges are applied when a balance is carried over from month to month, and interest is charged on the outstanding balance. Finance charges can vary depending on the type of loan, the interest rate, the amount borrowed, and the repayment terms. It is important to understand the finance charges associated with a loan or credit account, as they can significantly impact the total cost of borrowing.

Total installment price = Cash price + Finance charge

Cash price = $500

Finance charge = Total amount paid − Cash price

Total amount paid = Monthly payment*Number of payments

Total amount paid = $40*24 = $960

Finance charge = $960 − $500 = $460

Total installment price = Cash price + Finance charge

Total installment price = $500+$460 = $960

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do you feel that countries and companies need explicit strategies for technology development, given the tremendous amount of largely spontaneous creativity that occurs today, often in areas where new technologies are not expected to exert a great influence.

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Countries and businesses require explicit strategies for technological development, according to the current market and business scenario, companies and countries use the most recent and up-to-date technologies.

What is meant by explicit strategies?Explicit strategies for technological development are unnecessary for countries and businesses. They may desire it in order to improve business processes and adapt to new technologies. Explicit strategies are those that are well defined and implemented in order to have clear technological development to the specified business structures. Implicit strategies, on the other hand, tend to confine companies and countries to a specific way of thinking, resulting in more concise technological development. This strategy would aid in simulating innovation and creativity in technological development.Because of the increase in technological advancement and Internet usage, our reliance on technology and its applications has changed in all aspects of our daily lives. Businesses must address the current demands of modern customers and the market, so IT-enabled solutions are required to achieve organizational goals and objectives.

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Yes i feel that countries and companies need explicit strategies for technology development, given the tremendous amount of largely...in areas where new technologies are not expected to exert a great influence.

Give a brief account on technological development.

The process of developing new technologies or methods through invention, innovation, and spread is known as technological change (TC) or  technological development. In essence, technological change includes the creation of technologies (including processes) and their commercialization or release as open source through research and development (producing emerging technologies), the continuous improvement of technologies (in which they frequently become less expensive), and the dissemination of technologies throughout industry or society (which sometimes involves disruption and convergence). To put it simply, better and more technology are the foundations of technological change. The "Linear Model of Invention," which was once used to illustrate technological change, has largely been abandoned in favour of a model of technological change that incorporates innovation at all stages of research.

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Describe how human desires would be met with no scarcity.

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Answer:

Human needs are the impulse that individuals have to access certain goods or things. Scarcity, in turn, is the lack of goods or things to meet the needs of all humans in general.

Therefore, all human needs could be covered without major problems if the phenomenon of scarcity did not exist, that is, if there were more goods available than those demanded by society.

Help please 70 points and will mark brainliest!!! ​

 Help please 70 points and will mark brainliest!!!

Answers

Answer:

20th August 2021

Wikipedia

nestle

Answer:

e

Explanation:

it makes the most sense

state the principle of conservation of charge​

Answers

Answer:

The principle of conservation of charge states that the net charge of an isolated system remains constant during any physical process.

Answer:

The quantization of electric charge is the property due to which all free charges are integral multiple of basic unit of charge of an electron (or proton) represented by e. The basic cause of quantization is that only integral no. of electrons can be transferred form one body to another on rubbing.

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what are the broad reasons for a government to intervene in the economy and change the allocation of resources that people would choose on their own?

Answers

Government intervention can be justified to correct market failures and promote economic efficiency, equity, and stability.

Governments intervene in the economy for various reasons, and one of the most important is to correct market failures that can result in suboptimal outcomes. These failures can arise due to externalities, public goods, natural monopolies, and information asymmetry.

For example, externalities occur when the actions of one party affect the welfare of others, leading to either positive or negative externalities. In such cases, the government may intervene by imposing taxes or subsidies to align private and social costs and benefits.

Similarly, the government may provide public goods, such as national defense or healthcare, which may not be efficiently provided by the private sector due to their non-excludability and non-rivalry properties.

Moreover, in the case of natural monopolies, where a single firm can produce goods or services at lower costs than multiple firms, the government may regulate or even own these industries to prevent the exploitation of consumers.

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in what situation would it be beneficial to use a rent-to-own agreement to buy a television?

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A rent-to-own agreement to buy a television can be beneficial in situations where individuals may not have the upfront funds to purchase the television outright or are unable to qualify for traditional financing options.

Rent-to-own agreements provide an alternative method of acquiring goods by allowing individuals to make regular rental payments with the option to purchase the item at a later date. This can be advantageous for individuals who need immediate access to a television but do not have the financial means to make a full payment upfront.

One situation where a rent-to-own agreement for a television can be beneficial is when someone needs a television for a temporary period, such as during a short-term stay or for a specific event. Renting the television with the option to own it later allows flexibility without committing to a long-term purchase.

Additionally, individuals with limited or poor credit history may find it challenging to secure financing through traditional means. Rent-to-own agreements often have more lenient credit requirements, making them accessible to a broader range of individuals.

However, it is important to consider the terms and conditions of the rent-to-own agreement, including the total cost of ownership, interest rates, and any additional fees. Evaluating the financial implications and comparing the overall cost to alternative purchasing options is crucial to ensure that the rent-to-own agreement remains a financially viable choice.

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when does a development team member become the sole owner of a sprint backlog item?

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Option D. Never. All Sprint Backlog items are "owned" by the Developers on the Scrum Team collectively own the Sprint Backlog items, and no individual developer becomes the sole owner of an item on the Sprint Backlog.

In Scrum, the Sprint Backlog items are not individually owned by a specific developer. Instead, the entire Scrum Team collectively owns the Sprint Backlog items. The Scrum Team, including the Developers, Product Owner, and Scrum Master, work collaboratively to complete the items committed to in the Sprint Backlog. The Scrum Guide, which outlines the framework of Scrum, states that the Developers are responsible for delivering the potentially releasable Increment of the product at the end of each Sprint.

They collaborate and self-organize to determine how to best accomplish the work and meet the Sprint Goal. While individual Developers may take on specific tasks or sub-items from the Sprint Backlog, the ownership of the overall Sprint Backlog remains with the entire Scrum Team. The team collectively decides how to distribute the work and ensures that all items are completed by the end of the Sprint. Therefore, the correct answer is option D.

The Question was Incomplete, Find the full content below :

When does a Developer become the sole owner of an item on the Sprint Backlog?

(choose the best answer)

A. Whenever a team member can accommodate more work.

B. At the Sprint Planning event.

C. During the Daily Scrum.

D. Never. All Sprint Backlog items are "owned" by the Developers on the Scrum

Team.

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measure the diameter of a tin in mm and write down the real diameter in mm​

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Based on the context of the question and the image, the required real diameter of the tin is 250 mm.

What is the diameter?

Diameter is a term. that is used to describe the measurement of the length of a straight line that passes through the center of a circular object, such as a circle or a sphere.

Generally, diameter is defined as the distance between two points on the object's edge that are furthest from each other and that pass through the center of the object.

Therefore, in this case, given that the diameter of the tin in the picture is 10 cm, then the actual diameter of the tin can be calculated as:

Actual Diameter = 2.5 x Picture Diameter

Actual Diameter = 2.5 x 10 cm

Actual Diameter = 25 cm

Thus, to convert the actual diameter to millimeters (mm), we can multiply by 10 and it is depicted as follows:

Actual Diameter in mm = Actual Diameter x 10

Actual Diameter in mm = 25 cm x 10

Actual Diameter in mm = 250 mm

Therefore, in this case, it is concluded that the correct answer is 250 mm.

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measure the diameter of a tin in mm and write down the real diameter in mm

The manufacturing shop is producing custom photo imprinted mouse pads for clients. The startup equipment cost $400. A mouse pad has a production cost of $3. The retail sale is $12.
1). Write a cost function
2). Write a revenue function
3). Give the break-even point
Please help me answer all 3 questions, thanks!

Answers

Answer:

\(c(x) =400 + 3x\)

\(r(x) = 12x\)

\(x = 44.44\)

Explanation:

Given

Cost

\(Equipment = 400\)

\(Production = 3\) per mouse pad

Revenue

\(Sales\ Price = 12\)

Solving (a): The cost function

Let the number of mouse pad be x and the cost function be c(x).

\(c(x) =Equipment + Production * x\)

\(c(x) =400 + 3 * x\)

\(c(x) =400 + 3x\)

Solving (b): The revenue function

Represent this with r(x)

\(r(x)= Sales\ Price * x\)

\(r(x)= 12 * x\)

\(r(x)= 12 x\)

Solving (c): The break-even point

This is the point where r(x) = c(x)

So, we have:

\(12x = 400 + 3x\)

Collect Like Terms

\(-3x+12x = 400\)

\(9x = 400\)

Solve for x

\(x = \frac{400}{9}\)

\(x = 44.44\)

If your total assets equal $87,000 and your total liabilities equal $10,000, your solvency ratio is:

Answers

A solvency ratio of 8.7 indicates a strong financial position for the company, but other factors should also be considered when evaluating its overall financial health.

The solvency ratio is a financial metric that measures a company's ability to meet its long-term obligations. It is calculated by dividing a company's total assets by its total liabilities. In the case presented, the solvency ratio would be calculated as follows:

Solvency ratio = Total assets / Total liabilities

Solvency ratio = $87,000 / $10,000

Solvency ratio = 8.7

This means that for every dollar of liabilities, the company has $8.7 of assets. A high solvency ratio is generally seen as a positive sign, indicating that a company has enough assets to cover its liabilities. A ratio of 1 or less suggests that a company may have difficulty meeting its obligations, while a ratio of 2 or more suggests that a company is financially stable.

In the case presented, a solvency ratio of 8.7 indicates that the company has a strong financial position, with a significant amount of assets relative to its liabilities. However, it's important to consider other factors such as cash flow, profitability, and market conditions when evaluating a company's overall financial health.

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Question 15 Multiple Choice Worth 5 points)
(03.03 MC)
Martha received her credit report and sees that her FICO score is 350. Which factor could be the cause?
She filed for bankruptcy last year.
O She has two credits cards with low balances.
She has a long credit history.
She has used several types of credit.

Answers

Answer:

She filled for bankruptcy last year.

The reason why Martha's credit report has such a low FICO score could be because She filed for bankruptcy last year.

What happens to credit scores when bankruptcy is filed?

When a person files for bankruptcy as Martha did last year, they are protected from their creditors and often pay back less than they owe.

As a result, it reduces their credit score because creditors would be less trusting of them in future.

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i will give 100 points please help

i will give 100 points please help

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To establish and maintain the store’s brand image in the customer’s mind. It provides support for the rest of the retailer’s selling efforts through display.


Lily wants to build a business. She has very little capital. She does, however, have a partner with which she could run a business. Lily wants to be able to avoid being held personally liable for any problems the business has. Which of the following would lead Lily to choose a sole proprietorship organization for her business?

A. Little Capital
B. Avoidance of personal liability
C. Possession of a partner
D. None of the above

Answers

It’s A.little capital

Which of the following is not a way to finance your new business.

A. loans from family/friends

B.your own money

C.loan from a bank

D.sweat equity

Answers

Answer:

sweat equity

Explanation:

Hope this helps! Can I have the crown thingy

which of the following could a retailer use to determine which of two different marketing messages generatesthe most sales

Answers

A retailer could use various methods such as A/B testing, multivariate testing, and statistical analysis to determine which of the two different marketing messages generates the most sales. These methods require collecting data, testing a hypothesis, and analyzing the results to make data-driven decisions.

There are various ways a retailer can determine which of two different marketing messages generates the most sales. Below are some of the methods that a retailer could use to determine which of the two different marketing messages generate the most sales.

A/B testing

A/B testing is a method that retailers use to compare two different versions of a website, application, or marketing message.

It's a randomized experiment with two variants, A and B.

Variant A is the original version of the website or marketing message, while variant B has one element changed. The goal is to determine which variation produces the best conversion rate.

A/B testing is an efficient way to evaluate changes made to an existing product or website.

Multivariate Testing

Multivariate testing is similar to A/B testing, except that it allows multiple variants to be tested simultaneously. Rather than testing two different versions of a website or marketing message, multivariate testing allows you to test multiple variations of different elements at the same time. It is more complicated than A/B testing because of the numerous variables, but it's an efficient way to analyze various combinations of different elements and determine which ones produce the best results.

Statistical Analysis

Retailers can also conduct statistical analysis to compare different marketing messages' effectiveness. With this method, data from both messages are collected, and a hypothesis is formulated.

The hypothesis is then tested using statistical techniques such as t-tests or regression analysis. The analysis can determine if there is a statistically significant difference between the two marketing messages. Retailers can use statistical analysis to determine which marketing message drives more traffic, has a higher conversion rate, or produces more sales.

In conclusion, a retailer could use various methods such as A/B testing, multivariate testing, and statistical analysis to determine which of the two different marketing messages generates the most sales. These methods require collecting data, testing a hypothesis, and analyzing the results to make data-driven decisions.

this answer provides a detailed explanation of the different methods a retailer could use to determine which of the two different marketing messages generates the most sales.

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The buyer of an industrial complex wants the broker to place the earnest money in an interest bearing account. The broker does this, clearly identifying all parties who are to receive the interest and the date the earned interest is to be disbursed. With only the verbal consent of the buyer, he places the money in an insured account in a depository in Florida. When the time comes to disburse the account, the broker will write a check to the buyer for the interest as the buyer agreed. Which statement describing this situation applies?

Answers

Answer:

Explanation:

In this situation, the statement that would best apply would be that the broker does not have the right to ever use an interest-bearing account under Florida Real Estate laws. Since Florida Real Estate laws specifically prohibit a broker from placing a clients money in an interest account then the broker in this scenario is breaking the law and can have his real estate license taken away as well as being fined.

You have decided to refinance your mortgage. You plan to borrow whatever is outstanding on your current mortgage. The current monthly payment is $1,850 and you have made every payment on time. The original term of the mortgage was 30 years, and the mortgage is exactly four years and eight months old. You have just made your monthly payment. The mortgage interest rate is 6.750% (APR). How much do you owe on the mortgage today? (Note: Be careful not to round any intermediate steps less than six decimal places.) The amount you owe today is $ (Round to the nearest dollar.)

Answers

After making every payment on time for four years and eight months, with a monthly payment of $1,850 and an interest rate of 6.750% (APR), you currently owe approximately $315,745 on your mortgage.

To calculate the amount you currently owe on your mortgage, we need to determine the remaining balance after four years and eight months of making monthly payments.

First, let's calculate the number of months you have already paid towards the mortgage. Since the mortgage is four years and eight months old, we multiply 4 by 12 (number of months in a year) and add 8. This gives us a total of 56 months.

Next, let's calculate the remaining term of the mortgage.

The original term of the mortgage was 30 years, which is equivalent to 360 months.

Subtracting the 56 months you have already paid from the total term, we get 360 - 56 = 304 months remaining.

Now, we can use the remaining term and the interest rate to calculate the amount owed.

Since the interest rate is given as an annual percentage rate (APR), we need to convert it to a monthly interest rate.

To do this, divide the APR by 12. In this case, the monthly interest rate is 6.750% / 12 = 0.5625%.

To calculate the remaining balance, we can use the formula for the present value of an ordinary annuity. The formula is:

Remaining Balance = Monthly Payment * ((1 - (1 + Monthly Interest Rate)^(-Remaining Term)) / Monthly Interest Rate)

Plugging in the values, we have:

Remaining Balance = $1,850 * ((1 - (1 + 0.005625)^(-304)) / 0.005625)

Using this formula, the amount you owe on the mortgage today is approximately $315,745.

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bands like Led Zeppelin, The Who, and Kiss constantly tried to improve the arena/stadium concert experience for fans during the 1970's. Their practical and creative ideas paved the way for the polished presentation musicians have in modern times. How can groups/artists of today improve the concert experience even more? The next time you see a live show what sort of things would you like to be changed or upgraded (sound, seating, tickets, presentation, refreshments, parking, etc...)?

Answers

The bands like Led Zeppelin, The Who, and Kiss always tried to improve the arena/stadium concert experience for fans during the 1970s. Their practical and creative ideas paved the way for the polished presentation musicians have in modern times.

The following are ways that groups/artists of today can improve the concert experience even more:

1. Better Sound Quality: It's essential to make sure that the sound quality is excellent, with no feedback or distortion, and that the music is played at a reasonable volume.

2. More interactive stage performances: It's important for artists to get more interactive with the audience during their stage performances. They can do this by encouraging the audience to participate in the performance, making them feel like they're part of the show.

3. Better Seating: The seating arrangement at concert venues must be improved to give the audience a better view of the performance.

4. Upgrade Refreshments: People would like to have a variety of refreshments. They don't want the same old bland food and drinks. They'd like to have something different, something that reflects the artist's personality

.5. Good Parking Facilities: The parking facilities at concert venues need to be improved.

6. Affordable Ticket Prices: One of the most important things is to make ticket prices more affordable. High ticket prices can deter fans from attending concerts.

7. Presentation: Presentation is one of the key factors that should be improved. The artists should take the time to present themselves well, which will help to create a positive image for the concert.

The above ways can help to improve the concert experience for people.

The next time I see a live show, I would like to have better seating arrangements so that I can have a better view of the performance. Additionally, having more interactive stage performances would be better, and it would make the audience feel more involved in the show. I'd also like to have a variety of refreshments to choose from, rather than the same old bland food and drinks. Finally, affordable ticket prices would be great because it would make it easier for more people to attend the show.

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In Citation when you use the exact words from a source, you are ______________________.

Answers

Answer:

Quoting

Explanation:

or something along those lines

The answer to your question is Quoting

The amount of product available to the market is known as which of the following? Demand Interest Supply Resources

Answers

Answer:

Supply

Explanation: I had to the Economics Cencepts-Assessment ll for DECA today. I got all my answers off a quizlet...

Answer:

supply

Explanation:

Bermuda Cruises issues only common stocks and coupon bonds. The firm has a debt-equity ratio of 0.45. The cost of equity is 17.6 percent. Required: What is the pre-tax cost of the company debt if weighted average costs of the company is 13.5% and the firm's tax rate is 35 percent? (10 marks)

Answers

Answer:

The pre-tax cost of the company debt is 6.75%

Explanation:

In order to calculate the pre-tax cost of the company debt if weighted average costs of the company is 13.5% and the firm's tax rate is 35 we would have to use the following formula:

weighted average cost of capital = pretax cost of debt (1 - tax rate) x weight of debt + cost of equity x weight of equity

0.135 = pretax cost of debt (1 - 0.35) x 0.45 / 1.45 + 0.176 x 1 / 1.45

0.135 = pretax cost of debt x 0.201724138 + 0.12137931

(0.135 - 0.12137931) / 0.201724138 = pretax cost of debt

6.75% Approximately = Pretax cost of debt

You are executing the project management plan and project work has been going on for five months. You need to respond to a risk that remained after risk planning. A team member asks you where the cost to cover the response will come from. Which response should you give?

Answers

You are executing the project management plan and project work has been going on for five months. You need to respond to a risk that remained after risk planning, and a team member asks you where the cost to cover the response will come from. In this situation, you should inform the team member that the cost to cover the risk response will come from the project's contingency reserve.


The contingency reserve is a portion of the project budget specifically set aside to address identified risks that may arise during the project execution. This reserve is established during the project planning phase, taking into consideration the risk management plan and the risk register. By using the contingency reserve to cover the cost of the risk response, the project remains on track financially, ensuring that the risk is addressed without significantly impacting the project's overall budget.


In order to access and use the contingency reserve, the project manager should follow the change control process, including submitting a change request and obtaining approval from relevant stakeholders. This ensures that any adjustments to the project's scope, schedule, or budget are documented and approved, maintaining transparency and accountability throughout the project lifecycle.

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A marketing researcher for a phone company surveys 100 people and finds that that proportion of clients who are likely to switch providers when their contract expires is 0. 15. A. What is the standard deviation of the sampling distribution of the proportion? B. What is the probability that the sample proportion is between 0. 30 and 0. 40?

Answers

The standard deviation of the sampling distribution is approximately 0.0357, and the probability of the sample proportion being between 0.30 and 0.40 is very low, close to 0.


A. To calculate the standard deviation of the sampling distribution of the proportion, we'll use the formula:

Standard Deviation (SD) = sqrt(p * (1 - p) / n)

where p is the proportion of clients likely to switch providers (0.15), and n is the sample size (100).

SD = sqrt(0.15 * (1 - 0.15) / 100)
SD = sqrt(0.15 * 0.85 / 100)
SD = sqrt(0.1275 / 100)
SD = sqrt(0.001275)
SD ≈ 0.0357

The standard deviation of the sampling distribution of the proportion is approximately 0.0357.

B. To find the probability that the sample proportion is between 0.30 and 0.40, we'll use the Z-score formula:

Z = (X - μ) / SD

where X is the sample proportion, μ is the population proportion, and SD is the standard deviation.

First, we'll calculate the Z-scores for both 0.30 and 0.40:

Z(0.30) = (0.30 - 0.15) / 0.0357 ≈ 4.203
Z(0.40) = (0.40 - 0.15) / 0.0357 ≈ 7.006

Since these Z-scores are far from the normal range (-1.96 to 1.96 for a 95% confidence interval), the probability of finding a sample proportion between 0.30 and 0.40 is extremely low, close to 0.

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What are two types of goods/services that lend themselves well to price competition? Discuss these goods/services and reasons why price competition works best for them.

Answers

Explanation:

The two types of goods / services where price competition works best are those classified by a market model of perfect competition and imperfect competition.

In perfect competition, there is a predominance of a homogeneous market, with the presence of many companies and without barriers to entry, where there is the possibility of free price competition, such as the food industry.

In imperfect competition, there is also the presence of many industries in the market, but there is a differentiation of products, which causes price competition but depending on the benefits, functionality and degree of differentiation of the good perceived by the consumer.

The two types of goods/services that lend themselves well to price competition are those that are classified by a market model of perfect competition and imperfect competition.

It should be noted that in perfect competition, there is a homogeneous market. Also, no one can influence the price. There's also free entry and exit.

On the other hand, in imperfect competition, there is also the presence of many industries in the market, but there is a differentiation of products, which causes price competition. Also, the producers can influence the price.

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i was wondering...

has anyone seen my wallet? I got 200 bucks in there I could give you more if you find it and give it to me. really need it for school​

Answers

I doubt anyone here has seen your wallet. Check everywhere in your house and that you go frequently. Then look everywhere 19 more times... But do it like a list:

bedroombathroomkitchenetccheck 1-4 15 times, in that order.
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