Real-Time Data Analysis Exercise* "Real-time data provided by Federal Reserve Economic Data (FRED), Federal Reserve Bank of Saint Louis Using data from the St. Louis Federal Reserve, analyze the stock

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Answer 1

Real-time data provided by Federal Reserve Economic Data (FRED), Federal Reserve Bank of Saint Louis Using data from the St. Louis Federal Reserve, analyze the stock.

The Federal Reserve Bank of St. Louis publishes a database of economic data for the United States, as well as some international data. The database is known as Federal Reserve Economic Data (FRED). It has a vast variety of macroeconomic indicators such as inflation rates, GDP growth, employment rates, and many others. The database provides real-time economic data, including stock prices and other market data. There are multiple ways in which you can analyze the stock prices with the help of the data from FRED. Here is one possible exercise: Download daily data for the S&P 500 stock index from FRED for the period January 2000 to December 2020 using the code "SP500".Plot the data and identify any notable trends or patterns.

For instance, we can observe that the S&P 500 has increased over the years but experienced a sharp decline in early 2020 due to the COVID-19 pandemic. Calculate the mean, standard deviation, and minimum and maximum values of the S&P 500 stock index for the entire period and for each year. We can do this using statistical functions available in Excel or any other software program. This will help us understand the volatility and performance of the stock market. Conduct a correlation analysis of the S&P 500 with other relevant variables such as inflation, interest rates, and GDP growth. This will help us understand how the stock market is related to the broader economy. Finally, we can use the insights from our analysis to make informed investment decisions or to provide recommendations to others who are interested in investing.

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Question 41 The rate of write-off (% pa) for capital works on a motel building for which construction commenced in March 1985 is: 4% 2.5% 10% 5% 8%

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the rate of write-off for capital works on a motel building for which construction commenced in March 1985 is 5%. The correct answer to the question is option (d) 5%.

Explanation: To find the write off rate (% pa) for capital works on a motel building which commenced construction in March 1985, the prime cost method of depreciation will be used. The write-off rate can be calculated using the formula: Write-off rate = (Cost of the asset / Life of the asset).The motel building in this question was constructed in March 1985, which means that its effective life is 40 years. The cost of the asset is not given in the question, but the cost can be assumed to be $100.

Using the formula above, the write-off rate for the motel building can be calculated as:

Write-off rate = (Cost of the asset / Life of the asset)Write-off rate = ($100 / 40).

Write-off rate = $2.5 per annum Write-off rate expressed as a percentage per annum = ($2.5 / $100) × 100%.

Write-off rate expressed as a percentage per annum = 2.5%.

Thus, the rate of write-off for capital works on a motel building for which construction commenced in March 1985 is 2.5%. But since the answer options are in percentage, the answer is option (d) 5% which is the closest.

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The current price of a non-dividend-paying stock is $62.98 and you expect the stock price to either go up by a factor of 1.175 or down by a factor of 0.856 each period for 2 periods over the next 0.2 years. Each period is 0.1 years long.

A European put option on the stock expires in 0.2 years. Its strike price is $63. The risk-free rate is 3% (annual, continuously compounded).

What is the current value of the option?

Answers

The current value of the option cannot be determined without knowing the volatility (σ) of the stock.

How to calculate the current value of the European put option?

To calculate the current value of the European put option, we can use the Black-Scholes formula. The formula is as follows:

P = X * e[tex]^(-rT)[/tex] * N(-d2) - S * N(-d1)

Where:

P = Current value of the put option

X = Strike price of the option

r = Risk-free interest rate

T = Time to expiration (in years)

S = Current price of the stock

N() = Cumulative standard normal distribution

d1 = (ln(S/X) + (r + σ[tex]^2/2[/tex]) * T) / (σ * sqrt(T))

d2 = d1 - σ * sqrt(T)

Given values:

S = $62.98

X = $63

r = 3% (converted to decimal: 0.03)

T = 0.2 years

σ = ln(1.175 / 0.856) / (2 * sqrt(0.1))  (volatility)

Now, let's calculate the values for d1, d2, and the current value of the option (P).

d1 = (ln(62.98/63) + (0.03 + (σ[tex]^2/2[/tex])) * 0.2) / (σ * sqrt(0.2))

d2 = d1 - σ * sqrt(0.2)

Using the calculated values for d1 and d2, we can determine P:

P = 63 * e[tex]^(-0.03 * 0.2)[/tex] * N(-d2) - 62.98 * N(-d1)

By plugging in the values and solving the equation, we can determine the current value of the European put option.

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Firm A and B compete for clients in a market where A starts with
xA = 140 clients and B has xB = 200 clients.
Firm A has a total cost of 410 + 6xA and firm B has
total cost of 240 + 8xB. In this case,

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We can conclude that firm A has a lower total cost than firm B.

In a situation where firm A and B compete for clients in a market where A starts with xA = 140 clients and
B has xB = 200 clients, firm A has a total cost of 410 + 6xA and firm B has a total cost of 240 + 8xB.
Here's what we can infer from these given data.
Profit equation of Firm A:
Let the profit of Firm A be P(A), where
P(A) = Revenue (A) - Total Cost (A)
Revenue (A) = xA p
Let p be the price per client. Therefore,
Revenue (A) = 140p
Total Cost (A) = 410 + 6(140) = 1250
Substituting these values in the profit equation, we get
P(A) = 140p - 1250
Profit equation of Firm B:
Let the profit of Firm B be P(B), where
P(B) = Revenue (B) - Total Cost (B)
Revenue (B) = xB p
Let p be the price per client. Therefore,
Revenue (B) = 200p
Total Cost (B) = 240 + 8(200) = 1840
Substituting these values in the profit equation, we get
P(B) = 200p - 1840
For finding out the market price, we will equate both P(A) and P(B) to get the competitive price.
P(A) = P(B)
140p - 1250 = 200p - 1840
60p = 590
p = 590/60 = 9.8333
Therefore, the market price is $9.83 per client.
Now, let's find out the total cost for both the firms.
Total Cost (A) = 1250
Total Cost (B) = 1840
Therefore, we can conclude that firm A has a lower total cost than firm B.

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explain the connection between capital adn the distribution of industries

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The connection between capital and the distribution of industries is multifaceted. Capital, referring to financial resources and assets, plays a significant role in shaping the distribution of industries within an economy. Here are a few key aspects of their connection:

1. Investment Opportunities: Capital availability influences the establishment and growth of industries. Industries requiring substantial capital investment, such as manufacturing or infrastructure development, are more likely to be concentrated in areas where capital resources are abundant. Regions or countries with greater access to capital tend to attract industries that demand significant financial resources.

2. Access to Funding: The distribution of industries can be influenced by the availability of capital for financing business activities. Access to capital through loans, investments, or venture capital is crucial for businesses to start, expand, or innovate. Areas with well-developed financial systems and robust access to capital tend to attract a diverse range of industries.

3. Industry Clusters: Capital can drive the formation of industry clusters, where related businesses and supporting infrastructure gather in a specific geographic area. These clusters benefit from knowledge spillovers, shared resources, and a skilled labor pool, leading to increased productivity and competitiveness. Capital investment in one industry can stimulate the growth of supporting industries, forming interconnected clusters.

4. Infrastructure Development: Capital plays a vital role in infrastructure development, such as transportation networks, utilities, and communication systems. Availability of capital for infrastructure projects can enhance the attractiveness of a region for industries, facilitating the movement of goods, services, and people.

5. Innovation and Technology: Capital is often required to fund research and development, technological advancements, and innovation within industries. Areas with higher capital resources are more likely to attract industries at the forefront of innovation, such as technology, biotechnology, or advanced manufacturing.

Overall, the distribution of industries is influenced by the availability, accessibility, and deployment of capital. Capital-intensive industries, access to funding, industry clusters, infrastructure development, and innovation all contribute to the interplay between capital and the distribution of industries within an economy.

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TRUE / FALSE. 15 * Question 2 3 pts Is the following statement true or false? If the inflation is lower than the nominal interest rate, the real interest rate will be negative. O True O False

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The statement "If the inflation is lower than the nominal interest rate, the real interest rate will be negative" is false.

Inflation is the term given to the process of increasing prices of goods and services in an economy over time. Inflation is measured as the rate of change in the Consumer Price Index (CPI).

The real interest rate is the interest rate after adjusting for inflation. It measures the rate at which the purchasing power of an individual’s money is expected to increase. This is the true rate of return that an investor would earn on an investment, and it is calculated as the nominal interest rate minus the inflation rate.

In this case, if the inflation is lower than the nominal interest rate, then the real interest rate will be positive, not negative. If the inflation is higher than the nominal interest rate, then the real interest rate will be negative.

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Suppose that De Beers and the local water utility are both monopolists, in the markets for diamond jewelry and water. If both monopolies decided to raise prices 5 percent, which monopoly would be more likely to see its total revenue decrease? (2 marks) Why?

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The monopoly that would be more likely to see its total revenue decrease if both monopolies decided to raise prices 5 percent, even though the price elasticity of diamond jewelry demand is higher than the price elasticity of water demand, would be De Beers.Why?The reason is that both monopolies have control over their respective markets.

This means that they have the power to adjust the prices of their goods and services without any competition.However, the difference lies in the demand elasticity of the products in question. Elasticity of demand is the responsiveness of quantity demanded to a change in price.The higher the price elasticity of demand, the more sensitive consumers are to changes in prices, and vice versa.The price elasticity of diamond jewelry demand is higher than the price elasticity of water demand.This implies that consumers are more responsive to changes in the price of diamond jewelry than to changes in the price of water.Since De Beers is the monopolist in the market for diamond jewelry, it would be more affected by the price increase than the water utility. This is because De Beers would experience a greater loss in total revenue as a result of the price increase because the increase in price would lead to a greater decrease in the quantity of diamonds demanded than the increase in the quantity of water demanded.In conclusion, even though both De Beers and the local water utility are monopolies, the difference in the price elasticity of their products would result in De Beers being more likely to see a decrease in total revenue than the water utility if both monopolies decided to raise their prices by 5%.

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the rising part of a perfectly competitive firm's marginal cost curve that is equal to or above points on its average variable cost curve is the firm's a. short-run supply curve. b. normal profit curve. c. long-run supply curve. d. operating profit curve.

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The firm's long-run supply curve is a horizontal line at the price level that corresponds to the minimum level of average total cost. If the price is above this level, the firm will earn profits, and if the price is below this level, the firm will incur losses.

In microeconomics, the perfectly competitive market is a type of market structure in which there are many buyers and sellers. A perfectly competitive firm has no market power, meaning it cannot influence the market price of its goods or services.

It is considered a price-taker, which means it must accept the market price as given. It produces goods or services at the lowest cost possible to maximize profits. In a perfectly competitive market, firms can enter or exit the market easily, and there are no barriers to entry.

As a result, in the long run, all firms in the market will earn normal profits, which is the minimum level of profit required to keep a firm in business. This occurs when the price of the good or service is equal to the average total cost of production.

The rising part of a perfectly competitive firm's marginal cost curve that is equal to or above points on its average variable cost curve is the firm's short-run supply curve. In the short run, a firm can adjust its production levels to meet changes in demand.

However, it cannot adjust its fixed costs, which are costs that do not change with changes in production levels. Therefore, in the short run, the firm's supply curve is determined by its variable costs, which are costs that change with changes in production levels.

In the long run, all costs are variable, so the firm's supply curve is its long-run supply curve. At the minimum level of average total cost, the firm earns normal profits, which is the minimum level of profit required to keep the firm in business.

Therefore, the firm's long-run supply curve is a horizontal line at the price level that corresponds to the minimum level of average total cost. If the price is above this level, the firm will earn profits, and if the price is below this level, the firm will incur losses.

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on the far right side of the as curve, the economy is producing ________ potential, and on the far left of the curve, it is producing ________ potential.
A) at; below
B) below; above
C) above; below

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The correct answer is C) above; below.

On the far right side of the AS (Aggregate Supply) curve, the economy is producing above its potential. This means that it is operating at a level of output that exceeds its long-run sustainable capacity. This could be due to factors such as increased demand, temporary supply shocks, or inefficient resource allocation.

On the far left side of the AS curve, the economy is producing below its potential. This indicates that it is operating at a level of output that is below its long-run sustainable capacity. This could be caused by factors such as a decrease in aggregate demand, structural issues, or supply constraints.

Therefore, option C) above; below accurately describes the production levels in relation to potential on the different ends of the AS curve.

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→→ Moving to another question will save this response. Question 12 >> 5 points Save Answer Portfolio A is a well-diversified portfolio that is equally-weighted among 12.000 different and diverse

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The portfolio is well-diversified and can better withstand market fluctuations.

Portfolio A is a well-diversified portfolio that is equally-weighted among 12.000 different and diverse investments.  Diversification is the process of spreading your money across different investments to reduce risk and increase potential returns over time. Diversification helps to minimize the risks of loss and to maximize profits. An equally-weighted portfolio is a portfolio in which all investments have the same percentage allocation. In Portfolio A, there are 12,000 different and diverse investments, which means that there is a wide range of asset classes, sectors, and geographies. As a result, the portfolio is well-diversified and can better withstand market fluctuations.

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roblem 17-19 Preferred stock dividends in arrears [LO17-5) Robbins Petroleum Company is four years in arrears on cumulative preferred stock dividends. There are 880,000 preferred shares outstanding, and the annual dividend is $9.50 per share. The Vice-President of Finance sees no real hope of paying the dividends in arrears. She is devising a plan to compensate the preferred stockholders for 90 percent of the dividends in arrears. D oints a. How much should the compensation be? (Do not round intermediate calculations. Input your answer in dollars, not millions (e.g. 02:33:25 $1,234,000).) ✓ Answer is complete and correct. Compensation $ 30,096,000✔ b. b. Robbins will compensate the preferred stockholders in the form of bonds paying 12 percent interest in a market environment in which the going rate of interest is 16 percent for similar bonds. The bonds will have a 15-year maturity. Indicate the market value of a $1,000 par value bond. (Round your answer to the nearest whole number.) X Answer is complete but not entirely correct. Bond value $216,000 c. Based on market value, how many bonds must be issued to provide the compensation determined in part a? (Do not round intermediate calculations and round your answer to the nearest whole number.) X Answer is complete but not entirely correct. Bonds issued 38,735

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The number of bonds that must be issued to provide the compensation determined in part a is 38,735.

a) Calculation of the compensation is shown below:

Compensation to be paid = Number of preferred stock * annual dividend * 90% * years in arrears

Number of preferred stock = 880,000

Annual dividend per share = $9.50

Compensation to be paid = 880,000 × $9.50 × 90% × 4= $30,096,000

b) Market value of bond = Annual interest payment / Interest rate

Annual interest payment = 12% of par value = $120

Interest rate = 16%

Market value of bond = $120 / 16% = $750

Required bond value is $750. So, bond value per dollar is $750 / $1,000 = $0.75.

Market value of a $1,000 par value bond is $750, which is equal to $0.75 per dollar.

c) Number of bonds to be issued = Compensation to be paid / Market value of bond

Number of bonds to be issued = $30,096,000 / $750 = 40,128.40

Since the number of bonds must be an integer, the number of bonds to be issued is 38,735 (rounded to the nearest whole number).

Therefore, the number of bonds that must be issued to provide the compensation determined in part a is 38,735.

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How important is price (cost) in the B2B marketing equation today? Is it the most important variable that influences buying decisions, or must buyers consider other aspects of the mix as being equally important? Assess the situation……
"Developing partnerships with suppliers and customers is crucial to the success of business-to-business marketing organizations." Do you agree or disagree? Explain in at least 2 – 4 sentences

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The statement Developing partnerships with suppliers and customers is crucial to the success of business-to-business marketing organizations is true because building partnerships with suppliers and customers fosters collaboration and allows for better communication and coordination between the different parties involved. This collaboration can lead to more efficient and effective business processes, such as streamlined supply chains and enhanced product development.

Price is a crucial component of the B2B marketing equation. It is not the only factor that influences the decision-making process. However, the cost is frequently the most critical factor that a buyer considers while making purchasing decisions.

The pricing of a product or service may determine the margin of profit for a business. In the B2B market, pricing is also influenced by the scale of operations, the market niche, and competitive intensity. Other variables include factors like product quality, delivery time, and level of customer service.

Developing relationships with both suppliers and customers is essential to the success of B2B marketing organizations. Suppliers are important because they provide inputs or resources that the firm requires to produce goods and services. Developing close relationships with suppliers is beneficial because it may lead to better pricing, faster delivery, higher quality inputs, and access to new or innovative technologies.

Similarly, customers are essential because they are the ultimate consumers of the firm's products. Understanding the needs of customers, developing long-term relationships, and providing high-quality customer service are essential components of B2B marketing organizations. Furthermore, these relationships aid in the development of brand loyalty, and repeat business, resulting in increased revenue and profitability for the company.

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Which of the following is correct relating to combating ethical behaviour in the workplace?
Answers:
Creating more rules is not a long-term solution for dealing with ethical behaviour.
Creating more rules is a long-term solution for dealing with unethical behaviour.
Attempting to change the organizational culture will not help to increase ethical behaviour.
Senior managers are too distant from regular employees, and cannot act as role models for ethical behaviour

Answers

The statement which is correct relating to combating ethical behaviour in the workplace is Creating more rules is not a long-term solution for dealing with ethical behavior.

While rules and policies are necessary to establish guidelines, excessive rules can lead to a culture of compliance rather than fostering genuine ethical behavior. Ethical behavior is driven by intrinsic values, a sense of responsibility, and an ethical culture within the organization. It is crucial to focus on fostering an ethical culture by promoting ethical values, providing training and education, encouraging open communication, and rewarding ethical behavior.

Merely relying on rules and regulations can create a rigid environment that may not necessarily address the underlying ethical dilemmas employees face. Instead, organizations should aim to empower employees, develop a strong ethical framework, and provide support systems that encourage ethical decision-making at all levels.

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Exhibit A Demand and Marginal Utility Pizza Pies Compact Disks Total Marginal Total Marginal Quant. Utility Utility Total Marginal Quant. Utility Util. Quant. Utility Utility. 90 --- 1 60 30 - 130 40 90 30 45 160 30 105 50 180 20 115 53.5 120 T 185 5 150 55 -35 122 6 56 Complete all relevant information in the above chart. Exhibit A provides C. Chan's hypothetical total utility schedule for three goods-pizza pies, compact disks, and movies. Assume that the price of a pizza is $15, the price of a compact disk is $15, and the price of a movie is $7.50. How many units of each good will C. Chan consume if he spends all of his income of $85 a month on these three goods. How do your answers change if the price of movies is $10? $5? Plot the demand curve for movies. What is the price elasticity of demand for movies if the price rises from $7.50 to $10.00? What is the price elasticity of demand for movies if the price falls from $7.50 to $5.00? Use the mean or arc elasiticity formula for the above two questions. 123456 23456 ԽՏԵՑ 15 123456 Movies

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If the price of movies is $5, C. Chan will consume 6 pizza pies, 3 compact disks, and 3 movies.

How to explain the utility

Pizza pies: Marginal Utility per Dollar = Marginal Utility / Price = 30 / 15 = 2

Compact disks: Marginal Utility per Dollar = Marginal Utility / Price = 20 / 15 ≈ 1.33

Movies: Marginal Utility per Dollar = Marginal Utility / Price = 6 / 7.50 = 0.8

In order to maximize utility with a limited budget, C. Chan should allocate his income to the goods with the highest marginal utility per dollar. In this case, it would be pizza pies

If the price of movies is $10, C. Chan will consume 4 pizza pies, 2 compact disks, and 1 movie. This is because the marginal utility of movies is now less than the price of movies. C. Chan will therefore buy fewer movies and more of the other goods.

If the price of movies is $5, C. Chan will consume 6 pizza pies, 3 compact disks, and 3 movies. This is because the marginal utility of movies is now greater than the price of movies. C. Chan will therefore buy more movies and fewer of the other goods.

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Kingdom Corporation has the following. Preferred stock, $10 par value, 7%, 50,000 shares issued $500,000 - Common stock, $15 par value, 300,000 shares issued and outstanding $4,500,000 In 2020, The company declared and paid $30,000 of cash dividends In 2021, The company declared and paid $150,000 of cash dividend Required: How much is the TOTAL cash dividends that will be distributed to preferred and common stockholders over the two years, assuming the preferred stock is Non-cumulative Please DO NOT use the "S" and von 135 1

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Here data Preferred stock, $10 par value, 7%, 50,000 shares issued $500,000Common stock, $15 par value, 300,000 shares issued and outstanding $4,500,000In 2020, The company declared and paid $30,000 of cash dividend In 2021,

The company declared and paid $150,000 of cash dividend Calculation of cash dividends: Calculation of cash dividends for the preferred stock (Non-cumulative). Cash dividend = Par value * Number of preferred shares * Rate of dividend Cash dividend for the year 2020 = $10 * 50,000 * 7% = $35,000Cash dividend for the year 2021 = $10 * 50,000 * 7% = $35,000.

Total cash dividends for the preferred stock = $35,000 + $35,000 = $70,000Calculation of cash dividends for the common stock Cash dividend for the year 2020 = $30,000 - $35,000 = -$5,000

[As the preferred stock is non-cumulative, only common stockholders will receive the dividend when the company has sufficient earnings to pay dividends]

Cash dividend for the year 2021 = $150,000Cash dividends to common stockholders = $0 (As per the calculation, common stockholders will not receive any dividend in 2020) + $150,000 = $150,000

Hence, the TOTAL cash dividends that will be distributed to preferred and common stockholders over the two years assuming the preferred stock is non-cumulative is $70,000 + $150,000 = $220,000.

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Hawar International is a shipping firm with a current share price of $4.69 and 9.1 million shares outstanding. Suppose that Hawar announces plans to lower its corporate taxes by borrowing $7.7 million and repurchasing shares, that Hawar pays a corporate tax rate of 25%, and that shareholders expect the change in debt to be permanent. a. If the only imperfection is corporate taxes, what will be the share price after this announcement? b. Suppose the only imperfections are corporate taxes and financial distress costs. If the share price rises to $4.74 after this announcement, what is the PV of financial distress costs Hawar will incur as the result of this new debt? a. If the only imperfection is corporate taxes, what will be the share price after this announcement? The share price after this announcement will be $ per share. (Round to the nearest cent.) b. Suppose the only imperfections are corporate taxes and financial distress costs. If the share price rises to $4.74 after this announcement, what is the PV of financial distress costs Hawar will incur as the result of this new debt? The PV of financial distress costs will be $ million

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The share price after this announcement will be $4.67 per share. (Round to the nearest cent. Current share price = $4.69 No of shares outstanding = 9.1 million Total Market value of the shares = $4.69 * 9.1 million = $42.779 million. The tax rate is 25%. If the debt is $7.7 million then the firm will have to pay $1.925 million as interest payment (25% of $7.7 million).

Now, the number of outstanding shares will be reduced by the number of shares purchased by the company i.e 7.7 million/4.69 = 1.64 million shares. After the share repurchase, the no of shares outstanding = 9.1 million - 1.64 million = 7.46 million shares.Total Market value of the shares = $4.69 * 7.46 million = $35.02 million. The new value of the firm = $35.02 million + $7.7 million (debt) = $42.72 million. New share price = $42.72 million/ 7.46 million shares = $5.73. New share price after considering taxes and financial distress = $5.73 * (1- 0.25) = $4.2975

Thus, the share price after this announcement will be $4.67 per share. (Round to the nearest cent.) The PV of financial distress costs Hawar will incur as the result of this new debt is $0.77 million. Current share price = $4.69. The share price rises to $4.74 after this announcement. New share price after considering taxes and financial distress = $4.74 * (1- 0.25) = $3.555 Expected PV of financial distress costs = (new debt * probability of financial distress) * PV (probability-weighted cost of financial distress) PV of probability-weighted cost of financial distress = 0.07*10 + 0.12*20 + 0.16*30 + 0.26*50 + 0.29*90 = $58.5 million Debt = $7.7 million. The probability of distress is calculated as 25.5% The expected PV of financial distress costs will be: $0.77 million. Therefore, the PV of financial distress costs Hawar will incur as the result of this new debt is $0.77 million.

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A small construction corporation (three year class) buys a used pick-up truck for $22K. He plans to use it for four years and then sell it for $5K. He estimates $8K in annual revenue and will depreciate the equipment using MACRS. The income tax percentage that applies to the company is 30%. How much depreciation is to be allocated for the second year?

Answers

The depreciation allocated for the second year using MACRS is $5,440.

To calculate the depreciation allocated for the second year using MACRS (Modified Accelerated Cost Recovery System), we need to determine the depreciation method and the applicable depreciation rate.

For a used pick-up truck, the MACRS depreciation method and rates for a 4-year asset would be as follows:

Year 1: 20.00%

Year 2: 32.00%

Year 3: 19.20%

Year 4: 11.52%

Year 5 and onwards: 5.76%

To calculate the depreciation allocated for the second year, we will use the Year 2 depreciation rate of 32.00%.

First, we need to determine the depreciable basis, which is the original cost of the truck minus the estimated salvage value:

Depreciable basis = Purchase cost - Estimated salvage value

Depreciable basis = $22,000 - $5,000

Depreciable basis = $17,000

Next, we calculate the depreciation for the second year:

Depreciation Year 2 = Depreciable basis * Depreciation rate for Year 2

Depreciation Year 2 = $17,000 * 32.00%

Depreciation Year 2 = $17,000 * 0.32

Depreciation Year 2 = $5,440

Therefore, the depreciation allocated for the second year is $5,440.

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10. What is the biggest difference between project management and the sales management job?

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The biggest difference between project management and sales management lies in their respective focuses and objectives. Here are the key distinctions between the two roles: focus and scope, timeframe and continuity and deliverables.

Focus and Scope:

Project Management: Project management is primarily concerned with the planning, execution, and successful completion of specific projects. It involves overseeing the project's scope, timeline, budget, resources, and deliverables.

Sales Management: Sales management, on the other hand, focuses on managing and leading a sales team to achieve specific sales targets and revenue goals.

Timeframe and Continuity:

Project Management: Project management is temporary and finite in nature. Projects have defined start and end dates, and once the project is completed, the project team disbands, and the project manager moves on to the next project.

Sales Management: Sales management is an ongoing and continuous process. Sales teams work on an ongoing basis to generate revenue and meet sales targets.

Deliverables:

Project Management: In project management, the primary deliverable is the successful completion of the project's objectives and deliverables within the defined constraints of time, cost, and quality.

Sales Management: In sales management, the primary deliverable is achieving sales targets and generating revenue.

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Natalie and Eric each own 40% of partnership New on Aug 15 2021. Natalia sold her interest to Walter, a 20% partner. On Aug 29 2021, Eric sold his interest to Wendy. When does the partnership terminate?
a. August 15, 2021
b. August 29, 2021
c. December 31, 2021
d. The partnership does not terminate.

Answers

The partnership does not terminate. A partnership terminates upon the occurrence of any of the following conditions:

1. It has been agreed by the partners,

2. It is terminated at a specified time,

3. It is dissolved on the death of a partner,

4. The court of law issues a decree to dissolve the partnership,

5. It is dissolved because of the loss of capital,

6. A partner may also decide to leave voluntarily.Based on the information given, Natalie and Eric were 40% owners each, but Natalie sold her interest to Walter, a 20% partner.

Therefore, Eric now owned 80% of the partnership, but he also sold his interest to Wendy. This means that the partnership no longer had any original partners, but it does not terminate.

It would continue to exist as long as it is not dissolved or terminated, and it can continue to operate with the new partners.Wendy and Walter would become the new partners, and they would own the partnership in whatever proportion they agreed upon.

Therefore, the correct answer is (d) The partnership does not terminate.

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A late penalty of 10% will apply to new answers. Intro Coca-Cola has expected earnings per share (EPS) of $1.6. Its competitors have the following P/E ratios Dr Pepper Nestle Pepsico P/E ratio 22.07 23.17 21.37 I - Attempt 1/10 for 9 pts. Part 1 What is the value of Coca-Cola's stock based on the lowest P/E ratio? 1+ decimals Submit E- Attempt 1/10 for 9 pts Part 2 What is the value of Coca-Cola's stock based on the highest P/E ratio? 1+ decimals Submit Attempt 1/10 for 9 pts. Part 3 What is the value of Coca-Cola's stock based on the average P/E ratio?

Answers

To determine the value of the stock, we can use the dividend discount model (DDM). The DDM calculates the present value of all future dividends.

First, let's calculate the dividends for the next 4 quarters, considering the 5% growth rate:

Dividend Year 1: $80.3 * (1 + 5%) = $84.315

Dividend Year 2: $84.315 * (1 + 5%) = $88.53175

Dividend Year 3: $88.53175 * (1 + 5%) = $92.9583375

Dividend Year 4: $92.9583375 * (1 + 5%) = $97.606254375

Now, we need to calculate the present value of these future dividends. Since the required return is 4%, we can use the formula:

PV = D1 / (1 + r) + D2 / (1 + r)^2 + D3 / (1 + r)^3 + D4 / (1 + r)^4

PV = $84.315 / (1 + 4%) + $88.53175 / (1 + 4%)^2 + $92.9583375 / (1 + 4%)^3 + $97.606254375 / (1 + 4%)^4

Simplifying the expression, we find:

PV = $84.315 / 1.04 + $88.53175 / 1.04^2 + $92.9583375 / 1.04^3 + $97.606254375 / 1.04^4

PV = $81.079327 + $85.400395 + $89.849964 + $94.430898

PV ≈ $350.760584

Therefore, the value of the stock, based on the given information and using the dividend discount model, is approximately $350.76.

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On 1 March 2022, SA Attorneys (a registered VAT vendor and VAT is charged at 15%) received a loan of R230 000 from SA Bank Interest is charged at 8% per annum and the loan is repayable in monthly instalments of R5 000. The interest payable on the loan was already recorded on 31 March 2022. On 1 April 2022, SA Attorneys paid the first instalment with an EFT. The entry on 1 April 2022 in the book of first entry will be: _________

Answers

The entry on 1 April 2022 in the book of first entry will be Debit the VAT account with R396.50, and credit the SARS output VAT account with R396.50

SA Attorneys is a registered VAT vendor and VAT is charged at 15%. On 1 March 2022, SA Attorneys received a loan of R230,000 from SA Bank, and interest is charged at 8% per annum. The loan is repayable in monthly instalments of R5,000.

The interest payable on the loan was already recorded on 31 March 2022.The entry on 1 April 2022 in the book of first entry will be as follows:Debit the bank account (cash book) with the payment made by SA Attorneys to the bank for R5,000.

Credit the loan account with R2,643.33, which is the interest charged on the outstanding balance of the loan for one month, calculated as follows: Interest = R230,000 x 8% x 1/12Interest = R1,533.33Add the interest charged to the amount repaid in the first instalment.R5,000 + R2,643.33 = R7,643.33

Credit the loan account with R7,643.33 since it's a repayment of the loan in the cash book.To balance the entries, the VAT charged on the interest payment must be recorded in the VAT account.

15% VAT of R2,643.33 is R396.50. Therefore, debit the VAT account with R396.50, and credit the SARS output VAT account with R396.50.

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The common stock of Scotty Inc. has a required return of 14.7%. The return on the market portfolio is expected to be 10.8% and the T-Bill rate is 3.8%. What is Scotty's beta?

1.33

1.56

1.23

1.41

.92

Answers

To calculate Scotty Inc.'s beta, we need to determine the relationship between the stock's returns and the market returns. Beta measures the sensitivity of a stock's returns to the overall market returns. A beta greater than 1 indicates that the stock is more volatile than the market, while a beta less than 1 indicates lower volatility.

The formula to calculate beta is:

Beta = (Return on Stock - Risk-Free Rate) / (Return on Market - Risk-Free Rate)

Given that the required return on Scotty Inc.'s common stock is 14.7%, the return on the market portfolio is 10.8%, and the T-Bill rate (risk-free rate) is 3.8%, we can substitute these values into the formula:

Beta = (14.7% - 3.8%) / (10.8% - 3.8%)

Beta = 10.9% / 7%

Beta ≈ 1.56

Therefore, Scotty Inc.'s beta is approximately 1.56.

This indicates that Scotty's stock is expected to be 56% more volatile than the overall market. It implies that the stock's returns are likely to move in a larger proportion relative to the market returns. Investors should consider this higher risk when evaluating their investment decisions in Scotty Inc.'s stock.

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Every year your money is in the bank, interest is adding onto it, so it is important to start saving
early. Betty saved $150 for 40 years with APR 3% and ended up with $138,909.
Merriweather waits 20 years before she starts saving, and she only saves for 20 years.
However, because of her late start, Merriweather thinks saving twice as much as Betty each
month will give her an equal balance. But as you will discover, having money in the bank for
fewer years will earn less interest.

Answers

t is important to start saving early since every year your money is in the bank, interest is added onto it. Merriweather waited 20 years before starting to save, and she only saved for 20 years. However, because of her late start, Merriweather thinks saving twice as much as Betty each month will give her an equal balance.

But having money in the bank for fewer years will earn less interest. Betty saved $150 for 40 years with APR 3%, which resulted in $138,909. Since Merriweather waited 20 years to start saving, she missed out on a lot of compound interest. As a result, even if she saves twice as much as Betty each month for 20 years, she will not be able to accumulate the same amount of money.Based on the principle of compounding interest, the longer the money stays in the account, the more interest it earns.

Merriweather, in this scenario, will only have 20 years of compound interest working in her favor, whereas Betty had 40 years. As a result, Merriweather will not be able to accumulate the same amount of money even if she saves twice as much as Betty each month. Thus, it is always better to start saving early. It is a wise financial decision to start saving early. The principal of compounding interest states that every year your money is in the bank, interest is added onto it. Therefore, the longer the money stays in the account, the more interest it earns. This makes it important to start saving early, so that compound interest has a longer duration to work on the money saved. In the given scenario, Betty saved $150 for 40 years with an APR of 3%, and she ended up with $138,909. On the other hand, Merriweather waited 20 years before starting to save and she only saved for 20 years. However, she thought saving twice as much as Betty each month would result in an equal balance. Even if Merriweather saves twice as much as Betty each month for 20 years, she will not accumulate the same amount of money. This is due to the fact that she missed out on a lot of compound interest. Betty had 40 years of compound interest working for her while Merriweather only had 20. It is always better to start saving early to maximize compound interest and accumulate more wealth over time.

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Performance Appraisal Methods include of them except: A. Written essays B. Critical incidents C. Graphic rating scales D. Behaviorally anchored rating scales E. BARH once to be

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The performance appraisal methods include written essays, critical incidents, graphic rating scales, and behaviorally anchored rating scales, but they do not include BARH (the option E). BARH seems to be a typographical error and is not a recognized performance appraisal method.

Performance appraisal methods are tools or techniques used by organizations to evaluate and assess the performance of their employees. These methods help in providing feedback, identifying strengths and weaknesses, and making decisions related to promotions, rewards, and training needs. The listed options, written essays, critical incidents, graphic rating scales, and behaviorally anchored rating scales, are all commonly used performance appraisal methods.

1. Written essays: This method involves a written narrative evaluation of an employee's performance, usually completed by the supervisor. It provides a comprehensive assessment by describing the employee's strengths, weaknesses, achievements, and areas for improvement.

2. Critical incidents: This method focuses on specific incidents or events that demonstrate exceptional or subpar performance. Supervisors document and provide feedback on critical incidents to highlight performance patterns.

3. Graphic rating scales: This method utilizes predefined performance dimensions or criteria and assigns ratings or scores to each criterion. The supervisor assesses the employee's performance by indicating the extent to which they meet the defined criteria.

4. Behaviorally anchored rating scales (BARS): BARS combine elements of the narrative and rating scale methods. It uses specific behavioral examples to anchor performance ratings along a continuum. BARS provide more detailed and behavior-focused feedback.

In summary, while written essays, critical incidents, graphic rating scales, and behaviorally anchored rating scales are commonly used performance appraisal methods, BARH is not a recognized method.

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Consider the market for corn. Indicate whether each of the following events will cause a shift in the demand curve or a movement along the curve. If it will cause a shift, specify the direction. a. A drought hits corn-growing regions, cutting the supply of corn: [Movement lon b. The government announces a new subsidy for biofuels made from corn: Rightward shift c. A global recession reduces the incomes of consumers in poor countries, who rely on corn as a staple food (assuming corn is a normal good): Leftward shift。 d. A new hybrid variety of corn seed causes a 15 percent increase in the yield of corn per acre. Movement alon e. An advertising campaign by the beef producers' association highlights the health benefits of corn fed beef Rightward shift

Answers

a. Movement along the curve; b. Rightward shift in the demand curve; c. Leftward shift in the demand curve; d. Movement along the curve; e. Rightward shift in the demand curve.

Let's analyze each event and determine whether it causes a shift in the demand curve or a movement along the curve in the market for corn:

a. A drought hits corn-growing regions, cutting the supply of corn: This event affects the supply of corn, not the demand. It leads to a decrease in the quantity supplied and causes a movement along the demand curve, resulting in a higher price for corn and a lower quantity demanded.

b. The government announces a new subsidy for biofuels made from corn: This event affects the demand for corn. The subsidy encourages the production and consumption of biofuels made from corn, increasing the demand for corn. It causes a rightward shift in the demand curve, leading to a higher price and quantity of corn.

c. A global recession reduces the incomes of consumers in poor countries, who rely on corn as a staple food (assuming corn is a normal good): This event affects the demand for corn. The decrease in consumer incomes leads to a decrease in the demand for corn as it is a normal good. It causes a leftward shift in the demand curve, resulting in a lower price and quantity of corn.

d. A new hybrid variety of corn seed causes a 15 percent increase in the yield of corn per acre: This event affects the supply of corn. The increase in yield per acre leads to a higher quantity supplied at each price level, causing a movement along the demand curve.

e. An advertising campaign by the beef producers' association highlights the health benefits of corn-fed beef: This event affects the demand for corn. The advertising campaign promotes the consumption of corn-fed beef, increasing the demand for corn. It causes a rightward shift in the demand curve, leading to a higher price and quantity of corn.

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Intro The following table shows historical beginning-of-year prices for two stocks. с Stock B 4+ decimals Submit A 1 Year 2 2014 3 2015 4 2016 5 2017 2018 2019 2020 1600009 4+ decimals 7 8 Part 2 What was the variance for stock B? 2021 Part 1 Calculate the annual returns. What was the arithmetic average annual return for stock B? 2022 B Stock A 32.39 571.64 30.46 565.05 29.83 590.71 32.12 613.9 29.82 538.95 31.59 521.79 27.26 480.47 27.29 578.49 28.17 631.87 Attempt 1/10 for 10 pts. Attempt 1/10 for 10 pts. Part 3 What was the standard deviation for stock B? 3+ decimals Submit Part 4 What was the covariance of returns? 5+ decimals Submit Part 5 What was the correlation coefficient? 3+ decimals Submit Attempt 1/10 for 10 pts. Attempt 1/10 for 10 pts. Attempt 1/10 for 10 pts.

Answers

To calculate the required values, let's go through each part step by step:

Part 1: Calculate the annual returns for stock B.

To calculate the annual returns, we need to find the percentage change in the stock price from the beginning of the year to the end of the year. Here are the annual returns for stock B:

2014: (1600009 - 1600009) / 1600009 = 0 (0%)

2015: (2019 - 1600009) / 1600009 = 0.2625 (26.25%)

2016: (2020 - 2019) / 2019 = 0.000497 (0.0497%)

2017: (2022 - 2020) / 2020 = 0.000990 (0.0990%)

2018: (2021 - 2022) / 2022 = -0.000495 (-0.0495%)

2019: (578.49 - 2021) / 2021 = 1.855 (185.5%)

2020: (631.87 - 578.49) / 578.49 = 0.092 (9.2%)

Part 2: Calculate the arithmetic average annual return for stock B.

To calculate the arithmetic average, we sum up the annual returns and divide by the number of years:

(0 + 0.2625 + 0.000497 + 0.000990 - 0.000495 + 1.855 + 0.092) / 7 ≈ 0.307 (30.7%)

Part 3: Calculate the standard deviation for stock B.

The standard deviation measures the variability of returns. To calculate it, we need to find the deviations of each annual return from the average, square them, calculate the average of the squared deviations, and take the square root. Here are the steps:

- Calculate the deviations from the average: Subtract the average return from each annual return.

- Square the deviations.

- Calculate the average of the squared deviations.

- Take the square root of the average squared deviation.

The calculations are as follows:

Deviations: (-0.307, -0.0445, -0.307, -0.306, -0.3565, 1.547, -0.215)

Squared deviations: (0.094249, 0.001982, 0.094249, 0.093636, 0.12692, 2.394809, 0.046225)

Average squared deviation: (0.589355)

Standard deviation: √(0.589355) ≈ 0.767 (3 decimals)

Part 4: Calculate the covariance of returns.

To calculate the covariance, we need the returns of both stock A and stock B. Unfortunately, the returns for stock A were not provided, so it is not possible to calculate the covariance between the two stocks.

Part 5: Calculate the correlation coefficient.

Since we cannot calculate the covariance without the returns for stock A, it is also not possible to calculate the correlation coefficient between stock A and stock B.

Please note that the missing returns for stock A limit our ability to provide complete answers for parts 4 and 5 of the question.

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Suppose an industry with four firms 1) having the same constant marginal cost c₁ = C₂ = C3 = C4 = 4; 2) incurring no fixed cost of production; 3) producing a homogeneous good and choosing output simultaneously (i.e., being Cournot competitors); and 4) facing the linear inverse demand P = 10-Q with Q 91 +92 +93 +94. = Q9) Determine the quantity produced by firms 1 and 2 at the pre-merger equilibrium. Assume firm 1 merges with firm 4 and retains the name firm 1 leaving in the market firms 1, 2, and 3. The merger leads to synergies with the marginal cost of the merged firm becoming c₁ < 4. Q10) Determine the quantity produced by firms 1 and 2 at the the post- merger equilibrium (each firm's quantity will be a function of c₁). Q11) Determine the value for c₁ such that the merger becomes profitable. Q12) Determine the value for ₁ such that the price decreases post-merger.

Answers

PRE-MERGER EQUILIBRIUM: Q1 and Q2 will be 92.5 units each. POST-MERGER EQUILIBRIUM: Q14 = Q1 + Q4 and Q23 = Q2 + Q3 = 276 - Q1 - Q4. The value of c₁ will be 3.5. The value of c₁ is 3.5 and the value of ₁ is 34 such that the price decreases post-merger.

Given that the industry has four firms and each firm has a constant marginal cost, c₁ = C₂ = C3 = C4 = 4.There is no fixed cost of production, homogeneous good, and firms choose output simultaneously (being Cournot competitors) facing linear inverse demand, P = 10-Q with Q = 91 + 92 + 93 + 94. Let's solve the given question step by step.

PRE-MERGER EQUILIBRIUM: In the case of four firms, the total market demand is given by Q = 91 + 92 + 93 + 94 = 370The market price can be determined by P = 10 - Q = 10 - 370 = -360Since the marginal cost of all firms is equal, the Nash equilibrium strategy is such thatQ1 = Q2 = Q3 = Q4 = Q*/4 = 370/4 = 92.5 units. So, Q1 and Q2 will be 92.5 units each.

POST-MERGER EQUILIBRIUM: Suppose firm 1 merges with firm 4. So, after the merger, the firms left in the market will be 1, 2, and 3. The market demand remains the same as Q = 91 + 92 + 93 = 276. Marginal cost of the merged firm becomes c₁ < 4.Since firm 1 merged with firm 4, their combined output is Q14 = Q1 + Q4. Hence, the demand for firms 2 and 3 will be Q23 = Q - Q14 = 276 - Q1 - Q4. After the merger, the marginal cost of firm 1 becomes c₁. So, the profit for firms 1 and 2 can be calculated by using the below equations: Π1 = (P - c₁) Q1Π2 = (P - 4) Q2Where P = 10 - Q14 - Q23.On solving the above equation, the output level for firms 1 and 2 are given byQ1 = [118.5 - 0.5c₁ - 0.25Q4]Q2 = [75.5 - 0.25Q4]. Now, we need to find the equilibrium price and output levels post-merger .For the Nash equilibrium strategy, the output of each firm is such that it maximizes the profit of that firm, taking the output of the other firm as given. Differentiating both equations with respect to Q1 and Q2 and equating the derivative to zero, we getQ1 = [143 - c₁ - 0.5Q4]/3 Q2 = [100 - 0.5Q4]/2. Also, Q14 = Q1 + Q4 and Q23 = Q2 + Q3 = 276 - Q1 - Q4.

Determine the value for c₁ such that the merger becomes profitable. The merger becomes profitable when the sum of profits after the merger is greater than the profits of all firms before the merger. So,Π1 + Π4 > Π1 + Π4 + Π2 + Π3 => Π1 + Π4 - Π1 - Π4 - Π2 - Π3 > 0 => Π1 + Π4 - Π2 - Π3 > 0 On solving the above equation, the value of c₁ will be 3.5.

Determine the value for ₁ such that the price decreases post-merger. The equilibrium price post-merger is given by P = 10 - Q14 - Q23. Substituting the value of Q14 and Q23 from the previous equation, we get P = [442 - 2c₁ - 1.25Q4]/4If we want the price to decrease post-merger, then 2c₁ + 1.25Q4 > 442So, we need to choose c₁ and Q4 such that the above condition holds. For example, if we choose c₁ = 3.5 and Q4 = 34, then the price post-merger is given by P = [442 - 2(3.5) - 1.25(34)]/4 = 50/4 = 12.5. Hence, the value of c₁ is 3.5 and the value of ₁ is 34 such that the price decreases post-merger.

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Global Athletes Pty Ltd is a large sports goods retailer. It purchases ‘sweet spot’ badminton set rackets for $110 each from Sport Australia Pty Ltd, a large manufacturer of sports products. Sport Australia has an annual turnover of more than 30 Million and has an accruals basis accounting system. Global Athletes Pty Ltd plans to sell the badminton set rackets at a 200% mark-up to its customers. In January last year, it purchased 100 racquets. However, in April, it discovered that 10 of these racquets had design faults, and it returned them to the manufacturer and obtained a full refund. Explain the GST consequences of this arrangement for both parties.

(please answer in a clearly understanding way based on Australian law)

Answers

GST consequences of this arrangement for both parties: Goods and Services Tax (GST) is a value-added tax in Australia that applies to most goods and services exchanges.

It is a 10% tax on the price of most goods and services transactions, with some exceptions. For both parties, the GST consequences of this arrangement are as follows: For Global Athletes Pty Ltd
Global Athletes Pty Ltd will charge its customers a 200% markup, or $330 for each racket ($110 * 200%).

GST will be added to the price since the mark-up exceeds $100. As a result, the cost of each racket will be $363 ($330 + 10% GST). The tax, in this case, will be $33 ($330 * 10%).When returning the 10 racquets due to the design fault, the full purchase price of each racket ($110) will be refunded, but the GST paid on the purchase will not be refunded to Global Athletes Pty Ltd.

For Sport Australia Pty Ltd Sport Australia Pty Ltd is obliged to charge GST on the purchase of the badminton set rackets to Global Athletes Pty Ltd because the company is registered for GST. GST is included in the selling price of $110 for each racket.

As a result, the GST payable on the sale will be $10 ($110 * 10%).When Global Athletes Pty Ltd returns 10 racquets due to design flaws, Sport Australia Pty Ltd will issue a full refund for the purchase price of each racket ($110) and the GST payable on that amount ($10).

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what are two ways that regulatory compliance are dealt with in scrum

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In Scrum, regulatory compliance can be addressed in two ways.

1. During the project's inception phase, regulatory compliance should be planned and addressed in the initial product backlog so that regulatory compliance is considered from the beginning.

2. Regulatory compliance should be incorporated into each Sprint, and the team should ensure that the necessary regulatory compliance checks are completed.

This guarantees that the final product will comply with all relevant regulations.

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2nd attempt Suppose that an economy has a real GDP of $60,000 with autonomous consumption of $7,000. If the marginal proposensity to consume (MPC) is 0.80, what would be the total consumption?

Answers

The total consumption is $35,000.

The marginal propensity to consume (MPC) is 0.80.

The economy's real GDP is $60,000, and autonomous consumption is $7,000.

We are required to determine the total consumption.

Here's the solution to the problem:

Multiplier = 1/1-MPC

= 1/1-0.8

= 1/0.2

= 5

Autonomous consumption = $7,000

Therefore, Total consumption= Multiplier x Autonomous consumption

Total consumption = 5 x $7,000 = $35,000

Hence, the total consumption is $35,000.

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Performance expectations directed toward minimum levels of acceptable performance is a Bureaucratic. True or False?

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The statement "Performance expectations directed toward minimum levels of acceptable performance is a Bureaucratic." is false as they are not inherently bureaucratic.

A system of organization known as bureaucracy is characterized by rigid hierarchical structures, a focus on adherence to procedures and a host of other rules and regulations. While bureaucracy may have performance standards this is not what it means to set minimum standards of acceptable performance.

In many different industries and organizational settings, setting minimal performance standards is a common practice. It serves as a way to determine a performance threshold that is regarded as acceptable for people or groups. Both bureaucratic and non-bureaucratic contexts may contain these expectations.

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Restate key idea Outdoor and on-the-road eating increases the number of vacationing people strick Data obtained from a number of women clothing stores show that there is a (linear) relationship between sales (y, in dollars) and advertising budget (x, in dollars). The regression equation was found to bey = 5000+ 7.25xwhere y is the predicted sales value (in dollars). If the advertising budgets of two women clothing stores differ by $30,000, what will be the predicted difference in their sales?Select one: a. $150,000,000b. $222,500c. $5,000d. $7250e. $217,500 Give necessary and sufficient conditions for the following properties. (a) o(n) is odd (b) o(n) = n/2 (c) o(n) | n (d) v(n) is odd (e) v(n) = 4 (q13) You invest in a fund and it is expected to generate $3,000 per year for the next 5 years. Find the present value of the investment if the interest rate is 4% per year compounded continuously. 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And discuss the potential for including associated legal fees into the cost of acquiring Red-X using appropriate accounting standards. a company is considering purchasing a machine that costs $100,000 with no salvage value. the machine will provide net annual after-tax cash inflows of $20,000 per year and has a 10-year life. the corporation uses a discount rate of 12%. the discount factor for the present value of a single sum for 10 years in the future is .322. the discount factor for the present value of an annuity for 10 years is 5.65. what is the payback period? Name ONE type of leadership, presented in this course that is best to address ONE form of CHANGE discussed in this class (10 points total) *points deleted for exceeding word limit. (Word Limit is twenty-five words) which of the following is not an asset? select one: a. retained earnings b. computer equipment c. investments d. land held for future use other things being equal, as the sample size used to obtain a confidence interval increases, the margin of error _____________. At 10 units of output, a firm's total fixed cost is $60,000. If the firm's total cost is $100,000, its average variable cost is equal to $4,000 $40,000 $160,000 $0 $6,000 I have income of 123. If a value added tax of 0.3 is applied to all goods, it is the equivalent of a reduction of this question, a tax of 0.1 means 10%, a tax of 0.2 means 20%, and so on.) in income. Generally, an organization should use the same type of forecasting models for all of their products, regardless if they are new product innovation ideas or already existing products.TRUE or FALSE: transparency? It's the leadership of the business. Transparency must start at the top. In order for a business to be transparent, its people need to be transparent. A culture of transparency takes shape when leaders intentionally manifest their own personal transparency, and encourage it in the attitudes and behaviors of their team members. In other words, transparency starts with 7 people. When an organization's people are transparent, then the organization is ready to follow. Transparency is one of those subtle things that can make a dramatic impact on a business. Yes, it will impact your bottom line. But that's not the whole point. The point is that it helps everyone do business better - you, your clients, your team member. This expectation for transparency has extended beyond personal interactions and is now a reality in business. Across all industries, transparency has never been more important to a successful business model. Withholding or cleverly reshaping information is no longer a viable option for this new era of consumers who are savvier than any generation before them and for whom skepticism seems to be a default setting. In order to build brand loyalty, companies need to first build trust. Questions a) Why does trust relate to business ethics? Which role does trust plays in business ethics? b) What would be the negative impacts on losing trust from stakeholders? c) If you are a Leader, provide few practices to gain trust from others in order to promote ethical behavior in the organizations or workplace. d) Do you think will there be disadvantages of Building Trust at Work? If yes, brief with reasons. 2.3. what is the theory that professor hayes and dr. kim park are working on to predict when an earthquake is about to occur? using amperes law, determine the magnitude of the magnetic field: