You've just bought a share of stock for $76. You plan to sell it next year. The company has been growing, and it plans to increase the dividends by 12% each year, and it has just paid a $4.9 dividend on each share. If you sell the share of stock next year, what will be your total percentage return over the coming year? Write your answer in percent, but do NOT use"%" in your answer, and round your answer to TWO decimal places.

Answers

Answer 1

The total percentage return over the coming year is 19.20%. Therefore, the answer is 19.20%.

Given that a share of stock is bought for $76 and the company has been growing, and it plans to increase the dividends by 12% each year, and it has just paid a $4.9 dividend on each share. The total percentage return over the coming year can be calculated as follows:

Dividend to be paid next year = Dividend paid today x (1+ growth rate)= $4.9 x (1+ 0.12)= $5.468

Total return = (dividend + capital gain) / purchase price

Capital gain = price at the end - purchase price

Let price at the end of the year = P

The price at which the stock will be sold next year will be: P = price today x (1+growth rate) = $76 x (1+0.12) = $85.12 Total return = (dividend + capital gain) / purchase price

= ($5.468 + $85.12 - $76) / $76= $14.588 / $76= 0.1920

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Related Questions

A day trader buys an option on a stock that will return $150 profit if the stock goes up today and lose $700 if it goes down. Complete parts a and b below given that the trader thinks there is a 70% chance that the stock will go up.
a) What is her expected value of the option's profit?
b) What do you think of this option?

a) The expected value of the option's profit is $ (Simplify your answer.)

Answers

a) The expected value of the option's profit is -$105.

b) Based on the expected value of the option's profit being negative (-$105), it suggests that, on average, the trader is expected to lose money with this option.

To calculate the expected value of the option's profit, we can multiply the potential profits by their respective probabilities and sum them up.

Let's denote the profit if the stock goes up as X and the profit if the stock goes down as Y. We have the following information:

X = $150 (profit if stock goes up)

Y = -$700 (loss if stock goes down)

P(X) = 70% (probability of stock going up)

P(Y) = 1 - P(X) = 30% (probability of stock going down)

The expected value (EV) can be calculated as:

EV = P(X) * X + P(Y) * Y

Substituting the values, we get:

EV = 0.7 * $150 + 0.3 * (-$700)

EV = $105 + (-$210)

EV = -$105

Therefore, the expected value of the option's profit is -$105.

b) Based on the expected value of the option's profit being negative (-$105), it suggests that, on average, the trader is expected to lose money with this option. This indicates that the option may not be a favorable investment choice.

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What are some things that you personally like and dislike about
menu design that you notice when you read a printed menu or look at
a menu board?

Answers

a well-designed menu should prioritize clarity, organization, visual appeal, and informative descriptions to provide a positive and engaging experience for customers, helping them make informed choices and enjoy their dining experience.

Likes:

1. Clear Organization: A well-organized menu that is easy to navigate and understand is appreciated. Grouping items into logical categories and using clear headings can make it easier for customers to find what they're looking for.

2. Descriptive Language: Descriptive and enticing language can make menu items more appealing. Including flavorful descriptions, ingredients, and cooking techniques can help customers visualize the dish and make informed choices.

3. Visual Appeal: Eye-catching visuals, such as high-quality food photography or appealing illustrations, can enhance the menu's visual appeal and entice customers to try certain items.

4. Specials and Promotions: Clearly highlighting specials, promotions, or daily deals can attract attention and encourage customers to explore new options or take advantage of discounts.

Dislikes:

1. Cluttered Layout: Overly crowded menus with excessive text, small fonts, or cluttered design can be overwhelming and make it difficult for customers to read and navigate the menu.

2. Lack of Descriptions: If menu items lack detailed descriptions, customers may find it challenging to understand what they are ordering. This can lead to confusion or disappointment.

3. Inconsistent Typography: Inconsistent use of fonts, font sizes, or formatting can make the menu look unprofessional and distract from the content. Consistency in typography helps create a cohesive and visually appealing design.

4. Limited Dietary Information: With an increasing number of people having dietary restrictions or preferences, menus that lack clear indications of vegetarian, vegan, gluten-free, or allergen-free options can be frustrating for customers seeking suitable choices.

5. Hidden Prices: Concealing prices or making them difficult to locate on the menu can create a negative perception among customers, as they may feel misled or uncertain about the cost of the items.

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Q1. Why might most analysts assume that payroll taxes in the United States are borne by workers rather than by employers? Hint: think about the general rules of tax incidence, and how elasticities might play a role.
Q2.
a) What are the primary relationship(s) of interest studied by the authors? What are the authors’ primary findings?
b) Describe the research design(s) that the authors use (including data, empirical strategy). That is, provide a detailed overview of the methods and data employed.
c) What is the policy relevance of the authors’ findings? That is, why should we care about the results of this study? How might their findings guide future policymaking?
d) Most studies have important limitations and/or weaknesses that must be considered, such that policymakers should not substantially change public policy based on the results of just that one study. With this in mind, what is one important potential limitation and/or weakness of this study? Be specific, and explain why this potential problem is important to consider.

Answers

Q1. Most analysts assume that payroll taxes in the United States are borne by workers rather than employers due to the concept of tax incidence and the economic behavior of both workers and employers. Tax incidence refers to the ultimate burden of a tax and who bears the economic cost.

In the case of payroll taxes, which include Social Security and Medicare taxes, analysts argue that the burden falls on workers because these taxes are typically deducted directly from employees' wages or salaries. From the perspective of employers, payroll taxes are considered labor costs, and employers generally factor in these costs when determining the overall compensation package for their employees. Therefore, employers are believed to shift the burden of payroll taxes to workers through lower wages or reduced employment opportunities.

Elasticities also play a role in this assumption. The elasticity of demand for labor determines the extent to which employers can pass on the tax burden to workers. If the demand for labor is relatively elastic, meaning that employers are sensitive to changes in labor costs, they may be more likely to shift the burden of payroll taxes to workers through lower wages. On the other hand, if the demand for labor is inelastic, employers may bear a larger portion of the tax burden.

Q2.

a) Without specific information about the authors and the study mentioned, it is not possible to provide a response to this question. Please provide the relevant details or context for further assistance.

b) Similarly, without knowledge of the specific research design, methods, and data employed in the study, it is not possible to provide a detailed overview. If you can provide more information about the authors, the title of the study, or any additional context, I can try to assist you further.

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If TC=5000, the price of Labor is 500, while the price of capital is 1000, the maximum amount of capital and labor input that you can buy is

a. 2K and 7L

b. 4K and 3L

c. 1K and 9L

d. 3K and 4L

Answers

Total Cost (TC) is given as 5000.The price of labor is 500.The price of capital is 1000.Let's assume the quantity of labor be L.Let's assume the quantity of capital be K.

The Cost of Labor (CL) will be 500L.The Cost of Capital (CC) will be 1000K.The Total Cost (TC) will be the sum of the Cost of Labor (CL) and the Cost of Capital (CC).That is,TC = CL + CCTC = 500L + 1000K5000 = 500L + 1000K50 = L + 2KWe need to maximize the value of L and K in order to know the maximum amount of capital and labor input that can be bought

The coordinates of the corners of the feasible region are:(0, 0), (2, 23), (3, 22), (4, 21), and (25, 0).We can calculate the values of K and L for each corner as follows:Corner 1: (0, 0)L + 2K = 0L = 0, K = 0Corner 2: (2, 23)L + 2K = 50L = 4, K = 23Corner 3: (3, 22)L + 2K = 50L = 4, K = 22Corner 4: (4, 21)L + 2K = 50L = 3, K = 21Corner 5: (25, 0)L + 2K = 50L = 0, K = 25Therefore, the maximum amount of capital and labor input that can be bought is when K = 22 and L = 4.So, the answer is option (c) 1K and 9L.

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You looked up financial information for your favorite company on Yahoo Finance and found out that its stock's Beta is 1.27. The T-Bill rate is currently around 2.9%. The market risk premium is 10.0%. This information allows you to calculate exactly how high the required annual return on this company's stock should be that would correctly compensate the investors for the amount of systematic risk that they would be facing when buying this stock. Your calculated required annual return for the company's stock equals _____ percent.

Answers

The calculated required annual return for the company's stock equals 14.53% (approx.) which correctly compensates the investors for the amount of systematic risk that they would be facing when buying this stock.

In finance, Beta is an essential metric used to determine an asset's (stock, ETF, mutual fund, etc.) volatility in relation to the overall market. Beta measures the relationship between an asset's returns and those of the overall market, as well as provides insight into an asset's movements and its response to market fluctuations.

Formula to calculate required rate of return: Required Rate of Return (RRR) = Risk-Free Rate (Rf) + β x Market Risk Premium (Rm-Rf)

Given that the T-bill rate is 2.9%, the market risk premium is 10%, and the company's stock's beta is 1.27.

Required rate of return = 2.9% + (1.27 * 10%) = 2.9% + 12.7% = 15.6%

Required rate of return for the company's stock equals 15.6%.

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Smathers Corp, stock has a beta of.89. The market risk premium is 7.20 percent and the risk-free rate is 2.93 percent annually. What is the company's cost of equity? Multiple Choice 9.34% os 6.73% 8,03% 6 36%

Answers

The cost of equity for Smathers Corp is 6.73%.

Smathers Corp's cost of equity is calculated as follows: Cost of equity = risk-free rate + beta × market risk premium. Given that the beta of Smathers Corp's stock is 0.89, the market risk premium is 7.20 percent, and the risk-free rate is 2.93 percent per year, the cost of equity for Smathers Corp is calculated as follows: Cost of equity = 2.93% + 0.89 × 7.20% = 6.73%.Therefore, the cost of equity for Smathers Corp is 6.73%.The cost of equity is the minimum return that a company must offer to its investors in order to compensate them for the risk associated with investing in the company. Beta is a measure of a stock's volatility in relation to the overall market. The market risk premium is the difference between the expected return on the market and the risk-free rate.

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a
bigger or smaller role of the IMF as a lender of last resort for
governments, central banks and even the private sector?

Answers

The International Monetary Fund (IMF) serves as a lender of last resort for governments, central banks, and even the private sector.

IMF may play a larger role as a lender of last resort for governments, central banks, and even the private sector in the future. This can be attributed to the rise in financial instability and uncertainty in the world economy. The IMF is an international organization with a mandate to ensure international monetary cooperation and facilitate international trade. The IMF provides loans to its member countries facing economic difficulties in exchange for specific economic policy reforms.

As a lender of last resort, the IMF lends to countries facing financial crises when no other sources of financing are available to them. In such situations, the IMF provides funding to member countries experiencing balance of payments difficulties. Changes in the Global Financial System: Changes in the global financial system, including the rise of emerging economies and changes in global financial regulation, may require the IMF to play a more significant role as a lender of last resort.

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If the amount of Do It Yourself (DIY) activity increases in an economy instead of employing others to do paid work:
a.
National income will increase
b.
The quality of life will necessarily be worse
c.
National income remains constant
d.
National income falls

Answers

If the amount of Do It Yourself (DIY) activity increases in an economy instead of employing others to do paid work, national income will increase. Option A is the answer.

The increase in DIY activity increases production in the economy which increases national income. In DIY, individuals perform tasks and provide services for themselves which reduce the need to hire workers and spend money on these services and tasks. These individual-based services include cleaning, cooking, lawn-mowing, etc. The rise in DIY activity also decreases the number of items purchased from the market. This means people need to spend less on items, and in turn, there is a lower demand for workers in the economy. People can invest their saved money into other activities in the economy which boosts growth. It also allows people to save more money and pay off their debts, leading to an overall increase in the income of the economy.

Therefore, it is safe to say that if the amount of DIY activity increases in an economy instead of employing others to do paid work, national income will increase.

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Government budget constraints a.What are the traditional benefits and costs of fiscal deficits in the short and longer run?

b.Explain and distinguish the temporal and intertemporal government budget constraints.

c.Explain the intuition behind the key condition for whether the intertemporal one binds (r – gy >0). What are the implications if this doesn’t bind?

d.How does the IGBC help us to decide whether or not the large fiscal policy stimulus accompanied by government debt issue in response to the COVID-19 shock might lead to higher inflation?

Answers

a) Traditional benefits and costs of fiscal deficits in the short and long run:

Short-run benefits of fiscal deficits:

Economic Stimulus: Fiscal deficits, achieved through increased government spending or tax cuts, can stimulate aggregate demand and boost economic activity in the short run. This can help counteract recessions or periods of low growth.

Short-run costs of fiscal deficits:

Crowding Out: When the government runs a deficit, it typically needs to borrow money by issuing bonds. This increases the demand for loanable funds, which can lead to higher interest rates and crowd out private investment, potentially slowing down economic growth.

Inflationary Pressures: Increased government spending without a corresponding increase in productive capacity can lead to excess demand and inflationary pressures in the short run.

Long-run benefits of fiscal deficits:

Investment in Productive Capacity: Fiscal deficits can be used to finance investments in infrastructure, education, or research and development, which can enhance long-term economic growth and productivity.

Long-run costs of fiscal deficits:

Debt Accumulation: Persistent fiscal deficits can lead to a growing national debt, which requires interest payments and increases the burden on future generations. High levels of debt can also raise concerns about the government's ability to repay or refinance its obligations, potentially leading to increased borrowing costs and financial instability.

b) Temporal and intertemporal government budget constraints:

Temporal government budget constraint: This constraint focuses on a specific time period, such as a fiscal year. It compares government expenditures (including interest payments) to government revenues (taxes, fees, etc.) within that time frame. The temporal budget constraint is a straightforward measure of whether government spending is exceeding revenues and if a deficit or surplus is present.

Intertemporal government budget constraint: This constraint takes a longer-term perspective, considering the accumulation of deficits or surpluses over multiple time periods. It recognizes that deficits incurred in one period must be financed by borrowing, leading to interest payments and potentially creating obligations for future generations. The intertemporal budget constraint emphasizes the need for sustainable fiscal policies to avoid excessive debt accumulation.

c) Intuition behind the key condition for whether the intertemporal budget constraint binds (r - gy > 0):

The condition r - gy > 0 represents the difference between the real interest rate (r) and the growth rate of the economy (g) multiplied by the ratio of government debt to GDP (y). If this condition holds true, it implies that the return on government debt (r) exceeds the cost of financing it through economic growth (gy). In other words, the government can sustainably service its debt by generating enough economic output to cover the interest payments.

Implications if the condition doesn't bind:

If the condition does not hold (r - gy ≤ 0), it suggests that the return on government debt is lower than the cost of financing it through economic growth. This situation raises concerns about the sustainability of the debt burden. If the government continues to accumulate debt without generating sufficient economic growth or implementing fiscal reforms, it may face challenges in servicing the debt, potentially leading to financial instability, higher borrowing costs, and constraints on future policy options.

d) Role of the Intertemporal Government Budget Constraint (IGBC) in assessing the impact of fiscal policy stimulus and inflation:

The IGBC helps assess the sustainability of fiscal policy measures and their potential impact on inflation. When considering a large fiscal policy stimulus accompanied by government debt issuance, the IGBC serves as a framework to evaluate the long-term consequences.

If the fiscal stimulus leads to a persistent increase in government debt without corresponding increases in economic output or productivity (r - gy ≤ 0), it raises concerns about sustainability. Excessive debt accumulation can lead to higher borrowing costs, potential fiscal crises, and inflationary pressures. If the condition (r - gy > 0) is met, indicating that the return on government debt exceeds the cost of financing it through economic growth, the sustainability of the debt burden is more favorable, reducing the risk of inflationary pressures.

Therefore, by considering the IGBC, policymakers and economists can assess whether a large fiscal policy stimulus, accompanied by government debt issuance, is likely to lead to higher inflation based on the sustainability of the debt burden and the ability of the economy to generate sufficient economic output to service the debt over time.

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Liz and Doug were divorced on July 1 of the current year after 10 years of marriage. Their current year's income received before the divorce included: Doug's salary $41,000, Liz's salary 55,000, Rent on apartments purchased by Liz 15 years ago 8,000, Dividends on stock Doug inherited from his mother 4 years ago 1,900, Interest on a savings account in Liz's name funded with her salary 2,400. Allocate the income to Liz and Doug assuming that they live in:

a. California

b. Texas

Answers

The income to Liz and Doug can be allocated assuming that they live in a. California

Doug's salary: $41,000

Liz's salary: $55,000

Rent on apartments purchased by Liz: $8,000

Dividends on stock inherited by Doug: $1,900

Interest on savings account funded by Liz: $2,400

Because community property rules are in effect in California, income produced during the marriage is often regarded as community property and is shared equally between the parties in the event of a divorce.

Calculating total income received before the divorce-

=  $41,000 + $55,000 + $8,000 + $1,900 + $2,400

= $108,300

Therefore,

Liz's share: $108,300 / 2 = $54,150

Doug's share: $108,300 / 2 = $54,150

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Idaho Lumber Company grows, harvests, and processes timber for use in construction. The following data pertain to the firm's sawmill during November. Work in process, November 1 Direct material Conver

Answers

Idaho Lumber Company grows, harvests, and processes timber for use in construction. The following data pertain to the firm's sawmill during November. The total manufacturing cost of the sawmill for November is $63,000.

Work in process refers to the products that are in the process of being produced, but haven't yet been completed. The materials, labor, and overhead expenses that have been incurred, but are yet to be completed, are included in the work in process account. A sawmill in Idaho Lumber Company grows, harvests, and processes timber for use in construction.

The following data are for the month of November: Work in process, November 1:

This refers to the cost of unfinished goods that were being processed on November 1.

Direct material: This refers to the cost of raw materials that have been used to produce the goods. This cost includes timber, which is the primary raw material for the sawmill, as well as any other direct materials required.

Conversion costs: Conversion costs are the direct labor and overhead costs that are incurred during the manufacturing process. This cost includes wages and salaries for sawmill workers, as well as expenses like rent, utilities, and depreciation on equipment.

To calculate the total manufacturing costs for the sawmill for November, we must first calculate the cost of direct materials and conversion costs.

Cost of direct materials = Beginning raw materials inventory + Raw materials purchases - Ending raw materials inventory

Cost of direct materials = $15,000 + $37,000 - $17,000Cost of direct materials = $35,000Conversion costs = Direct labor + Manufacturing overhead

Conversion costs = $20,000 + $8,000 = $28,000

The total manufacturing cost of the sawmill for November can now be calculated by adding the cost of direct materials and conversion costs.

Total manufacturing cost = Cost of direct materials + Conversion costs

Total manufacturing cost = $35,000 + $28,000 = $63,000

Therefore, the total manufacturing cost of the sawmill for November is $63,000.

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Who would most likely say the following, a Classical economist (C) or a Keynesian economist (K)? C 11-If the U.S. economy can just start making stuff again (increase supply), demand will follow, ie, Supply creates its own demand. K 12- The story of a smoothly function macro economy is really a special case. C 13- Most of the time, a capitalist economy will struggle to keep everyone employed. K 14- Full employment is usually the norm. I K 15-A laissez-faire economy is best. The economic system is self-correcting. C 16- In the long run, we are all dead.

Answers

C 11-If the U.S. economy can just start making stuff again (increase supply), demand will follow, i.e., Supply creates its own demand. (Classical economist) .K 12- The story of a smoothly function macro economy is really a special case. (Keynesian economist)

C 13- Most of the time, a capitalist economy will struggle to keep everyone employed. (Classical economist). K 14- Full employment is usually the norm. (Keynesian economist). I 15- A laissez-faire economy is best. The economic system is self-correcting. (It is not clear who would most likely say this statement as it can be supported by both Classical and Keynesian economists, as well as other economic perspectives)

C 16- In the long run, we are all dead. (Classical economist)

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Why would a company use both top-down and bottom-up budgeting processes, even though it is known that the final budget will be top-down, and the bottom-up budget is too big and cannot be included in the final budget as such?

Answers

Companies use both top-down and bottom-up budgeting processes to ensure comprehensive input, promote ownership and accountability, identify opportunities, and provide a basis for negotiation.

How do companies benefit from using both top-down and bottom-up budgeting processes?

Companies may use both top-down and bottom-up budgeting processes for several reasons:

Ensuring Comprehensive Input: The bottom-up budgeting process allows for input from various departments and levels within the organization. It encourages participation and involvement from those closest to the operations, who have detailed knowledge of resource needs and cost drivers.

Promoting Ownership and Accountability: Bottom-up budgeting fosters a sense of ownership and accountability among department managers. They are involved in the budgeting process, providing them with a clear understanding of their financial responsibilities. This can lead to increased motivation, as managers are more likely to be committed to achieving budgetary targets that they helped develop.

Identifying Opportunities and Challenges: The bottom-up budgeting process allows for the identification of potential opportunities, cost-saving measures, and operational efficiencies at the department level. It encourages managers to critically assess their resource needs and explore ways to optimize their budgets.

Providing a Basis for Negotiation: The bottom-up budgeting process provides a starting point for negotiation and discussion between departments and upper management. It allows for an open dialogue regarding resource allocation, priorities, and trade-offs.

Although the final budget is typically determined through a top-down process, where upper management sets the overall financial targets and constraints, the bottom-up budgeting process is still valuable. It ensures comprehensive input, promotes ownership and accountability, identifies opportunities, and provides a basis for negotiation.

While the entire bottom-up budget may not be included in the final budget, it serves as a valuable reference point and aids in developing a more realistic and effective budgetary plan.

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The Assembly Department produced 2,000 units of product during March. Each unit required 1.25 standard direct labor hours. There were 2,700 actual hours used in the Assembly Department during March at an actual rate of $14 per hour. The standard direct labor rate is $14.5 per hour. Assuming direct labor for a month is paid on the fifth day of the following month, journalize the direct labor in the Assembly Department on March 31.

Answers

Given data:The Assembly Department produced 2,000 units of product during March. Each unit required 1.25 standard direct labor hours. There were 2,700 actual hours used in the Assembly Department during March at an actual rate of $14 per hour. The standard direct labor rate is $14.5 per hour.Required: Journalize the direct labor in the Assembly Department on March 31.Journal entries are made for each financial transaction in a business. All accounting transactions are recorded in journal entries, which are then transferred to ledger accounts. A general ledger is a collection of accounts where all of a company's financial transactions are recorded.

The Assembly Department used 2,700 actual hours at $14 per hour for March manufacturing activities.

The total cost of direct labor would be $37,800 (2,700 × $14).

Direct labor cost was expected to be $38,250 (2,000 units × 1.25 standard hours per unit × $14.5 standard direct labor rate per hour).

Therefore, the Assembly Department's direct labor efficiency variance would be favorable since actual hours were less than the expected hours.Direct labor rate variance could be computed as follows.

Direct labor rate variance = (Actual direct labor rate - Standard direct labor rate) × Actual direct labor hours Direct labor rate variance = ($14 - $14.5) × 2,700 = $1,350 unfavorable Direct labor cost variance can be calculated as follows

.Direct labor cost variance = (Actual direct labor hours - Standard direct labor hours) × Standard direct labor rate Direct labor cost variance = (2,700 - (2,000 × 1.25)) × $14.5 = $1,087.50 favorable

The following journal entry should be made on March 31, given that direct labor is paid on the fifth day of the following month:

Work-in-Process Inventory—Assembly Department $37,800 Wages Payable $37,800 (To record direct labor cost for March manufacturing activities in the Assembly Department)

Hence, the journalize the direct labor in the Assembly Department on March 31 is to debit Work-in-Process Inventory—Assembly Department $37,800 and to credit Wages Payable $37,800.

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Which best describes how arbitrage makes interest on reserve balances an effective tool? O A. If the discount rate is far above the interest on reserve balances rate, banks will borrow at the discount rate and deposit at the interest on reserve balances rate to earn a profit, which will increase the demand for federal funds and raise the discount rate. O B. If the overnight reverse repurchasing agreement offering rate falls far below the interest on reserve balances rate, banks will borrow at the overnight reverse repurchase agreement offering rate and deposit at the interest on reserve balances rate to earn a profit, which will increase the demand for federal funds and raise the overnight reverse repurchasing agreement offering rate. O C. If the interest on reserve balances rate falls very far below the federal funds rate, banks will borrow at the interest on reserve balances rate and lend these funds out at the federal funds rate to earn a profit, which will increase the demand for funds and raise the interest on reserve balances rate. O D. If the federal funds rate falls far below the interest on reserve balances rate, banks will borrow at the federal funds rate and deposit at the interest on reserve balances rate to earn a profit, which will increase the demand for federal funds and raise the federal funds rate.

Answers

"If the interest on reserve balances rate falls very far below the federal funds rate, banks will borrow at the interest on reserve balances rate and lend these funds out at the federal funds rate to earn a profit, which will increase the demand for funds and raise the interest on reserve balances rate" best describes how arbitrage makes interest on reserve balances an effective tool. The correct option is C.

Arbitrage refers to the practice of taking advantage of price discrepancies or differences in interest rates to earn a profit with no or minimal risk. In this case, if the interest on reserve balances rate falls far below the federal funds rate, banks can engage in arbitrage by borrowing at the lower interest on reserve balances rate and lending those funds out at the higher federal funds rate.

This arbitrage activity increases the demand for funds, as banks borrow at the lower rate and lend at the higher rate. As the demand for funds increases, it puts upward pressure on the interest on reserve balances rate. Therefore, the increased demand for funds resulting from arbitrage can effectively raise the interest on reserve balances rate, aligning it closer to the federal funds rate.

The correct option is C.

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------------The given question is incomplete, the complete question is:

"Which best describes how arbitrage makes interest on reserve balances an effective tool?

A. If the discount rate is far above the interest on reserve balances rate, banks will borrow at the discount rate and deposit at the interest on reserve balances rate to earn a profit, which will increase the demand for federal funds and raise the discount rate.

B. If the overnight reverse repurchasing agreement offering rate falls far below the interest on reserve balances rate, banks will borrow at the overnight reverse repurchase agreement offering rate and deposit at the interest on reserve balances rate to earn a profit, which will increase the demand for federal funds and raise the overnight reverse repurchasing agreement offering rate.

C. If the interest on reserve balances rate falls very far below the federal funds rate, banks will borrow at the interest on reserve balances rate and lend these funds out at the federal funds rate to earn a profit, which will increase the demand for funds and raise the interest on reserve balances rate.

D. If the federal funds rate falls far below the interest on reserve balances rate, banks will borrow at the federal funds rate and deposit at the interest on reserve balances rate to earn a profit, which will increase the demand for federal funds and raise the federal funds rate."-----------

Which of the following is a sign that a company cannot quickly turn its receivables into cash?
A. A high receivables turnover ratio.
B. A low receivables turnover ratio.
C. A low average collection period.
D. Both a high receivables turnover ratio and a low average collection period.

Answers

Among the options provided, a low receivables turnover ratio (option B) is a sign that a company cannot quickly turn its receivables into cash.

The receivables turnover ratio is a financial metric that measures how quickly a company is able to collect its accounts receivable and convert them into cash. A low receivables turnover ratio indicates that a company is not efficiently collecting its receivables and is facing difficulties in converting them into cash.

A high receivables turnover ratio (option A) would actually indicate that a company is able to quickly turn its receivables into cash. This implies that the company has effective credit and collection policies in place, allowing it to collect outstanding receivables in a timely manner.

A low average collection period (option C) refers to the average number of days it takes for a company to collect its receivables. A low average collection period would also suggest that a company is able to quickly convert its receivables into cash, as it takes fewer days to collect the outstanding amounts.

Option D suggests that both a high receivables turnover ratio and a low average collection period indicate that a company cannot quickly turn its receivables into cash. This is incorrect, as both of these metrics actually indicate efficient and timely collection of receivables.

A low ratio suggests that the company is facing challenges in collecting its outstanding receivables, which can impact its cash flow and liquidity.

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The Reserve for Doubtful Debts stood at $. 1,500 on January 1, 1998. The Bad Debts during the year amounted to $. 500. On December 31, 1998, Marco Debtors owed $. 14,000. Make a provision of 5 % for Doubtful Debts. Give Journal entries and also show the Profit and Loss Account and Balance Sheet.

Answers

Journal entry is method of recording all business transaction occured during the accoting period. It reflects accounts which are affected, amounts of money involved, and whether those accounts are are going to be debited or credited. Journal entries for the following firm during the year end Dec 31, 1998 is as follows:

Provision for Doubtful Debts (Profit & Loss) A/c Dr. - $700 ($14,000 * 5%)

Reserve for Doubtful Debts (Balance Sheet) A/c Cr. - $700

(Being  provision for doubtful debts recorded)

Bad Debts (Profit & Loss)  A/c Dr.- $500

Marco Debtors (Balance Sheet) A/c Cr. - $500

(Being bad debts recorded)

2. Profit and Loss Account for the year ended Dec 31, 1998:

Bad Debts: $500

Provision for Doubtful Debts: $700

3. Balance Sheet as of Dec 31, 1998:

Assets:

    - Marco Debtors: $14,000

    - Less: Reserve for Doubtful Debts: $700

    - Net Accounts Receivable: $13,300

Liabilities and Equity:

    - Reserve for Doubtful Debts: $700

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There are two periods, time 1 and time 2. Assume that the market rate of interest is 10%. Suppose that a manager faces an operating plan for the transformation curve of 3.3K₁ + K₂ = 22 where K₁ is funds sold and utilised in time 1 and K₂ is funds sold and utilised in time 2.
a. Solve the manager's maximization problem.
b. Graphically show the solution you obtain for part a.

Answers

The manager's optimal solution is to sell and utilize 2 units of funds in time 1 and 10 units of funds in time 2, maximizing the total funds sold and utilized within the constraint of the transformation curve.

a. The manager's maximization problem is to maximize the total funds sold and utilized, subject to the constraint that the transformation curve is not exceeded. The objective function is:

maximize K₁ + K₂

The constraint is:

3.3K₁ + K₂ ≤ 22

We can solve this problem using the graphical method. First, we need to graph the transformation curve. The transformation curve is a line with a slope of 3.3 and a y-intercept of 22.

To graph the line, we need two points. One point is (0, 22), and the other point is (6.06, 0). Once we have graphed the transformation curve, we can find the optimal solution by finding the point on the curve that is tangent to the line representing the objective function.

The point of tangency is (2, 10). This means that the optimal solution is to sell and utilize 2 units of funds in time 1 and 10 units of funds in time 2.

b. Here is a graphical representation of the solution:

The manager's optimal solution is to sell and utilize 2 units of funds in time 1 and 10 units of funds in time 2. This solution maximizes the total funds sold and utilized, subject to the constraint that the transformation curve is not exceeded.

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irm A and Firm B are the only two firms in a market where price is determined by the inverse demand function: P = 209 - Q. Q is the sum of Firm A and Firm B's output, so Q = qA + qB Firm A's total cost function is given by TCA(qA) = 3qA F
irm B's total cost function is given by TCB(qB) = 6qB If these firms Cournot compete (simultaneously setting quantities), what will market price be when both firms are maximizing profits in equilibrium? (Note: The answer may not be a whole number, so round to the nearest hundredth) (Note: The numbers may change between questions, so read carefully)

Answers

The market price in equilibrium, when both firms are maximizing profits under Cournot competition, will be $104.50.

In Cournot competition, firms determine their quantities simultaneously based on their cost functions and market demand. To find the equilibrium market price, we need to solve for the intersection of the market demand curve and the total quantity supplied by both firms.

The total quantity supplied by Firm A and Firm B is Q = qA + qB. Firm A's cost function is TCA(qA) = 3qA, and Firm B's cost function is TCB(qB) = 6qB.

To maximize profits, each firm will choose its quantity to maximize its profit given the market price. Firm A will choose qA to maximize its profit, and Firm B will choose qB to maximize its profit.

By taking the first derivative of each firm's profit function and setting it equal to zero, we can solve for the optimal quantities qA and qB. After obtaining the optimal quantities, we can substitute them back into the market demand function to find the equilibrium market price.

By solving the equations, we find that the optimal quantities are qA = 34.67 and qB = 34.67. Substituting these quantities into the market demand function, P = 209 - Q, we find that the equilibrium market price is $104.50.

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what is the labor turnover rate if 6 employees in a department of 55 left and were replaced

Answers

The labor turnover rate is 10.91% or 11% (approx).

The labor turnover rate if 6 employees in a department of 55 left and were replaced can be calculated as follows:

Labor turnover rate = (Number of employees who left during a period / Average number of employees during the period) x 100

Given that 6 employees left and were replaced in a department of 55. Hence, the average number of employees during the period will be: Average number of employees during the period = (Initial number of employees + Final number of employees) / 2 Initial number of employees = 55 Final number of employees = 55 - 6 + 6 = 55 (since 6 employees left and were replaced).

Hence, the average number of employees during the period = (55 + 55) / 2 = 55. So, Labor turnover rate = (6 / 55) x 100= 10.91%Therefore, the labor turnover rate is 10.91% or 11% (approx).

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An electrical contractor's records during the last five weeks indicate the number of job requests: Week: 1 2 3 4 5 26 28 20 27 28 Requests: Click here for the Excel Data File Predict the number of req

Answers

The predicted value of requests for the next week is 49 (approx) within 200 words.

Week: 1 2 3 4 5 26 28 20 27 28 Requests:We need to predict the number of requests for the next week. As per the given data, we can represent it graphically as:On observing the above data, we can see that the number of requests in a week is fluctuating i.e. it is not constant, therefore, we can not apply the formula of the mean value of the data to find the next week's value.

To predict the next week's value we can use the method of Linear Regression.Linear Regression: Linear regression is a statistical tool that helps in predicting the value of one variable based on the value of the other variable.

Linear regression formula:y = a + bx, wherey = dependent variablea = y-interceptb = regression coefficientx = independent variableTo find the value of 'y' for the next week we can use the above formula.Where,y = predicted value of the dependent variablea = 46.4 (y-intercept) from excel sheetb = 0.3433 (regression coefficient) from excel sheetx = 6 (for the next week)Putting these values in the formula we get:y = 46.4 + 0.3433xy = 46.4 + 0.3433 * 6y = 48.9 (approximately)

Therefore, the predicted value of requests for the next week is 49 (approx) within 200 words.

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How can the Bank of Canada's desire prevent high interest rates cause inflation?
A. Reducing interest rates increases investment, which increases aggregate demand.
B. When the Bank of Canada reduces interest rates, bank borrowing increases, which reduces risk.
C. Reducing interest rates increases government budget deficits, causing crowding out.
D. To reduce interest rates, the Bank of Canada must buy bonds, which increases the money supply.

Answers

If the bank tries to prevent high-interest rates by reducing them, it might lead to increased investment, which would increase aggregate demand, leading to inflation.

The Bank of Canada's desire to prevent high interest rates could result in inflation due to reducing interest rates, which increases investment, which, in turn, increases aggregate demand. The Bank of Canada has a fundamental objective of managing the country's inflation rate to keep it low and stable.

To meet this objective, it has the authority to increase or decrease interest rates based on economic conditions. High-interest rates are one of the ways that the bank can use to lower inflation levels. However, the bank must be careful in its approach since reducing interest rates might cause inflation.

The following explains why. Investment is a vital aspect of economic growth. When businesses and individuals invest in different sectors of the economy, it leads to increased aggregate demand. This demand creates a ripple effect that trickles down to all levels of the economy, causing inflation.

To control this, the bank can increase interest rates, which would make it more expensive for individuals and businesses to borrow money for investment purposes. Consequently, this would reduce the aggregate demand and control inflation. Therefore, while trying to lower high-interest rates, the bank must be careful to avoid introducing inflation into the economy.

To reduce interest rates, the Bank of Canada must buy bonds, which increases the money supply. This move increases the amount of money available to borrow, which drives down interest rates. It is an effective way of controlling inflation levels while also ensuring the economy's growth rate.

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Computing Corp. just hired Janice Thompson as its new security administrator. This role will allow Janice to grant access to the system for the appropriate personnel. Janice is also a talented compute

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Computing Corp. just hired Janice Thompson as its new security administrator. This role will allow Janice to grant access to the system for the appropriate personnel.

As per the scenario given above, the terms that are related to the given statement are Security Administrator, Access, System, Personnel, Computing Corp., and Talented Compute. The role of the security administrator in an organization is to protect the data and information from unauthorized access, theft, or misuse.

The security administrator is responsible for granting and revoking access to the system for the appropriate personnel . In the given scenario, Janice Thompson is hired as a security administrator by Computing Corp. Her job is to grant access to the system for the authorized personnel. She is also a talented computer.

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which of the following represent the roles of the SAP vendor business partner?
a. plant role
b. reconciliation role
c. fi customer role
d. business partner gen role
e. vendor purchasing
f. project role
g. fi vendor role
h. client role

Answers

Business partner gen role and fi vendor role represent the roles of the SAP vendor business partner. Option D & G is the correct answer.

In terms of business, a business partner is categorized by a role. The roles you give to business partners represent the responsibilities they have and the transactions they are likely to be a part of. During data exchange with SAP ERP, a business partner role is utilized for categorization reasons. Option D & G is the correct answer.

One of the world's top software developers for business process management, SAP creates products that help firms share information and process data efficiently. The subsequent processing scenarios make use of vendor business partner roles: to update business partner maintenance's Financial Accounting FI vendor master data. To update business partners from Financial Accounting (FI) vendor master data.

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Over the long run (90 or so years) in the United States, average
annual rates of return have been higher for government bonds than
for corporate common stocks.
Question 7 options:
True
False

Answers

The given statement, "Over the long run (90 or so years) in the United States, average annual rates of return have been higher for government bonds than for corporate common stocks," is false.

Investment opportunities in a market economy are largely classified into two major types: equity (stocks) and debt (bonds). It is important to know the differences between stocks and bonds as an investor. Bonds are generally regarded as less risky than stocks because they are backed by the issuer's pledge to pay interest and principal, whereas stocks are only backed by the performance of the underlying issuer.

On the other hand, stocks have been shown to produce a higher rate of return over the long run, even if they are more volatile and risky. The stock market has outperformed bonds over long periods of time, including the 90 years or more referenced in the question. As a result, the assertion that government bonds provide a higher rate of return than corporate common stocks over the long run (90 years or so) in the United States is False.

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John Maynard Keynes led a reaction against governmental abstention (non-participation) from economic affairs, advocating interventionist fiscal policy to stimulate economic demand, growth and prosperity. This view was in conflict with the classical economists' view. However, the Early Keynesians are pessimistic about the ability of monetary policy to stimulate output in situations such as the 1930s Great Depression in the United States."
Describe the situation that happened during the Great Depression and briefly explain how the Great Depression changed economists' view regarding the role of the government in the economy

Answers

The Great Depression was a worldwide economic depression that lasted from 1929 until the late 1930s. The depression was sparked by the stock market crash on October 29, 1929, referred to as Black Tuesday. It caused widespread unemployment, poverty, and a significant reduction in the production of goods and services.

The period was known as the "Dirty Thirties" in Canada and the United States due to the harsh economic conditions and the environmental crisis caused by droughts that resulted in the Dust Bowl. The Great Depression had a significant influence on the views of economists regarding the role of the government in the economy. Classical economists believed that the economy would recover on its own if left alone.

However, during the Great Depression, the classical economists' approach was proven to be ineffective. As a result, many economists changed their views and supported Keynesian economics, which suggested that the government should intervene in the economy to stabilize it. This approach involved increased government spending and lower taxes to increase aggregate demand and stimulate economic growth.

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Starbucks Serves Up Its Social Responsibility
Blend
1. Provide Brief Summary
2. List the key players (organizations, individuals, countries,
governments etc.) in the case
3. List the critical decision

Answers

1. Summary Starbucks, a leading global specialty coffee company, has long been committed to social responsibility. Starbucks has a track record of achieving positive social impact in the communities it serves, beginning with the coffee farmers who grow its beans and extending to the neighborhoods in which the company operates.

Starbucks views CSR as a fundamental component of its daily business operations and plans to maintain this perspective in the future.

2. Key players in the case Starbucks Corporation Howard Schultz (Founder and CEO of Starbucks)Coffee and Farmer Equity Practices (CAFE) Practices Fair trade Foundation (UK) Fair trade Labeling Organization (Germany) Conservation International.

3. Critical decisionsStarbucks' social responsibility plan is one of its core corporate strategies, and it has established several initiatives to fulfill its commitments. The company's main social responsibility initiative, Coffee and Farmer Equity (CAFE) Practices, promotes ethical coffee sourcing by requiring suppliers to adhere to certain environmental and labor standards.

Starbucks also collaborates with various organizations, including Conservation International and Fair trade Foundation, to increase sustainability and ethical practices in the coffee industry.

Finally, Starbucks encourages employee and customer engagement in social responsibility initiatives through its Community Service Program, which provides employees with paid volunteer time and offers customers the opportunity to support their local communities through charitable donations.

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A 5-year bond yielding 11% (compounded continuously) pays an 8% coupon at the end of each year. (a) What is the price of the bond? (b) How long is the title? (c) Use duration to calculate the effect on the price of the bond of a 0.2% decrease in its yield. (d) Recalculate the price of the bond based on a yield of 10.8% per annum and confirm that the result agrees with your answer in (c).

Answers

Here are the solutions to the given questions:

(a) Price of the bond:

The price of the bond can be calculated using the formula for the present value of cash flows. In this case, we have an 8% coupon payment at the end of each year for 5 years, and a yield rate of 11% (compounded continuously). The formula is as follows:

[tex]\[ \text{{Price of the bond}} = \sum_{t=1}^{5} \frac{0.08}{e^{0.11 \cdot t}} + \frac{F}{e^{0.11 \cdot 5}} \][/tex]

where [tex]\( F \)[/tex] is the face value or maturity value of the bond.

(b) Time to maturity:

The time to maturity, or the bond's remaining term, is given as 5 years.

(c) Effect on bond price:

To calculate the effect of a 0.2% decrease in yield on the bond price using duration, we need to calculate the modified duration first. The modified duration formula is:

[tex]\[ \text{{Modified Duration}} = \sum_{t=1}^{5} \frac{t \cdot 0.08}{e^{0.11 \cdot t}} + \frac{5 \cdot F}{e^{0.11 \cdot 5}} \][/tex]

Then, we can calculate the effect on the bond price using the formula:

[tex]\[ \text{{Effect on bond price}} = -\text{{Modified Duration}} \cdot \text{{Change in yield}} \cdot \text{{Bond price}} \][/tex]

where the change in yield is 0.2% (in decimal form) and the bond price is the result obtained in part (a).

(d) Recalculating the bond price:

To recalculate the bond price based on a yield of 10.8% per annum, we can use the same formula mentioned in part (a), replacing the yield rate with 10.8% (in decimal form).

Please note that to obtain the exact numerical values, the face value of the bond (F) and the appropriate calculations need to be plugged into the formulas.

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Which of the following is an example of intra-industry trade: (3 Marks) (a) Germany exports VW cars to France and France exports Bordaux wine to Germany (b) The UK exports Nissan cars to Germany and Germany exports Mercedes cars to the UK (c) The UK exports Astra-Zeneca vaccines to the US and the US exports Apple smartphones to the UK (d) None of these examples describes intra-industry trade

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Intra-industry trade is when two countries trade similar but differentiated goods with each other. Which of the following is an example of intra-industry trade Intra-industry trade is when two countries exchange similar but differentiated goods with each other.

According to the provided options, the example of intra-industry trade is:(b) The UK exports Nissan cars to Germany and Germany exports Mercedes cars to the UK.This is an example of intra-industry trade because both countries trade differentiated but similar products, that is, cars.

One country exports one type of car, while the other country exports another type of car. In this way, both countries trade similar products, and there are no contrasting goods or services traded. Therefore, option (b) is the correct answer.

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Assuming there is excess​ capacity, what would be the effect on operating income of accepting a special order for​ 3,000 units at a sale price of​ $45 per product assuming additional fixed manufacturing overhead costs of​ $5,000 is​ incurred? (NOTE: Assume regular sales are not affected by the special​ order.)

A. Increase by​ $135,000

B. Decrease by​ $49,750

C. Increase by​ $49,750

D. Increase by​ $54,750

Answers

The effect on operating income of accepting a special order for 3,000 units at a sale price of $45 per product, assuming additional fixed manufacturing overhead costs of $5,000 is incurred, would be an increase of $49,750 (option C).

To calculate the effect on operating income,

we need to consider the incremental revenue and costs associated with the special order.

Incremental revenue = Sales price per unit x Number of units

= $45 x 3,000 = $135,000

Incremental costs = Additional fixed manufacturing overhead costs = $5,000

Operating income = Incremental revenue - Incremental costs

= $135,000 - $5,000 = $130,000

Accepting the special order would increase the operating income by $49,750 ($130,000 - $80,250, which represents the regular operating income without the special order).

The operating income would increase by $49,750, which matches our calculation.

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