an investor purchased a fixed-coupon bond at a time when the bond's yield to maturity was 6.9%. the investor sold the bond prior to maturity and realized a total return of 7.1%. which of these most likely occurred while the investor owned the bondthe bond's current yield increased above the bond's coupon rateinterest rate has increasedinflation rate has increasedinterest rates declined

Answers

Answer 1

The most likely scenario that occurred while the investor owned the fixed-coupon bond was that interest rates had declined.

The bond's yield to maturity is the rate of return that an investor can expect if they hold the bond until maturity. When the investor purchased the bond, the yield to maturity was 6.9%, which means that they would earn a fixed rate of interest of 6.9% annually until the bond's maturity. However, when the investor sold the bond prior to maturity and realized a total return of 7.1%, it suggests that the investor earned a higher rate of return than the bond's yield to maturity.
This indicates that the bond's price had increased, which typically happens when interest rates decline. When interest rates decline, the prices of fixed-coupon bonds increase because they offer a higher rate of return compared to newly issued bonds with lower coupon rates. Therefore, it is likely that the investor's bond appreciated in value due to declining interest rates, resulting in a total return of 7.1%.
In conclusion, the most likely scenario that occurred while the investor owned the fixed-coupon bond was that interest rates had declined.

To know more about fixed-coupon bond visit :

https://brainly.com/question/29315622

#SPJ11


Related Questions

An economic agent ______ when he accounts for the full costs and benefits of his actions. A) is called a free rider. B) internalizes an externality

Answers

An economic agent is said to (B) internalize an externality when he takes into account the full costs and benefits of his actions.

This means that the agent is considering all the direct and indirect costs and benefits associated with his decision, including any externalities that his actions may create. By doing so, the agent is able to make more informed decisions and ensure that the economic system as a whole is working efficiently. On the other hand, if an agent fails to account for the full costs and benefits of his actions, he may be considered a free rider. This can lead to inefficient outcomes, as the costs of his actions may be borne by others in the system, leading to negative externalities that are not accounted for. In summary, accounting for the full costs and benefits of one's actions is critical to achieving efficient outcomes in the economy.

To know more about economic visit:

https://brainly.com/question/14355320

#SPJ11

Aaron Company's books show current earnings of $430,000 and $46,000 in cash dividends. Zeese Company earns $164,000 in net income and declares $11,500 in dividends. Aaron has held a 70 percent interest in Zeese for several years, an investment with an acquisition-date excess fair over book value attributable solely to goodwill. Aaron uses the initial value method to account for these shares and includes dividend income in its internal earnings reports.

On January 1 of the current year, Zeese acquired in the open market $64,400 of Aaron’s 8 percent bonds. The bonds had originally been issued several years ago at 92, reflecting a 10 percent effective interest rate. On the date of purchase, the book value of the bonds payable was $60,200. Zeese paid $56,000 based on a 12 percent effective interest rate over the remaining life of the bonds.
What is consolidated net income for this year?

Answers

The consolidated net income for the year is $537,576.

To determine the consolidated net income for the year, we need to consider the earnings and dividends of both Aaron Company and Zeese Company, taking into account the ownership percentage and the impact of intercompany transactions.

Aaron Company's net income: $430,000

Aaron Company's cash dividends: $46,000

Zeese Company's net income: $164,000

Zeese Company's declared dividends: $11,500

Consolidation of net income:

Aaron Company's share of Zeese Company's net income: 70% * $164,000 = $114,800

Intercompany bond transaction:

Zeese Company's bond purchase from Aaron Company: $64,400

Interest expense on the bonds: $60,200 * 12% = $7,224

Consolidation adjustment:

Eliminate intercompany bond interest expense: $7,224

Adjusted consolidated net income:

Consolidated net income = Aaron Company's net income + Aaron's share of Zeese's net income - Intercompany bond interest expense

Consolidated net income = $430,000 + $114,800 - $7,224 = $537,576

Therefore, the consolidated net income for the year is $537,576.

Learn more about net income

https://brainly.com/question/14126418

#SPJ4

Which of the following classifications represents the most shares of common​ stock?
A.
Outstanding shares
B.
Issued shares
C.
Unissued shares
D.
Treasury shares
E.
Authorized shares

Answers

The classification that represents the most shares of common stock is "authorized shares." This term refers to the maximum number of shares that a company is allowed to issue according to its articles of incorporation.

It is important to note that authorized shares do not necessarily represent actual shares that have been issued or outstanding.

Instead, they provide a limit on the number of shares that can be issued at any given time. Therefore, while authorized shares may not directly impact the number of outstanding shares, they play a crucial role in determining the company's ability to issue new shares in the future.

Learn more about authorized shares here:

brainly.com/question/27945346

#SPJ11

______ strategy involves collaborating with a foreign company to create a third company.

Answers

Answer:

Joint Ventures

Explanation:

Joint Ventures strategy involves collaborating with a foreign company to create a third company.

in general, price discrimination exists because: a. higher prices are required when costs are higher. b. higher prices are charged because some customers are willing to pay more. c. lower prices encourage arbitrage. d. lower prices are possible when profits are not a goal of the entrepreneur.

Answers

The correct answer is b. higher prices are charged because some customers are willing to pay more.

Price discrimination refers to the practice of charging different prices for the same product or service to different customers or groups of customers. It occurs when a seller is able to segment the market and identify different customer segments with varying levels of willingness to pay.

Price discrimination is a strategy used by businesses to maximize their profits by extracting more value from customers who are willing to pay a higher price. By charging higher prices to customers who have a higher willingness to pay, businesses can capture additional revenue and increase their overall profitability.

Learn more about Price discrimination here: brainly.com/question/14977468

#SPJ11

the necessary interaction between service provider and customer that allows a service to be delivered is called

Answers

The necessary interaction between a service provider and a customer that allows a service to be delivered is called service encounter.

A service encounter refers to the moment of interaction between the service provider and the customer during the delivery of a service. It is a crucial touchpoint where the service is experienced and created. The service encounter can occur through various channels such as face-to-face interactions, phone calls, online chats, or any other form of direct or indirect communication. During the service encounter, the service provider has the opportunity to meet the customer's needs, address their concerns, and deliver the promised service. It plays a significant role in shaping the customer's perception of the service quality and overall customer experience.

Learn more about service  here:

https://brainly.com/question/30418810

#SPJ11

currency typically involves the long-term movement of funds from one currency to another in the hopes of profiting from shifts in exchange rates. group of answer choices speculation hedging arbitrage risk mitigation

Answers

Speculation is the main answer for currency trading involving long-term movement of funds to profit from shifts in exchange rates. Speculators take positions based on their predictions of currency price movements, aiming to buy low and sell high.

Currency speculation refers to the practice of betting on future currency price movements to make a profit. Speculators analyze economic and political factors that can impact exchange rates, such as interest rates, inflation, geopolitical events, and market sentiment. They aim to identify patterns and trends in currency movements and take positions accordingly.

Speculators typically use various financial instruments, such as futures contracts, options, and currency derivatives, to amplify their potential returns. However, speculation also carries significant risks due to the inherent volatility of currency markets. Fluctuations in exchange rates can lead to substantial gains or losses for speculators.

While speculation is the primary motive for currency trading, other activities also play a role. Hedging involves using currency trades to mitigate potential losses from adverse exchange rate movements. Arbitrage refers to profiting from price discrepancies between different markets. Risk mitigation involves managing currency exposure to minimize potential risks associated with international trade or investments.

In summary, while speculation is the main driver for currency trading, other strategies like hedging, arbitrage, and risk mitigation are also employed by market participants.

Learn more about trading here: brainly.com/question/31282816

#SPJ11

a firm should not produce a unit of output when the marginal cost is

Answers

A firm should not produce a unit of output when the marginal cost exceeds the marginal revenue.

In economics, the decision of a firm to produce a unit of output is based on comparing the marginal cost (MC) with the marginal revenue (MR) generated from selling that unit. Marginal cost represents the additional cost incurred by the firm to produce one additional unit of output, while marginal revenue measures the additional revenue gained from selling one more unit.

The firm aims to maximize profits, which occurs when marginal revenue equals marginal cost. Therefore, if the marginal cost exceeds the marginal revenue, producing an additional unit would result in a decrease in profit. In this scenario, it is not economically efficient for the firm to produce the unit, as it would lead to a net loss.

Learn more about marginal cost :

https://brainly.com/question/14923834

#SPJ11

refined grains are often enriched primarily to add fiber back into the product.

Answers

Refined grains are enriched to primarily reintroduce fiber into the product.

Refined grains undergo a process that removes the bran and germ, stripping them of valuable nutrients such as fiber, vitamins, and minerals. To compensate for this nutrient loss, enrichment is commonly used to reintroduce some of the essential nutrients back into the refined grains. While enrichment involves adding several nutrients, including B vitamins and iron, the primary purpose is to restore fiber content. Fiber is an important component of a healthy diet as it aids in digestion, promotes feelings of fullness, and helps regulate blood sugar levels. By enriching refined grains with fiber, manufacturers aim to enhance the nutritional value and health benefits of these processed products.

Learn more about Refined grains here:

https://brainly.com/question/31872159

#SPJ11

True/False. the development of functional silos within an organization is considered a key component to achieving successful supply chain process integration.

Answers

False. The development of functional silos within an organization is not considered a key component to achieving successful supply chain process integration.

Functional silos refer to the division of an organization into separate departments or units that operate independently and focus on their specific functions or goals. While functional silos can provide specialization and efficiency within individual departments, they can hinder effective supply chain process integration.

Successful supply chain process integration requires breaking down these silos and fostering collaboration and communication across different functions and departments. It involves aligning goals, sharing information, and coordinating activities to achieve a seamless flow of materials, information, and services throughout the supply chain.

By eliminating functional silos and promoting cross-functional collaboration, organizations can enhance visibility, coordination, and responsiveness in their supply chain processes. This integrated approach enables better decision-making, improved efficiency, and increased customer satisfaction.

To know more about Functional silos, click here:

https://brainly.com/question/31920582

#SPJ11

if the reserve requirement changes from 10% to 15%, what happens to the money multiplier?

Answers

If the reserve requirement changes from 10% to 15%, it means that banks are required to hold a larger percentage of deposits in reserve and can lend out less money.

This would decrease the money multiplier, as banks would not be able to lend out as much money as they were previously able to. The money multiplier is a measure of the amount of money the banking system creates through the lending process, and it is calculated by dividing the total amount of money in circulation by the amount of reserves held by banks. When the reserve requirement increases, the denominator in this calculation (reserves) increases, leading to a decrease in the overall money multiplier. This change in the reserve requirement can have significant effects on the economy as it may reduce the availability of credit and lead to a decrease in economic activity.

To know more about money visit :-

https://brainly.com/question/2696748

#SPJ11

what would be the cost of new common stock equity for tangshan mining if the firm just paid a dividend of $4.25, the stock price is $55.00, dividends are expected to grow at 8.5 percent indefinitely, and flotation costs are $6.25 per share? 17.22% 16.88% 12.57% 17.96%

Answers

The cost of new common stock equity for Tangshan Mining is 17.22%.    The cost of new common stock equity for Tangshan Mining can be calculated using the following formula:

Cost of new common stock equity = (Dividend per share x Dividend growth rate x Flotation costs) / (Price per share - Dividend per share)

Substituting the given values, we get:

Cost of new common stock equity = (4.25x8.555.00 - $4.25) = 17.22%

Therefore, the cost of new common stock equity for Tangshan Mining is 17.22%.  

Learn more about stock equity

https://brainly.com/question/24184064

#SPJ4

resource price differentials that do not trigger the reallocation of resources are known as

Answers

Resource price differentials that do not trigger the reallocation of resources are known as "economic rent."

Economic rent refers to the payment received by a factor of production, such as land, labor, or capital, that exceeds its opportunity cost. In other words, it is the amount a resource owner receives above the minimum amount required to keep the resource in its current use.

This occurs when there is a fixed supply of the resource or when the market demand for the resource is inelastic. Since these price differentials do not incentivize resource reallocation, they help maintain stability in the market.

To know more about economic rent, refer to the link:

https://brainly.com/question/4486116?#

#SPJ11

which type of survey system is also known as the public land survey system (plss)?

Answers

The survey system that is commonly known as the Public Land Survey System (PLSS) is a type of land survey system that is used in the United States.

The PLSS was developed to divide the land of the United States into a grid-like pattern, which would make it easier to manage and distribute the land. This system is also referred to as the Rectangular Survey System, as it divides the land into rectangular shapes. The PLSS divides land into six-mile squares known as townships, which are further divided into one-mile squares called sections. Each section is further divided into smaller parcels of land. The PLSS is widely used by surveyors, engineers, and government officials in the United States. It has been used for over 200 years and has been instrumental in the development and management of land in the United States.

To know more about Public Land Survey System visit :-

https://brainly.com/question/32081523

#SPJ11

there are two more athletic shoe companies that are opening at the mall of america. how will this affect the market for athletic shoes at the moa?draw the the price go up or down?does the quantity go up or down?what is the reason for the shift?

Answers

The opening of two more athletic shoe companies at the Mall of America is likely to increase competition in the market for athletic shoes. As a result, the price of athletic shoes may go down, while the quantity available to consumers is likely to increase.

This shift is driven by the increased supply of athletic shoes due to the entry of new competitors. The entry of two additional athletic shoe companies at the Mall of America introduces more options for consumers and increases competition in the market.

With more competitors vying for customers, each company may lower its prices to attract buyers. As a result, the price of athletic shoes is likely to go down. Lower prices can be seen as an incentive for consumers to purchase athletic shoes, as they can obtain them at a more affordable cost.

Furthermore, the increased competition and availability of athletic shoe options may lead to an increase in the number of athletic shoes available at the Mall of America. Each company will strive to differentiate itself and capture a portion of the market share. This may involve expanding their product offerings and increasing the supply of athletic shoes to meet consumer demand.

Learn more about consumer demand here:

https://brainly.com/question/29750860

#SPJ11

Goodwill can be recorded a. when customers keep returning because they are satisfied with the company's products. b. when the company acquires a good location for its business. c. when the company has exceptional management. d. only when a company purchases another existing business.

Answers

The correct answer is option d. only when a company purchases another existing business.

Goodwill can be recorded when a company purchases another existing business, as it represents the excess amount paid over the fair value of the acquired company's net assets. It is not directly associated with customer satisfaction, location, or exceptional management.

Goodwill is an intangible asset that represents the value of a company's reputation, brand recognition, customer loyalty, and other non-physical attributes. It is recorded when a company acquires another existing business and pays more than the fair value of the acquired company's net assets.

Goodwill is not directly related to customer satisfaction, location, or exceptional management. While these factors may indirectly contribute to the value of a business and potentially influence the decision to acquire it, they are not the sole basis for recording goodwill.

Learn more about customer satisfaction here:

https://brainly.com/question/30505764

#SPJ11

firms usually offer their customers some form of trade credit. this allowance comes with certain terms of credit, which affect the cost of asset of sale for the buyer as well as the seller. free spirit industries inc. buys on terms of 2/15, net 30 from its chief supplier. if free spirit receives an invoice for $2,100.98, what would be the true price of this invoice? $1,853.06 $1,544.22 $2,058.96 $2,882.54

Answers

Free Spirit Industries Inc. buys on terms of 2/15, net 30, which means that they will get a 2% discount if they pay within 15 days, otherwise, they have to pay the full amount within 30 days.

Using this information, we can calculate the true price of the invoice as follows:
$2,100.98 x (1 - 2%) = $2,058.96
Therefore, the true price of the invoice is $2,058.96. This is because Free Spirit Industries Inc. can get a discount of $42.02 (2% of $2,100.98) if they pay within 15 days. This is a common practice in firms where they offer trade credit to their customers to attract them and maintain a good relationship with them. However, it is important for both buyers and sellers to understand the terms of credit and how it affects the cost of the asset or sale.

To know more about discount visit :-

https://brainly.com/question/13501493

#SPJ11

If the last dollar spent on capital generated $1.05 in return while the last dollar spent on labor generated $0.99 in return, then in the long-run the firm should
A. reduce its spending on labor and increase its spending on capital
B. reduce its spending on capital and increase its spending on labor
C. continue to use the current combination of labor and capital

Answers

In this scenario, the firm's marginal productivity of capital (MPC) is higher than the marginal productivity of labor (MPL). This means that for each additional dollar spent on capital, the firm is generating a higher return compared to each additional dollar spent on labor.



In the long-run, the firm should aim to maximize its profits by using its resources (capital and labor) in the most efficient way possible. This means that the firm should allocate more resources towards the factor that generates a higher return.

Therefore, the firm should reduce its spending on labor and increase its spending on capital. By doing so, the firm can increase its overall productivity and generate higher profits in the long-run. This is because the return on investment for capital is higher than the return on investment for labor in this scenario.

In conclusion, option A is the correct answer as it explains why the firm should allocate more resources towards capital and less towards labor in order to maximize its profits in the long-run.

Learn more about return on investment here:

brainly.com/question/30064968

#SPJ11

If tax rates on labor income are cut temporarily with no change in G or V assuming households don't understand Ricardian Equivalence: 34) The income effect on labor would push labor supply. _______35) The income effect on consumption would push savings rate? _______36) The substitution effect on labor would push labor supply? Assuming Labor supply increases happens to37) MPK _______38) Rental Price of Capital _______39) Capital utilization _______40) Y _______

Answers

34 )The income effect on labor would push labor supply.

35) The income effect on consumption would push savings rate.

36)The substitution effect on labor would push labor supply.

37) MPK (marginal product of labor) increases

38) Rental price of capital increases

39) Capital utilization increases

40) Y (output) increases  

The income effect on labor would push labor supply - True. When tax rates on labor income are cut, it increases the net income individuals receive from their work.

The income effect on consumption would push savings rate - False. The income effect on consumption refers to the change in consumption patterns resulting from changes in income.

The substitution effect on labor would push labor supply - True. The substitution effect refers to the change in behavior caused by the relative prices of goods or activities.

MPK (Marginal Product of Capital) - It is not directly affected by the temporary cut in tax rates on labor income. The MPK represents the additional output produced by an additional unit of capital, and its determination depends on factors such as technology, capital efficiency, and production processes.

Rental Price of Capital - It is not directly affected by the temporary cut in tax rates on labor income. The rental price of capital is influenced by factors such as demand and supply of capital, interest rates, and investment decisions. Tax rates on labor income do not directly impact the rental price of capital.

Capital utilization - It is not directly affected by the temporary cut in tax rates on labor income. Capital utilization refers to the extent to which available capital is used in the production process.

Y (Output) - It is not directly affected by the temporary cut in tax rates on labor income. Output is influenced by various factors including labor input, capital input, technology, and production efficiency.

Learn more about Capital utilization

https://brainly.com/question/31977398

#SPJ4

If tax rates on labor income are cut temporarily with no change in G or V assuming households don't understand Ricardian Equivalence: 34) The income effect on labor would push labor supply. _______35) The income effect on consumption would push savings rate? _______36) The substitution effect on labor would push labor supply? Assuming Labor supply increases happens to37) MPK _______38) Rental Price of Capital _______39) Capital utilization _______40) Y _______ 100 word

ChatGPT

The income effect on labor would push labor supply - True. When tax rates on labor income are cut, it increases the net income individuals receive from their work. This positive income effect encourages individuals to supply more labor, leading to an increase in the labor supply.

The income effect on consumption would push savings rate - False. The income effect on consumption refers to the change in consumption patterns resulting from changes in income. If tax rates on labor income are cut, individuals may choose to increase their consumption rather than saving more, as they have more disposable income available.

The substitution effect on labor would push labor supply - True. The substitution effect refers to the change in behavior caused by the relative prices of goods or activities. When tax rates on labor income are cut, it reduces the opportunity cost of leisure time and increases the after-tax wage rate. This substitution effect encourages individuals to choose more labor supply over leisure

Learn more about

#SPJ4

_____ indicates how much labor, capital, materials, and energy it takes to create an output.

Answers

The term that indicates how much labor, capital, materials, and energy it takes to create an output is "production costs". These costs are determined by calculating the amount of labor, capital, materials, and energy required to produce a unit of output.

The total cost of production includes not only the direct costs of labor, materials, and energy, but also the indirect costs such as overhead expenses. Understanding production costs is important for businesses to be able to price their products competitively while still maintaining profitability. Production cost refers to the total expenses incurred in creating a product or service, including labor, capital, materials, and energy. It can also include indirect costs such as rent, utilities, and administrative expenses. Production cost is an important factor in determining the profitability of a business and is used to calculate the price of goods and services.

To know more about profitability, visit:

https://brainly.com/question/31117493

#SPJ11

a consumer advisory should be provided for menu items that contain tcs food that:_____.

Answers

A consumer advisory should be provided for menu items that contain TCS (Time/Temperature Control for Safety) food that are served raw or undercooked.

This advisory should inform customers of the potential risks associated with consuming these items, such as foodborne illness. TCS foods include meats, poultry, seafood, dairy products, and cooked vegetables that have been previously cooled or reheated. The advisory should be clear and prominently displayed on the menu or provided by the server upon request. Additionally, establishments should ensure that their staff are properly trained on the risks and handling of TCS foods, including how to properly cook, store, and serve them. Failure to provide a consumer advisory for TCS foods may result in health code violations and put both the establishment and their customers at risk. Therefore, it is important for establishments to prioritize food safety and provide transparent information to their customers to prevent any potential health risks.

Learn more about consumer advisory here:

https://brainly.com/question/31181677

#SPJ11

Which one of the following attributes would be most important to a car-leasing business that needs access to specialized inventory finance? Check all that apply. A bank with separate divisions for specialty lending, such as real estate A small bank with loyalty to the community A bank with expertise in electronic funds transfer and foreign currency operations A bank with small-business expertise

Answers

The attributes that would be most important to a car-leasing business needing access to specialized inventory finance are: A bank with separate divisions for specialty lending, such as real estate and a bank with small-business expertise.

A car-leasing business that requires specialized inventory finance would benefit from a bank with separate divisions for specialty lending, such as real estate. This indicates that the bank has experience and knowledge in providing financing for specific industries, which can be advantageous for the car-leasing business in securing the necessary funding for their specialized inventory.

Additionally, a bank with small-business expertise would also be crucial for the car-leasing business. Small-business expertise suggests that the bank has an understanding of the unique financial needs and challenges faced by small businesses. This expertise can help the car-leasing business in obtaining tailored financing solutions, receiving guidance and support specific to their industry, and potentially accessing more favorable terms and conditions.

While a small bank with loyalty to the community and a bank with expertise in electronic funds transfer and foreign currency operations may have their own merits, they might not directly address the specialized inventory finance needs of the car-leasing business as effectively as the attributes mentioned above.

To learn more about inventory  click here

brainly.com/question/31146932

#SPJ11

sales+are+$500000+and+variable+costs+are+$280000.+what+is+the+contribution+margin+ratio?+44%.+79%.+cannot+be+determined+because+amounts+are+not+expressed+per+unit.+56%.

Answers

To calculate the contribution margin ratio, we need to first determine the total sales and total variable costs. In this case, the sales are $500,000 and the variable costs are $280,000.

Contribution Margin Ratio = (Total Sales - Total Variable Costs) / Total Sales

= ($500,000 - $280,000) / $500,000

= $220,000 / $500,000

= 0.44 or 44%

Therefore, the contribution margin ratio for this scenario is 44%. It cannot be determined per unit because the amounts are not expressed on a per-unit basis. The contribution margin ratio is important as it indicates the portion of each dollar in sales that is available to cover the fixed costs and contribute to the profit of the business.

To know more about Margin Ratio visit:

https://brainly.com/question/31961846

#SPJ11

An investor can take advantage of intraday price changes due to normal market forces when investing in

1. closed-end funds
2. exchange-traded funds
3. hedge funds
4. open-end funds

A) III and IV
B) I and II
C) II and III
D) I and IV

Answers

An investor can take advantage of intraday price changes due to normal market forces when investing in closed-end funds and exchange-traded funds.

The correct answer is B) I and II.

Investors can take advantage of intraday price changes due to normal market forces when investing in closed-end funds and exchange-traded funds (ETFs).

Closed-end funds: These funds issue a fixed number of shares that trade on an exchange like stocks. The prices of closed-end funds can deviate from their net asset value (NAV) due to market demand and supply dynamics. Investors can buy or sell these funds at market prices during trading hours, allowing them to potentially capitalize on intraday price changes.

Exchange-traded funds (ETFs): Similar to closed-end funds, ETFs trade on an exchange, and their prices can fluctuate throughout the trading day. ETFs are designed to track a specific index or asset class, and their prices reflect the underlying securities held in the fund. Investors can take advantage of intraday price movements in ETFs by buying or selling shares during market hours.

Hedge funds (option 3) and open-end funds (option 4) do not typically provide the same intraday trading opportunities. Hedge funds are private investment vehicles with limited investor access and often have restrictions on liquidity. Open-end funds, such as mutual funds, are priced based on their NAV at the end of each trading day, and investors transact at the NAV price next calculated after their order is received.

Therefore, the correct options are I (closed-end funds) and II (exchange-traded funds).

To learn more about Funds click here

https://brainly.com/question/31219767

#SPJ11

______ occurs when a raider acquires stock in a target company and then threatens to commence a hostile takeover unless the stock is repurchased by the target at a premium over the market price.
A. Revlon mode
B. The Van Gorkom test
C. The Unocal proportionality test
D. Greenmail

Answers

The act described in which a raider acquires stock in a target company and then threatens a hostile takeover unless the target repurchases the stock at a premium over the market price is known as "greenmail."

This strategy is employed by the raider to extract financial gain from the target company and is considered a controversial practice in the field of corporate takeovers.

Greenmail refers to a tactic employed by an individual or group (often referred to as a "raider") to acquire a significant amount of stock in a target company. The raider then demands that the target repurchase the stock at a price higher than the market value. The threat of a hostile takeover is used as leverage to pressure the target into complying with the raider's demands.

The term "greenmail" is derived from the combination of "green" (representing money) and "blackmail" (referring to the use of threats or coercion). It is considered a controversial practice as it can lead to financial losses for the target company and its shareholders, diverting resources that could otherwise be invested in growth or other beneficial activities.

The purpose of greenmail is to provide a financial gain to the raider, who profits from the premium paid by the target company to repurchase its own stock. This practice has been subject to criticism and regulatory scrutiny due to its potential to prioritize short-term financial gain over the long-term interests of the target company and its stakeholders. Greenmail is often viewed as an aggressive and opportunistic strategy in the realm of corporate takeovers, and its legality and ethical implications vary across jurisdictions.

To learn more about greenmail, click here:

brainly.com/question/29979862

#SPJ11

suggests that a director does not have to be an expert to actually run the company? a) duty of care; b) duty of good faith; c) duty of candor; d) duty of loyalty

Answers

Option a: Duty of care legal duties of board members suggests that a director does not need to be an expert or actually run the company.

Individuals or entities have a legal need to refrain from acts or omissions that could reasonably be expected to harm others. This duty is called/is known/foreknown the duty of care. For example, accountants have a duty of care to properly prepare their clients' tax returns to reduce the likelihood of an IRS audit.

Manufacturers also have a responsibility to ensure that their products are safe for the general public. As you explore this idea, consider the following definition of duty of care. The duty that a person or organization has when doing business with or interacting with another person or organization is called a duty of care. Under tort law, a person or entity has a duty of care to act in a manner equivalent to that which a reasonable person would do.

To learn more about duty of care, here:

https://brainly.com/question/29793495

#SPJ4

Complete question:

Which of the following legal duties of board members suggests that a director does not need to be an expert or actually run the company?

a. Duty of care

b. Duty of good faith

c. Duty of candor

d. Duty of loyalty

the difference between the authority and responsibility in an organizational hierarchy is called:

Answers

Delegation refers to the difference between authority and responsibility in an organizational hierarchy. It involves transferring certain tasks, duties, or decision-making powers from a higher-level position to a lower-level position within the hierarchy.

Authority refers to the power or right vested in a position or individual to make decisions, give orders, or take action within a specific scope. It represents the legitimate control and decision-making capacity associated with a particular position or role. On the other hand, responsibility refers to the obligation or duty to perform specific tasks, fulfill assigned roles, or achieve desired outcomes. It is the accountability for the successful completion of assigned duties. Delegation occurs when individuals or positions with higher authority transfer certain responsibilities or decision-making powers to individuals or positions with lower authority. It is a process that allows for the distribution of tasks, authority, and accountability within an organization. By delegating tasks, higher-level positions can focus on strategic decision-making, while lower-level positions gain autonomy and the opportunity to contribute to organizational goals.

Learn more about organizational hierarchies here:

https://brainly.com/question/30586274

#SPJ11

gatekeeping contracts with 3pls minimize the cost of shipping returned goods.
T
F

Answers

The given statement, "gatekeeping contracts with 3pls minimize the cost of shipping returned goods," is false (F) because gatekeeping contracts with 3PLs do not necessarily minimize the cost of shipping returned goods.

While gatekeeping involves screening returns and refusing to accept goods that should not be returned, it primarily focuses on maintaining quality control and preventing fraudulent or unauthorized returns. While this process helps reduce the number of unnecessary returns, it does not directly address the cost of shipping returned goods.

Minimizing the cost of shipping returned goods involves optimizing logistics, streamlining processes, and negotiating favorable shipping rates, which may be part of a comprehensive reverse logistics strategy but not solely dependent on gatekeeping contracts with 3PLs.

Learn more about Gatekeeping contracts : https://brainly.com/question/31960528

#SPJ11

The Cash Flows For Three Mutually Exclusive Alternatives Are Given In Table Below. MARR = 4%. Alt. A Alt. B Initial Cost $15,000 27.000 | Annual Benefits $4.500 7,600 ROR 15% 13% Life In Years 15 Alt. C 24,000 6.500 11% Problem 1 AROR For The First Increment (Alt. C-Alt. A) Is Problem 2 Determine The AROR For The Second Increment (Alt. B - Alt.A) If A Was

Answers

Problem 1: AROR 0.6158% (approximating to 4 decimal places)

Problem 2: AROR ≈ 1.3274% (approximating to 4 decimal places)

Problem 1:

To calculate the AROR (Annualized Rate of Return) for the first increment (Alt. C - Alt. A), we use the formula:

AROR = [tex][(Annual Benefits C - Annual Benefits A) / Initial Cost A]^{1 / Life in Years C} - 1[/tex]

Where:

Annual Benefits C = $6,500 (from Alt. C)

Annual Benefits A = $4,500 (from Alt. A)

Initial Cost A = $24,000 (from Alt. C)

Life in Years C = 11 (from Alt. C)

AROR = [tex][($6,500 - $4,500) / $24,000]^{1 / 11} - 1[/tex]

AROR = [tex]($2,000 / $24,000)^{1 / 11} - 1[/tex]

AROR = [tex](0.083333)^{1 / 11} - 1[/tex]

AROR ≈ 0.006158 - 1

AROR ≈ 0.6158% (approximating to 4 decimal places)

Problem 2:

To determine the AROR for the second increment (Alt. B - Alt. A), we use the formula mentioned in Problem 1:

Where:

Annual Benefits B = $7,600 (from Alt. B)

AROR = [tex][($7,600 - $4,500) / $15,000]^{1 / 15} - 1[/tex]

AROR = [tex]($3,100 / $15,000)^{1 / 15} - 1[/tex]

AROR = [tex](0.206667)^{1 / 15} - 1[/tex]

AROR ≈ 0.013274 - 1

AROR ≈ 1.3274% (approximating to 4 decimal places)

Learn more about AROR here:

https://brainly.com/question/28217656

#SPJ12

A company is currently bidding on 3 jobs. The probability of winning any one of the jobs is 0.5. Winning of a job is independent of winning the other 2. (a) Compute the probability that the company will win all 3 jobs. (b) Compute the probability that the company will win any 2 jobs.

Answers

(a) The probability that the company will win all 3 jobs is  12.5%.

(b) the probability that the company will win any 2 jobs is 37.5%.

(a) To compute the probability that the company will win all 3 jobs, we can use the multiplication rule of probability. The probability of winning each job is 0.5, so the probability of winning all 3 jobs is:

0.5 x 0.5 x 0.5 = 0.125 or 12.5%

Therefore, the probability that the company will win all 3 jobs is 0.125 or 12.5%.

(b) To compute the probability that the company will win any 2 jobs, we need to consider the different ways in which this can happen. There are 3 ways in which the company can win any 2 jobs: they can win the first and second jobs, the first and third jobs, or the second and third jobs.

Using the multiplication rule of probability again, the probability of winning any 2 jobs is:

(0.5 x 0.5 x 0.5) + (0.5 x 0.5 x 0.5) + (0.5 x 0.5 x 0.5) = 0.375 or 37.5%

Therefore, the probability that the company will win any 2 jobs is 0.375 or 37.5%.

Know more about the multiplication rule

https://brainly.com/question/14854788

#SPJ11

Other Questions
q 9.9: where is the loss on disposal of a plant asset reported in the financial statements? 636804 tiles of square shape are paved in the form of a square courtyard. How many tiles are there in each side ? Complete each sentence by dragging the labels to the appropriate blanks. Then place each sentence in a logical order bec blood entering the right side of the heart. Drag the text blocks below into their correct order. sinoatrial The AV node fires causing the signal to travel into the it passes through the interventricular septum AV bundle branches Making a U-turn at the apex of the heart, the signals are then carried by through the exterior walls of the ventricles night atrium _node located in the pacemaker Depolarization then arrives at the inferior interatrial septum ventricles From the the wave of depolarization disperses through the myocardium of the atria atrioventricular purkinje fibers The contraction of the heart begins with autorhythmic depolarization of the _node located in the superior portion of the posterior atrial semilunar Reset claims of duress, undue influence, mistake, fraud, misrepresentation, and others place the genuineness of ? to a contract provisions in doubt. to what extent should end users be involved in the selection of a database management system and database design? pine city owned a vacant plot of land zoned for industrial use. pine gave this land to medi corp. solely as an incentive for medi to build a factory on the site. the land had a fair value of $300,000 at the date of the gift. this nonmonetary transaction should be reported by medi as A two-stage chemostat system is used for production of secondary metabolite. The volume of each reactor is 0.5 m%; the flow rate of feed is 50 I/h. Mycelial growth occurs in the first reactor; the second reactor is used for product synthesis. The concentration of substrate in the feed is 10 g/l. Kinetic and yield parameters for the organism are: Yx/s = 0.5 kg/kg; K = 1.0 kg/m%; M. = 0.12 ha; m, = 0.025 kg kg? ha; q. = 0.16 kg kg h4; Ypis = 0.85 kg/kg. Assume that product synthesis is negligible in the first reactor and growth is negligible in the second reactor. 1. Determine the cell and substrate concentrations entering the second reactor. 2. What is the overall substrate conversion? 3. What is the final concentration of product? Answers X, = 2.22 g/l; S, = 5 g/l; S, = 0.266 g/l; substrate conversion = 0.973 and P, = 3.55 g/l. in competition between p. caudatum and p. bursaria (two species of paramecium), neither species goes extinct because they utilize different resources when they are in the same habitat. this can be considered as evidence for A firm should always be at a single optimum debt-to-equity ratio to minimize its cost of capital.a. Trueb. False Commensal microorganisms in the gastrointestinal tract facilitate all of the following except _____.a. compete with pathogenic variants for nutrients and spaceb. convert toxic substances to benign derivativesc. degrade plant fibers to make their nutrients availabled. secrete enzymes required for protein degradatione. synthesize essential metabolitesf. induce the development of gut-associated lymphoid tissue. a factory that manufactures cars for sale and land to grow food on are examples of: a diet with adequate fiber can help prevent and manage all of the following except: a) arthritis. b) diabetes. c) cardiovascular disease. d) obesity. to obtain the slope estimator using the least squares principle, you divide the the intensity level of a cool-down period following the workout should be which mineral is found in bleach as well as stomach acid (though in two different forms)? Polynomial division box methodFill in the missing values below one at a time to find the quotient when 4x^3 + x + 5 is divided by x + 1 the value of the sum of squares due to regression, ssr, can never be larger than the value of the sum of squares total, sst.TrUE/False which of the following ideas will not help you discuss money with more confidence and candor? for the fundamentals of chromatography investigation, the relative mobility of the analyte is measured proportional to the movement of the solvent.True False What serve as reactants in the net reaction of glycolysis?