as an alternative, lear might wish to finance all fixed assets and permanent current assets plus half of its temporary current assets with long-term financing and the balance with short-term financing. the same interest rates apply as in part a. earnings before interest and taxes will be $200,000. what will be lear’s earnings after taxes? the tax rate is 30 percent.

Answers

Answer 1

The value of earning after tax of Lear will be $35,875, considering value of current asset, fixed asset and value of earnings before interest and taxes.

The following information is provided:

Temporary current assets =$450,000

Permanent current assets =$350,000

Fixed assets =$600,000

Total assets =$14,00,000

Tax rate = 30%

Calculation of interest expense in the alternative financing plan

Long-term interest expense = asset to be financed*interest rate

                                               = (600,000+350,000+1/2* 450,000)*10%

                                               = $1,17,500

Long-term interest expense = asset to be financed*interest rate

                                              = [$450,000 + ½ ($350,000)]*5%

                                              = $31,250

Total interest expense = $1,17,500+$31,250 = $148,750

Calculation of earnings after tax:

Earnings after taxes= Earnings before interest and taxes-interest expenses- tax

= $200,000-$ 148,750-$15,375

= $35,875

The complete question is here:

Lear inc has 800,000 in current assets, 350,000 of which are considered permanent current assets. In addition, the firm has600,000 invested in fixed assets.

a) Lear wishes to finance all fixed assets and half of its permanent current assets with long term financing costing 10percent. Short term financing currently costs 5 percent. Lear’s earnings before interest and taxes are 200,000. Determine Lear’s earnings after taxes under this financing plan. The tax rate is 30 percent.

b) As an alternative, Lear might wish to finance all fixed assets and permanent current assets plus half of its temporary current assets with long term financing. The same interest rates apply as in part a. Earnings before interest and taxes will be 200,000. What will be Lear’s earnings after taxes? The tax rate is 30 percent.

Learn more about current asset and fixed asset here:

https://brainly.com/question/17087952

#SPJ4


Related Questions

What does the Government do with collected tax money ? (4 sentences)

Answers

Some of the use of the collected tax money (tax revenue) by a state or federal government includes:

payment of salaries of public workersbuying of security weapons for safetyprovision of basic or social amenities such as roads, powerprovision of quality education etc

What are source of tax revenue?

Basically, a tax revenue refers to the income that is collected by governments through taxation. A taxation is the primary source of government revenue and these revenue may be extracted from sources such as individuals, public enterprises, trade, royalties on natural resources, foreign aid etc.

However, an inefficient tax collection is greater in countries that is  characterized by poverty, large agricultural sector and large amounts of foreign aid.

Read more about tax revenue

brainly.com/question/27420543

#SPJ1

what are the characteristics of a high-performance work system approach to hrm? (choose every correct answer.)

Answers

The characteristics of a high-performance work system approach to HRM are  A,  C and D:

Focuses on collective levels of human and social capitalEnhances the performance of all employees systematicallyImproves employee motivation and opportunities

High work performance system: what is it?

A high-performance work system is a collection of HRM techniques intended to advance employees' abilities, motivation, and engagement in order to give a company a long-term competitive advantage.

Note that Increased employee commitment leads to improved organizational performance because high performance work systems have an impact on and align employees' attitudes and behaviors with the organization's strategic goals (Schuler and Jackson, 1987).

An example of High Performance Work System Practices (HPWS) are:

Ensuring Employee Security, Strict Selection, Decentralized Decision-Making, High Results-Based Compensation, Training by Commitment, Abolishing Status Barriers, Sharing Key Information.

Learn more about high-performance work from

https://brainly.com/question/28100679
#SPJ1

See options below

Focuses on collective levels of human and social capital

Be good to all

Enhances the performance of all employees systematically

Improves employee motivation and opportunities

ben makes an appointment for a $50 haircut, buys a bike for $250, and agrees to work for coding associates for one year for $5,000 per month, starting at the beginning of next month. to be enforceable, a writing is required for

Answers

Ben makes an appointment for a $50 haircut, buys a bike for $250, and agrees to work for coding associates for one year for $5,000 per month, starting at the beginning of next month. to be enforceable, a writing is required for​ the employment agreement.

A collateral settlement is one wherein one person (the guarantor) has the same opinion to pay the debt or duty that a 2nd person (the most important debtor) owes to a 3rd person (the obligee) if the most important debtor fails to perform.

Statutes that exist in each kingdom which require that sure styles of contracts are enforceable simplest if the settlement is in writing or evidenced with the aid of using a written memorandum or digital report this is signed.

Learn more about employment agreement here:
https://brainly.com/question/1190099

#SPJ1

Companies go through different phases to reach product/market fit. These phases are the


A: idea stage, the prototype stage, the launch stage, the traction stage, the monetization stage, and the growth stage.

B: idea stage, the prototype stage, the launch stage, the traction stage, and the growth stage.

C: the prototype stage, the launch stage, the traction stage, the monetization stage, and the growth stage.

D: idea stage, the traction stage, the monetization stage, and the growth stage.

Answers

These phases are the idea stage, the prototype stage, the launch stage, the traction stage, the monetization stage, and the growth stage.  Thus, option A is correct.

What is a Company?

An organization that produces goods or services and markets them to consumers in order to make money is referred to as a company.

The connection between such a company's Unit Economies as well as Net Profitability can be used as an example of the developmental process of a company looking for Product Attributes. Whenever a company finds a solution to an issue that aligns with the demands of the existing markets and for which customers are prepared to pay for a good or commodity.

Therefore, option A is the correct option.

Learn more about Company, here:

https://brainly.com/question/27238641

#SPJ1

according to the capm, what is the market risk premium given an expected return on a security of 17.3%, a stock beta of 0.9, and a risk-free interest rate of 11%?

Answers

The market risk premium is 7.00%, given an expected return on a security of 17.3%, a stock beta of 0.9, and a risk-free interest rate of 11% is

Risk premium                                (Rs-Rf)÷B

Here,

Risk free rate of return (Rf)           11.0%

Beta of the stock (B)                      0.9

Portofio expected return (r)          17.3%

Risk premium                                 (17.3% -11%) ÷0.9 = 7.00%

A risk premium is the excess of an asset's expected investment return over its risk-free rate of return. Investors receive compensation in the form of a risk premium for an asset. It serves as compensation for investors who accept more risk in a particular investment than they would in a risk-free asset.For instance, there is often low default risk associated with high-quality bonds issued by reputable businesses that generate significant profits. So, compared to bonds issued by less well-known businesses with a larger risk of default and uncertain profitability, these bonds pay a lower interest rate. Investors are compensated for their increased risk tolerance by the higher lending rates that these smaller businesses must charge.

Learn more about Risk premium, here

https://brainly.com/question/28235630

#SPJ4

you just won the $92.5 million ultimate lotto jackpot. your winnings will be paid as $3,700,000 per year for the next 25 years. if the appropriate interest rate is 7 percent, what is the value of your windfall?

Answers

The total amount windfall tax will be $317,405, given the amount of $3,700,000 will be paid for next 25 years.

Amount that will be paid (a) = $3,700,000

Time period (n) = 25 years

interest rate (i) = 7% = 0.07

Present value of windfall tax = a [{1-1/(1+i)} ^25]/i

                                          = 3,700,000 [1-1/(1.07) ^25]/0.07

                                          = $317,405

A windfall tax is an increased tax percentage on earnings that arrive from a company or industry having received an unexpected capital gain. This seems to be frequently the consequence of a global political turmoil, war, or natural catastrophe that creates unexpectedly high requirement and/or supply shortages.

Governments worldwide have initiated windfall taxes for a range of reasons, which include funding social assistance programs, wealth distribution of unpredicted benefits when inflated costs benefit manufacturers at the cost of consumers and as an extra source of revenue for the federal government.

Learn more about windfall tax here:

https://brainly.com/question/13661822

#SPJ4

suppose price per unit is $6, variable cost per unit is $2, fixed costs are $400 and the depreciation allowance per year is $500. the relationship between operating cash flow (ocf) and sales volume (q) can be expressed as: multiple choice question.

Answers

If fixed costs are $400 and the depreciation allowance per year is $500. the relationship between operating cash flow (ocf) and sales volume (q) can be expressed as: OCF = -400 + 4Q

What is operating cash flow?

Operating cash flow (OCF) can be defined as the cash  amount a company or an organization incurred from their business operation.

The relationship between operating cash flow  (ocf) and sales volume (q) an be expressed as: OCF = -400 + 4Q


Where:

OCF = Operating cash flow

Q = Sales volume

Therefore the expression is  OCF = -400 + 4Q

Learn more about operating cash flow here: https://brainly.com/question/28185713

#SPJ1

The complete question is:

suppose price per unit is $6, variable cost per unit is $2, fixed costs are $400 and the depreciation allowance per year is $500. the relationship between operating cash flow (ocf) and sales volume (q) can be expressed as: multiple choice question.

OCF = -400 + 4Q

OCF = 400*Q - 4

OCF = 4/Q + 500

OCF = 400 - 4*Q

questions 1. what information does paul have to support his belief that something is wrong? 2. knowing that you are not an attorney, does it appear from a project management perspective that sufficient information exists for a possible lawsuit to recover all or part of the incentive bonus for early delivery? 3. how do you think this case study ended? (it is a factual case and the author was the consultant.)

Answers

The management section of the proposal obtained by Paul provides supporting evidence that Welton knowingly manipulated the contract in their favor.

Welton stressed their ongoing connection with the Navy and mentioned that they had previously completed nearly comparable tasks for them using a team of individuals who had worked on previous contracts. If such were the case, then why did it take them six months to construct their manufacturing and procurement strategies, especially since similar plans for other contracts were created in less time? Furthermore, one should undoubtedly question Welton's motivation for requesting an incentive-based contract. The case study stated that while the Navy was interested in their contractor's choice, Welton was adamant on changing the contract type. In order to fulfill the contract one quarter earlier than expected, Welton took advantage of the incentive-based contract by investing an additional $5 million in labor. According to the 90%-10% share agreement, Welton received a $6 million incentive for the early delivery but the labor cost overrun of $5 million only resulted in a $500,000 fine.Although it appears exceedingly doubtful, there may be sufficient evidence for the Navy to recover some of the incentive bonus. It is ultimately the Navy's fault for agreeing to a fixed-price-incentive-fee contract and anticipating that Welton would not abuse the terms of the agreement. They may have questioned Welton's motivations at various stages throughout the project and changed direction if needed. For example, towards the end of the first quarter, when Welton was meant to be creating their production plans, they were spending more than twice as much on labor as planned. The cost overruns would have been an alert if the Navy had been keeping an eye on their purchase orders and expense reports. The proposal's management section lends credence to the Navy's concerns that Welton deliberately finished the task in less time to get the incentive. Both parties must have been truthful in their assessments and contract talks, according to the contract's Truth of Negotiations provision. In court, Welton would have to provide evidence as to why they anticipated this job would take so much longer than the other, comparable projects they had already finished. In a potentially drawn-out legal battle, the Navy must demonstrate that Welton utilized improper pricing tactics to boost company profits. The argument that Welton intended to con the Navy from the beginning should be supported by the fact that Welton began billing labor charges at a rate that was around 62% higher each month.The Navy for signing an incentive contract and failing to check on the project's condition while it was ongoing, as well as the Welton Company for failing to provide accurate estimates during negotiations, make it difficult to make a judgment because both parties share responsibility. It is the responsibility of the Navy to prove that Welton purposefully supplied estimations that were not supported by the available historical evidence and instead promoted their own individual objectives. It would be challenging for the top management at Welton, who signed the "Truth of Negotiations" paper, to deny on evidence that they had not intended from the start to finish on time and get the reward.

Lean more about Navy, here

https://brainly.com/question/10358556

#SPJ4

classical economists defended the economic concept of group of answer choices government intervention in the marketplace. prolonged recession and high rates of unemployment. market clearing. keynesian economists.

Answers

Classical economists defended the economic concept of prolonged recession and high rates of unemployment.

Classical economics or known as classical political economy, or Smithian economics can be described as a school of thought in political economy that flourished, primarily in Britain, in the late 18th and early-to-mid 19th century. The principle of the classical economics theory is that the economy is self‐regulating.  The most famous classical economists are David Ricardo, Adam Smith, and John Stuart Mill. Other notable contributors to classical economics include David Ricardo, Thomas Malthus, Jean-Baptiste Say, Anne Robert Jacques Turgot, John Stuart Mill, and Eugen Böhm von Bawerk.

Learn more about classical economics here https://brainly.com/question/14318822

#SPJ4

A factory in germany produces millions of auto parts a year, and has been able to reduce its costs per unit as it increased its production. This demonstrates the concept of.

Answers

A German business that makes millions of vehicle parts annually was able to lower its cost per unit as it boosted production. This serves as an example of the idea of economies of scale.

Cost advantages that businesses enjoy when production becomes efficient are known as economies of scale. By increasing production and reducing expenses, businesses can attain economies of scale. Costs are divided among more products, which causes this. Costs come in fixed and variable forms.

When it comes to economies of scale, the size of the business typically matters. Cost savings increase with business size. Both internal business and external economies of scale are possible. While external economies of scale are influenced by outside causes, internal ones are based on management choices.

Economies of scale result in cheaper per-unit costs for a variety of reasons. Production volumes are first increased through worker specialization and better technological integration. Additionally, decreased per-unit prices may result from larger advertising purchases, bulk orders from suppliers, or lower startup costs. Third, cost reduction is aided by dividing internal function costs among a greater number of manufactured and sold units.

Learn more about economies of scale here

https://brainly.com/question/27961434

#SPJ4

state regulations regarding the sale of alcohol over the internet can negatively impact the business of fine wine distributors, making it all the more critical for their marketers to adjust their marketing strategies based on these factors.

Answers

State regulations regarding the sale of alcohol over the internet can negatively impact the business of fine wine distributors, making it all the more critical for their marketers to adjust their marketing strategies based on these technological factors.

In the field of business, the ways in which a company manages the production and the sales of its product including e-commerce are referred to as technological factors.

Effective marketing strategies need to be applied by keeping into consideration all the technological factors. The operation of an organization is based on its technological factors.

The imposition of state regulations over the sale of alcohol is a technological factor that needs to be focused on and requires adjusting the marketing strategies.

To learn more about technological, click here:

https://brainly.com/question/25860017

#SPJ4

The ceo of c & j construction is considering moving to a virtual network structure. What would be the best reason to make such a move?.

Answers

The strongest reason for such a move would be to concentrate on the organization's core strengths while outsourcing less important mission-critical jobs.

What exactly is a virtual network?

C&J Construction's CEO is thinking about switching to a virtual network topology. A loose connection of businesses that is managed by a small, centralized organization is referred to as a virtual network structure. This team is in charge of assigning tasks to the suitable businesses in the network. For instance, if C & J Building's primary business was construction, it could establish connections with engineering and sales firms to outsource such tasks and concentrate on construction.

To learn more about virtual network here

https://brainly.com/question/28271597

#SPJ4

we are sorry, but we could not complete this payment, because it has been denied. please retry with a another funding option to continue with the payment.

Answers

Answer:

tell me the other funding options?

Explanation:

barnes company reports the following for its product for its first year of operations. direct materials $ 35 per unit direct labor $ 25 per unit variable overhead $ 10 per unit fixed overhead $ 48,000 per year variable selling and administrative expenses $ 3 per unit fixed selling and administrative expenses $ 20,000 per year compute total product cost per unit using absorption costing for the following production levels: (a) 2,000 units, (b) 2,400 units, and (c) 3,000 units.

Answers

The total product cost per unit using absorption costing for the following production levels are:

a) 2,000 units   $94b) 2,400 units   $90c) 3,000 units   $86.

What is the total product cost per unit under absorption costing?

The total product cost per unit under absorption costing is the sum of direct materials, direct labor, variable manufacturing overhead, and fixed manufacturing overhead per unit.

Direct materials per unit = $35

Direct labor per unit  =      $25

Variable overhead per unit =$10

Total variable manufacturing cost per unit = $70

Fixed manufacturing overhead per year = $ 48,000

Variable selling and administrative expenses per unit = $3

Fixed selling and administrative expenses = $20,000

                                                   2,000 units      2,400 units    3,000 units

Fixed costs per unit                        $24                $20                 $16

Variable manufacturing cost            70                  70                   70

Total product cost per unit            $94               $90                 $86

Thus, the total product cost per unit reduces as the production level increases but includes the fixed manufacturing cost under absorption costing.

Learn more about absorption costing at https://brainly.com/question/14609187

#SPJ1

What decision support strategy uses a technique based on identifing a similar problem with a known effective solution, and apply the approach to this problem?.

Answers

Using a technique based on locating a similar problem with a well-known efficient solution and applying the approach to current situation, brainstorming and collaborative problem-solving strategies are used.

Using the brainstorming technique, a group of people can work together to generate ideas on the spot for a specific problem by compiling a list of potential solutions. The class is given the opportunity to use their prior knowledge and find connections between the issue at hand and what they have previously studied through brainstorming.

When problem-solving jointly, the likelihood of achieving the best result or solution rises. When people work together, they can share, assess, and then choose the idea that best solves the problem. All of the issue often involves more than one answer.

To know more about brainstorming visit here :

brainly.com/question/26684333

#SPJ4

the residents of ecuador earn $700 million of income from abroad. residents of other countries earn $200 million in ecuador. the earnings of ecuadorian residents abroad are accounted for in ecuador's

Answers

The earnings of Ecuadorian residents are accounted for Ecuador's GNP (gross national product) which is larger than its GDP (gross domestic product).

Gross national product (GNP), determined without taking into consideration the depreciation or usage of capital utilized in the manufacturing operation, is the total value of the final goods and services manufactured by a nation's economy during a particular period of time (typically a year).

Whereas GDP (gross domestic product) means the total market value of all the goods and services produced in an economy during an accounting period. When local industries sell more commodities and services to foreign countries than national customers purchase from international customers, the gross domestic product (GDP) of that nation generally increases. A nation is considered to have a current account surplus when this occurs.

Learn more about Gross Domestic Product (GDP) here:

https://brainly.com/question/14768180

#SPJ4

siskiyou, inc. has total current assets of $1,200,000; total current liabilities of $500,000; long-term assets of $800,000; and long-term debt of $600,000. how much is the firm's total equity?

Answers

The total equity of Siskiyou, inc.  is  $900,000.

What is total equity?

Entire assets minus total liabilities equals equity. A company's balance sheet will contain all of these numbers.

The sum that investors put in a firm in return for stock, plus all future profits realized by the company, less all future dividends paid out, is referred to as total equity.

Total equity =( current assets + long term assets) - (long term debt + current liabilities)

=   2,000,000-(500,000+600,000)

= $900,000

Hence, The total equity of Siskiyou, inc.  is  $900,000.

To learn more about equity

https://brainly.com/question/13278063

#SPJ1

4.if the change in gdp in south korea from 2016 quarter 3 to 2016 quarter 4 was 1.6%, then we may conclude that the s.a.a.r for gdp in the same period was a.1.6%, because s.a.a.r. measures quarter-to-quarter growth b.3.2%, because s.a.a.r. measures the upper limit of current gdp growth c.one-fourth of 1.6%, or 0.4%, because s.a.a.r. removes all annualized data d.four times 1.6%, or 6.4%, because s.a.a.r. annualizes quarterly data

Answers

Because s.a.a.r. annualizes quarterly statistics, if the change in South Korea's GDP from 2016 Quarter 3 to 2016 Quarter 4 was 1.6%, we can infer that the s.a.a.r. for the same period was 4.6%.

A rate adjustment known as a seasonally adjusted annual rate (SAAR) is used to try to eliminate seasonal changes in economic or commercial statistics, such as sales figures or employment figures. In the past, coal and coke were abundant in the Saar and Ruhr districts. This attracted the steel industry, which is crucial for making weapons. The market worth of all the finished goods and services that nations produce and sell in a certain time period is measured in dollars by their gross domestic product (GDP). This measurement is frequently reviewed before being regarded as a valid indicator due to its subjective and complicated character. The USA is by far the largest economy in our ranking for 2021, with a GDP of $23.0 trillion USD. With a GDP of 17.7 trillion USD, China comes in second position.

Learn more about GDP here

https://brainly.com/question/15682765

#SPJ4

if the price index in the first year is 125, in the second year is 150, and in the third year is 200. what is the inflation rate between the first and second year and between the second and third year?

Answers

The inflation rate between the first and second year is 20%.

The inflation rate between the second and third year is 33.33%

The Price Index is a crucial  economic metric. It calculates  the average change in prices paid by consumers over a  time  interval for a basket of goods and services.

The annual rate of inflation is actually  the price of the total basket in a  month compared with its price in the same month one year previously. Inflation is the percent changes in the price index from one year to the next.

Calculating the rate of inflation:

Between the first and second-year inflation was :

( 150 - 125 ) ÷ 125

= 25 ÷ 125

= 20%

Inflation during the second and third year is

(200 -150) ÷ 150

= 50 ÷ 150

= 33.33%.

Learn more about inflation rate:

brainly.com/question/1100560

#SPJ4

the income statement answers which of the following questions? a. how profitable was the business? b. how much money did the owners invest? c. how much cash did the firm generate? d. how much money does the company owe?

Answers

Answer: How Profitable was the business?

Explanation:

the income statement indicates how much money the business accumulated

calculate bond price if the coupon payment is 8%, yield for the bond is 10%, bond's face value is 1,000 and matures in 6, if paid semi-annually (enter the answer in dollar format without $ sign or thousands comma -> 3519.23 and not $3,519.23 or 3,519.23)

Answers

The answer of the bond price is $911.37

What is bond price?
Daily monitoring of bond prices is valuable for determining the direction of interest rates as well as, more broadly, the future of the economy. Not surprisingly, they play a significant role in a properly managed as well as diversified investment portfolio. Bond yields and prices are always subject to price fluctuations, particularly during times of rising as well as falling interest rates. Let's talk about the connection between bond yields and prices. If you purchase a bond right away, its face value will be its price, and its yield will be equal to its coupon rate. That is, you will receive exactly that if you purchase a bond with a three-year interest rate of 1%. You will receive the bond's face value back once it matures.

To learn more about bond price
https://brainly.com/question/26376004
#SPJ4

economic efficiency in a free market occurs when group of answer choices consumer surplus is maximized. price is as low as possible. producer surplus is maximized. the sum of consumer surplus and producer surplus is maximized.

Answers

Economic efficiency in a free market occurs when the sum of consumer surplus and producer surplus is maximized.

In order to serve each person or entity in the best possible manner while minimizing waste and inefficiency, economic efficiency implies an economic state. Any adjustments made to benefit one entity would hurt another in an economically effective economy. The cost of production is kept as low as feasible for both the fixed and variable inputs of production.

Allocative, productive, distributive, and Pareto efficiency are a few words that refer to different stages of economic efficiency. Economic efficiency is essentially an idealized limit that can only ever be approached.

Instead, to determine how effectively an economy operates, economists examine the amount of loss, sometimes known as waste, between pure efficiency and reality.

To know more about economic efficiency:

https://brainly.com/question/17018533

#SPJ4

what is the npv of a project that would cost $80000 today and be expected to produce annual cash flows of $7300 forever with the first annual cash flow expected in 1 year, if the cost of capital of the project is 9.34 percent?(round the value to nearest dollar)

Answers

$4,468 Is the npv of a project that would cost $80000 today and be expected to produce annual cash flows of $7300 forever with the first annual cash flow expected in 1 year,  cost of capital  is 9.34 percent.

Step-1:Calculation of present value of annual cash inflows      Present Value=Annual Cash inflow/Cost of Capital = $          7,100/9.40%  = $        75,532         Step-2:Calculation of NPV of the project        Present value of cash inflow $        75,532   Less Investment $        80,000         NPV  $        (4,468)

Capital budgeting places a greater emphasis on cash flows than profits, in contrast to several other methods of investment analysis. Instead of accounting the income and expenses resulting from the investment, capital budgeting focuses on identifying the cash inflows and outflows. Since they are cash flow activities, non-expense items like debt principal payments are, for instance, accounted for in capital budgeting. Contrarily, because they are not cash transactions, non-cash expenses like depreciation are not taken into account when planning capital expenditures (save to the extent that they have an impact on tax calculations for "after tax" cash flows). The amount of money that enters and leaves a business over the course of a fiscal year is referred to as annual cash flow.

Divide the cash flow for the period by the number of times it happens in a year.

Learn more about Capital here :

https://brainly.com/question/14226166

#SPJ4

if the spot rate of the euro is $1.10 per euro and the 30-day forward rate is $1.00 per euro and you believe that the spot rate in 30 days will be $1.05 per euro, you can maximize speculative gains by:

Answers

You can try to maximize speculative gains by: signing a forward foreign exchange contract to sell dollars in 30 days.

How do we calculate forward and spot exchange rates?

To calculate the forward rate,  simply multiply the spot rate by the ratio of interest rates and manage  for the time until expiration.

So, the forward rate  equals to the spot rate x (1 + domestic interest rate) / (1 + foreign interest rate).

What is spot rate and forward rate?

In common , a spot rate means  to the current price or bond yield, while a forward rate means to the price  for the same product or instrument at some points in the future. In commodities futures markets, a spot rate is the price for a commodity that is  being traded immediately on the spot.

Learn more about Spot rate:

brainly.com/question/4648209

#SPJ4

suppose that kim k decides to spend $30,000 on an american‑made purse instead of donating it to haitian earthquake relief. assume that the multiplier is 1.6 . how much will gdp rise when kim k buys her purse according to the multiplier effect? $ 33000

Answers

K decides to spend $30,000 on an american‑made purse instead of donating it to haitian earthquake relief. Chanage in GDP = 51,000 will gdp rise when kim k buys her purse according to the multiplier effect.

Joint Task Force-Haiti supported U.S. foreign disaster assistance, coordinated by the U.S. Agency for International Development Bureau for Humanitarian Assistance, at the request of the government of Haitian from August 15 to September 2, 2021, to assist those affected by a devastating earthquake in Haiti's Southern Claw. Joint Task Force-Haitian, along with the Bureau for Humanitarian Assistance of the U.S. Agency for International Development, carried out overseas disaster assistance operations from August 15 to September 2, 2021, to assist those affected by a devastating earthquake in Haiti's Southern Claw.

Learn more about Haitian here :

https://brainly.com/question/9915838

#SPJ4

Nominal gdp measures base-year production using base-year prices, whereas real gdp measures current production using current prices. True or false?.

Answers

Nominal GDP measures base-year production using base-year prices, whereas real GDP measures current production using current prices.

The statement is false.

Nominal GDP is GDP evaluated at contemporary marketplace expenses. therefore, nominal GDP will include all of the changes in marketplace fees which have taken place all through the modern 12 months due to inflation or deflation.

Nominal GDP is the Gross home Product without any impact of inflation. real GDP is the inflation-adjusted GDP of a rustic. The Nominal GDP of a rustic is expressed in terms of current year costs of goods and offerings.

Nominal GDP assesses monetary manufacturing in an economy but includes the modern charges of goods and offerings in its calculation.

Learn more about Nominal GDP here: https://brainly.com/question/8151973

#SPJ4

kristin is examining a measure of the financial return the human resources department received for its investment in a new performance appraisal system. the new system cost $3,500 and saved more than $5,000 in payroll expenses. kristin is examining the . a. strategy b. economic value added c. gain from investment d. return on investment e. balanced scorecard

Answers

Kristin is looking into a measure of how much money the HR department made from investing in a new performance evaluation system. While saving over $5,000 in payroll costs, the new system cost $3,500. Kristin is looking into investment return.

An indicator of an investment's profitability is the return on investment (ROI).ROI measures an investment's effectiveness by comparing the amount you paid for it to the amount you made.

How is the return on investments calculated?

An approximate indicator of an investment's profitability is its return on investment (ROI).ROI is calculated by dividing the new number by the investment's cost, then multiplying it by 100, then subtracting the investment's initial cost from its final value.

Learn more about return on investment here:

https://brainly.com/question/22985922

#SPJ4          

on october 31, your company's records say that the company has $18,282.83 in its checking account. a review of the bank statement shows you have three outstanding checks totaling $7,151.89, and the bank has paid you interest of $19.09 and charged you $15.00 in service charges. the bank statement dated october 31, would report a balance of: (round your answer to 2 decimal places.)

Answers

According to the bank statement from October 31st, there is a balance of $11,135.03.

Describe a bank statement.

The transactions for a bank account over a specific time period, typically monthly, are listed in a bank statement. The statement provides the beginning and ending balances for the period along with deposits, charges, and withdrawals.

A bank statement, also known as an account statement, is a record that summarizes all of an account's transactions for a given month and is normally issued by the bank to the account holder each month.

The calculation of the bank statement's amount as of October 31, is:

Ending balance                        $18,282.83

Less: Outstanding cheques   -$7,151.89

Add: Interest received             $19.09

Less: Service charged            -$15

Reported balance                    $11,135.03

To get the stated total, we simply added the remaining goods to the ending balance after subtracting the outstanding cheques and service fees.

Learn more about bank statement: https://brainly.com/question/24007779

#SPJ4

What type of analytics recommends one or more courses of action, identifies the likely outcome of each decision, and quantifies the effect of future decisions in order to advise on possible outcomes before the decisions are actually made?.

Answers

Prescriptive analytics make decision  one or more courses of action, identifies the likely outcome of each decision, before the decisions are actually taken.

What is Prescriptive analytics?

Prescriptive analytics makes an effort to quantify the impact of future actions. It is a subset of data analysis that seeks to provide a solution to Through the examination of raw data, technology is used to assist organizations in making better decisions. Prescriptive analytics makes recommendations for a course of action or strategy based on knowledge about potential situations or scenarios, available resources, historical performance, and present performance. It may be applied to decision-making on any time scale, from the short term to the long haul. Descriptive analytics, on the other hand, assess choices and results after the event.

Learn more about Prescriptive analytics here:

https://brainly.com/question/20714266

#SPJ4

if you have a dental emergency and your dentist pulls your severely infected tooth without prior negotiation about payment, or even any mention of payment, you have a(n) contract for the payment of his services.

Answers

You have an implied contract for the payment of his services if you have a dental emergency and your dentist extracts your very infected tooth without first discussing payment or even mentioning it.

What is an implied contract?

An implied contract is a legally-binding duty that arises from the actions, conduct, or circumstances of one or more parties to an agreement. It has the same legal impact as a voluntary agreement established by two or more parties and communicated verbally or in writing, which is known as an explicit contract. The implicit contract, on the other hand, is assumed to exist and doesn't need to be confirmed orally or in writing.

According to the ideas underpinning an implied contract, no one should receive unjust gains at the expense of another, and fair play can be achieved without a written or verbal agreement.

To know more about an implied contract, click

https://brainly.com/question/19908088

#SPJ4

Other Questions
Write a two-column proof.4. Given: AB EFAC DFProve: ABC ~ FEDPlease help Purple hibiscusChapter 7What are a couple ways that Ifeoma pushes back against her brother during the Christmas meal? What does she add to the end of Papas Christmas toast? answer this for me please Is peer influence a type of curriculum?Why? jacob opened a money-market account. in the first month, he made an initial deposit of $500. he plans to contribute $75 a month after his initial deposit. the account does not pay any interest. after how many months will he have a total of $1,475? Alex purchases a computer from dell to be delivered via fed ex. Dell delivers the computer to fed ex to be shipped to alex. During the delivery, the fed ex driver is having a bad day and just throws the boxes out the window of the delivery truck rather than setting the box by the front door as is standard practice. While throwing the computer it is damaged. Would dell be responsible for the damage to the computer?. Purple hibiscusChapter 8Page. 124: What is Auntys reaction to Jaja and Kambilis schedules? 4^5 x 4^3 x 4^2 x 4^3 / 4^2 x 4 x 4^2 simplify help DensityWhich of the following do you think is more dense?WaterPing Pong BallWhich is more dense a drop of water or ping pong ball Which of the expressions are equivalent to the one below? Check all that apply. ( 15 3) - 20 please help with this practice question thank you The idea that layers of sediment are always deposited horizontally is called Flower petals protect tiny, more delicate parts.True False (SCIENCE) Describe the effect that Partition had on India, Pakistan, and Bangladesh. If you assign an external attribution to your professors late arrival to class, thinking, she must have hit heavy traffic on the way to campus, what are you examining in order to understand the behavior?. one reason why the roles of adult males are changing caroline met a new friend named wendy. wendy was wearing a green shirt, which reminded caroline of peter pan, so caroline plans to remember peter pan when she thinks about her new friends name. this is an example of What are England Colony strengths and weaknesses 32. is when children focus attention on managing their emotions. a.effortful control b.emotions management c.external regulation d.extraterrestrial force Becca has a distinctive style that she has come to be known for in all of her photographs. She consistently places a square frame, almost like a picture frame, within each of her photographs. What does this do for the viewer's focus?A. focuses the viewer's attention on the subject while also hinting at a wider contextB. focuses the viewer's attention on the horizon while creating a bit of confusionC. focuses the viewer's attention on all of the small, unnecessary detailsD. focuses the viewer's attention on the living subjects within the frame and nothing else