assuming the market is arbitrage-free, if a six-month pure discount bond yields 1.9%, a one-year pure discount bond yields 2.3%, an eighteen- month pure discount bond yields 2.65%, and a two-year discount bond yields 3.05%, what should be the price of a two-year $1,000 6% par-value bond with semiannual coupons?

Answers

Answer 1

To determine the price of the two-year $1,000 6% par-value bond with semiannual coupons, we need to calculate the present value of the future cash flows, which includes the semiannual coupon payments and the final payment of the par value.


First, we need to calculate the semiannual coupon payment, which is $1,000 x 6% / 2 = $30.

Next, we need to calculate the number of semiannual periods in two years, which is 4.

Using the yields given for the pure discount bonds, we can calculate the discount factors for each period as follows:

- 6-month: 1 / (1 + 1.9% / 2) = 0.990277
- 1-year: 1 / (1 + 2.3% / 2) ^ 2 = 0.972443
- 18-month: 1 / (1 + 2.65% / 2) ^ 3 = 0.954874
- 2-year: 1 / (1 + 3.05% / 2) ^ 4 = 0.938876

Using these discount factors, we can calculate the present value of the semiannual coupon payments and the final payment of the par value as follows:

- Coupon payments: $30 x (0.990277 + 0.990277^2 + 0.990277^3 + 0.990277^4 + 0.990277^5 + 0.990277^6) = $173.36
- Par value: $1,000 x 0.938876^8 = $776.02

Finally, we add the present value of the coupon payments and the final payment of the par value to get the price of the bond:

Price = $173.36 + $776.02 = $949.38

Therefore, assuming the market is arbitrage-free, the price of the two-year $1,000 6% par-value bond with semiannual coupons should be $949.38.

To learn more about market is arbitrage-free, click here:

https://brainly.com/question/30833515

#SPJ11


Related Questions

An investment of ​$110 000 in safe​ 10-year corporate bonds yields an average of 6​% per​ year, payable each year. The effective income tax rate is 30​%, and inflation will average 2​% per year. How much will this investment of ​$110 000 be worth in 10 years in​ today's purchasing power after income taxes and inflation are taken into​ account?

Answers

Assuming that the 6% annual yield is before taxes and inflation, the after-tax and inflation return on this investment would be 2.8% per year (6% - 30% tax rate - 2% inflation rate).

Using the future value formula with a present value of ​$110 000, a 10-year term, and a 2.8% annual interest rate, the investment would be worth approximately ​$147,079 in 10 years. However, to calculate the investment's worth in today's purchasing power, we need to adjust for inflation. Using the inflation rate of 2% per year, we can calculate the present value of ​$147,079 in 10 years to be approximately ​$121,433. Therefore, this investment of ​$110,000 will be worth approximately ​$121,433 in today's purchasing power after income taxes and inflation are taken into account.

Learn more about taxes here:-

https://brainly.com/question/16423331

#SPJ11

which of the following describes collusion? multiple choice question. a market structure characterized by a single seller - producing a good or service for which there are no close substitutes. a situation in which decision makers coordinate their actions to achieve a desired outcome. a group of competing companies that aim to maximize joint profits by coordinating their policies to fix prices - manipulate output - or restrict competition. a market structure characterized by a few large producers - of either standardized or differentiated products - operating in industries with extensive entry barriers.

Answers

Collusion is described as "a group of competing companies that aim to maximize joint profits by coordinating their policies to fix prices, manipulate the output, or restrict competition," which is an option (c).

Collusion occurs when two or more firms work together to limit competition in a market, typically by agreeing to fix prices, limit production, or divide markets among themselves. This behavior is illegal in most countries and is considered a violation of antitrust laws.

Option (a) describes a monopoly, which is a market structure characterized by a single seller producing a good or service for which there are no close substitutes. Option (b) describes coordination among decision-makers to achieve a desired outcome, which may or may not involve collusion. Option (d) describes an oligopoly, which is a market structure characterized by a few large producers of either standardized or differentiated products, operating in industries with extensive entry barriers.

Hence, option c is correct.

Learn more about Collusion: https://brainly.com/question/31358889

#SPJ11

hr is tasked with developing a plan to communicate major organizational changes to employees. which is the most effective way to communicate the changes?

Answers

The most effective way to communicate major organizational changes to employees is through multiple communication channels, including in-person meetings, email, and other digital tools such as video conferencing, chat, and social media.

When communicating major organizational changes to employees, it is important to use multiple communication channels to ensure that the message reaches all employees effectively. In-person meetings are often the most effective way to communicate major changes, as they provide an opportunity for employees to ask questions and engage with the leadership team directly.

Additionally, digital communication tools such as email, video conferencing, and chat can be used to reach employees who are not located in the same geographic area or who work remotely. Social media can also be an effective tool for communicating major changes, particularly for organizations with a strong social media presence.

To know more about communication, click here.

https://brainly.com/question/5144437

#SPJ4

.Visit the website of one of your favourite brands. Think about who their target segment(s) is and
explain why you think this. Then try to outline the company’s marketing mix.

Answers

Marketing mix- Apple is a prime example of a well-known brand. Apple typically caters to tech-savvy people who value quality and design. They serve people who will pay more for high-quality goods.

Consider their target audience(s) and provide support for your assumptions.

The product, price, place, and promotion strategies are all part of Apple's marketing mix. Apple's products are created to provide a seamless, simple-to-use user experience. The company bases its pricing strategy on the worth of its brand and the calibre of its goods. Although Apple's products are typically more expensive than those of its rivals, consumers are still willing to pay more for the superior quality and innovative designs of these products. Apple's place strategy calls for the company to sell its goods via authorised retailers, online retailers, and its own brick-and-mortar stores.  Millennials and younger generations with an interest in technology and innovation make up their core demographic.

To Know more about Marketing Mix Visit:

brainly.com/question/14591993

#SPJ1

bell manufacturing co. is trying to decide what price to charge the distributor of its telephones. if the retail price of a bell telephone is $40, the retail markup is 60% and the distributor's markup is 35%, what price should bell manufacturing co. charge to its distributor?

Answers

The price Bell Manufacturing Co. should charge its distributor, considering the retail price, retail markup, and distributor markup should be $18.52.

The retail price of a Bell telephone is $40. The retail markup is 60%. To find the price before the retail markup, we can use the following formula:

Original Price = Retail Price / (1 + Retail Markup)

Original Price = $40 / (1 + 0.6)

Original Price = $40 / 1.6

Original Price = $25

Now we have the price before the retail markup, which is also the price after the distributor's markup. The distributor's markup is 35%. To find the price Bell Manufacturing Co. should charge its distributor, we can use the following formula:

Price to Distributor = Original Price / (1 + Distributor Markup)

Price to Distributor = $25 / (1 + 0.35)

Price to Distributor = $25 / 1.35

Price to Distributor ≈ $18.52

Therefore, Bell Manufacturing Co. should charge approximately $18.52 to its distributor.

To know more about pricing strategy, visit https://brainly.com/question/17063360

#SPJ11

miri sells postcards of original photos and other trinkets from a mobile shop that she can easily move from one location to another. it is far less expensive than maintaining a traditional storefront. miri's mobile shop is best classified as a(n) .

Answers

miri sells postcards of original photos and other trinkets from a mobile shop that she can easily move from one location to another. it is far less expensive than maintaining a traditional storefront. miri's mobile shop is best classified as a(n) .

Miri's mobile shop can be classified as a pop-up shop. Pop-up shops are temporary retail spaces that can be set up in a variety of locations, such as empty storefronts, outdoor spaces, or even mobile vehicles like trucks or trailers.

Pop-up shops are becoming increasingly popular among entrepreneurs and small businesses because they offer a cost-effective way to test new markets or reach new customers without the high overhead costs of a traditional storefront. Pop-up shops also offer a unique and engaging shopping experience for customers, who may enjoy the novelty of discovering a new business or product in an unexpected location. In Miri's case, her mobile shop is a great example of a pop-up shop, as it allows her to easily move from one location to another, and operate without the expenses associated with maintaining a traditional storefront.

Learn more about entrepreneurs here:

https://brainly.com/question/13897585

#SPJ11

True or False: An HR generalist will generally have a broader understanding of HR compared to an HR specialist, who will typically have detailed knowledge about a specific HR area.

Answers

The given statement, " An HR generalist will generally have a broader understanding of HR compared to an HR specialist, who will typically have detailed knowledge about a specific HR area." is true, The HR Generalist is in charge of directing the day-to-day activities of the human resources division.

Human capital management (HCM) software is rapidly developing, thus HR generalists now require digital abilities to supplement the traditional duties of the profession, such as benefits administration. HR generalists act as the liaisons between employees, managers, and executives when assessing employee engagement in a time when company cultures are cherished selling advantages. The work includes processing payroll, handling perk and request for leave, hiring fresh employees, and arranging assessments.

Typically, generalists report to an HR manager or director. Smaller businesses might only employ a few generalists, in contrast to larger corporations, which frequently have larger, more specialized HR teams. The administrative, compliance-focused, and strategic responsibilities of human resources generalists are frequent.

Learn more about Business here:

https://brainly.com/question/26106218

#SPJ4

XCEL Corporation paid a dividend yesterday for $1.50. They expect to pay dividends annually at a constant 6% annual growth rate indefinitely. If the required rate of return on this investment is 12%, what is the current value of this common stock?a. $1.50b. $12.50c. $13.25d. $25.00e. $26.50

Answers

XCEL Corporation paid a dividend yesterday for $1.50.They expect to pay dividends and shareholders annually at a constant 6% annual growth rate indefinitely. If the required rate of return on this investment is 12%. The correct answer is e. $26.50.

A dividend is a sum of money that the business regularly distributes to its shareholders.

This common stock is currently worth $26.50.

This can be gauged using:

Price today = Dividend this year

(Required rate of return - Growth rate)

Where,

Interest for the current year is $1.59.

The required rate of return is 12 percent.

Growth is about 6%.

As a result, the common stock's current value is

($1.50 x 1.06)

(0.12 - 0.06)

$1.59 0.06

= $26.50

Therefore, the current price of the common

stock will be $26.50.

To know more about Dividend and shareholders visit:

https://brainly.com/question/17330783

#SPJ4

which is most often applied in construction of a facility or producing an item with a complex production process?

Answers

The most often applied approach in the construction of a facility or producing an item with a complex production process is known as the project management methodology. This approach focuses on careful planning, organizing, and controlling resources to achieve specific goals.


In project management, key elements such as cost, quality, and schedule are closely monitored to ensure the project's success. To achieve this, various tools and techniques are employed, including Work Breakdown Structures (WBS), Gantt charts, and critical path analysis. These tools help in identifying tasks, determining their dependencies, and allocating resources effectively.



Project management methodologies also emphasize the importance of communication, risk management, and stakeholder engagement. Regular progress updates and discussions ensure that potential issues are addressed promptly, reducing the likelihood of delays and cost overruns.



In summary, project management is widely used in constructing facilities or producing items with complex processes due to its systematic approach to planning, organizing, and controlling resources. It ensures that projects are completed on time, within budget, and to the desired quality, making it a highly valuable method in these industries.

Know more about cost overruns here:

https://brainly.com/question/31420712

#SPJ11

fifteen hundred people tested a new type of sunglasses. one hundred eighty people said they would buy them. the estimated market size is 2,600,000. the average consumer would purchase 1 pair of glasses per year. what is the sales potential for the new type of sunglasses?

Answers

To calculate the sales potential for the new type of sunglasses, we first need to determine what percentage of the estimated market size would be interested in purchasing the sunglasses.

We can do this by dividing the number of people who said they would buy the sunglasses (180) by the total number of people who tested them (1500). This gives us a conversion rate of 0.12 or 12%. Next, we need to calculate the number of potential buyers in the market by multiplying the conversion rate by the estimated market size 0.12 x 2,600,000 = 312,000.

Therefore, the sales potential for the new type of sunglasses is 312,000 pairs of glasses per year, assuming that each consumer purchases one pair per year.
Read more about purchasing here:https://brainly.com/question/1489991

#SPJ11

Question 4 10 points A tabor saving device system savo $2,000 per year for five (5) years. It can be installed at a cost of $8,000. The rate of return on this planned Investment is most nearly = 12.38% Ob: 10% 9.36% Odi-10.3696

Answers

A tabor saving device system saves $2,000 per year for five years. It can be installed at a cost of $8,000. The rate of return on this planned Investment is most nearly is a. 12.38%.

To determine the rate of return on this investment, we need to calculate the net present value (NPV) of the investment and then use that to calculate the rate of return.

The NPV is calculated as the present value of the future savings minus the initial cost of the investment:

NPV = -initial cost + PV of future savings

where PV is the present value.

The PV of future savings can be calculated using the formula for the present value of an annuity:

PV = C x [(1 - (1 + r)^-n) / r]

where C is the annual savings, r is the rate of return, and n is the number of years.

In this case, C = $2,000, n = 5, and the initial cost is -$8,000 (a negative value because it is a cash outflow).

We want to solve for r, so we need to use trial and error or an iterative function to find the rate that makes the NPV equal to zero.

Using a financial calculator or spreadsheet, we can find that the rate of return that makes the NPV equal to zero is approximately 12.38%. Therefore, the answer is (a) 12.38%.

To know more about net present value (NPV) visit:

https://brainly.com/question/30404848

#SPJ11

a. suppose the government gives each firm the right to dump 5,000 gallons/year. if the firms cannot buy or sell these dumping rights, what is the total cost to both firms for complying with the regulation?

Answers

If the government gives each firm the right to dump 5,000 gallons/year and these rights cannot be bought or sold, then the total cost to both firms for complying with the regulation would be equal to the cost of reducing their emissions to 5,000 gallons/year.

This means that both firms would need to invest in equipment and technology to reduce their emissions to the permitted level. The cost of these investments would depend on a variety of factors such as the type of industry, the level of emissions prior to the regulation, and the availability of technology to reduce emissions. However, it is likely that these costs would be substantial and could potentially affect the profitability of the firms.

In addition, there may be costs associated with monitoring and reporting emissions to ensure compliance with the regulation. Overall, the total cost of complying with the regulation would depend on the specific circumstances of each firm and would need to be evaluated on a case-by-case basis.

For more about government:

https://brainly.com/question/7525246

#SPJ11

granfield company has a piece of manufacturing equipment with a book value of $42,500 and a remaining useful life of four years. at the end of the four years the equipment will have a zero-salvage value. granfield can purchase new equipment for $135,000 and receive $24,000 in return for trading in its current equipment. the current equipment has variable manufacturing costs of $44,000 per year. the new equipment will reduce variable manufacturing costs by $21,500 per year over its four-year life. the total increase or decrease in income by replacing the current equipment with the new equipment is:

Answers

The total increase or decrease in income by replacing the current equipment with the new equipment is a decrease of $67,500. In other words, keeping the current equipment would be more financially advantageous for Granfield over the next four years.


The total cost of keeping the current equipment for four years will be:
$44,000 x 4 years = $176,000
On the other hand, if Granfield purchases new equipment for $135,000 and trades in its current equipment for $24,000, the net cost of the new equipment will be:
$135,000 - $24,000 = $111,000

In addition, the new equipment will reduce variable manufacturing costs by $21,500 per year for four years. Therefore, the total savings from the new equipment will be:
$21,500 x 4 years = $86,000
Finally, we need to factor in the book value of the current equipment, which is $42,500. This is a sunk cost, meaning it cannot be recovered regardless of which option is chosen. Therefore, it should not factor into the decision-making process.
Keep current equipment
Income = $0 (no savings) - $176,000 (variable manufacturing costs) - $42,500 (book value) = -$218,500
Purchase new equipment
Income = $86,000 (savings from new equipment) - $111,000 (net cost of new equipment) - $42,500 (book value) = -$67,500
For more such questions on income

https://brainly.com/question/28936505

#SPJ11

Bonus Question: Some critics of tax increases on cigarettes suggest that an increase in the tax will reduce the revenue that the government collects. Is this likely?

Answers

It is possible that increasing the tax on cigarettes could lead to a reduction in revenue collected by the government. This is because as the tax on cigarettes increases, the price of cigarettes also increases, which can lead to a decrease in the demand for cigarettes.

A decrease in demand for cigarettes would mean that fewer people would purchase cigarettes, resulting in lower sales revenue for cigarette manufacturers, distributors, and retailers. As a result, the tax revenue collected by the government would also decrease. However, the extent to which this occurs depends on the elasticity of demand for cigarettes, which varies by population and over time. In some cases, the increase in tax revenue from higher tax rates may outweigh the decrease in revenue due to lower demand.

Learn more about cigarettes ,

https://brainly.com/question/13463924

#SPJ4

Nonprofit organizations ______.
have no need for any type of accounting information
only need financial accounting information
must make decisions that use managerial accounting information

Answers

Nonprofit organizations must make decisions that use managerial accounting information. Nonprofit organizations operate differently from for-profit businesses.

Nonprofits must account for their financial activities and report on them to various stakeholders, including donors, grantors, and regulators. In addition to financial accounting information, nonprofit organizations also need managerial accounting information to make decisions about how to allocate their resources and achieve their goals. Managerial accounting provides insights into the costs and benefits of different programs, projects, and initiatives. Nonprofits can use this information to evaluate the effectiveness of their programs, make informed decisions about resource allocation, and identify areas for improvement. For example, a nonprofit may use managerial accounting information to compare the costs and benefits of different fundraising strategies, or to assess the impact of a new program on its overall mission. In short, while nonprofits may have different objectives than for-profit businesses, they still need accounting information to make informed decisions and manage their finances effectively. And managerial accounting information is an essential tool for nonprofits to achieve their goals and serve their communities.

Learn more about Nonprofit here:

https://brainly.com/question/25230172

#SPJ11

Legislation continues to put an emphasis on the rights of whom?
Employers
Employees

Answers

Legislation continues to put an emphasis on the rights of Employees.

Legislation at both the federal and state levels continues to put an emphasis on the rights of employees. Employment laws and regulations seek to protect workers from discrimination, harassment, and unfair labor practices, as well as ensure fair pay and safe working conditions.

Examples of such legislation include the Americans with Disabilities Act (ADA), the Fair Labor Standards Act (FLSA), the Occupational Safety and Health Act (OSHA), and Title VII of the Civil Rights Act of 1964, among others.

In addition, recent trends in employment law have focused on issues such as paid sick leave, parental leave, and minimum wage increases. As a result of these laws and regulations, employers are required to comply with a range of standards and guidelines designed to protect the rights and well-being of their employees. Failing to do so can result in legal consequences, including fines and lawsuits.

To know more about Legislation, refer here:
https://brainly.com/question/13672467#
#SPJ11

Suppose that a firm is producing in the short run with output given by:
Q = 65L - L2
The firm hires labor at a wage of $49 per hour and sells the good in a competitive market at P = $17 per unit. Find the firm’s optimal use of labor.
Enter as a value. ROUND TO THE NEAREST WHOLE NUMBER.

Answers

The firm's optimal use of labor is approximately 33 workers.

To find the firm's optimal use of labor, we need to calculate the point at which the marginal revenue product (MRP) of labor equals the wage rate.

First, let's find the marginal product of labor (MPL) by differentiating the production function [tex]Q = 65L - L^2[/tex] with respect to L:

MPL = dQ/dL = 65 - 2L

Next, we find the marginal revenue product (MRP) by multiplying the MPL by the price per unit:

MRP = P * MPL = $17 * (65 - 2L)

Now, set the MRP equal to the wage rate of $49 per hour and solve for L:

$49 = $17 * (65 - 2L)
49/17 = 65 - 2L
2L = 65 - 49/17
L = (65 - 49/17) / 2

L ≈ 32.94

Learn More about labor here :-

https://brainly.com/question/27994817

#SPJ11

a clear chain of command with all employees knowing who their supervisors are as well as whom they are responsible for is an example of a(n) . group of answer choices issue network merit system hierarchy spoils system

Answers

A clear chain of command with all employees knowing who their supervisors are as well as whom they are responsible for is an example of a hierarchy.

A hierarchy is a system in which individuals or groups are ranked according to their status or authority. In a hierarchical organization, the chain of command is clear, and everyone knows who their superiors are, whom they are responsible for, and who they can turn to for guidance or support.
A well-defined hierarchy can provide several benefits for an organization. For example, it can help to ensure that tasks are completed efficiently and effectively by assigning responsibility and accountability to specific individuals. Additionally, it can aid in the delegation of tasks and decision-making processes, allowing individuals to focus on their own areas of expertise.
However, a hierarchical structure can also have its drawbacks. For instance, it can limit communication and collaboration between different levels of the organization, potentially leading to conflicts or misunderstandings. It can also discourage creativity and innovation by stifling input from those lower in the hierarchy.
Overall, a clear hierarchy can provide structure and organization to an organization, allowing for efficient and effective management of tasks and responsibilities. However, it is important to balance this with other factors, such as open communication and collaboration, to ensure a well-functioning and successful organization.

For more such questions on hierarchy visit:

https://brainly.com/question/28043734

#SPJ11

what kinds of changes do you think we'll need to make so the app will be well received in other countries? you: well, there are some obvious factors to consider: currency variations and

Answers

Well, if we want our app to be well received in other countries, there are a few key changes that we will need to make. One of the most important factors to consider is currency variations. Different countries use different currencies, and we will need to make sure that our app can handle these variations.

This might involve adding support for multiple currencies, or even creating different versions of the app that are tailored to specific countries or regions.In addition to currency variations, there are other changes that we might need to make to ensure that our app is well received in other countries.

For example, we may need to adjust the language and content of the app to better suit the local culture and customs. We may also need to consider things like different time zones and local regulations that could affect how our app is used and perceived in different countries.

Ultimately, the key to success when launching an app in other countries is to do your research and be willing to make the necessary changes to ensure that your app is well received. This may involve investing in localization services, hiring local experts, or even partnering with local companies to help promote your app in different regions. With the right approach and a willingness to adapt, there's no reason why our app can't be a success in countries around the world.

To know more about currency variations refer here

https://brainly.com/question/2495149#

#SPJ11

demand for football tickets for the local high school team decreases by 40 for every $1 increase in ticket price. at a price of $15, the number of tickets sold is 1000. if the goal is to maximize revenue, what price should be set for tickets

Answers

To maximize revenue, the price of tickets should be set at $10.


To maximize revenue, it's important to find the point at which the demand for tickets and the price per ticket result in the greatest profit. Using the given information, we know that for every $1 increase in ticket price, the demand decreases by 40 tickets.

So, if we increase the price to $16, we can expect to sell 960 tickets (1000 - 40). This would result in a revenue of $15,360 ($16 x 960).

However, if we lower the price to $10, we can expect to sell 1200 tickets (1000 + 200) which would result in a revenue of $12,000 ($10 x 1200). Therefore, the price of tickets should be set at $10 to maximize revenue.

For more such questions on revenue, click on:

https://brainly.com/question/25102079

#SPJ11

The main legal reason for performing a thorough background check of all applicants isthe avoidance of resumé fraud.non-discrimination against protected classes.protection against charges of negligent hiring.

Answers

The main legal reason for performing a thorough background check of all applicants is to protect against charges of negligent hiring.

Negligent hiring is a legal claim that an employer failed to exercise reasonable care in hiring an employee who, as a result, caused harm to someone else. By conducting background checks, employers can identify any red flags or potential risks that might make an applicant unsuitable for a particular job.

This helps to reduce the likelihood of workplace incidents, such as theft, violence, or harassment, and can also protect against legal liability if an employee causes harm to others.

Learn more about negligent hiring.

https://brainly.com/question/30884035

#SPJ4

Holding everything else constant, the IS curve will become flatter when? O Investment expenditure becomes less responsive to changes in interest rates O the marginal propensity to consume decreases O the expenditure multiplier decreases O the marginal propensity to save decreases

Answers

The IS curve represents the combinations of interest rates and output levels that result in goods market equilibrium, where planned investment equals planned saving.

The slope of the IS curve depends on the responsiveness of investment and consumption to changes in interest rates. Holding everything else constant, the IS curve will become flatter when investment expenditure becomes less responsive to changes in interest rates. This means that for a given change in interest rates, there will be a smaller change in investment expenditure, leading to a smaller change in output. Therefore, the flatter IS curve indicates a weaker relationship between interest rates and output.the slope of the IS curve can also be affected by changes in the marginal propensity to consume and the marginal propensity to save. An increase in the marginal propensity to consume or a decrease in the marginal propensity to save will make the IS curve steeper, while a decrease in the marginal propensity to consume or an increase in the marginal propensity to save will make the IS curve flatter.It's also worth noting that the slope of the IS curve can have important implications for macroeconomic policy. A flatter IS curve implies that monetary policy (changes in interest rates) will have a weaker impact on output, and fiscal policy (changes in government spending or taxes) may be needed to stimulate the economy. On the other hand, a steeper IS curve implies that monetary policy can have a stronger impact on output, and fiscal policy may be less necessary.

Learn more about equilibrium here:

https://brainly.com/question/30807709

#SPJ11

assume that you manage a risky portfolio with an expected rate of return of 13% and a standard deviation of 45%. the t-bill rate is 6%. your client chooses to invest 75% of a portfolio in your fund and 25% in a t-bill money market fund. required: a. what are the expected return and standard deviation of your client's portfolio? (r

Answers

The expected return of your client's portfolio is 11.25% and the standard deviation is 33.75%.

The calculation of the expected return and standard deviation of a portfolio is crucial in understanding the potential risks and returns associated with it.

In this case, we will use the given information to calculate the expected return and standard deviation of the client's portfolio using the appropriate formulas.

The expected return of the client's portfolio can be calculated using the following formula:

Expected return = (Weight of risky portfolio * Expected return of risky portfolio) + (Weight of T-bill * T-bill rate)

Assuming the weight of the risky portfolio is 0.75, and the expected return of the risky portfolio is 0.13, while the weight of the T-bill is 0.25, and the T-bill rate is 0.06, we can calculate the expected return of the client's portfolio as follows:

Expected return = (0.75 * 0.13) + (0.25 * 0.06)

Expected return = 0.0975 + 0.015

Expected return = 0.1125 or 11.25%

Therefore, we can expect a return of 11.25% from the client's portfolio.

Next, we will calculate the standard deviation of the client's portfolio using the following formula:

Standard deviation = Weight of risky portfolio * Standard deviation of risky portfolio

Assuming the weight of the risky portfolio is 0.75, and the standard deviation of the risky portfolio is 0.45, we can calculate the standard deviation of the client's portfolio as follows:

Standard deviation = 0.75 * 0.45

Standard deviation = 0.3375 or 33.75%
So, the expected return of your client's portfolio is 11.25% and the standard deviation is 33.75%.

To learn more about standard deviation, refer below:

https://brainly.com/question/23907081

#SPJ11

answer the following true/false questions: when a bond is sold at face value, the carrying value will change over the life of the bond. if market interest rates are rising, then bond prices are also rising. answer the following true/false questions: when a bond is sold at face value, the carrying value will change over the life of the bond. if market interest rates are rising, then bond prices are also rising. false, false false, true true, true true, false

Answers

False. False. The term "face value" describes the amount that a financial instrument was worth when it was first issued. A bond's face value, commonly known as "par value," is the amount that the issuer must pay when it matures.

Comparatively, the face value of a stock is the price established by the issuer when the stock is first issued.

Due to the absence of any premium or discount that would need to be amortized during the bond's term when sold at face value, the carrying value of the bond will remain constant. Bond carrying values fluctuate during the course of their lives as a result of premium or discount. Carrying value is unchanged if sold for the whole amount.

Bond prices don't grow if market interest rates are rising. Due to low earnings (interest rate) in comparison to the market, bond prices are anticipated to drop if interest rates are rising above the company's promised interest rate.

To know more about Face Value of Bonds, click on the link below:

https://brainly.com/question/29418583

#SPJ4

Please answer these!! thank you.the choices are:greater thanless thanequal toQuestion 11 1 pts When the quantity supplied is [Select ] * the quantity demanded, we have a surplus. Question 12 1 pts A When the quantity supplied is [Select ] the quantity demanded, we have a shortage.

Answers

Question 11: When the quantity supplied is greater than the quantity demanded, we have a surplus. In economics, a surplus refers to a situation where the supply of a particular good or service exceeds the demand for it.

This can lead to a buildup of inventory or stock, as suppliers are unable to sell all of their products at the prevailing market price. Surpluses can occur due to a variety of factors, such as changes in consumer preferences, technological advancements, or shifts in global supply chains.

Question 12: When the quantity supplied is less than the quantity demanded, we have a shortage. A shortage occurs when there is not enough of a particular good or service to meet the demand for it. This can lead to increased competition among buyers, as they bid up the price of the product in an effort to secure a limited supply.

Shortages can occur due to a variety of factors, such as unexpected changes in demand, supply chain disruptions, or government regulations. In order to address a shortage, suppliers may increase production or adjust their prices in an effort to attract more customers.

To know more about demanded refer home

https://brainly.com/question/29703449#

#SPJ11

A farmer is considering adopting a soil conservation practice that will raise his profits next year and every year after for a total of 5 years by $100. He has the alternative of putting his money in the bank, which would pay %5 per year. The maximum amount that the farmer would be willing to pay immediately for the practice is $________.

Answers

The maximum amount the farmer would be willing to pay immediately for the practice is $432.94.

The farmer is considering adopting a soil conservation practice that will increase his profits by $100 per year for a total of 5 years. The alternative option is to invest his money in a bank, which would yield a 5% return per year. To determine the maximum amount the farmer would be willing to pay immediately for the practice, we need to find the present value of the additional profits he would earn.

Using the present value formula: [tex]PV = FV / (1 + r)^n[/tex], where PV is the present value, FV is the future value, r is the interest rate, and n is the number of years, we can calculate the present value of each additional profit.

Year 1: [tex]PV = $100 / (1 + 0.05)^1 = $100 / 1.05 = $95.24[/tex]
Year 2: [tex]PV = $100 / (1 + 0.05)^2 = $100 / 1.1025 = $90.70[/tex]
Year 3: [tex]PV = $100 / (1 + 0.05)^3 = $100 / 1.1576 = $86.38[/tex]
Year 4: [tex]PV = $100 / (1 + 0.05)^4 = $100 / 1.2155 = $82.27[/tex]
Year 5:[tex]PV = $100 / (1 + 0.05)^5 = $100 / 1.2763 = $78.35[/tex]

Now, we add up the present values to determine the maximum amount the farmer would be willing to pay:

$95.24 + $90.70 + $86.38 + $82.27 + $78.35 = $432.94

The maximum amount the farmer would be willing to pay immediately for the practice is $432.94.

Learn more about amount here:-

https://brainly.com/question/1979883

#SPJ11

16. which of the following stages of the industry life cycle is characterized by increased competition and deceleration of profitability? a. pioneering development b. mature growth c. market maturity d. market decline

Answers

Market maturity is characterized by increased competition and deceleration of profitability. Companies must adapt to stay relevant in the market and focus on retaining and capturing market share.The correct answer to this question is c. market maturity.

Market maturity is a stage in the industry life cycle where the product or service has become widely accepted, and competition increases as new entrants try to capture a share of the market. This stage is characterized by deceleration of profitability because of the intense competition, resulting in decreased profit margins for all players in the market. As a result, companies often start looking for ways to differentiate themselves from their competitors and may focus on cost-cutting measures to maintain profitability.

The focus also shifts from expanding the market to retaining and capturing market share. During the market maturity stage, companies typically invest in research and development to improve their products and make them more appealing to customers. This stage is crucial for companies to stay relevant in the market and to remain profitable. Companies may also engage in mergers and acquisitions to strengthen their position in the market or acquire new technologies that can help them stay ahead of the competition. The correct answer to this question is c. market maturity.

For more such questions on Market maturity

https://brainly.com/question/31097096

#SPJ11



How does your Disney affect people around the world? Is itregulated here and abroad and if not, should it be?

Answers

Disney affects people around the world in various ways, including entertainment, cultural influence, and economic impact. Disney's movies, theme parks, and merchandise provide enjoyment to millions of people and often convey universal themes and values.

Disney has a significant impact on people around the world in a variety of ways. Firstly, Disney creates a sense of nostalgia and happiness for many people, with their beloved characters and stories that have been around for decades. Additionally, Disney provides entertainment for people of all ages and cultures, with their theme parks, movies, TV shows, and merchandise. Moreover, Disney has a global reach and has expanded into many countries, which helps to promote cultural exchange and understanding.
In terms of regulation, Disney is subject to various laws and regulations in the countries where it operates. For instance, Disney must adhere to labor laws and environmental regulations in the countries where its theme parks are located. Additionally, Disney must comply with various copyright and trademark laws to protect its intellectual property.
Whether or not Disney should be further regulated is a matter of debate. Some argue that Disney has become too powerful and should be subject to more government oversight to prevent monopolistic behavior. Others believe that Disney should be allowed to operate freely as a private business, as long as it follows the laws and regulations in each country where it operates. Ultimately, it is up to policymakers and regulators to determine the appropriate level of oversight for Disney and other multinational corporations.

To know more about Disney

https://brainly.com/question/30455270

#SPJ11

what is the current yield for a $1,000 corporate bond that pays 13 percent and has a current market value of $800?

Answers

The current yield for a $1,000 corporate bond that pays 13% and has a current market value of $800 is 16.25%.

To calculate the current yield for a corporate bond, we use the following formula as the annual interest payment of $130 divided by the current market value of $800.

Current Yield = Annual Interest Payment / Current Market Value

Given

Annual Interest Payment = $1,000 x 13% = $130

Current Market Value = $800

Plugging these values into the formula, we get

Current Yield = $130 / $800

Current Yield = 0.1625 or 16.25%

Therefore, the current yield for corporate bond that has a current market value of $800 is 16.25%.

To know more about corporate bond:

https://brainly.com/question/14531325

#SPJ4

develop a project network. b. develop an activity schedule. c. what are the critical activities, and what is the expected project completion time? d. assume that the company wants to complete the project in six months or 26 weeks. what crashing decisions do you recommend to meet the desired completion time at the least possible cost? work through the network and attempt to make the crashing decisions by inspection. e. develop an activity schedule f

Answers

To develop a project network, create a flowchart to show the order of activities and dependencies.


To develop an activity schedule, assign durations to each activity and organize them in a timeline.
The critical activities are those that have no slack or float time and will delay the entire project if delayed. The expected project completion time can be found by adding up the duration of all activities on the critical path.

To meet the desired completion time, crashing decisions must be made to reduce the duration of critical activities. This can be done by increasing resources or finding ways to streamline the activity.

By inspecting the network, identify which critical activities can be crashed at the least possible cost.
Finally, create an updated activity schedule that reflects the changes made through crashing decisions.

For more such questions on develop, click on:

https://brainly.com/question/29865306

#SPJ11

Other Questions
Why is Tony Taylor upset at Lige Moss during the party celebrating the store's grand opening? The physician diagnoses leukemia in a child, age 4, who reports being tired and sleeps most of the day. Which nursing diagnosis reflects the nurse's understanding of the pathophysiology behind leukemia? 10% of all commuters in a particular region carpool. In a random sample of 20 commuters the probability that at least three carpool is about O 0.32 0 0.10 O 0.72 O 0.44 O 0.26 What happens when the solute dissolves into the solvent, and they system approaches saturation? When did cotton become a major export from America? the thyroid is controlled by the ________ hormone which is released from the ________________. what are the two functions of the thyroid and in order to do each of these things, what must it release? a nurse has received a change-of-shift report on four clients. which client should the nurse assess first? What happens when nonstandard dialects are in competition with a standard Dialect like SAE? dublin inc. had the following common stock record during the current calendar year: outstanding, beginning of year 2,000,000 additional shares issued 6/30 100,000 additional shares issued 9/30 100,000 a 10% stock dividend was paid on december 1. what is the number of shares to be used in computing basic eps? what effects does the speaker beleive that memoires of the scene will have later in life especailly during difficult times a patient has a serum sodium level of 152 meq/l (152 mmol/l). the normal hormonal response to this situation is: contains uterus, bladder, ureters, urethra, anus rectum, contained within the hip bones and lower part of backbone (sacrum and coccyx) is known as___ what is the main type of headache that occurs following a MVC? (i.e. whiplash, WAD) What would the impulse be if the initial momentum of the cart were larger? What if the collision were inelastic rather than elastic, i.e.. what if the cart stuck to the wall after the collision? t: 4-21. Naomi Stephenson plans to open a company that will design and manufacture accessories for smartphones. She has read that having a clearly articulated business model will help "all of the elements of her business fit together." Naomi isn't quite sure what that statement means. If Naomi asked you to explain it to her, what would you say? Why does the Koran outlaw drinking? The term one car length for each 10 mph is used to describe: Can you give your pt a heating blanket if they have hypothyroidism? Why? what is prevention education for risk of burns in preschoolers and school-age children: Write in point slope form please