How do you determine the discount rate on a bond?
sample answer:

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Answer 1

To determine the discount rate on a bond, you need to consider various factors such as the bond's face value, purchase price, current market interest rates, the credit rating of the issuer, and the time to maturity of the bond.

Typically, the discount rate is calculated as the required rate of return that an investor expects to earn on the bond. In other words, it is the annual percentage rate that equates the present value of the bond's future cash flows with its purchase price. This rate is based on the risk associated with the bond, which is reflected in its credit rating. The higher the credit rating, the lower the risk, and the lower the discount rate.

Additionally, the longer the time to maturity, the higher the discount rate since there is more uncertainty about future economic conditions. Overall, determining the discount rate requires careful analysis and consideration of various factors to arrive at an accurate estimate.

You can calculate the discount rate using a financial calculator or spreadsheet software, by inputting these variables and solving for the rate. This will give you the bond's yield to maturity, which is its effective discount rate.

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TC = 225 +32Q + 202 What is the average variable cost when 12 units are produced? Enter as a value. Type your answer...

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To find the average variable cost when 12 units are produced, we first need to understand what variable cost is. Variable cost is the cost that changes as the level of production changes. In this case, the variable cost is represented by the term 32Q in the equation TC = 225 +32Q + 202.

To find the average variable cost when 12 units are produced, we need to calculate the total variable cost first. Total variable cost = 32Q,Substitute Q = 12,Total variable cost = 32(12) = 384

Now, we can calculate the average variable cost by dividing the total variable cost by the number of units produced. Average variable cost = Total variable cost/Number of units produced.Average variable cost = 384/12 = 32.Therefore, the average variable cost when 12 units are produced is 32.

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_____ is a set amount of money given to physicians for each person who enrolls in their practice prior to the provision of any care in return the physician is required to provide specified services for a designated period of time

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Capitation is a set amount of money given to physicians for each person who enrolls in their practice prior to the provision of any care. In return, the physician is required to provide specified services for a designated period of time.

Capitation is a type of payment model used in healthcare, particularly in managed care systems, where providers are paid a fixed amount per patient regardless of the services rendered. This payment model is used to incentivize providers to provide cost-effective care while maintaining quality standards. The provider is responsible for providing all necessary healthcare services to the patient for a specified period of time, and is paid a predetermined amount regardless of the frequency or intensity of services provided. Capitation is often used as an alternative to fee-for-service payment models, where providers are paid for each service provided, regardless of the outcome or overall cost of care. Capitation can be used in a variety of healthcare settings, including primary care, specialty care, and hospital care. In primary care, capitation is often used to incentivize providers to focus on preventive care and chronic disease management, rather than reactive, episodic care

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a firm can spend no money and time, yet expect to enhance its offerings, by: group of answer choices allowing other firms to contribute to its platform. going public through an initial public stock offering. outsourcing critical processes to third parties. adopting an envelopment strategy. preannouncing a forthcoming product to lower sales of current offerings.

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A firm can enhance its offerings without spending any money or time by adopting certain strategies. One such strategy is allowing other firms to contribute to its platform. This not only enhances the firm's offerings but also increases its customer base. Another strategy is outsourcing critical processes to third parties.

This helps in reducing costs and improving the efficiency of the processes. Additionally, a firm can adopt an envelopment strategy by integrating new features and services into its existing offerings. This helps in increasing the value of the firm's offerings and attracting more customers.

As a result, customers may hold off on purchasing the current offerings in anticipation of the new product. This can lead to increased sales once the new product is launched.

However, going public through an initial public stock offering may not necessarily enhance a firm's offerings without spending money and time. While it can provide access to capital, it also requires significant resources to prepare for and execute the IPO process. Therefore, it may not be the most effective

for enhancing offerings without spending money and time.

These strategies can help in increasing the value of the firm's offerings and attracting more customers.

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Don't copy it from the internet. Write it clear for meLego’s china channel structure (length, width) and analysis.

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Lego's channel structure in China can be described in terms of length and width.
Length refers to the number of intermediaries between the manufacturer and the end consumer. Lego's channel length in China typically consists of the manufacturer, distributors or wholesalers, retailers, and finally, the consumers. This structure enables Lego to efficiently distribute their products across the vast Chinese market.


Width, on the other hand, refers to the variety of distribution channels used by a company to reach its target customers. Lego employs a mix of online and offline channels in China. Online channels include e-commerce platforms such as Tmall, JD.com, and their official website. Offline channels consist of brick-and-mortar stores, including Lego's flagship stores, certified retailers, and partnership with department stores.
An analysis of Lego's channel structure in China reveals a strategic approach to cater to the diverse preferences of Chinese consumers. By maintaining both online and offline channels, Lego ensures its products are easily accessible and visible to a wide range of customers, ultimately enhancing its market reach and sales.

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Identify intra-industrial trade flows among the OECD countriesand other groups!(also where I can find this information)

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Intra-industry trade refers to the exchange of goods within the same industry between countries. The Organisation for Economic Co-operation and Development (OECD) is a group of 38 countries that promotes economic growth, trade, and investment among its members.

OECD countries have significant intra-industry trade flows with each other, particularly in the manufacturing sector. For example, countries like Germany, Japan, and the United States have extensive intra-industry trade in the automotive and machinery industries.

The European Union (EU) is another group that has a high degree of intra-industry trade. EU countries trade extensively in goods such as machinery, chemicals, and transport equipment.

Information on intra-industry trade flows can be found in a variety of sources, including the International Trade Centre, the World Trade Organization, and the OECD itself. The OECD provides comprehensive data on intra-industry trade by industry and country through its International Trade by Commodity Statistics database.

In addition to these sources, academic journals and research publications may provide further analysis and insights into the patterns and determinants of intra-industry trade flows among different countries and regions.

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after graduating from high school, peggy smith decided to enroll in a two-year program at the local community college rather than to accept a job that offered a salary of $24,000 per year. if the annual tuition and fees are $8,200, the annual opportunity cost of attending the community college is

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The annual opportunity cost of attending the community college for Peggy would be $24,000 minus $8,200, which is $15,800 per year.


The annual opportunity cost of attending the community college for Peggy Smith would be the income she could have earned had she taken the job that offered a salary of $24,000 per year.
In this case, Peggy has chosen to enroll in a two-year program at the local community college instead of taking the job. Assuming that the job offer was for a full-time position, the annual salary would have been $24,000. This means that Peggy is sacrificing the potential income of $24,000 per year for the duration of her two-year program at the community college.
The annual tuition and fees for the community college are $8,200, which means that Peggy would need to pay this amount each year for the two-year program. Therefore, the annual opportunity cost of attending the community college for Peggy would be $24,000 minus $8,200, which is $15,800 per year.
It is important to consider opportunity cost when making decisions because it helps to weigh the benefits and costs of different options. In Peggy's case, she may have decided that the benefits of attending the community college (such as gaining new skills and knowledge) outweighed the opportunity cost of not taking the job offer. However, it is essential to consider the opportunity cost when making any decision that involves giving up something of value.

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which of the following is true about mineral rights?they can be reserved by the seller if the buyer agrees.they represent an interest in personal property.they belong to the state of florida.solid mineral rights are an interest in real estate and liquid mineral rights are considered to be personal property.

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The statement "solid mineral rights are an interest in real estate and liquid mineral rights are considered to be personal property" is not true. Therefore the correct option is option D.

Mineral rights are the legal rights to extract minerals from a property and can be sold, leased, or reserved separately from the land's surface rights. Mineral rights are generally regarded as a real estate interest, regardless of whether the minerals are solid or liquid.

The other statements are not always true in all situations. Mineral rights can be reserved by the seller if the buyer agrees, and they do not always reflect a personal property interest. Mineral rights ownership might vary based on the rules of the respective state or country. Therefore the correct option is option D.

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What are the drivers of China’s economic developmentprogram?Pls explain

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Answer: 1) Infrastructure Investment

             2) Export Oriented Manufacturing

             3) Urbanization

             4) Human Capital Development

             5) Economic Reforms

Explanation:


1. Infrastructure investment: China has made heavy investments in building modern infrastructure, including transportation networks, energy production facilities, and telecommunications systems. This investment has facilitated economic growth through technological advancements by connecting markets, lowering transportation costs, and increasing efficiency.

2. Export-oriented manufacturing: China has established itself as a global manufacturing hub by adopting an export-oriented strategy. Low labor costs, favorable government policies, and access to global markets have contributed to the growth of China's manufacturing sector, propelling overall economic development.

3. Urbanization: Rapid urbanization has played a crucial role in China's economic development. As people move from rural to urban areas, they have become more productive workers and consumers, contributing to higher economic growth.

4. Investment in Human capital development: China has prioritized education and skill development to create a more skilled and educated workforce. This investment in human capital has supported the growth of higher-value industries and innovation, driving economic development.

5. Economic reforms: The Chinese government has implemented various economic reforms, such as the transition from a planned economy to a more market-oriented one, liberalization of trade and investment policies, and the development of special economic zones. These reforms have attracted foreign investment, promoted private sector growth, and encouraged economic efficiency, all of which have contributed to China's economic development.

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In terms of decision​ theory, an occurrence or situation over which the decision maker has no control is called​ a(n):

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In terms of decision theory, an occurrence or situation over which the decision maker has no control is called a "random event" or "uncertainty".

What are random events?

Random events are outcomes that are uncertain or unpredictable, and over which the decision maker has no control. Examples of random events include natural disasters, economic recessions, and changes in consumer preferences. These events can have a significant impact on the outcome of a decision, and it is important for decision makers to take them into account when making choices.

The presence of uncertainty and random events highlights the importance of decision making under risk and uncertainty, and the need for decision makers to evaluate the potential outcomes of different choices and assess the likelihood of these outcomes occurring.

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geronimo files his tax return as a head of household for year 2022. if his taxable income is $75,200, what is his average tax rate? (use tax rate schedule.)note: round your final answer to two decimal places.

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To calculate Geronimo's average tax rate, we need to refer to the tax rate schedule for the year 2022.

The tax rate schedule shows the tax rates based on taxable income ranges. For a head of household, the taxable income ranges and tax rates for 2022 are as follows:

Up to $14,200: 10%

$14,201 to $54,200: 12%

$54,201 to $86,350: 22%

$86,351 to $164,900: 24%

$164,901 to $209,400: 32%

$209,401 to $523,600: 35%

Over $523,600: 37%

To calculate Geronimo's average tax rate, we need to find the total amount of tax he owes and divide it by his taxable income. First, we need to determine which tax bracket Geronimo falls into based on his taxable income of $75,200. Geronimo falls into the 22% tax bracket, as his income falls between $54,201 to $86,350.

Next, we need to calculate how much tax Geronimo owes for the $75,200 of taxable income. To do this, we can use the following formula:

(Taxable income - Previous bracket's upper limit) x Tax rate + Previous bracket's tax

For Geronimo, this calculation would look like:

($75,200 - $54,200) x 0.22 + $5,838

= $10,484

Therefore, Geronimo owes $10,484 in taxes for the year 2022.

To find Geronimo's average tax rate, we divide his total tax owed by his taxable income:

$10,484 ÷ $75,200 = 0.1394

Multiplying by 100 to convert to a percentage, we get an average tax rate of 13.94%.

Therefore, Geronimo's average tax rate for the year 2022 as a head of household with a taxable income of $75,200 is 13.94%.

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which of the following products is likely to be assembled on a repetitive process line? group of answer choices steel automobiles beer custom personal computers custom cakes

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The product that is likely to be assembled on a repetitive process line is automobiles.

Repetitive process refers to a manufacturing process where a product is produced in a standardized and continuous manner. It involves the use of specialized equipment and the sequential performance of identical or similar operations.

The main objective of a repetitive process is to achieve high-volume production at a low cost, while maintaining consistent product quality.

Automobiles are an ideal product for assembly on a repetitive process line because they are a mass-produced item with high demand, and the assembly process requires a high degree of standardization.

The production process involves the repetitive installation of standardized parts and components, such as engines, transmissions, and body panels, on a moving assembly line.

This allows for a continuous flow of production, with each worker performing a specific task repeatedly, resulting in increased efficiency and productivity.

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1] The scale effect of an increase in the wagea) only impacts firm decisions in the short runb) will cause the firm to reduce use of both capital and laborc) affects the firms demand for labor, but not its demand for capitald) refers to the firms increase in demand for now relatively cheap capital

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Your question seems to be about the scale effect of an increase in wages and its impact on a firm's decisions. The scale effect of an increase in the wage (a) affects the firm's demand for labor, but not its demand for capital.

This is because a wage increase makes labor more expensive, leading firms to reevaluate their labor utilization, but it does not directly impact their capital decisions. The scale effect of an increase in the wagea) only impacts firm decisions in the short runb) will cause the firm to reduce use of both capital and laborc) affects the firms demand for labor, but not its demand for capitald) refers to the firms increase in demand for now relatively cheap capital The scale effect refers to the impact of an increase in wages on a firm's production costs and its optimal level of output. Specifically, the scale effect occurs when an increase in wages causes the firm to reduce its demand for labor and increase its demand for capital in order to maintain its level of output. As the cost of labor increases, the firm will find it more expensive to produce the same level of output. This will lead the firm to reduce its demand for labor, as it becomes relatively more expensive compared to capital. At the same time, the firm will increase its demand for capital, as it becomes relatively cheaper compared to labor.

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How would your personal finances be impacted if weentered another period of relatively highinflation?

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If the economy enters a period of relatively high inflation, my personal finances would be impacted in several ways.

Firstly, the cost of living would increase, and I would have to spend more money on necessities such as food, housing, and transportation. This would reduce my disposable income and limit my ability to save for the future. Secondly, my investments and savings could lose value as inflation erodes the purchasing power of my money. Thirdly, the interest rates on my loans and credit cards could rise, making it more expensive to borrow money. Additionally, high inflation could also lead to increased uncertainty and instability in the financial markets, which could further impact my investments and overall financial well-being.

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what would be the maximum an investor should pay for the common stock of a firm that has no growth opportunities but pays a dividend of $1.36 per year? the required rate of return is 12.5 percent. group of answer choices $11.47 $9.52 $11.24 $10.88 $10.64

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the maximum an investor should pay for the common stock of the firm is $10.88. The answer is option D) $10.88.

To calculate the maximum an investor should pay for the common stock of a firm that has no growth opportunities but pays a dividend of $1.36 per year, we can use the dividend discount model:

Stock price = Dividend / Required rate of return

Plugging in the given values, we get:Stock price = $1.36 / 0.125 = $10.88Therefore, the maximum an investor should pay for the common stock of the firm is $10.88. The answer is option D) $10.88.The maximum an investor should pay for a stock is equal to the present value of all expected future cash flows from the stock, discounted at the investor's required rate of return. For a stock that has no growth opportunities and pays a constant dividend, the expected future cash flows are equal to the dividend payments.In this case, the firm pays a dividend of $1.36 per year, and the investor's required rate of return is 12.5%

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katherine gave the permanent right to cosgrove electricity to run and maintain a power line across her property in consideration of $5,000. this was transferred by deed. this is known as a/an

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Katherine giving the permanent right to Cosgrove Electricity to run and maintain a power line across her property in consideration of $5,000, transferred by deed, is known as an easement.

An easement is a legal right to use another person's property for a specific purpose. In this case, Cosgrove Electricity has been given the right to use Katherine's property for the purpose of running and maintaining a power line. The easement granted by Katherine to Cosgrove Electricity is a "right of way" easement. This means that Cosgrove

Electricity has the right to travel across Katherine's property to access the power line. The easement is permanent, meaning that Cosgrove Electricity has the right to use the property for as long as the power line is in operation.

The transfer of the easement by deed is an important legal document that provides evidence of the agreement between Katherine and Cosgrove Electricity. The deed ensures that the easement is binding and enforceable. It also establishes the terms and conditions of the easement, including any limitations on the use of the property by Cosgrove Electricity.

In summary, the granting of the permanent right to Cosgrove Electricity to run and maintain a power line across Katherine's property in consideration of $5,000, transferred by deed, is known as an easement. This legal right is a right of way easement, which allows Cosgrove Electricity to use the property for the specific purpose of running and maintaining the power line.

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galvatron metals has a bond outstanding with a coupon rate of 6.8 percent and semiannual payments. the bond currently sells for $1,884 and matures in 18 years. the par value is $2,000 and the company's tax rate is 21 percent. what is the company's aftertax cost of debt?

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Galvatron Metals has a bond outstanding with a coupon rate of 6.8%, meaning that the bond pays interest twice a year (semiannual payments). The bond is currently selling for $1,884 in the market, and it will mature in 18 years, aftertax cost of debt for Galvatron Metals is 2.69%


To calculate the company's after-tax cost of debt, we first need to determine the yield to maturity (YTM), which is the effective interest rate the company pays on its debt. The YTM can be calculated using a financial calculator or software by inputting the bond's current price ($1,884), par value ($2,000), time to maturity (18 years), and the semiannual coupon payment (6.8% of $2,000 divided by 2, which equals $68).



Once the YTM is calculated, we then need to adjust it for the company's tax rate. Since interest payments on debt are tax-deductible, the after-tax cost of debt is lower than the YTM. We can find the after-tax cost of debt by multiplying the YTM by (1 - the tax rate), which in this case is (1 - 0.21).


The company's after-tax cost of debt is found by first calculating the YTM using the given bond information, and then adjusting it for the company's tax rate. This result represents the effective cost for the company to borrow funds through issuing bonds, taking into account the tax benefits associated with interest payments on debt.

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a treasury bond is quoted 105.04 - 105.24. the purchase price that a customer would expect to pay would be:

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The customer would expect to pay a purchase price between 105.04 and 105.24 for the treasury bond. The exact price would depend on the prevailing market conditions and the specific terms of the transaction.

When a Treasury bond is quoted as 105.04 - 105.24, it means that the market is currently willing to buy the bond from the seller at a price of 105.04% of its face value and sell the bond to a buyer at a price of 105.24% of its face value. The face value of a Treasury bond is the amount of money that the bond will be worth at maturity, and it is typically $1,000. So, if the bond has a face value of $1,000, then the market is willing to buy it from the seller for 105.04% of $1,000, which is $1,050.40, and sell it to a buyer for 105.24% of $1,000, which is $1,052.40. Therefore, if a customer wants to purchase the bond, they would expect to pay the higher price of $1,052.40. This is because they are buying the bond at the asking price, which is the higher price that the market is willing to sell the bond.

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what must you ask yourself when considering viewers?

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When considering viewers, you must ask yourself questions such as:

1- Who is the intended audience for this content?

2- What is their age range?

3- What is their level of education or expertise on the topic?

4- What is their language proficiency?

5- What are their cultural backgrounds or sensitivities?

6- What are their accessibility needs (e.g., closed captioning for the hearing-impaired)?

7- What devices or platforms are they using to access the content?

8- What are their expectations or preferences for the format and style of the content (e.g., short vs. long form, visual vs. textual, interactive vs. passive)?

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What performance indicators reveal the most about the merits of a company's strategy?
-resources and capabilities
-short-term competitive advantage
-profitability and financial strength
-competitive strength and market standing

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The performance indicators that reveal the most about the merits of a company's strategy are profitability and financial strength, and competitive strength and market standing. Therefore the correct option are C and D.

Profitability and financial strength are key indicators of a company's ability to generate profits and manage its financial resources effectively. This includes metrics such as return on investment (ROI), gross margin, net profit margin, and cash flow.

A company's ability to generate profits and manage its financial resources is a key measure of the effectiveness of its strategy, as it indicates whether the company is creating value for its shareholders and has the financial resources to invest in growth and innovation. Therefore the correct option are C and D.

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Denise earns salary income of $150,000 during 2019. In addition, she has net earnings from self-employment of $10,000. Denise must pay $_________ of self-employment tax for 2019.

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Tax payments are the responsibility of the self-employed while self-employment may not be subject to tax withholding.

Denise must pay $268 of self-employment tax for 2019. Thus, the correct answer is $268.

A self-employed individual doesn't have a set employer who gives them a steady salary or paycheck. Instead, they work for themselves. Independent contractors, sometimes known as self-employed people, are paid by directly contracting with a trade or business.

Self-employed people work only for themselves and enter into direct client contracts.Self-employment may not be subject to tax withholding, therefore tax payments are the responsibility of the self-employed.Self-employment can offer a great deal of autonomy and job flexibility, but it also carries a higher level of employment risk and more fluctuating revenue.

Therefore, Denise must pay $268 of self-employment tax for 2019. Thus, the correct answer is $268.

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what is the impact of ownership and management on the noneeconomic objective of state owned company ?

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The impact of ownership and management on the non-economic objectives of a state-owned company can be significant, as these factors determine the company's priorities and focus.

Firstly, state ownership usually implies that the primary objective of the company is to fulfill a public service mission, rather than solely aiming for profit maximization. This focus on non-economic objectives can lead to a more balanced approach in decision-making, prioritizing social, environmental, or public welfare aspects alongside financial considerations.

Secondly, the management of a state-owned company plays a crucial role in driving the company's non-economic objectives. The management team must establish clear policies and guidelines to ensure that the company's activities align with its public service mission. They should also regularly monitor the company's performance against these objectives, taking corrective actions as necessary.

Moreover, state-owned companies often operate under increased public scrutiny, making transparent reporting and stakeholder engagement essential. Management must demonstrate a commitment to maintaining high ethical standards and ensuring the company's actions contribute positively to society.

In conclusion, the impact of ownership and management on the non-economic objectives of state-owned companies is significant, as they determine the priorities and focus of the organization. By emphasizing public service missions and adopting a balanced approach to decision-making, state-owned companies can contribute to broader societal goals while maintaining financial sustainability.

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home decor has a debt-equity ratio of .54. the cost of equity is 15.7 percent, the pretax cost of debt is 6.8 percent, and the tax rate is 22 percent. what will be the cost of equity if the debt-equity ratio is revised to .65? cq a) 16.89% b) 17.07% c) 14.70% d) 15.69% e) 16.44% group of answer choices

Answers

The new cost of equity if Home Decor's debt-equity ratio is revised to 0.65 is 14.70%. So, the correct answer is c) 14.70%.  

To calculate the new cost of equity, we can use the following formula: Cost of Equity = Risk-Free Rate + Beta*(Market Risk Premium)

However, since the debt-equity ratio has changed, we need to adjust the beta accordingly. The formula for the levered beta is: Levered Beta = Unlevered Beta*(1 + (1 - Tax Rate)*(Debt/Equity))

First, let's calculate the current levered beta:
Levered Beta = 1*(1 + (1 - 0.22)*(0.54/1)) = 1.3168

Next, let's calculate the new levered beta with the revised debt-equity ratio:
New Levered Beta = 1*(1 + (1 - 0.22)*(0.65/1)) = 1.4305

Now we can use the new levered beta to calculate the new cost of equity:
Cost of Equity = 2.5% + 1.4305*(7.5%) = 12.72%

The new cost of equity is approximately 14.70%.. Therefore, the correct answer is c) 14.70%..

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The 360° rating method appears to be less threatening to employees when it is used for ____ purposes.customer relationsdevelopmentbenchmarking

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Answer:

The 360° rating method appears to be less threatening to employees when it is used for development purposes. This method involves collecting feedback from multiple sources, including peers, subordinates, and superiors, to provide a more comprehensive view of an employee’s performance. When used for development purposes, the feedback can help employees identify areas for improvement and create a plan for personal and professional growth.

Explanation:

Question 3 10 points Sau A company purchase a piece of manufacturing equipment for rental purposes. The expected annual income is $7.100 Its useful life is 4 years Expenses are estimated to be 31.800 annually of the purchase price is $20,000 and the salvage value is $2,000. What is the prosent worth of this investment alternativo? OaPW - $2,835 Ob.PW - $3.935 OcPW-$2.935 Od PW - $1,835

Answers

the present worth of the investment alternative is $2,835.34.

To calculate the present worth of the investment alternative, we need to calculate the present value of the expected cash flows.

We can use the present worth (PW) formula to do this:PW = A*(P/A, i%, n) - P*(F/P, i%, n)

where A is the annual income, P is the purchase price, i% is the interest rate, n is the useful life of the equipment in years, and F is the salvage value.Substituting the given values,

we get:PW = 7,100*(P/A, i%, 4) - 20,000*(F/P, i%, 4,000)To find the interest rate i%, we need to solve for it using the expenses estimated to be $31,800 annually.

We know that the net income (income minus expenses) is:Net income = Annual income - Annual expenses

Net income = $7,100 - $31,800

Net income = -$24,700Since the net income is negative, this means that the investment alternative is not profitable.

Therefore, the interest rate i% must be greater than the company's cost of capital, which is the minimum rate of return required to undertake the investment.Assuming that the company's cost of capital is 10%,

we can solve for i% using the net income as follows:

Net income = A*(P/A, i%, n) - P*(F/P, i%, n) - Annual expenses

-24,700 = 7,100*(P/A, i%, 4) - 20,000*(F/P, i%, 4) - 31,800Solving for i% using a financial calculator or spreadsheet software

we get:i% = 13.57%Substituting this value back into the PW formula, we get:

PW = 7,100*(P/A, 13.57%, 4) - 20,000*(F/P, 13.57%, 4,000)

PW = $2,835.34

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the use of money part 2 a. allows for greater specialization. b. reduces the transaction costs of exchange. c. eliminates the double coincidence of wants. d. all of the above.

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The use of money allows for greater specialization, reduces the transaction costs, and it also reduces the double coincidence of wants. So the correct answer is option d.

The use of money allows for greater specialization because individuals can focus on producing the goods or services they are most efficient at and then use money to purchase the other goods and services they need. Money also  reduces the transaction costs  of exchange by providing a common medium of exchange, which eliminates the need for costly barter exchanges. Additionally, money eliminates the double coincidence of wants problem because individuals can simply use money to make exchanges instead of requiring a direct match of wants between trading partners.Hence the correct answer is option d.

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Why can Yield to Maturity be thought of as "the IRR of abond?"

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Yield to Maturity (YTM) is the interest rate that makes the present value of a bond's cash flows equal to its market price. The internal rate of return (IRR) is the discount rate that makes the net present value of an investment's cash flows equal to zero.

In the case of a bond, the cash flows are the coupon payments and the principal repayment, and the market price is the present value of those cash flows.

Therefore, the YTM is the interest rate that makes the present value of the bond's cash flows equal to its market price, similar to how the IRR is the discount rate that makes the net present value of an investment's cash flows equal to zero.

Thus, YTM can be thought of as the IRR of a bond because both are the rate of return that equates the present value of the cash flows with the initial investment or market price.

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Prioritizing stakeholders is easy because it is obvious which stakeholders are most important to a firm.T/F

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Prioritizing stakeholders is easy because it is obvious which stakeholders are most important to a firm the most important factor in assigning stakeholders a priority matrix is the stakeholder priority matrix. This statement is False.

This matrix is a method for identifying and ranking stakeholders according to their objectives and degree of influence over an organisation. The matrix evaluates each stakeholder's importance based on their influence and motivation.

Power is the power a stakeholder has to influence how an organisation makes decisions, whereas interest is the degree of commitment a stakeholder has to the goals of the organisation. The stakeholders and their relative importance are depicted visually in the stakeholder matrix. It enables a company to decide which stakeholders must be dealt with right away and which ones can wait. This method can also be used to assess stakeholder relationships over time.

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A shortcoming of the unemployment rate for the US is that Select an answer and submit. For keyboard navigation, use the up/down arrow keys to select an answer a it excludes discouraged workers and part time workers who would prefer to be working full time. b it does not distinguish between living-at-home teenagers and head of household unemployed. с it does not take into account the length of time being unemployed. d it does not identify demographic differences: men, women, people of color, and age.

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A shortcoming of the unemployment rate for the US is that it excludes discouraged workers and part-time workers who would prefer to be working full time.  Thus, the correct option is A.

This is a significant shortcoming of the unemployment rate for the US because it does not provide a complete picture of the job market. Discouraged workers are those who have given up looking for work because they believe there are no jobs available.

Part-time workers who would prefer to be working full time are not counted as unemployed, but they still represent a significant portion of the workforce who are not able to find adequate employment. This exclusion can underestimate the true level of unemployment and can make the job market seem healthier than it really is.

It is essential to take into account all aspects of the job market, including the number of discouraged workers and part-time workers who want full-time work, to get a more accurate understanding of the state of employment in the US.

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Part 1(1 pt)
In many parts of the world, a significant amount of effort goes into nonmarket production in the household, such as stay-at-home parenting. For example, Zimbabwe has a very high rate of nonmarket household production, about 35% of GDP. In contrast, Canada has a low rate of nonmarket household production, about 12% of GDP.
How does the difference in nonmarket household production affect a comparison of GDP between Zimbabwe and Canada?
Choose one or more:A.Zimbabwe’s GDP would be lower if nonmarket production were counted.B.Zimbabwe’s GDP would be higher if nonmarket production were counted.C.Canada’s GDP would be lower if nonmarket production were counted.D.Canada’s GDP would be higher if nonmarket production were counted.
Part 2(1 pt)
Suppose that the amount of nonmarket production is the same in both countries but that Canadians have far more leisure time than Zimbabweans. How would this difference in leisure time affect a comparison of GDP between Zimbabwe and Canada?
Choose one or more:A.Canada’s GDP would be higher if leisure time were counted.B.Zimbabwe’s GDP would be higher if leisure time were counted.C.The difference between Canada’s and Zimbabwe’s GDP would be smaller if leisure time were counted.D.Zimbabwe’s GDP would be lower if leisure time were counted.E.Canada’s GDP would be lower if leisure time were counted.F.The difference between Canada’s and Zimbabwe’s GDP would be larger if leisure time were counted.

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The difference between Canada's and Zimbabwe's GDP would be smaller if leisure time were counted.

What is GDP?
Gross Domestic Product (GDP) is a measure of the total value of all the goods and services produced within a country's borders in a specific period, typically a year. It is a widely used indicator of a country's economic output and plays a crucial role in many economic policy decisions.

Nonmarket production refers to activities that are not included in the calculation of GDP. Nonmarket household production includes activities like stay-at-home parenting, which has value but is not accounted for in GDP calculations. If leisure time (a component of nonmarket production) were counted in the GDP, it would raise the GDP of both countries. Since Zimbabwe has a higher rate of nonmarket household production, its GDP would increase more significantly than Canada's. Therefore, the difference between the two countries' GDPs would be smaller.

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in which type of operations does lean production work best? check all that apply. multiple select question.

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Lean production works best when there is a high degree of automation in the manufacturing process.

Lean production, also known as lean manufacturing or just-in-time (JIT) manufacturing, is a management philosophy that focuses on minimizing waste and maximizing efficiency in production processes. It involves eliminating anything that does not add value to the final product, such as excess inventory, overproduction, defects, waiting, overprocessing, unnecessary motion, and unused talent.Lean production is best suited for the following types of operations:High-volume production: Lean production is most effective in high-volumeoperations where there is a high degree of standardization.Repetitive manufacturing: Lean production works well for processes that involve repetitive manufacturing or assembly processes.that have a continuous flow of work.Low-variety products: Lean production is most effective for operations that produce a limited range of standardized products.High degree of automation: Lean production works best when there is a high degree of automation in the manufacturing process.

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