Angus Bank holds no excess reserves but complies with the reserve requirement. The required reserves ratio is 8%, and reserves are currently $25 million.
Excess reserves are capital reserves held through a financial institution or monetary group in extra of what's required through regulators, creditors, or inner controls. For business banks, extra reserves are measured towards trendy reserve requirement quantities set through critical banking authorities.
The Excess reserves is the minimal coins the financial institution can maintain on hand. The extra reserve is any coins over the desired minimal that the financial institution is maintaining in its vault as opposed to lending out to corporations and consumers.
Excess reserves are financial institution reserves held through a financial institution in extra of a reserve requirement for it set through a critical financial institution. In the United States, financial institution reserves for a business financial institution are represented through its coins holdings and any credit score stability in an account at its Federal Reserve Bank.
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how supply and demand, scarcity, and economic measurement affect the legal form of business
Supply and Demand (Affects Pricing, Supply, and Income) - When a company provides large amounts of the product they are selling, the price tends to remain at a constant price. When a company begins to have too much of one product, they will usually lower the price to sell more of it. When a company begins to lack stocking the shelfs of their product, they will increase the prices so that they will not run out. When demand increases, prices might also increase because they are aware it is a chance to make profit. When demand decreases, the price decreases.
Scarcity - When a business faces scarcity, or the lack of stocking shelfs, the company could possibly lose income and in the future face serious economic issues. Most businesses that face scarcity, usually face bankruptcy within the next 7 years due to the slow or quick decrease in profit and supply. When businesses face scarcity, limits on the amount each household can purchase can be enforced and prices will increase dramatically. In 2021, there was a known 7% increase on prices of many food items.
Economic Measurement is explained throughout the two paragraphs.
you have been asked to lead a group of your coworkers in developing a new process for handling performance reviews at your office. unfortunately, during your first meeting, you realize that everyone in the group is agreeing with each other — there is no debate happening, and no one is presenting different ideas. what can you do to solve this problem?
When faced with a lack of diverse perspectives and ideas in a group setting, it's important to take action to encourage healthy debate and discussion.
Here are a few strategies that could be effective in this scenario:
1.Set ground rules for the discussion: Start by setting some guidelines for the conversation to ensure that everyone has an opportunity to speak and be heard. Encourage open-mindedness, active listening, and constructive criticism.
2.Use a facilitation technique: Consider using a facilitation technique like brainstorming, where everyone is encouraged to generate ideas without criticism. Alternatively, you could try a devil's advocate approach, where someone is assigned to argue against each idea presented.
3.Encourage dissenting opinions: Specifically ask people for their opinions, even if they don't necessarily align with the current consensus. Encourage people to challenge each other respectfully and provide counterarguments.
4.Bring in outside perspectives: If the group is struggling to generate new ideas, consider bringing in outside experts or stakeholders who can provide a different perspective.
By implementing these strategies, you can help create an environment where everyone feels comfortable sharing their opinions and ideas, and where healthy debate and discussion can flourish.
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poindexter is funded by a group of wealthy investors for the sole purpose of providing funding for individuals and small firms that are trying to convert their new ideas into viable products. what is this type of funding called?
Poindexter is funded by a group of wealthy investors for the sole purpose of providing funding for individuals this type of funding called venture capital.
An investor is a person who invests financial capital with the expectation of future returns or for profit. Through this allocated capital, the investor primarily acquires property of some kind.
Investment types include equities, bonds, securities, real estate, infrastructure, currencies, commodities, tokens, derivatives such as put and call options, futures and forwards. This definition does not distinguish between primary and secondary market investors. In other words, both those who provide capital to a company and those who buy shares are investors.
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What protects consumers against harm from products on the market? Franchises Profit Motives Private property rights Government Regulations
Bellevue Toyota is facing a decision on investing in an add campaign and purchasing a new machine. Using the material from this chapter, should they take on this project?
Please use your Texas Instruments BAII+ Calculator and a word document for your answers. Also, show your work in detail including formulas, payback period, etc. On your answer sheet, please include the values entered for : I (interest rate), CF0, CF1, CF2, etc.
To determine whether Bellevue Toyota should take on the project, a detailed analysis using financial tools and calculations such as payback period, net present value (NPV), and internal rate of return (IRR) is required.
To provide a comprehensive analysis of whether Bellevue Toyota should undertake the project, I would need specific information regarding the cash flows, investment costs, and the expected benefits of the ad campaign and machine purchase. With this information, I could use financial tools such as the payback period, NPV, and IRR to assess the project's viability.
The payback period calculates the time required for the initial investment to be recouped by the project's cash flows. It can be calculated by dividing the initial investment by the annual cash flows. A shorter payback period is generally more favorable.
The NPV takes into account the time value of money by discounting future cash flows to their present value. If the NPV is positive, it indicates that the project is expected to generate a return higher than the cost of capital.
The IRR is the discount rate that makes the project's NPV equal to zero. If the IRR is higher than the cost of capital, it suggests that the project is expected to generate a return higher than the required rate of return.
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A document that explains why a business goal is beneficial and details how resources and funds will be allocated to meet the goal is known as a business: ______
A business plan is the document that outlines why a business goal is beneficial as well as details of how resources/funds will be allocated to meet the goal.
A business plan is like a map for a business.
Usually, a business plan formally outlines the goals of the company and shows the tasks and financial measures that must be performed and adopted to reach accomplish those big goals.
In other word, the business plan is a tool of organization, direction and communication and serves as basis to develop a financial plan.
In conclusion, the correct answer is a business plan.
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Type the correct answer in the box. Spell all words correctly.
Ideally, what should more than one member of the family contribute to for a better financial position?
A family can have more than one person contributing to the household _______
for a better financial position.
A family can have more than one person contributing to the household income for a better financial position.
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Firm A is evaluating the following project's proposal: The project cost is RM350,000, with additional fixed asset purchase of RM40,000. In the next five years of the project, the cash flows are estimated to be RM120,000 in year 1, RM225,000 in year 2, and RM300,000 in year 3, RM150,000 in year 4, and final disbursement of 20% of the initial outlay. Aside from the final disbursement, 30% of the project cost is recoverable at the end of the project. The company's cost of capital is 6. 13% p. A. Based on Capital Budgeting Techniques, answer all the questions. 1. The initial outlay of the project is RM_ 2. Recoverable cost of the project is RM__ 3. Project's cash flow final disbursement is RM_ 4. Project's terminal value is RM_ 5. Total PV of the project's cash flow is RM_ 6. Total FV of the project's cash flow is RM 7. The payback period of the project is period. 8. The discounted payback period is period. 9. The NPV of the project is RM 10. The Pl of the project is 11. The IRR is _%. 12. The MIRR is %. 13. Upload your worksheet indicating the following analysis: PV of the cash flow Year 1 - 5 FV of the cash flow Year 1-5 -
Based on the Capital Budgeting Techniques, the project has a positive NPV, PI, IRR, and MIRR. Therefore, it is recommended to be accepted. The project has an initial outlay of RM 390,000, with cash inflows of RM 865,000 and a terminal value of RM 70,000.
The initial outlay of the project is RM 390,000 (RM350,000 + RM40,000).
The recoverable cost of the project is RM 117,000 (30% of RM390,000).
Project's cash flow final disbursement is RM 70,000 (20% of RM350,000).
The project's terminal value is RM 70,000 (final disbursement).
The total PV of the project's cash flow is RM 672,345.14.
The total FV of the project's cash flow is RM 865,000.
The payback period of the project is 2.35 years (RM245,000 ÷ RM350,000).
The discounted payback period is 3.01 years (PV of RM245,000 ÷ PV of RM390,000).
The NPV of the project is RM 98,028.84.
The Profitability Index of the project is 1.25 (PV of cash inflows ÷ initial outlay).
The IRR is 17.58%.
The MIRR is 13.41%.
To calculate the PV of the cash flow, the cash flows for each year are discounted back to their present values using the cost of capital of 6.13% per annum. The formula used for PV calculation is \($PV = \frac{CF}{(1+r)^n}$\), where CF is cash flow, r is the discount rate, and n is the year. The total PV of the cash flow is the sum of the PVs for each year.
To calculate the FV of the cash flow, the cash flows for each year are compounded forward to their future values using the cost of capital of 6.13% per annum. The formula used for FV calculation is \($FV = \frac{CF}{(1+r)^n}$\), where CF is cash flow, r is the discount rate, and n is the year. The total FV of the cash flow is the sum of the FVs for each year.
The payback period is the time required for the project to recover its initial investment. The formula used for payback period calculation is Payback period = Initial investment ÷ Annual cash inflow.
The discounted payback period is similar to the payback period, but it takes into account the time value of money by using discounted cash flows instead of nominal cash flows.
The NPV is the difference between the present value of the cash inflows and the present value of the cash outflows. A positive NPV indicates that the project is profitable and should be accepted.
The Profitability Index (PI) is the ratio of the present value of the cash inflows to the initial investment. A PI greater than 1 indicates that the project is profitable and should be accepted.
The IRR is the discount rate at which the present value of the cash inflows equals the present value of the cash outflows. It represents the rate of return that the project is expected to generate.
The MIRR is a modified version of the IRR that assumes that the cash inflows are reinvested at the cost of capital. It provides a more accurate picture of the project's profitability than the IRR, especially in situations where the cash flows are uneven.
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the federal funds interest rate is determined by the:
According to the question the Federal Funds interest rate is determined by the Federal Reserve Board.
Federal Funds are the funds held by banks at the Federal Reserve Bank and is utilized to satisfy their reserve requirements. When banks need to borrow funds to maintain their reserve requirements, they take advantage of the Federal Funds market. The Federal Reserve Bank lends money to commercial banks at the Federal Funds rate which fluctuates regularly.The interest rate that banks charge each other on the overnight loans given out in the Federal Funds market is referred to as the Federal Funds rate. To ensure economic stability and keep inflation in check, the Federal Reserve Board uses the Federal Funds rate as a policy tool.
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A payment of $950 scheduled to be paid today and a second payment of $1,240 to be paid in nine months from today are to be replaced by a single equivalent payment. What total payment made today would place the payee in the same financial position as the scheduled payments if money can earn 4.25%?
To determine the equivalent single payment that would place the payee in the same financial position as the scheduled payments, we need to calculate the present value of both payments and find their sum.
The payment today of $950 is already in present value form since it is scheduled to be paid today.
The payment of $1,240 to be paid in nine months from today needs to be converted to its present value. We can use the formula for present value (PV):
PV = FV / (1 + r)^t,
where PV is the present value, FV is the future value, r is the interest rate, and t is the time period.
In this case, the future value (FV) is $1,240, the interest rate (r) is 4.25%, and the time period (t) is 9 months.
Converting 9 months to years, we have t = 9/12 = 0.75 years.
Calculating the present value of the second payment:
PV2 = $1,240 / (1 + 0.0425)^0.75 ≈ $1,193.35.
To find the equivalent single payment that would place the payee in the same financial position, we add the present values of both payments:
Equivalent Single Payment = PV1 + PV2 = $950 + $1,193.35 = $2,143.35.
Therefore, a total payment of $2,143.35 made today would place the payee in the same financial position as the scheduled payments if money can earn 4.25%.
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How is a debit card different from a credit card?
A. A debit card is usually issued by a financial institution.
B. A debit card provides a way for people to make large purchases.
C. Spending on a debit card is limited to the funds available in an
account.
D. Spending can occur via a digital payment method.
Answer:
C
Explanation:
because thats wat ist is.- limited funds
Please help! How do you do a SWOT Analysis on a product idea?
Answer:
Use the following 8 steps to conduct a SWOT analysis.
Decide on the objective of your SWOT analysis. ...
Research your business, industry and market. ...
List your business's strengths. ...
List your business's weaknesses. ...
List potential opportunities for your business. ...
List potential threats to your business.
Identifying specific marketing activities, determining the time required to complete each activity, and organizing marketing activities into the proper sequence are examples of the steps involved in creating a(n):
Answer:
e. implementation timetable
Explanation:
This set of sequential activities can be described as an implementation schedule, which is developed in an organization with the aim of organizing tasks according to the needs of development and completion so that the objectives of a given project are achieved effectively. .
It is also necessary that the schedule is monitored and updated when necessary, according to the needs of a given project and its demands over time.
Answer this question using the reading below. your answer should be short and effective (one paragraph should be fine), and type your answers please!!Lancaster Symphony Orchestra v NLRBQuestion: You Be the Judge: Are the musicians employees or independent contractors? It's easy to see how just thinking about these problems could have an effect on how you start your own company in the future. All you have to do is write a few sentences about your own decision.Facts: The orchestra in Lancaster, Pennsylvania hired musicians to play about four classical music concerts each year. These musicians could choose to play in however many concerts they wished. They then signed a Musician Agreement, which stated that they were independent contractors. The musicians sought to unionize, but only employees, not independent contractors, have the right to join a union. The National Labor Relations Board ruled that the musicians were employees. The symphony disagreed and appealed the decision.Argument for the Orchestra: The musicians are independent contractors because: • They are highly skilled and receive little supervision. They are responsible for rehearsing on their own. • The musicians provide their own tools—their instruments. • They do not work full time for the Orchestra but have other jobs as well. • They are paid by the job—for each concert. • The musicians do not believe they are employees— they signed a contract stating that they are independent contractorsArgument for the Musicians: The musicians are employees because: • The Orchestra regulates virtually all aspects of the musicians’ performance, including their dress and posture: ■ They are not permitted to cross their legs. ■ When the conductor signals for the orchestra to acknowledge applause, the musician handbook states that they must stand immediately, turn to face the audience, and smile. ■ During rehearsals, musicians are not permitted to talk about anything other than the rehearsal. They may not talk at all when the conductor is on the podium. ■ The conductor determines the musicians’ volume and pitch, and the technique they use (such as the way they bow or use vibrato). • Although the musicians supply their own instruments, the Orchestra supplies other crucial tools: music, stands, chairs, and concert hall. • Musicians are in effect paid by the hour because they receive additional pay for each 15 minutes that a rehearsal or concert exceeds two and a half hours. • Their work is part of the regular business of the employer. • Just because the Orchestra says the musicians are independent contractors does not mean the musicians believe that to be true. • The principal is in business.
I would contend that the musicians are not independent contractors but rather employees based on the information provided. Numerous aspects of the musicians' performance are governed by the orchestra, including attire, posture, and even conduct during rehearsals.
Additionally, it appears that the musicians' work is viewed as hourly rather than project-based because they are paid by the job and receive extra pay for every 15 minutes that a rehearsal or concert lasts longer than two and a half hours.
Even though each musician is responsible for providing their own instrument, the orchestra also provides other necessities like music, stands, chairs, and the concert venue. Overall, it appears that the musicians should be categorised as employees rather than independent contractors because their labour is an essential component of the orchestra's normal operations.
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PLZ HELP: FIND THE PROFIT
Fixed costs are £26,000 per year, and variable costs include wages at £10 per
unit, raw materials at £12 per unit and delivery/packaging at £3 per unit. It is expected that a business will make and sell 750 units during the year, with
a selling price of £26.
Answer:
Net loss -£25,250
Explanation:
The computation of the profit is shown below:
Sales (750 units × £26) £19,500
Less: Variable cost (750 units × £25) £18,750
Contribution margin £750
Less: Fixed cost £26,000
Net loss -£25,250
The £25 could be calculated below:
= £10 + £12 + £3
= £25
Basically applied the above format
WILL MARK BRAINLIEST What goods and services do the medical/business course department purchase?
Answer:
They buy a variety of things including but not limited to, drugs, equipment, etc.
why indigenous technologies are better than modern technology
Answer:
Indigenous technologies are better than modern technology because of the following reasons ;
1) It creates new employment opportunities .
2) It is much cheaper than imported technology.
3) It helps in the technological progress of developing countries which brings economic growth in nation .
4) It leads to greater encouragement for focused research.
5) It is affordable , sustainable band environment friendly.
True or False: Simple linear regression works to predict future employment needs because when sales double, the level of employment necessary will always double as well.
The statement "simple linear regression works to predict future employment needs because when sales double, the level of employment necessary will always double as well" is false because it oversimplifies the relationship between sales and employment needs.
The employment needs of a business may depend on various factors beyond just sales, such as changes in technology, competition, and economic conditions. Furthermore, even when sales increase, the relationship between sales and employment needs may be affected by productivity gains or the availability of labor.
A more accurate prediction of employment needs would require a more comprehensive analysis of various factors that affect the demand for labor, such as market trends, labor market conditions, and business strategy, the statement is false.
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The aging of accounts receivable recognizes that an account is more likely to
become uncollectable as it gets.
A. delinquent
B. smaller
о
C. larger
O D. older
—
SUBMIT
Answer:
D. Older
Explanation:
The longer it takes, the less likely it will be paid. People who care about their credit pay it off as soon as possible. If they do not care, they know the unpaid debt will likely fall off of their credit report after 7 years depending on the situation
The aging of accounts receivable recognizes that an account is more likely to become uncollectable as it gets older.
Hence, the answer is D. older.
The aging of accounts receivable is a process of classifying accounts receivable according to the length of time they have been outstanding. Accounts that are older are more likely to become uncollectible because the customer has had more time to default on the payment.
Option A, delinquent, is incorrect because it is not the only factor that determines whether an account is likely to become uncollectible. The age of the account is also a significant factor.
Option B, smaller, is incorrect because there is no correlation between the size of an account and its likelihood of becoming uncollectible.
Option C, larger, is incorrect for the same reason as option B.
Therefore, the answer is D. older.
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A manager is concerned that there isn’t enough time spent on production and too much time spent on setups. The manager decides to double all production batch sizes. This change has no impact on demand. What impact will this likely have on the average inventory in the process?.
It will result in an increase in average inventory as larger batches require more time to be completed.
What is Operations Management?
Operations management (OM) is the management of business practices within an institution to achieve the highest level of efficiency possible. It is involved with converting materials and labor as efficiently as feasible into goods and services in order to maximize an institution's profit.
What are the 3 types of operations management?Product design and product.Planning and managing of manufacturing facilities.Purchasing/procurement.Forecasting.Capability planning.Inventory control.Quality control.Delivery to clients.To learn more about Operations management, refer
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the advantages of working with an intermediary usually increase when there is
When it comes to conducting business transactions or negotiations, an intermediary can play a crucial role in facilitating communication and achieving successful outcomes. In fact, the advantages of working with an intermediary usually increase when there is a high degree of complexity or difficulty involved in the process.
One key advantage of working with an intermediary is that they can provide valuable expertise and knowledge that may not be readily available to all parties involved. This can include specialized industry knowledge, legal expertise, or cultural understanding that can help bridge communication gaps and ensure that all parties are on the same page.
Another advantage of working with an intermediary is that they can help build trust and establish rapport between parties that may not have had prior relationships or interactions. This can be particularly important when negotiating high-stakes deals or transactions where the parties may have conflicting interests or priorities.
In addition, intermediaries can often provide a level of confidentiality and discretion that may not be possible if parties were to negotiate directly with one another. This can be important in situations where sensitive information or trade secrets are involved, or when parties simply prefer to keep their negotiations private.
Overall, the advantages of working with an intermediary can be significant, especially in complex or difficult negotiations. By providing valuable expertise, building trust and rapport, and ensuring confidentiality and discretion, intermediaries can help facilitate successful outcomes and create value for all parties involved.
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56) The demand and the supply for a good are each neither perfectly elastic nor perfectly inelastic. Which
of the following is not correct?
When the demand and supply for a good are not perfectly elastic nor perfectly inelastic, it means that the quantity demanded and supplied will change with a change in price, but not proportionally. This means that the elasticity of demand and supply is somewhere between zero and infinity.
One possible outcome of this situation is that the equilibrium price and quantity of the good will be determined by the intersection of the demand and supply curves. However, if either the demand or supply curve shifts, the equilibrium price and quantity will change. For example, if the demand for the good increases, the equilibrium price will increase and the equilibrium quantity will also increase, but not as much as the price. Another possible outcome is that the market may experience a shortage or surplus if the price is set too low or too high. In this case, the price will adjust until the market reaches equilibrium. It is not correct to say that the price will always remain the same when the demand and supply for a good are neither perfectly elastic nor perfectly inelastic.
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________ costs refer to the sum of the fixed and variable costs for any given level of production. Target Break-even Total Value-based Marginal
Based on microeconomic theory, Total costs refer to the sum of the fixed and variable costs for any given level of production.
What makes Total Cost?Generally, the total cost is the sum of all the price of the material utilized, the wages or salary paid in the production, and the direct expenditure.
Components of Total CostThe components of Total Cost include the following:
Prime costFactory costOffice cost Cost of sales, etc.Hence, in this case, it is concluded that the correct answer is "Total Cost."
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"Pension funds seeking safety of principal and maximum income would use which investment strategies?"
Answer:
Purchase government and agency securities and sell covered call contracts.
Explanation:
Purchase government and agency securities and sell covered call contracts because the pension amount or fund must be managed prudently. Therefore, the purchase of government securities suitable as the sale of its covers calls contract. While short sell covers more risk so it is not suitable. Additionally, sell short govt. securities include the sale of naked call contracts.
Variable costs ______. Multiple choice question. remain constant both in total and per unit remain constant per unit and vary in total vary both in total and per unit remain constant in total and vary per unit
Variable costs remain constant per unit and vary in total
What is Variable costs?Are expense that changes relative to how much a company produces or sell.
Variable costs are costs that change when computing the total cost but remain constant as the business activity continues.
Therefore, Variable costs remain constant per unit and vary in total
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amanda and steve smith are married and file jointly. during 2020 they paid state property taxes of $15,000 and state income taxes of $2,000. if they decided to itemize their deductions what amount of combined property and state income taxes can amanda and steve claim on their schedule a - itemized deductions?
Property taxes and state and local income taxes are only eligible for a $10,000 deduction.
However, if a married couple files separately, the deduction is $5,000.
What is called deduction?
An expense that can be deducted from a taxpayer's gross income to lower the amount of income that is subject to taxation is known as a deduction. If a taxpayer chooses to itemise their deductions, they must record each one on Schedule A of Form 1040. Since the Tax Cuts and Jobs Act was passed in 2017, the standard tax deductions have steadily increased.
For instance, if you earn $50,000 a year and give $1,000 to charity in that same year, you are qualified to claim a charitable deduction, which lowers your taxable income to $49,000. A deduction is frequently referred to as an acceptable deduction by the Internal Revenue Service (IRS).
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beginning work-in-process is 6,400 units; 63,300 units completed, and ending work-in-process is 7,450 units, which are 100% complete for direct materials and 50% complete for conversion costs. the beginning wip inventory is 100% complete for direct materials and 50% complete for conversion.
The equivalent units of production for direct materials are 69,150, and for conversion costs are 65,925.The total equivalent units of production for direct materials are 69,150 (6,400 + 63,300), and for conversion costs, it is 65,925 (6,400 + 63,300 + 3,725).
Equivalent units of production are a measure used in process costing to account for partially completed units. In this scenario, we have three components to consider: beginning work-in-process (WIP), completed units, and ending WIP.
For direct materials, both the beginning WIP (6,400) and completed units (63,300) are fully processed, so they are counted as equivalent units.
For conversion costs, the beginning WIP (6,400) is 50% complete, so 50% of those units (3,200) are counted as equivalent units. The completed units (63,300) are fully processed. The ending WIP (7,450) is 50% complete, resulting in 3,725 equivalent units.
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What is a unique feature of your product or service? a pharmacy
Explanation:
u do D farma if yes its helpfull for u
All of the following are examples of secondary types of data except:
A. U.S. Census data
B. Consumer Reports
C. test market
D. Rotten Tomatoes (movie reviews)
an investor who buys and sells options on stock is a) an owner of the company. b) a lender to the company. c) neither an owner of nor a debtor of the company. d) a stockholder.
An investor who buys and sells options on stock is neither an owner of the company nor a lender to the company. The correct answer is option c) neither an owner of nor a debtor of the company.
When an investor buys and sells options on stock, they are engaging in derivative trading. Options are financial instruments that give the holder the right, but not the obligation, to buy or sell a specified quantity of the underlying stock at a predetermined price (known as the strike price) within a specific time frame.
As an options trader, the investor does not directly own shares of the company, so they are not considered an owner of the company (option a). They are also not lending money to the company, so they are not a lender to the company (option b).
Options trading is a separate financial transaction between the investor and other market participants. The investor's activities in options trading do not involve ownership rights, voting rights, or any direct connection to the company itself.
Therefore, the correct answer is option c) neither an owner of nor a debtor of the company. The investor is simply participating in the options market, speculating on price movements and seeking to profit from changes in the value of the options.
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