When the nonbank public decides to hold less currency, then we expectO A. no change in the money supply.• B. an increase in the money supply.O C. an unknown change in the money supply.O D. a fall in the money supply.

Answers

Answer 1

When the nonbank public decides to hold less currency, we expect an increase in the money supply.(B)

When people hold less currency, they tend to deposit more of their money into banks. Banks, in turn, use these deposits to make loans, which creates new money through the money multiplier effect.

This process leads to an increase in the overall money supply in the economy. As more money is available for lending and spending, businesses and consumers can access funds more easily, potentially stimulating economic growth.

Therefore, when the nonbank public holds less currency, the money supply increases as a result of higher deposits and increased lending activity by banks.(B)

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Related Questions

I need to find the social security and Medicare. Please let me know how you got your answer as well!

I need to find the social security and Medicare. Please let me know how you got your answer as well!

Answers

Answer:

See below

Explanation:

Social security and medicare per period

1. Otto:

Pay per period = 76,432/ 12

=6,369.33

social security = 6.2% of 6,369.33

=6.2 /100 x 6,369.33

=394.898

=394.9

medicare = 1.45 % of 6,369.33

=1.45/100 x 6,369.33

=92.355

=92.36

2. G. Hernandez :

Pay per period= 43,902 / 26= 1,688.54

social security =6.2% of 1,688.54

=6.2/100 x 1,688.54

=104,689

=104.69

medicare=1.45 of 1,688.54

=1.45/100 x 1,688.54

=24.48

A.Toms:

Pay per period = 20,235 /12 =1,686.25

social security = 6.2 % of 1,686.25

=6.2/100 x 1,686.25

=104.55

Medicare = 1.45 % of 1,686.25

=1.45/100 x 1,686.25

=24.45

How have newer work models made the workplace more efficient?

Answers

Explanation:

Don't be Afraid to Delegate. While this tip might seem the most obvious, it is often the most difficult to put into practice. ...Match Tasks to Skills. ...Communicate Effectively. ...Keep Goals Clear & Focused. ...Incentivize Employees. ...Cut Out the Excess. ...Train and Develop Employees. ...Embrace Telecommuting.

Answer:

1)Assign a task to the person with the right skills. When a new assignment arises, managers tend to think: "Who on my staff has time to take this on?" This is not an effective way to make a decision.

2)Limit meetings: Let's face it: Unless it's a necessary client meeting or important brainstorm session, nine times out of 10, 

3)Systematize processes to save people time. There may be old ways of doing things in your company that take up a lot of time. When you ask managers why you do things that way, they may say: "Well, that's just how we've always done it."

4)Provide quiet, uninterrupted spaces to work. This goes back to those colleagues disrupting your work to discuss personal issues. Most people work better in an environment without a lot of noise. Cubicle farms make it hard to accomplish meaningful work. The open physical layout of many offices today, as well as "open-door" policies establish an open invitation for co-workers to interrupt others.

5)Determine where people need to be located. Companies are beginning to realize that telework saves them money and greatly increases productivity. Employees working from home tend to accomplish more than their counterparts sitting in an office. This is mainly due to the lack of office distractions listed above and the extra time people can put into work since they can start and end their day during typical commute times. Also, business travel is not always a necessity, as it is both a high monetary and time cost to incur.

Explanation:

Hope it HELPS you .....

An organization just launched a new vision statement, "To improve employee turnover and workplace culture". 1) Describe how this vision statement meets or doesn't meet the criteria for a good vision statement. 2) How might internal and external stakeholders perceive this vision statement? 3) Draft a rewrite of this vision statement.

Answers

The vision statement "To improve employee turnover and workplace culture" does not meet the criteria for a good vision statement. It lacks clarity, inspiration, and a forward-looking perspective. Internal stakeholders may perceive it as a focus on existing problems, potentially creating a negative atmosphere. External stakeholders might see it as a reactive approach rather than an aspirational vision. A more effective vision statement should encompass a broader, inspiring outlook that motivates and guides the organization towards future growth and success.

While the organization's vision statement acknowledges the need to address employee turnover and workplace culture, it falls short in several aspects. Firstly, it lacks clarity by not specifying how the improvement will be achieved or what the desired outcomes are. Secondly, it lacks inspiration as it does not create a sense of purpose or evoke enthusiasm among stakeholders. Moreover, it lacks a forward-looking perspective, focusing on current issues rather than projecting a future direction for the organization.

Internal stakeholders, such as employees and managers, might perceive this vision statement as a constant reminder of existing problems, potentially creating a negative work environment. They may feel that the organization is solely focused on fixing issues rather than fostering growth and development. External stakeholders, such as customers, investors, and partners, may view the vision statement as a reactive approach to address problems rather than a compelling and ambitious future outlook. They might question the organization's ability to innovate and adapt to changing circumstances.

A revised vision statement could be: "To cultivate a thriving and inclusive work environment where employees excel and innovation flourishes." This new statement provides a broader and more inspiring vision. It emphasizes creating a positive workplace culture that nurtures employee growth and engagement, while also fostering innovation and adaptability. It sets a forward-looking tone that motivates stakeholders and positions the organization for long-term success.

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Which of the following are characteristics of a scarce resource?
Choose 1 answer:
Choose 1 answer:

(Choice A)
A
The supply of the resource exceeds the demand of the resource.

(Choice B)
B
There is a fixed quantity of the resource available but no demand for it.

(Choice C)
C
There is a demand for that resource with limited supply.

(Choice D)
D
There is limited supply of a resource with no demand for that resource.

(Choice E)
E
The resource has unlimited supply and limited demand.

Answers

There is a demand for that resource with limited supply  are characteristics of a scarce resource. When the demand for a natural resource exceeds the supply, resource scarcity results, which causes the stock of those resources to decrease.

As a result of rising costs that make the demand resource less accessible to those who are least well-off, this might result in unsustainable supply   growth and an increase in inequality. When there aren't enough resources to meet everyone's needs, there is scarce resource. Oil is among the most well-known instances of how resource scarcity affects the United States. Local gas prices will surely climb when oil prices around the world do.

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Type the correct answer in the box. Spell all words correctly. The demand curve has what kind of slope?

Answers

Answer:

Usually slopes downwards

Explanation:

in a negative association

seedbed preparation
activities
1.cleared the area

Answers

Get your supplies lay them out and start your seed preparing with paper towel water and the seeds

Ugar has relocated a production firm to a country that has lower production costs, and is closer to his customers. What type of advantage does this offer Ugar's firm

Answers

The advantage offered to Ugar by relocating their production firm is a reduction in the cost of doing business.

What advantage does Ugor gain?

When Ugor relocated to the country that has a lower production cost, it means that they will spend less to produce their goods and services.

He will also spend less on transporting his goods to his customers. These reduced costs mean that his cost of doing business has reduced.

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Donald Trump wanted to pull us out of the WTO because he thought China was cheating. Would you stay in or leave?

Answers

Answer: I hate Trump and would make him eat tortilla chip vertically :/

Explanation:

What disadvantages could others' management responsibilities bring to your project? For instance, purchase and management of the hospital's technical equipment and staffing.

Answers

Answer:

mistakes

Explanation:

The main disadvantage would simply be "mistakes". Since it is your project, you are the one who has the vision of what it is supposed to be and what it is supposed to accomplish. If another individual is responsible for actions such as purchasing and managing technical equipment and staffing, they could make the mistake of buying the wrong equipment or hiring staff that is not necessarily suited to be part of the team. These are all mistakes that can be easily made if the individual in charge of these responsibilities does not have all the individual details of what the project is supposed to be.

if 7 shirts cost 455. what
will 5 shirts cost?

Answers

5 shirts will cost 365

You have taken out a $100,000, one-year ARM. The teaser rate in the first year is 4.5% (annual). The index interest rate after the first year is 3.25% and the margin is 2.75%. (Note: The term on this ARM is 30 years.) There is also a periodic (annual) rate cap of 1.00%. Given this information, determine the monthly mortgage payment you would be scheduled to make in month 1 of the mortgage loan's term.

Answers

The monthly mortgage payment you would be scheduled to make in month 1 of the mortgage loan's term.

Let’s determine the monthly mortgage payment that is scheduled to make in month 1 of the mortgage loan's term. For this, we need to use the mortgage formula.

The formula is: \(\[M=P\left[ \frac{r{{\left( 1+r \right)}^{n}}}{{{\left( 1+r \right)}^{n}}-1} \right]\]\)

Where

M = monthly payment

P = the principal, or the amount of the loan

r = rate of interest per year, and

n = number of years

Since the term of the ARM is 30 years, n = 30.

To calculate the mortgage payment, we need to find the values of P, r, and M. For the first year, the teaser rate is 4.5%. Therefore, the monthly interest rate, r, is 4.5% / 12 = 0.375%.

For the first year, the amount of the loan, P, is $100,000.

For the first year, n = 1.

Then, using the formula above,

\(\[M=P\left[ \frac{r{{\left( 1+r \right)}^{n}}}{{{\left( 1+r \right)}^{n}}-1} \right]\]\)

\(\[M=\$100000\left[\frac{0.375{{\left(1+0.375\right)}^{1}}}{{{\left(1+0.375\right)}^{1}}-1}\right]\]\)

M = $506.69

Thus, the monthly mortgage payment that is scheduled to make in month 1 of the mortgage loan's term is $506.69.

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According+to+the+quantity+theory+of+money,+if+the+long-run+economic+growth+rate+is+2.5%,+by+how+much+should+the+fed+increase+the+money+supply+if+it+wants+inflation+to+be+2%?

Answers

By plugging in the appropriate values, you can calculate the increase in the money supply needed to achieve a 2% inflation rate.

According to the quantity theory of money, the long-run economic growth rate is directly proportional to the growth rate of the money supply. In this case, if the long-run economic growth rate is 2.5% and the desired inflation rate is 2%, we can use the equation of the quantity theory of money to find the increase in the money supply.

The equation is M * V = P * Y, where M represents the money supply, V is the velocity of money, P is the price level, and Y is the real GDP. Assuming V and Y remain constant, we can rearrange the equation to solve for M:

M = (P * Y) / V

To achieve an inflation rate of 2%, we want the price level (P) to increase by 2%. Therefore, we can substitute P + (2% * P) for P in the equation:

M = (P + (2% * P)) * Y / V

Now we can calculate the increase in the money supply by comparing the current money supply (M) with the new money supply:

Increase in the money supply = (2% * P * Y) / V

Note that without specific values for P, Y, and V, we cannot provide a numerical answer. However, by plugging in the appropriate values, you can calculate the increase in the money supply needed to achieve a 2% inflation rate.

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Peabody. Inc. Has 5000 shares 7% $100 psr value cumulative preferred stock and 50000 shares of $1 par value common stock outstanding at Dec 31 2014 if the board of directors declare a $30000 dividen the?

Answers

If the board of directors declares a $30,000 dividend, the: preferred shareholders will receive the entire $30,000.

How to find the preferred shareholders?

To calculate the dividend amount for each class of stock, we need to determine how much of the dividend will be allocated to the preferred stock and how much will be allocated to the common stock.

Since the preferred stock is cumulative, any dividends that were not paid in previous years will need to be paid before any dividends can be paid to the common stock. We can calculate the amount of cumulative dividends owed to the preferred stockholders as follows:

Cumulative Dividends Owed = 5000 shares x $100 psr value x 7% = $35,000

Since the board of directors has declared a $30,000 dividend, we can see that this amount is not enough to cover the full amount of cumulative dividends owed to the preferred stockholders. Therefore, the entire $30,000 dividend will be paid to the preferred stockholders, and none will be paid to the common stockholders.

The amount of cumulative dividends owed to the preferred stockholders will be reduced by $30,000, leaving a balance of $5,000. This amount will need to be paid before any future dividends can be paid to the common stockholders.

Therefore, the dividend amount for each class of stock is:

Preferred Stock: $30,000

Common Stock: $0

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Work out how much the repainmt of a £350000 Mortgage with a 10% deposit would be over twenty-five years at an interest rate of 4.5%?

Answers

Answer:

£1,945.41

Explanation:

we can use the present value of an annuity formula to solve this question:

present value of an annuity = monthly payment x present value annuity factor

monthly payment = present value of an annuity / present value annuity factor

present value of an annuity = 350,000present value annuity factor, 0.375% (4.5%/12), 300 periods (25 x 12) = 179.9107

monthly payment = 350,000 / 179.9107 = 1,945.41

A student needs to take a test. She has her paper, pencil, eraser, and a backup pencil.
What is she missing to take the test?

Answers

Answer:

A drink

Explanation:

the test? lol i’m not sure.

solving for annuity payments (pmt) you just bought a $10,000 annuity that provides annual payments at the end of each of the next six years. if the appropriate interest rate is 11%, what annual payment will you receive each year? enter the data into your calculator: n

Answers

Annual payment received annually: $2,363.77.

Information Provided:

Present Value = $10,000

Hours = 6 Years

Interest Rate = 11%

Annual Payments are calculated by entering the following into the financial calculator:

PV = -10,000

N = 6

I/Y = 11 Press

CPT and PMT to calculate your monthly payment.

The resulting value is 2,363.77.

So the annual payment I receive each year is $2,363.77.

Payment is the voluntary offering of money or equivalents or anything of value by one party in exchange for goods or services to be provided or to comply with a legal obligation. The party making the payment is commonly referred to as the payer and the payee is the party receiving the payment.

Payment is the transfer of money, goods, or services in exchange for goods or services on acceptable terms and conditions previously agreed upon by all parties. Payments can be made in the form of exchange services, cash, checks, wire transfers, credit cards, debit cards, or cryptocurrencies.

An example of payment is a check written to pay a telephone bill. As an example of payment, he may pay a $100 bill using a credit card. A Pay or be paid.

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which of the following items should be considered when choosing an allocation method for a long-term asset? (select all that apply.) multiple select question. the probability for an impairment loss a systematic and rational allocation method a pattern in which the services are obtained from its use the cost of the asset compared to its residual value

Answers

When choosing an allocation method for a long-term asset, several factors should be considered to ensure an accurate and appropriate approach. Some key aspects to evaluate are Asset type,  Useful life, Residual value, Tax implications, Business objectives, and Industry standards.

Asset type: Different assets, such as machinery, buildings, or vehicles, have distinct depreciation patterns. Selecting an allocation method that aligns with the asset's nature is crucial for accurate financial reporting and decision-making.

Useful life: Estimate the asset's expected useful life, as this will influence the allocation method. Methods like straight-line depreciation spread the cost evenly over the asset's lifespan, whereas accelerated methods, such as double-declining balance, front-load the expenses.

Residual value: Estimate the asset's residual or salvage value at the end of its useful life. This figure will impact the total amount allocated over time and should be factored into the chosen allocation method.

Tax implications: Consider the tax laws and regulations in your jurisdiction, as certain allocation methods may offer tax advantages.
Business objectives: Align the allocation method with your organization's financial goals and reporting needs. Accelerated methods may be more appropriate for businesses focusing on short-term profits, while straight-line methods may be better suited for those prioritizing stable, long-term growth.

Industry standards: Examine common practices within your industry to maintain consistency and facilitate comparisons with other companies. Adhering to standard practices can improve the credibility of your financial statements and support your organization's reputation.

By carefully evaluating these factors, you can choose the most suitable allocation method for your long-term asset, ultimately enhancing your financial management and decision-making processes.

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What term refers to processes or activities that are completed in-house? a. ownsource b. homesource c. insource d. outsource e. supplysource

Answers

Insource is the phrase that directs to processes or actions that are concluded in-house. Insourcing (in-house) is recruiting the staff on behalf of a business and delegating tasks or assignments to be accomplished internally rather than outsourcing to people outside the company.

It can be just described as the work done by getting a foreign worker into the business at a low wage. Insourcing is a business approach in which work that would otherwise be contracted out is done in-house. Insourcing often concerns bringing in specialists to fill temporary requirements or training existing employees to accomplish tasks that would otherwise have been outsourced.

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what does white space mean in terms of advertising?


A. Space within the advertising region that is text only


B. Space within the advertising region that is filled


C. Space within the advertising region that is colorful


D. Space within the advertising region that is left unmarked and unfilled

Answers

Answer:

D. Space within the advertising region that is left unmarked and unfilled

Explanation:

Hope this helps!!

The meaning of the word  white space in advertising refers to Space within the advertising region that is left unmarked and unfilled. Thus, option (D) is correct.

What is Advertising?

Advertising is a marketing strategy that involves paying for advertising space to sell a product, service, or movement. Marketing messages, or ads for short, are the real commercial messaging.

Advertising's purpose is to contact those who are most likely to be ready to pay for a company's goods or services and convince them to purchase them.

White space in a design is empty space or negative space that occurs surrounding all text in a design layout used in advertising. The space may seem to be empty, yet it is most likely the most crucial aspect of how the design seems to the human eye.

Therefore, it can be concluded that option (D) is correct.

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You are assigned to work with two other classmates to complete a class assignment. One of the classmates is not completing their work. What are three ways that you could solve this problem


Please help me fast

Answers

Answer:

1. you could ask them if they understand what to do and if they need help.

2. you could tell the teacher that they are not doing the work

3. i dont know what else

why do most people invest in the stock market?

Answers

Because many people invest in stocks simply because the odds are in their favor that over time, the market will go up and earn them money.

Answer:

To make profit

which approach to performance evaluation rank-orders employees from best to worst?

Answers

A forced distribution approach to performance evaluation rank-orders employees from best to worst.

Forced distribution is a method of employee performance evaluation that requires managers to classify subordinates into several predetermined categories, which often include the top performers, the middle performers, and the poor performers.The forced distribution approach to performance evaluation rank-orders employees from best to worst. This ranking approach categorizes workers into a bell-shaped curve.

The majority of staff are categorized as average performers, with a small number of employees who are either high performers or poor performers. This ranking approach is known for its objectivity and thoroughness since it measures the effectiveness of a job performance.

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Rashida purchased a machine for $5600. She sold it six years later for $500. At that date, the
provision for depreciation had a credit balance of $5040.
What entry was made in the income statement?
A credit $60
B debit $60
C credit $560
D debit $560

Answers

The entry made in the income statement in this scenario would be a debit of $560.  So, the correct answer is D debit $560.

The provision for depreciation represents the accumulated depreciation of the machine over the six-year period. Since the provision had a credit balance of $5040 at the time of sale, it means that the total depreciation expense recognized over the six years was $5040.

To calculate the depreciation expense per year, we divide the total accumulated depreciation by the number of years (6). So, the annual depreciation expense is $5040/6 = $840.

When Rashida sold the machine for $500, it implies that the machine's carrying value or book value was reduced to $500. To account for this loss on disposal, the income statement entry will be a debit to Depreciation Expense for the remaining balance of the machine's book value, which is $840 - $500 = $340.

However, since the question asks for the specific entry made in the income statement, the amount to be debited will be the difference between the machine's original cost and its book value at the time of sale, which is $5600 - $500 = $5100.

Hence, the entry in the income statement will be a debit of $5600 - $500 = $5100.  So, the correct answer is D debit $560.

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many leading high-tech firms such as , apple, and intel have dramatically enhanced their revenues, profits, and market values through a wide variety of diversification initiatives. which of the following is not such an initiative? group of answer choices acquisitions strategic alliances stockholder enhancement joint ventures

Answers

One of the options that is not a diversification initiative among leading high-tech firms such as Apple and Intel is "stockholder enhancement."

Explanation:

Diversification is a corporate strategy that involves expanding a company's business activities into new products, markets, or industries. The goal of diversification is to reduce risk and increase revenue and profits by creating a portfolio of businesses that can generate income from a variety of sources.

The question asks which of the following is not a diversification initiative. Acquisitions and joint ventures are examples of diversification initiatives because they involve the expansion of a company's business activities into new areas through the acquisition of other companies or the creation of new ventures with other companies. Strategic alliances are also a form of diversification where two or more companies collaborate to pursue mutual goals.

In contrast, stockholder enhancement is not a diversification initiative. It is a corporate finance strategy aimed at increasing shareholder value through measures such as share buybacks, dividend payouts, and other financial measures. Stockholder enhancement aims to increase shareholder value without necessarily expanding the company's business activities into new areas.

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Inflation can be measured by all of the following except the a. GDP deflator. b. consumer price index. c. producer price index. d. finished goods price index. e. All of the above are used to measure inflation.

Answers

Inflation is not measured by the finished goods price index.

What is inflation?

Inflation is a persistent rise in the general price levels in an economy. When there is inflation, the price of items increases.

What are the types of inflation?Demand pull inflation – this occurs when demand exceeds supply and this leads to an increase in price. Cost push inflation – this occurs when the cost of production increases which increases the cost of goods and services.

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The government of Islandia, a small island nation, imports heating oil at a price of $2 per gallon and makes it available to citizens at a price of $1 per gallon. If Islandians demand curve for heating oil is given by P = 6 =Q, where P is the price per gallon in dollars and Q is the quantity in millions of gallons per year, how much economic surplus is lost as a result of the government's policy?

Answers

Economic surplus is gained rather than lost.

Economic Surplus:

Economic surplus is the sum of consumer surplus and producer surplus. It is also known as welfare surplus. Producer surplus occurs when the producer sells the goods for more than the lowest price they are willing to sell for. Consumer surplus occurs when the consumer pays less than the lowest price he is willing to pay for.

P = 6 = Q

It means that consumers purchase 6 million gallons of oil for a price of $ 6 per barrel. It means they are paying $1 for 1 million barrel.

Since, price = demand, thus at a price of $2 per barrel, consumers will still effectively pay $1 for each million barrel.

Quantity consumed at $1 per barrel = 1 million barrel

Quantity consumed at $2 per barrel = 2 million barrel

Economic surplus = (1/2) ($2 - $1) * (2 - 1) = $0.5 million gallon per year

Thus, economic surplus is gained rather than lost.

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Barry Cuda is considering the purchase of the following Builtrite bond: $1000 par, 4 3/4% coupon rate, 15 year maturity that is currently selling for $970. If Barry purchases this bond, what would his approximate yield to maturity be?

4.26%

4.54%

5.05%

5.32%

Answers

If Barry purchases this bond, his approximate yield to maturity would be 5.05%.

Barry Cuda purchases the Builtrite bond with a $1000 par value, 4 3/4% coupon rate, and a 15-year maturity that is currently selling for $970, we can calculate the approximate yield to maturity.

The yield to maturity is the approximate rate of return that Barry would earn if he holds the bond until it matures. To calculate the yield to maturity, we can use the following formula:

Yield to Maturity = (Annual Interest Payment + (Par Value - Purchase Price) / Number of Years) / ((Par Value + Purchase Price) / 2)

Let's break down the calculation step-by-step:

1. Calculate the annual interest payment:
  The annual interest payment is determined by multiplying the coupon rate by the par value. In this case, the coupon rate is 4 3/4% or 0.0475, and the par value is $1000.
  Annual Interest Payment = 0.0475 * $1000 = $47.50

2. Calculate the difference between the par value and the purchase price:
  The difference is calculated by subtracting the purchase price from the par value. In this case, the par value is $1000, and the purchase price is $970.
  Difference = $1000 - $970 = $30

3. Calculate the number of years until maturity:
  The bond has a 15-year maturity, so the number of years until maturity is 15.

4. Calculate the yield to maturity:
  Yield to Maturity = ($47.50 + ($30 / 15)) / (($1000 + $970) / 2)

Now, let's calculate the yield to maturity:

Yield to Maturity = ($47.50 + $2) / ($1970 / 2)
Yield to Maturity = $49.50 / $985
Yield to Maturity ≈ 0.05025 or 5.025%

Therefore, if Barry purchases this bond, his approximate yield to maturity would be approximately 5.025%.

Since none of the provided answer choices exactly match this value, it seems there might be a rounding error. However, the closest option is 5.05%.

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A lawyer can argue a case in court for one hour and make $300. She could alternatively use that hour of time to type a legal brief in her office. What is the opportunity cost of her typing the legal brief?.

Answers

$300, since that's the amount she could have made by arguing a case in court is the is the opportunity cost of her typing the legal brief.

What is opportunity cost and example?

The opportunity cost is time spent studying and that money to spend on something else. A farmer chooses to plant wheat; the chance cost is planting a different crop, or an alternate use of the resources (land and farm equipment).

What is opportunity cost known as?

Opportunity cost is commonly defined as the next best alternative. Also, referred to as the alternative cost, it's the loss of gain which could have been gained if another alternative was chosen. It also can be explained as the loss of benefit due to a change in choice.

Why is cost important?

The concept of cost helps us to choose the best possible option among all the available options. It helps us use every possible resource tactfully and efficiently and hence, maximize economic profits.

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steps on how to create your own app​

Answers

Explanation:

● Steps on how to create your own app

First you have to know coding and programing...

Brink presents an alternative approach to estimate VaR for Fund Y. Fund Y has assets of USD 213 million. Brink's Historical VaR analysis indicates that Fund Y's average monthly return over the past 10 years is 1.16% with a monthly standard deviation of 2.51%. The 10 worst monthly returns during that period are shown in the Table 1 Table 1: Ten Worst Monthly Returns for Fund Y over the Past 10 Years Jul 2008 Aug Sep Sep Sep Dec Jun 2009 Oct Jun 2011 Aug 2008 2009 2011 2013 2008 2013 111.56% -10.87% -9.53% 8.47% 7.24% 6.92% 5.37% 4.71% -3.98% -2.72% 2008 13. Calculate the 5% monthly VaR (in %) for Fund Y using the analytical method. (2 Marks) a. -3.21% b. -2.98% c. -2.54% d. -4.68% 14. Calculate the 5% monthly VaR (in USD) for Fund Y using the analytical method. (2 Marks) a. -6.35 million b. -9.99 million c. -14.74 million d. -15.42 million 15. Calculate the 5% monthly VaR (in %) for Fund Y using the historical method. (2 Marks) a. -8.47% b. -7.24% c. -6.92% d. -5.37% 16. Calculate the 5% monthly VaR (in USD) for Fund Y using the historical method. Marks) a. -18.04 million b.-15.42 million c.-14.74 million d. -11.44 million

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The borrower's payment for February 2007 was 30 credit limit days overdue. In February 2007, the borrower is 30 days late with the credit payments; otherwise, they are made on time. Paying for whatever you've bought with your credit card.

We also accept credit cards for mail-in or online orders. It's possible that your supplier will find themselves "in credit" with you if you pay your energy bill via direct debit, which means that they owe you money.

When using a Visa card to make a transaction, the user consents to repay the bank later; hence, the card is considered a form of credit. Credit can be given in cash or in other ways.

A unique The weight of chocolate chips in an 18-ounce package falls in the 27th percentile. Ahoy! chip cookies contain 190 chocolate chips.The middle 97% of X are found between the 1.5th percentile and the 98.5th percentile.

The "NORM.S.INV" function in Excel allows us to

The associated z-score for the 1.5th percentile is -2.17.

The z-score that represents the 98.5th percentile is 2.17. The X value for the 1.5th percentile is therefore X=p+zoX = 1262 + (-2.17 x 118)X 1006

And X=u+ zoX = 1262 + (2.17 x 118)X 1518 is the result that corresponds to the 98.5th percentile. The 1006 to 1518 chocolate chips that make up the middle 97% of a bag of chips Ahoy! constitute the bag's total chocolate chip content.

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