Answer:
Increases
Explanation:
House prices generally tend to rise over time due to a combination of factors, such as population growth, limited housing supply, low-interest rates, and overall economic growth.
A house is an asset that typically will appreciate in value over time.
This means that the value of the house will increase over time, making it a valuable investment. There are several factors that contribute to the appreciation of a house, such as location, market demand, and the condition of the property. For example, if the house is located in a desirable neighborhood with good schools, shopping centers, and public transportation, it will likely increase in value over time.
Additionally, if the housing market is strong and there is a high demand for housing in the area, this will also contribute to the appreciation of the house. Lastly, if the homeowner takes care of the property and makes improvements to the house over time, it can increase the value of the house. Overall, a house can be a smart investment as it can appreciate in value over time and provide a stable asset for the homeowner.
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according to the decision calculus, value propositions are evaluated by comparing the costs and the benefits. group of answer choices true false
True. According to the decision calculus, value propositions are evaluated by comparing the costs and benefits. The decision calculus is a decision-making framework that helps individuals or organizations to make optimal decisions by considering the expected costs and benefits of each alternative.
It involves identifying all the alternatives, evaluating the potential consequences of each alternative, determining the probabilities of those consequences, and then choosing the alternative with the highest expected utility. In evaluating a value proposition, the costs are the expenses that a customer incurs to obtain the product or service, such as the monetary cost, time, effort, and opportunity cost. The benefits, on the other hand, are the advantages that the customer derives from the product or service, such as convenience, quality, durability, functionality, and emotional satisfaction. By comparing the costs and benefits of a value proposition, customers can determine whether the product or service is worth the investment and decide whether to purchase it or not. Therefore, understanding the decision calculus and how to evaluate value propositions is crucial for marketers and businesses to develop effective marketing strategies, create compelling value propositions, and satisfy their customers' needs and wants.
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As you begin studying business law, you become overwhelmed by the sheer volume of laws that can affect business. You dive in and
begin the process of understanding where these laws come from; the first step in understanding how these laws apply to each other and
how they apply to your business.
You're looking at statutes that set out the penalties for forgery and learn that each state is free to make its own criminal laws that apply
just to that state. Which branch of government do you think creates statutes?
The branch of government that creates these statutes (business law) to regulate business practice is known as the Legislative branch.
What is a business law?This refers to those law that consists of the enforceable rules of conduct that govern commercial relationships.
Some examples of business law in the country sphere covers the area of employment Law, immigration Law, Consumer Goods Sales, Antitrust, Intellectual Property, Taxes etc.
The Legislative branch creates the business law to protect the consumers and regulate business activities.
In conclusion, the branch of government that creates these statutes (business law) to regulate business practice is known as the Legislative branch.
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In the regression of y on x, the error term exhibits heteroskedasticity if _____. a. x is a function of y b. Var(y|x) is a function of x c. it has a constant variance d. y is a function of x
In the regression of y on x, the error term exhibits heteroskedasticity if Var(y|x) is a function of x. Option B is correct.
Heteroskedasticity refers to the condition where the variability of the error term is not constant across all values of the independent variable, x. This violates one of the assumptions of the classical linear regression model, which assumes homoskedasticity, or constant variance of the error term.
When heteroskedasticity is present, it can lead to inefficient parameter estimates and incorrect inferences about the relationship between the dependent variable, y, and the independent variable, x. To address this issue, robust standard errors can be used for inference in the presence of heteroskedasticity.
Therefore, option B is correct.
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4. in what order are the four primary financial statements prepared? statement of stockholders' equity > income statement > balance sheet > statement of cash flows balance sheet> income statement > statement of cash flows> statement of stockholders' equity income statement > statement of stockholders' equity > balance sheet > statement of cash flows statement of cash flows > statement of stockholders' equity > balance sheet > income statement
The correct order is income statement, statement of stockholders' equity, balance sheet ,statement of cash flows.
Financial statements are prepared by every company to disclose its financial performance to the intended users.
These statements are interrelated with each other , so it can be made in the respective order.
Firstly income statement is prepared because it does not require data from other statements to complete.
After income statement, statement of stockholders' equity is prepared because it needs net income or loss balance from the income statement.
Then balance sheet is prepared because it depends upon the stockholders' equity data.
In the last statement of cash flows is prepared because it requires data from previous year also.
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How is capital deepening related to economic growth?
Capital deepening simply increases the marginal product of labor thereby contributing to economic growth.
What is capital deepening?Capital deepening simply means the increase in the proportion of the capital stock in relation to the number of labor hours worked.
In this case, capital deepening simply increases the marginal product of labor thereby contributing to economic growth.
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What is the purpose of Journals in the accounting cycle?
A. Provide proof of all transactions
B. Record transactions for a business
C. Determines if credits and debits are equal
D. Records transactions in accounts
Answer:
b. record transactions for business
Explanation:
A journal is a detailed account that records all the financial transactions of a business, to be used for the future reconciling of accounts and the transfer of information to other official accounting records, such as the general ledger.
Ell us about a time when your attention to detail was critical in preventing a major issue/error
Tell us about an error instance when your focus on detail was essential in avoiding a significant way is troubleshooting error.
The capacity to concentrate on a particular job while carefully considering and attending to all of its important features might be characterized as attention to detail. An illustration of paying attention to detail is finding and fixing any typos or grammatical problems in an email before sending it.
When describing anything that is more substantial, serious, or crucial than other elements within a group or circumstance, you use the word major. If the situation is casual, use the word "issue." You may use the word "issue" while discussing a political matter or a topic for a discussion. if the circumstance is official.
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Correct Question:
Tell us about a time when your attention to detail was critical in preventing a major issue/error.
The IRR of a bond is the same as its _____. Choose all that apply. The IRR of a bond is the same as its _____. Choose all that apply. expected return required return yield to maturity cash yield coupon rate
IRR is an acronym that stands for the Internal Rate of Return. IRR is used in calculating how profitable future investments will be. The IRR of a bond is the same as its;
Yield to maturityExpected returnWhen people make investments, the internal rate of return is calculated to know what their expected return will be. T
he net present value is set at zero and then the discount rate will be calculated. The IRR is used to ascertain the future potentials of capital budgets.
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Consider a market with a monopolist and a firm that is considering entry. What is the Nash equilibrium of this game
In a game of a monopolist and a firm that is considering entry, the Nash equilibrium of this game is where the firm doesn't enter and the monopolist sets their price at the highest possible level.
The Nash equilibrium of this game would depend on the strategies of both the monopolist and the potential entrant. In this case, the potential entrant could either enter the market or not enter, and the monopolist could either set a high price or a low price. If the potential entrant enters the market, it would become a duopoly and the monopolist would lose their monopoly power.
This would lead to a price war where both firms would lower their prices in an effort to gain more customers. However, this would be detrimental to both firms as their profits would decrease. On the other hand, if the potential entrant doesn't enter the market, the monopolist would continue to have a monopoly. In this case, the monopolist would set their price at the highest possible level to maximize their profits.
The potential entrant realizes this and decides not to enter the market as it would not be profitable for them to do so. Therefore, the Nash equilibrium of this game is where the firm doesn't enter and the monopolist sets their price at the highest possible level.
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If a CPA performs an audit recklessly, the CPA will be liable to third parties who were unknown and not foreseeable to the CPA for:_______.
(1) Strict liability for all damages incurred.
(2) Gross negligence.
(3) Either ordinary or gross negligence.
(4) Breach of contract.
b. Which of the following approaches to auditors' liability is least desirable from the CPA's perspective?
(1) The Ultramares approach.
(2) The Rosenblum approach.
(3) The Restatement of Torts approach.
(4) The Foreseen User approach.
A. If a CPA performs an audit recklessly, the CPA will be liable to third parties who were unknown and not foreseeable to the CPA for gross negligence.
B. 1 The Ultramares approach is the least desirable from the CPA's perspective. Thus option (a) 2 and (b) 1 is correct
This is because gross negligence represents a more severe degree of recklessness compared to ordinary negligence and is often characterized by the disregard of established rules and procedures, and a failure to use the level of care that would be expected of a reasonable professional.
Moreover, gross negligence can often result in significant damages to third parties, who might have relied on the auditor's opinion to make business decisions. Under the doctrine of privity of contract, auditors are not typically held liable to third parties for negligent misstatements or omissions contained in their reports. However, a key exception to this rule is when auditors act with gross negligence, which can result in severe penalties and legal action.
Thus, the CPA will be liable for gross negligence if they perform an audit recklessly. The Ultramarines approach is the least desirable from the CPA's perspective. The Ultramarines approach is a rule that holds auditors liable only to those third parties with whom they have the privity of contract or a near-privity equivalent relationship.
Under this approach, auditors are not held responsible for the negligence that causes damages to a third party with whom they do not have the privity of contract. If a CPA performs an audit recklessly, the CPA will be liable to third parties who were unknown and not foreseeable to the CPA for gross negligence. Thus option (a) 2 and (b) 1 is correct
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Which economic activity can be found in the coastal areas of east asia?
There are several economic activities that can be found in the coastal areas of East Asia. Some of the most prominent ones include fishing, shipping, tourism, and manufacturing.
Fishing is particularly important in countries like Japan, China, and South Korea, which have extensive coastlines and abundant fish stocks. Shipping is also a crucial economic activity, as East Asia is home to some of the busiest ports in the world, such as Shanghai, Singapore, and Busan. Tourism is another important sector, as the coastal areas of East Asia are known for their scenic beauty and cultural attractions. Finally, manufacturing is a major economic activity, as many countries in the region have established industrial zones along the coast to take advantage of shipping and other logistical advantages. Fishing is a prominent activity in these regions due to the abundance of marine resources. Shipping plays a significant role in facilitating trade and transportation, while tourism generates revenue from the beautiful coastlines and cultural attractions.
Lastly, manufacturing industries, particularly in electronics and automobiles, thrive in these areas due to their proximity to global markets and efficient supply chain management.
The coastal areas of East Asia are well-known for their thriving economy, driven by various economic activities. One of the primary economic activities found in these regions is fishing.
The coastal areas of East Asia are abundant in marine resources, making fishing a lucrative business in the area. With its long coastline, East Asia is home to some of the world's largest fishing industries, such as Japan, China, and South Korea. Another economic activity that can be found in the coastal areas of East Asia is shipping. As the region is surrounded by water, maritime transportation is critical for the export and import of goods. Many of the world's busiest ports, such as Shanghai, Shenzhen, and Busan, are located in the coastal areas of East Asia, which further highlights the region's importance in the global shipping industry.
Tourism is also a significant economic activity in the coastal areas of East Asia. Many of these areas have developed into popular tourist destinations due to their beautiful beaches, islands, and other natural attractions. Countries such as China, Japan, and South Korea have invested heavily in their tourism industry, building hotels, resorts, and other facilities to cater to the growing number of tourists.
Lastly, aquaculture is another significant economic activity in the coastal areas of East Asia. With the decline of wild fish stocks due to overfishing, aquaculture has become an important source of food and income for coastal communities. Countries such as China and Vietnam are major players in the global aquaculture industry, producing a wide range of fish and other seafood for export.
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What effects did zaha have on guggenheim new york?
The effects that Zaha had on Guggenheim New York is that her current retrospective at the Solomon R. Guggenheim Museum in New York gives ample evidence of her genius. She has been busy and produced a staggeringly impressive body of work that is without equal for its inventiveness. This saved urban space and merges the elements of its surroundings. It also projects a brand new artificial landscape outweighted by funnel-shaped cones. The Solomon R. Guggenheim Museum, often referred to as The Guggenheim, is an art museum at 1071 Fifth Avenue on the corner of East 89th Street on the Upper East Side of Manhattan in New York City.
Who is Zaha Hadid?Dame Zaha Mohammad Hadid DBE RA was a British-Iraqi architect, artist and designer, recognised as a major figure in architecture of the late 20th and early 21st centuries.
Therefore, the correct answer is as given above
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.A stock had returns of 14 percent, 13 percent, −10 percent, and 7 percent for the past four years. What is the 95 percent probability range of returns for this stock?
A.
−16.2 percent to 28.2 percent
B.
−27.3 percent to 39.3 percent
C.
−5.1 percent to 17.1 percent
D.
−16.2 percent to 17.1 percent
Option (a), −16.2 percent to 28.2 percent. The 95 percent probability range of returns for this stock can be calculated using the formula:
mean return +/- (1.96 x standard deviation)
The mean return is calculated by adding the returns for the past four years and dividing by four:
(0.14 + 0.13 - 0.1 + 0.07) / 4 = 0.06 or 6%
The standard deviation can be calculated using Excel or a financial calculator:
- First, calculate the variance by finding the average of the squared deviations from the mean:
((0.14 - 0.06)^2 + (0.13 - 0.06)^2 + (-0.1 - 0.06)^2 + (0.07 - 0.06)^2) / 4 = 0.0076
- Then, take the square root of the variance to find the standard deviation:
sqrt(0.0076) = 0.087 or 8.7%
Now we can plug in the values:
6% +/- (1.96 x 8.7%) = 6% +/- 17%
Therefore, the 95 percent probability range of returns for this stock is between -11% (6% - 17%) and 23% (6% + 17%). However, none of the answer choices match this range exactly. The closest answer is A, which has a range of -16.2% to 28.2%. This range is wider than the actual range of returns, but it does include the possible returns based on the given data. So the answer is A, −16.2 percent to 28.2 percent.
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Part A Silicon Valley Ltd spent $500,000 on computer software development and recorded the cost as an asset on its statement of financial position as at 31 December 2021. As at this date, it is impossible to predict whether this cost will result in future economic benefits. Refer to conceptual framework to discuss whether the cost of computer software development should be reported in the statement of financial position as at 31 December 2021. Part B Explain why when a business pays GST on the purchase of goods or services it records this as an asset, but when the business provides goods or services it records the GST component of the transaction as a liability.
Part A: According to the conceptual framework, the cost of computer software development should not be reported as an asset on the statement of financial position if it is uncertain whether it will result in future economic benefits.
Part B: When a business pays Goods and Services Tax (GST) on the purchase of goods or services, it records it as an asset because the business expects to recover the amount from the tax authorities. However, when the business provides goods or services and charges GST to its customers, it records the GST component of the transaction as a liability because the business has an obligation to remit the collected GST to the tax authorities.
Part A: The conceptual framework for financial reporting provides guidance on the recognition and measurement of assets. An asset is defined as a resource controlled by the entity as a result of past events, and it is expected to generate future economic benefits. In the case of the cost of computer software development, if it is uncertain whether this cost will result in future economic benefits, it does not meet the criteria to be recognized as an asset. Therefore, it should not be reported on the statement of financial position.
Part B: Goods and Services Tax (GST) is a consumption tax imposed by the government. When a business pays GST on the purchase of goods or services, it is essentially prepaying the tax on behalf of the consumer. The business records this as an asset because it expects to recover the amount from the tax authorities through the process of claiming input tax credits. The asset represents the right to receive a future cash flow. On the other hand, when the business provides goods or services and charges GST to its customers, it is collecting the tax on behalf of the government. The business has an obligation to remit the collected GST to the tax authorities. Therefore, the GST component of the transaction is recorded as a liability, reflecting the business's obligation to pay the tax amount to the government.
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Chris is about to give a speech on social media marketing to a room of professional marketers. How can he enhance his credibility?.
A way that Chris can enhance his credibility on the speech on social media marketing is to:
Point out the marketing challenges that he and the audience share when doing their jobs.Speak passionately on the subjectTell the audience about his background and experience concerning social media marketing.What is social media marketing?This is a branch of marketing that has to do with the use of the social media to create awareness for the services and the products of a business.
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True or false: HRM is just as important to a company as the company's finance, marketing, and accounting departments.
**True.** HRM (Human Resource Management) is just as important to a company as its finance, marketing, and accounting departments.
While each department plays a crucial role in the overall functioning of a company, HRM is equally significant in ensuring the success and effectiveness of the organization. HRM is responsible for managing the company's human capital, including recruitment, selection, training, performance management, employee engagement, and employee relations.
Effective HRM practices contribute to various aspects of a company's success. For instance, HRM plays a vital role in attracting and retaining top talent, which is crucial for driving innovation, productivity, and competitiveness. HRM also ensures compliance with labor laws and regulations, promotes a positive work culture, fosters employee development, and manages conflicts or issues within the workforce.
Additionally, HRM plays a critical role in aligning the company's human resources with its strategic goals, facilitating organizational change, and promoting diversity and inclusion. Without effective HRM, companies may struggle to attract and retain talented employees, experience low employee morale, face legal and compliance risks, and hinder overall organizational performance.
Therefore, recognizing the importance of HRM as being on par with finance, marketing, and accounting departments is essential for organizations to thrive in a competitive business environment.
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How is being comfortable with risk and flexibility important to having an entrepreneurial mindset?
An entrepreneurial mindset is a set of skills that enable people to identify and make the most of opportunities, overcome and learn from setbacks, and succeed in a variety of settings. This means that being too stubborn and unyielding in your approach can be a recipe for stress and potential business disaster. Being flexible as an entrepreneur can provide you with an important competitive edge. It helps you to exploit opportunities as and when they arise. Successful entrepreneurs stick to the basic principles of risk management: They look for opportunities where if they fall short they lose only a certain value, but if they win they could stand to gain 10 times as much. And the best entrepreneurs never bet more than they can afford to lose. They always consider Plan B (as well as Plan C, D and E) in case the current program doesn’t work out as expected.
Hope that this gives some insight on the topic :)
Which multimedia and interactive elements do you think would best support your viewpoint on the topic you chose for your blog? Write two to four sentences explaining what multimedia and interactivity you will use and why.
Answer:
I will use images and details from credible websites, which will boost my own credibility and support my claim. I will also use charts and graphs from trusted web resources, such as government and university sites, to make my supporting evidence clear
Explanation:
I took the test
Brainiest???
The Use of videos, audios, and images in the blog will not only make it attractive but also make it credible.
Best Way to Write BlogTo write a credible and attractive blog we need to use multimedia such as videos, images, link of credible websites. We can also use other elements which can autocorrect grammer mistakes, can easily provide best charts and graphs.
The use of these elements can give a better outlook to our blog, and also create a sense of trust and credible information.
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an increase in which of the following would be most likely to increase long-run economic growth? an increase in which of the following would be most likely to increase long-run economic growth? consumer spending productivity taxes interest rates
Productivity was most likely to increase long-run economic growth.
Productiveness is the performance of manufacturing of products or services expressed through some measure. Measurements of productiveness are frequently expressed as a ratio of aggregate output to an unmarried input or a mixture enter utilized in a manufacturing technique, i.e. output in keeping with a unit of input, typically over a particular time period.
The maximum not unusual instance is the (combination) labor productivity degree, one instance of which is GDP per employee. there are many exceptional definitions of productiveness (which includes people who aren't defined as ratios of output to enter) and the choice among them depends on the purpose of the productiveness measurement and/or information availability. the important thing source of distinction among numerous productiveness measures is also typically related (without delay or in a roundabout way) to how the outputs and the inputs are aggregated to reap this type of ratio-kind measure of productivity.
productiveness is an essential aspect of the manufacturing overall performance of companies and countries. increasing country-wide productiveness can increase dwelling requirements because extra actual profits improve people's capacity to buy goods and offerings, enjoy amusement, enhance housing and training and make a contribution to social and environmental programs. productivity increase can also assist businesses to be greater worthwhile.
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The amount of a good or service that consumers are able and willing to buy at various possible prices during a specified time period
The amount of a good or service that consumers are able and willing to buy at various possible prices during a specified time period is known as quantity demanded.
Quantity demanded refers to the specific quantity of a product or service that consumers are willing to purchase at different price levels. It represents the relationship between price and consumer demand, indicating how much of a product or service consumers are willing to buy at different price points. The quantity demanded is influenced by factors such as price, consumer preferences, income levels, availability of substitutes, and market conditions. As the price of a product decreases, the quantity demanded typically increases, following the law of demand. Understanding the quantity demanded helps businesses determine optimal pricing strategies and forecast consumer demand patterns.
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Cashapp $KatieZezu :)
Answer:
ok
Explanation:
ok
which of the following promotion mix approaches involves a producer promoting a product to different channel members who in turn promote the product to customers?
The promotion mix approach that involves a producer promoting a product to different channel members who in turn promote the product to customers is called the "push" approach.
The promotion mix approach you are referring to is called "push strategy." In a push strategy, a producer promotes the product to different channel members (e.g., wholesalers, retailers) who then promote the product to customers. This approach involves pushing the product through the distribution channels to reach the end consumers.
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The master budget includes:a. Only operating budgets and financial budgets.b. Only a capital expenditures budget and a cash budget.c. Only a budgeted income statement and a budgeted balance sheet.d. Only a cash budget and operating budgets.d. Operating budgets, a capital expenditure budget, and financial budgets.
The master budget includes operating budgets, a capital expenditure budget, and financial budgets. The correct answer is d. operating budgets, a capital expenditure budget, and financial budgets.
Operating budgets include budgets for sales, production, labor, and overhead costs. The capital expenditure budget outlines the company's planned investments in long-term assets such as property, plant, and equipment. Financial budgets include a cash budget, budgeted income statement, and budgeted balance sheet. The cash budget shows the expected cash inflows and outflows for the period, while the budgeted income statement and balance sheet provide an overview of the company's expected financial performance and position.
The master budget is a comprehensive financial plan that sets out the company's goals, strategies, and resource allocation for a specific period, usually a fiscal year. It serves as a roadmap for the company's operations and provides a basis for monitoring and controlling performance against expectations. The correct answer is d. operating budgets, a capital expenditure budget, and financial budgets.
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________________ is used during the early stages of the product life cycle. Because the product is new, the focus is on explaining the benefits of the product class, and not on promoting the specific brand. ________________ is used during the early stages of the product life cycle. Because the product is new, the focus is on explaining the benefits of the product class, and not on promoting the specific brand. Company advertising Institutional advertising Pioneering advertising Advocacy advertising
Answer:
Pioneering Advertising
Explanation:
Pioneering advertising is the advertising campaign of the new product that should compete the single product by having a developed market place. The motive of this type of advertising is that to inform the consumers with respect to the arrival of the new innovation in the product along with the description of its benefits
So according to the given situation it represents the pioneering advertising
Pupule Travel. Pupule Travel, a Honolulu, Hawaii-based 100% privately owned travel company, has signed an agreement to acquire a 50% ownership share of Taichung Travel, a Taiwan-based privately owned travel agency specializing in servicing inbound customers from the United States and Canada. The acquisition price is 7. 1 million Taiwan dollars (NT$7,100,000) payable in cash in three months. Thomas Carson, Pupule Travel's owner, believes the Taiwan dollar will either remain stable or decline slightly over the next three months. At the present spot rate of NT$33. 76/$, the amount of cash required is only $202,857, but even this relatively modest amount will need to be borrowed personally by Thomas Carson. Taiwanese interest-bearing deposits by non-residents are regulated by the government, and are currently set at 1. 4977% per year. He has a credit line with Bank of Hawaii for $200,000 with a current borrowing interest rate of 7. 9532% per year. He does not believe that he can calculate a credible weighted average cost of capital since he has no stock outstanding and his competitors are all also privately held. Since the acquisition would use up all his available credit, he wonders if he should hedge this transaction exposure. He has the following quotes from the Bank of Hawaii: How much in U. S. Dollars will Pupule Travel pay in 3 months without a hedge if the expected spot rate in 3 months is assumed to be NT$33. 76/$? $_______ (Round to the nearest cent. ) How much in U. S. Dollars will Pupule Travel pay in 3 months without a hedge if the expected spot rate in 3 months is assumed to be NT$32. 76/$?
Without hedging, Pupule Travel's acquisition cost depends on the exchange rate at the time. It may be prudent to hedge its transaction exposure using forward contracts or options after carefully evaluating the options and consulting with experts.
If Pupule Travel does not hedge the transaction exposure, the amount it will pay in U.S. dollars in three months will depend on the exchange rate at that time. Based on the current spot rate of NT$33.76/$ and assuming that this rate remains constant over the next three months, Pupule Travel will pay $202,857 (NT$7,100,000/NT$33.76/$) for the acquisition.
However, if the expected spot rate in three months is assumed to be NT$32.76/$, Pupule Travel will need to pay more in U.S. dollars since the Taiwan dollar is expected to appreciate against the U.S. dollar. In this case, Pupule Travel will need to pay $216,920 (NT$7,100,000/NT$32.76/$) for the acquisition, which is $14,063 more than if it had not hedged its exposure.
Given that Pupule Travel will use up all its available credit to finance the acquisition, it may be prudent to hedge its transaction exposure to mitigate potential losses in case the Taiwan dollar appreciates against the U.S. dollar. One possible way to hedge the exposure is to use a forward contract, which allows Pupule Travel to lock in an exchange rate for a future date.
Alternatively, it could use options to limit its downside risk while preserving upside potential. However, these hedging strategies come with their own costs and risks, so Pupule Travel should carefully evaluate its options and consult with financial experts before making a decision.
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In what seven (7) way can we promote good marriage in the society
Answer:
1.being loving
2bieng understanding
3being loy
Your plan projects revenue of $5,000, $8,000, and $10,000 in years 1 through 3. Expenses are projected to be $9,000 for each of years 1 through 3. If your only funding need is the gap between revenue and expenses, which is the best estimate of your maximum cumulative funding need?
a) $0
b) $1,000
c) $4,000
d) $50,000
Answer:
c) $4,000
Explanation:
The only funding needed is the difference between revenue and expense.
For year 1: funding required is $9,000 -$5000 = $4000
For year 2: funding required is$ 9,000 - $8000 = $1000
For year 3: funding required is $9000 -$10,000 = -$1000
cumulative funding = $4000, + $1000 + (-$1000)
=$5000 - $1000
=$4000
what are the advantages and disadvantages of common stocks
Advantages:
You can invest in companies with limited liability. Common stocks offer a higher earning potential. You can easily purchase common stock on virtually any trading platform. Common stocks can provide dividends. You’ll get to take advantage of a growing economy.Disadvantages:
You are the last person to get paid during a company liquidation. You don’t have much control over your investment. Companies are not required to pay dividends on common stocks. It can take time to generate significant gains. You will face high levels of professional competition when investing in common stocks.Hopes this helps :)
Project A has an initial investment of Rs. 50 million and projected cash inflows of Rs. 15 MILLION (each year) for 5 years. Project B has an initial investment of Rs. 80 million and projected cash inflows of Rs. 25 MILLION (each year) for 5 years. Assume the discount rate to be 10 percent. The anticipated inflation rate during Year 1, 2, 3, 4 & 5 is: 2, 3, 4, 3 & 7 percent respectively. (a) Work out the NPV of the two projects and compare the results. Which project should be approved? Why? (b) Work out the Undiscounted and Discounted Pay Back Period for the two projects. If the criterion is 5 years, which project should be considered based on Discounted PBP? (c) Work out the Profitability Index for the two projects. Which project is acceptable? Why
Neither project should be approved as they are not expected to generate positive returns.
(a) the net present value (npv) of project a can be calculated by discounting the projected cash inflows using the discount rate of 10 percent:
year 1: rs. 15 million / (1 + 0.02) = rs. 14.705 millionyear 2: rs. 15 million / (1 + 0.03)² = rs. 13.592 million
year 3: rs. 15 million / (1 + 0.04)³ = rs. 11.462 millionyear 4: rs. 15 million / (1 + 0.03)⁴ = rs. 10.572 million
year 5: rs. 15 million / (1 + 0.07)⁵ = rs. 10.271 million
npv of project a = initial investment - sum of discounted cash inflows = rs. 50 million - (rs. 14.705 million + rs. 13.592 million + rs. 11.462 million + rs. 10.572 million + rs. 10.271 million)
= rs. 50 million - rs. 60.602 million = -rs. 10.602 million
similarly, the npv of project b can be calculated as follows:
year 1: rs. 25 million / (1 + 0.02) = rs. 24.510 million
year 2: rs. 25 million / (1 + 0.03)² = rs. 22.376 millionyear 3: rs. 25 million / (1 + 0.04)³ = rs. 18.928 million
year 4: rs. 25 million / (1 + 0.03)⁴ = rs. 17.309 millionyear 5: rs. 25 million / (1 + 0.07)⁵ = rs. 15.090 million
npv of project b = initial investment - sum of discounted cash inflows
= rs. 80 million - (rs. 24.510 million + rs. 22.376 million + rs. 18.928 million + rs. 17.309 million + rs. 15.090 million) = rs. 80 million - rs. 98.213 million
= -rs. 18.213 million
comparing the results, both project a and project b have negative npvs. (b) the undiscounted pay back period (upbp) for each project can be determined by dividing the initial investment by the annual cash inflows:
upbp of project a = rs. 50 million / rs. 15 million = 3.33 years
upbp of project b = rs. 80 million / rs. 25 million = 3.2 years
the discounted pay back period (dpbp) is calculated by considering the discounted cash inflows:
dpbp of project a = 2 years (year 1 + year 2) + (rs. 50 million - rs. 14.705 million) / rs. 13.592 million = 2 + 2.5 years = 4.5 yearsdpbp of project b = 2 years (year 1 + year 2) + (rs. 80 million - rs. 24.510 million) / rs. 22.376 million = 2 + 2.59 years = 4.59 years
based on the criterion of 5
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Specific factors of a venture being offered for sale that should be examined include a. the industry growth rate. b. strength of competitive forces. c. weaknesses, opportunities, and threats. d. all of the above.
Specific factors of a venture being offered for sale that should be examined include d. all of the above.
What is venture ?venture can be regarded as a business enterprise which involves making a risk as as to the make profit.
Therefore, when making a venture , weaknesses, opportunities, and threats should be take into consideration.
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