(a) Straight bond value: $750
(b) Call date: 20 years from issue date
(c) Conversion premium: 20%
(d) Fair market value: $900
How to solve(a) Straight bond value is calculated using the following formula:
Straight bond value = PV of coupon payments + PV of face value
The coupon rate is 5.75% and the face value is $1000. The bond matures in 20 years, so the number of periods is 20.
The discount rate is the rate of return on a debenture that cannot be converted, and has an identical maturity and coupon rate. The resulting output amounts to 7. 16% in this particular instance.
Straight bond value = $38.75 + $1000 = $750
(b) The call date is calculated using the following formula:
Call date = Maturity date - Call premium / Yield
The maturity date is 20 years and the call premium is 20%. The yield is 7.16%.
Call date = 20 years - 20% / 7.16% = 19.78 years
(c) The conversion premium is calculated using the following formula:
Conversion premium = Market price of bond / Conversion value
The market price of the bond is $900 and the conversion value is $1000 x 50 shares / $13.40 per share = $3846.20.
Conversion premium = $900 / $3846.20 = 23.4%
(d) The fair market value of the bond is calculated using the following formula:
Fair market value = Straight bond value + Conversion value x Conversion premium
The straight bond value is $750 and the conversion value is $3846.20. The conversion premium is 23.4%.
Fair market value = $750 + $3846.20 x 23.4% = $900
Read more about fair market value here:
https://brainly.com/question/29633409
#SPJ4
Which factors can affect a stock's price? Check all that apply.
market performance
the company's financial health
the quantity products produced
location of the company
the economy
Answer:
market performance
the company's financial health
the economy
Explanation:
Stocks or shares represent small units of ownership in a business. The stocks of a public limited company are traded in the stock exchange markets. Investors trading shares are guided by the potential to make profits in deciding what shares to buy.
Share that shows signs of good returns attract many buyers. Investors will focus on a company's financial health as presented in financial statements, the overall state of the economy, and the general market performance to evaluate profits potential. If the conditions are favorable, a stock price will always be rising and present opportunities for profits.
Answer:
1, 2, 5
Explanation:
Mention any there objectives of Accounting
Answer:
objectives of accounting in any business are:-
systematically record transactions sort and analysing them, prepare financial statements position, and aid in decision making with financial data and information about the business.
hope it is helpful....
direction match the word one column a with its meaning in column b writer answer on your activity notebook
A.
1.Sanitation.
2.health
3.prevent
4.Alternative
5.veterinarian
6.quarantine
7.market demand
8.livelihood
9.benefit
10.hazard
B.
a.to keep from happening
b.the doctor specializing in the care and health of animals
c.cleanliness
d.based on the need of buyers and consumers
e.a means of support; occupation
f.danger;risk
g. advantage;useful
h.free from disease;sound body condition
I.isolate
j.to take the place of;substitute
Answer:
1-c,2-h,3-a,4-j,5-b,6-i,7-d,8-c,9-g,10-f
Explanation:
should be right.
Each year, the demand for Nike shoes remains constant. However, the number of Nike shoes produced continually increases each year as Nike finds ways to produce cheaper and faster. The supply and deman
Supply Increase: As Nike finds ways to produce shoes more efficiently and at lower costs, they are able to increase the quantity of shoes supplied in the market each year.
Constant Demand: In this scenario, the demand for Nike shoes remains constant over time. This means that the demand curve for Nike shoes remains unchanged, indicating that consumers are willing to purchase the same quantity of Nike shoes at each price level.
Price: With an increasing supply and constant demand, the equilibrium price of Nike shoes is likely to decrease over time. As the quantity supplied exceeds the quantity demanded at the original equilibrium price, sellers may reduce prices to incentivize buyers and clear the excess supply. This adjustment process continues until a new equilibrium is reached, where the quantity supplied and the quantity demanded are once again in balance.
Quantity: Due to the increasing supply, the equilibrium quantity of Nike shoes will increase. More shoes will be available in the market, and consumers will be able to purchase a higher quantity at the new equilibrium price.
Graphically, the shift in the supply curve to the right will intersect with the unchanged demand curve at a new equilibrium point, reflecting a lower price and a higher quantity.
To learn more about,supply,click here,https://brainly.com/question/28285610
#SPJ11
Investing in a fund is more [Select]
the purpose of a fund is to [Select]
your
money across different investments, where with a single
stock or bond your [Select]
is entirely based
on the performance of that one
[Select]
V
Investing in a fund is more diversified, the purpose of a fund is to diversify your money across different investments, where with a single stock or bond your risk is entirely based on the performance of that one investment.
What is an investment?An asset or thing is considered an investment if it is bought with the hope that it will bring in money or increase in value over time. Increased wealth or a return on investment, whether in the form of income, capital gains, or both, is the ultimate goal of every investment. Stocks, bonds, mutual funds, real estate, and commodities are some common investment types.
An individual's financial objectives, risk tolerance, and available resources are often taken into account when deciding whether to invest.
A fund's goal is to spread your money over a variety of investments, whereas with a single stock or bond, your risk is totally dependent on the success of that one investment. This makes investing in a fund more diversified.
Learn more on investment here https://brainly.com/question/29547577
#SPJ1
Why is the interest rate one of the biggest factors when calculating the financial charges on credit cards?
In a loan, the interest rate is considered as the biggest factors in calculating finance charges because the interest rate adds a percentage of money not already spent to pay towards the credit cards if not paid in full each month.
What is an interest rate in loan?The term "interest rate" is a rate that tells you how high the cost of borrowing is or high the rewards are for saving. As a borrower, an interest rate is the amount you are charged for borrowing money which is shown as a percentage of the total amount of the loan.
In a loan, the finance charge means the total cost of borrowing money which includes the interest paid and any service fees by the lender which is why the interest rate is a big factor in calculating finance charges of credit cards.
Read more about interest rate
brainly.com/question/25816355
#SPJ1
A country has a trade deficit of $20 billion with its trading partners (
year. Which change would cause the country to have a trade surplus the
following year, assuming everything else remains the same?
A. The country increases its exports by $30 billion.
B. The country increases its imports by $30 billion.
C. The country decreases its exports by $10 billion.
D. The country decreases its imports by $10 billion.
D) The nation reduces its exports by $30 billion, the change would result in a trade deficit the following year for the country that had a trade surplus of $20 billion in one year.
When imports rise faster than exports, a trade deficit occurs. If the country increases its exports by $30 billion, decreases its imports by $10 billion, or increases its imports by $10 billion, it cannot have a trade deficit.
As a result, the country will only experience a trade deficit if its exports decrease by $30 billion while the rest of its exports remain unchanged.
With an example, what is a trade deficit?A country has a trade deficit when its imports exceed its exports over a given time period. A negative balance of trade (BOT) is another name for this situation. There are several ways to determine the balance, including: goods (also called " merchandise”), goods and services, and services and goods.
To learn more about trade deficit here
https://brainly.com/question/25313034
#SPJ1
Full Question = A country has a trade surplus of $20 billion with its trading partners over a
year. Which change would cause the country to have a trade deficit the
following year, assuming everything else remains the same?
A. The country increases its exports by $30 billion.
B. The country decreases its imports by $10 billion.
O C. The country increases its imports by $10 billion.
O D. The country decreases its exports by $30 billion.
marcus finds that a check written by a customer and deposited has not yet been posted
What type of account is sales returns and allowances?.
Answer:
contra revenue account
Describe the difference between positive and negative cash flow?
Answer: Cash flow can be positive or negative.
Explanation:
Positive cash flow means a company has more money moving into it than out of it. Negative cash flow indicates a company has more money moving out of it than into it.
If the implied volatility is less than what you expect, then you believe the option is correctly priced overvalued sentient undervalued
Implied volatility is an option pricing input that predicts the volatility of the underlying asset. If the implied volatility is lower than expected, then an option trader would assume that the option is priced correctly, or even underpriced.
Therefore, the answer to the given question is that if the implied volatility is less than what you expect, then you believe the option is correctly priced or undervalued. In options trading, implied volatility is a critical parameter.
Options traders use implied volatility to assess the potential magnitude of a stock's future price fluctuations. When options have a high implied volatility, traders expect that the stock's price would fluctuate significantly, either upwards or downwards.
Options traders take the implied volatility as an input to calculate the price of an option. A higher implied volatility results in a more expensive option price, while a lower implied volatility results in a lower option price.
.Therefore, if the implied volatility is less than what you expect, then you believe the option is correctly priced or even undervalued.
To know more about volatility visit:
https://brainly.com/question/8781864
#SPJ11
The value of a levered firm will be than the value of an identical unlevered firm because the levered firm's taxes will be
Answer:
higher
Explanation:
hope this helps
give four features of subsistence production
Answer:
The main features of Subsistence Farming are as follows:
In subsistence farming, landholdings tend to be small and scattered.
The farmers tend to use traditional methods of agriculture.
The output is not very high and it is consumed within the family........
Which of the following choices incur speculative risk?
a.stocks
b.fire insurance on a house
c.options
d.life insurance
e.high interest savings account
Answer: correct option is A.
Explanation: A speculative risk can be defined as risk that is taken willingly either it results in profit or loss and the stocks involve in probability of gain and loss making it a speculative risk.
Stocks incur speculative risk. Therefore option A is correct.
What are Stocks?A stock usually referred to as equity, is a type of investment that denotes ownership in a portion of the issuing company. Shares, also known as units of stock, entitle their owners to a share of the company's assets and income in proportion to the number of shares they possess.
Common stock and preferred stock are the two primary categories of stocks.
Owners of common stock are entitled to dividends and the right to vote at shareholder meetings.
Common stockholders often do not have voting rights, while preferred stockholders typically get dividend payments ahead of time and are given preference over common investors in the event of a firm bankruptcy and asset liquidation.
To learn more about Stocks follow the link.
https://brainly.com/question/14649952
#SPJ2
What outcomes are possible with speculative risk?
(1) nothing will happen, (2) there will be a loss, or (3) there will be a gain or profit, these are possible outcomes with speculative risk.
Along with the possibility of gain or profit, the other unique element of speculative risk is choice.
For example, no sane person would choose to experience a house fire, a car accident, or a serious illness (all of which are insurable risks) —
but every person who invests in a company or places a bet on a sporting event has made a conscious choice to expose themselves to speculative risk.
Speculative risk is not insurable primarily due to the potential for moral hazard.
To know more about speculative risk
https://brainly.com/question/14632010
Financial Risks Unit Test (Connexus)
4/17/2023
1. What outcomes are possible with speculative risk?
Answer: all of the above
2. Which of the following choices incur speculative risk?
Answer: -stocks, -options,
3. What is risk reduction?
Answer: A strategy that reduces risk by minimizing the chance that the loss occurs or reduces the value lost.
4. What is risk transference?
Answer: A strategy where the risk of loss is shared with another person, entity or group.
5. Which of these options is a new type of insurance?
Answer: identity theft
6. Which of these choices are add-on options for insurance policies? Select the two correct answers.
Answer: -jewelry rider, -collision insurance
7. How much of the U.S. population is covered by some form of health insurance?
Answer: 92%
8. What is the largest health program in the United States?
Answer: Medicare
9. How are SSDI and SSI different?
Answer: SSDI is an insurance program paid out of the Social Security Trust fund and SSI is a needs-based program.
10. What is SSI?
Answer: a need-based program run by the SSA and only considers the financial need of the individual who is elderly or disabled
11. What does long-term care insurance provide?
Answer: It helps cover costs for the day-to-day care of people with chronic illnesses or medical conditions.
12. What does LTC usually cover?
Answer: day-to-day care
13. How might insurance be affected if the applicant has a dangerous job?
Answer: All of the options are possible.
14. What might happen if someone is dishonest on their insurance application?
Answer: The policyholder may be prosecuted for insurance fraud, which is a crime.
15. What is no-fault insurance?
Answer: Unlimited PIP mandated by the states to reduce the number of small and frivolous lawsuits.
16. Why does geographic location affect the cost of premiums?
Answer: Because insurance companies review the statistical history of claims for an area and if there is an increased risk of claims for accidents or theft, they will raise the premium.
17. Why is it important to review credit card charges every month to protect oneself against identity theft?
Answer: to identify any unauthorized charges so that they can be investigated as a potential red flag for identity theft
18. Which population is most often the victim of synthetic identity theft?
Answer: children
19. Why is it important to review credit card charges every month to protect against identity theft?
Answer: to identify unauthorized charges so that they can be investigated for identity theft
20. What is child identity theft?
Answer: someone uses the identity of someone who has minimal activity for their social security number to create a credit history
21. Can the Consumer Financial Protection Bureau or Better Business Bureau accredit companies? Does that agency require a fee for accreditation?
Answer: Only the BBB accredits companies, and it requires a fee for accreditation.
All of these answers are correct, hope this helps someone :)
state five Forest reserve in Ghana
Answer:
Akrabong, Obotoumfo, Abasumba, Ahirasu Nos one and two
piedmont hotels is an all-equity company. its stock has a beta of .92. the market risk premium is 7.7 percent and the risk-free rate is 3.5 percent. the company is considering a project that it considers riskier than its current operations so it wants to apply an adjustment of 2.7 percent to the project's discount rate. what should the firm set as the required rate of return for the project?
The capital asset price was set by the firm at 12.64% as the required rate of return for the project.
What is Capital Asset?Capital assets are significant pieces of property such as homes, cars, investment properties, stocks, bonds, and even collectibles or art. For businesses, a capital asset is an asset with a useful life longer than a year that is not intended for sale in the regular course of the business's operation. This also makes it a type of production cost. For example, if one company buys a computer to use in its office, the computer is a capital asset. If another company buys the same computer to sell, it is considered inventory.Capital assets are assets that are used in a company's business operations to generate revenue over the course of more than one year.They are recorded as an asset on the balance sheet and expensed over the useful life of the asset through a process called depreciation.To learn more about depreciation refer to:
https://brainly.com/question/1203926
#SPJ4
The _____________ objection occurs most often when the buyer doesn't understand how the features of the product or service might be applied to benefit the buyer.
The Product/Service Objection objection occur most often when the buyer doesn't understand how the features of the product or service might be applied to benefit the buyer.
What is a common objection?
Price-based common sales objections. The most frequent kind of opposition to a sale is price. "How much will this thing set me back?" – Every possible prospect. Prospects that are genuinely interested in purchasing will nevertheless protest the price and complain that it is too high or make hints that they would like it for a lower price.
What is product or service objection?
When a prospect expresses concern about the good or service a salesperson is offering, objection management occurs when the salesperson reacts in a way that allies the concern and permits the deal to proceed. Price, product fit, or rivals are the most frequent points of contention.
Learn more about Product/Service Objection: https://brainly.com/question/15528567
#SPJ4
T/F. evidence of workplace rumors and/or gossip about a health scholar is not enough to support a sexual harassment claim.
True. Evidence of workplace rumors and/or gossip about a health scholar is not enough to support a sexual harassment claim.
Sexual harassment claims require substantial evidence of unwelcome behavior of a sexual nature that creates a hostile or intimidating work environment, or leads to adverse employment actions. Rumors and gossip, while potentially harmful and inappropriate, do not meet the legal threshold for proving sexual harassment. It is important to rely on substantial evidence, such as specific incidents, witnesses, documentation, or other forms of corroborating evidence, to support a valid sexual harassment claim.
Learn more about sexual harassment here: brainly.com/question/29590783
#SPJ11
the determinant of aa is the product of the diagonal entries in aa.
The determinant of aa is the product of the diagonal entries in aa. The determinant is a scalar value associated with a square matrix that is useful in matrix operations.
The determinant of aa is the product of the diagonal entries in aa, which means that to find the determinant of a 3x3 matrix, you need to multiply the three diagonal elements. If the matrix is of order n, the determinant can be found by using the formula det(A) = Σ (−1)i+j * det(Mij), where i and j are indices and Mij is the submatrix obtained by deleting row i and column j of A. The determinant of aa is important in many areas of mathematics and physics, and it can be used to calculate the inverse of a matrix, solve systems of linear equations, and more.
Since all off-diagonal elements are zero, every square diagonal matrix is symmetric. Similarly, since each diagonal element of a skew-symmetric matrix is its own negative, each characteristic different from 2 must be zero.
Know more about diagonal entries, here:
https://brainly.com/question/30873112
#SPJ11
why adding payment options in the stands can increase a fan’s satisfaction at a sports
event?
The results of a partial least squares structural equation modeling analysis imply that aspects of the stadium, club management, and the fan-based support for the club are the most important determinants of fan satisfaction.
- BRAINLIEST answerer
Answer: The costumer would find it better and easier, which means sport event will make more profit because the fans are satisfied.
Hope this helped!
A family's financial plan is likely to be less complex than an
individual's.
True
False
Answer:
False
Explanation:
A family's financial plan inolves more than a single individual.
Select the qualification that is best demonstrated in each example. Clyde explains the equipment installation process to a customer. Meredith picks up a heavy stereo and puts it in place on a shelf. Brittney figures out what is wrong with a phone line that is not working.
Answer:
D, A, D
Explanation:
dad lol
Answer:
D
A
D
Explanation:
your welcome
Strategies for managing conflict
Can I get a brainest point plsssssss
1. Don't Ignore Conflict
If you're someone who dislikes dealing with conflict, it might seem tempting to just put your head in the sand and pretend it doesn't exist, hoping it will resolve itself on its own. While this sometimes can happen, the truth is that the vast majority of the time, this will only cause the situation to get worse. Ignored conflicts have a tendency to fester over time and reappear at inopportune moments, so do your team a favor and address conflicts when they occur, nipping a potentially toxic situation in the bud as soon as you recognize it.
2. Clarify What the Issue Is
If you're dealing with a conflict between two members of your team, it's important that you get all the facts. Sit down with each individual involved and find out exactly what the issue is. How is each individual perceiving the situation? What needs are not being met? What does each party see as an appropriate resolution? Make sure that all parties involved understand that you are acting as an impartial mediator, and let them know they can feel comfortable to share sensitive information.
3. Bring Involved Parties Together to Talk
Once you've had a chance to talk to all involved parties separately, bring them together in a meeting so that they can hash out their differences in a neutral environment. This is a time for brainstorming, active listening, and being open to different perspectives - the goal is to come to a common understanding of what the problem is, what role each individual is playing in the conflict, and what some possible solutions might be.
4. Identify a Solution
After both parties have had a chance to discuss the situation at hand, it's time to identify what a satisfactory resolution might be - and how to get there. Ideally, by this point, both parties will understand the other's side, and oftentimes the conflict will be resolved just through facilitated, open dialogue. However, if the situation requires further resolution, you will need to step in and help them negotiate a reasonable solution. This phase can require some time and effort, as it requires both parties to set aside their differences and preferences and find some common ground to work towards (which may involve not getting everything they want out of the situation). Then, work with both individuals to come up with a concrete list of steps that will result in the solution being achieved.
5. Continue to Monitor and Follow Up on the Conflict
Just because a solution has been identified and addressed doesn't mean it will just go away. As a manager, it's your responsibility to check in with both parties to ensure that the conflict has truly been dealt with, and that the steps identified to reach a solution are being followed. If all seems to be going well, simply remember to stop and observe from time to time, just to see if things really are going smoothly or if there are still lingering tensions under the surface that need to be handled. If it's clear that the solution didn't work, or wasn't the right resolution for the situation, make sure to be proactive in working with both parties to readjust expectations, identify alternative solutions, and continue their dialogue to create a positive and healthy work environment.
flexible spending accounts allow you to contribute ______ dollars to an account managed by your employer. quizle
Flexible Spending Accounts allow employees to contribute pretax dollars to an account managed by their employer. So, the correct answer is pretax.
A Flexible Spending Account (FSA) is a benefit offered by employers that allows employees to contribute a portion of their pre-tax earnings to an account managed by the employer. The primary purpose of an FSA is to help employees save money on taxes by reducing their taxable income. By contributing pre-tax dollars to the account, employees effectively lower their overall taxable income, resulting in potential tax savings.
The funds in the FSA can be used to cover eligible expenses, such as medical and dental costs, prescription medications, and dependent care expenses. It's important to note that FSAs usually have a maximum contribution limit determined by the employer or regulatory guidelines. Any unused funds in the FSA may be forfeited at the end of the plan year or carried over to the next year, depending on the employer's policy or the use of a grace period or rollover provision.
Learn more about Flexible Spending Accounts
https://brainly.com/question/29995084
#SPJ11
On January 1, 2017, the dental partnership of Angela, Diaz, and Krause was formed when the partners contributed $39,000, $67,000, and $69,000, respectively. Over the next three years, the business reported net income and (loss) as follows: 2017 $ 79,000 2018 51,000 2019 (34,000 ) During this period, each partner withdrew cash of $15,000 per year. Krause invested an additional $6,000 in cash on February 9, 2018. At the time that the partnership was created, the three partners agreed to allocate all profits and losses according to a specified plan written as follows: Each partner is entitled to interest computed at the rate of 10 percent per year based on the individual capital balances at the beginning of that year. Because of prior work experience, Angela is entitled to
Which part of the value chain acquires raw materials and manufacturers, delivers, markets, sells, and provides after-sales services?
The part of the value chain that acquires raw materials, manufacturers, delivers, markets, sells, and provides after-sales services is the Operations stage.
This stage includes all the activities involved in transforming raw materials into finished goods and delivering them to customers. The Operations stage is where the value is added to the raw materials, as they are transformed into the final product. This stage is critical for the success of any business, as it directly impacts the quality and reliability of the final product, as well as the cost and efficiency of production.
Within the Operations stage, there are several sub-stages that include sourcing raw materials, manufacturing, distribution, marketing, sales, and after-sales service. Each of these sub-stages is equally important in ensuring that the final product is of high quality, delivered on time, and meets the customer's needs.
Therefore, it is essential to have a well-defined and integrated Operations strategy that includes all these sub-stages and is aligned with the overall business strategy. By doing so, businesses can create a competitive advantage, improve customer satisfaction, and ultimately drive profitability.
Know more about Operations here:
https://brainly.com/question/31075617
#SPJ11
Some businesses avoid risks by doing which of the following
Only doing business online
Purchasing multiple insurance policies
Keeping records of all transactions and customers
Considering market research
Answer:
Considering market research
Explanation:
To a business, risk is the possibility of incurring substantial financial losses. A business is established to make profits. However, if things don't go as forecast, the possibility of making losses is high. Risk is the chance that the outcome of an investment is not as profitable as
expected.
Identifying, evaluating, and controlling threats to a company's capital and profits is how businesses manage risk. By conducting market research, a company gathers sufficient information to assist in the process of managing risk.
In Canada in 2009, during the economic recession, the unemployment rate was 8.4 percent. If the natural rate of unemployment is assumed to be 6.5 percent, then the real unemployment rate exceeded the natural rate by 1.9 percent (8.4 minus 6.5). This means that GDP could have been 3.8 percent higher (1.9 percent times 2). The actual real GDP during the economic downturn in 2009 was $1 549.8 billion, but it could have been 3.8 percent higher, or $58.9 billion more, in terms of dollars ($1 549.8 × 0.038). This figure represents the GDP gap. The potential GDP of the Canadian economy in 2009 was $1 608.7 billion—if only it had been able to achieve full employment.
This GDP gap can have a compounding effect over time. In Figure 12.6, the significance of labelling the two axes "Capital Goods" and "Consumer Goods" lies in the fact that, if the economy were fully utilizing its resources, the potential for producing more capital goods, without sacrificing any consumer goods, exists. The production of more capital goods in the present would translate into an outward shift of the production possibilities curve in the future because more capital goods would be available as inputs for the production process. If a country produces at point A, its future production possibilities curve (PPC) only shifts to PPC1 because of the relatively smaller amount of capital goods it is adding to the productive resource base compared with point B. If that same country were to produce at point B, its future PPC curve shifts to PPC2 instead because it has added relatively more capital goods for use in production without sacrificing any consumer good production. In future years, this "loss" of capital goods would continue to hold PPC curves to levels below what they could have been. This means that the GDP gap in the present has a significant long-term impact in the future—the loss of potential growth.
APPLYING ECONOMIC THINKING
1. In 2016, Canada’s GDP was $1 803.3 billion, and the unemployment rate was 7.0 percent. If the natural rate of unemployment is 6.5 percent, what was Canada’s GDP gap in 2016?
2. The data in the table below are from the Organisation for Economic Co-operation and Development (OECD). The "natural rate of unemployment" in the OECD table is called the Non-Accelerating Inflation Rate of Unemployment (NAIRU). Calculate the GDP gap for each country presented in the table. (Data from stats.oecd.org)Country 2015 Nominal GDP ($ billions) 2015 Unemployment Rate (%) NAIRU (Natural Unemployment Rate) (%) Australia 6.1 5.6 1638.1 (AUD) Canada 6.9 6.6 1995.0 (CAD) Greece 24.9 16.0 176.0 (euro) Korea 3.6 3.4 1486 076.4 (won) Spain 22.0 15.5 1080.0 (euro) 5.3 4.5 United States 18 120.7 (USD).
The potential GDP of the US economy in 2015 was $18 410.6 billion if it had been able to achieve full employment.
1. If the natural rate of unemployment is 6.5 percent, then the real unemployment rate exceeded the natural rate by 0.5 percent (7.0 minus 6.5). This means that GDP could have been 1.0 percent higher (0.5 percent times 2). The actual real GDP in 2016 was $1 803.3 billion, but it could have been 1.0 percent higher, or $18.0 billion more, in terms of dollars ($1 803.3 × 0.01). This figure represents the GDP gap. The potential GDP of the Canadian economy in 2016 was $1 821.3 billion if it had been able to achieve full employment.
Therefore, Canada’s GDP gap in 2016 was $18.0 billion.
2. GDP gap for each country is as follows:Australia: If the natural rate of unemployment is 5.6 percent, then the real unemployment rate exceeded the natural rate by 0.7 percent (6.3 minus 5.6). This means that GDP could have been 1.4 percent higher (0.7 percent times 2). The actual real GDP in 2015 was 1638.1 billion Australian dollars, but it could have been 1.4 percent higher, or 22.9 billion Australian dollars more, in terms of dollars (1638.1 × 0.014). This figure represents the GDP gap. The potential GDP of the Australian economy in 2015 was 1660.9 billion Australian dollars if it had been able to achieve full employment.
Canada: As calculated in Part 1, Canada’s GDP gap in 2015 was $18.0 billion.
Greece: If the natural rate of unemployment is 18.0 percent, then the real unemployment rate exceeded the natural rate by 2.0 percent (16.0 minus 18.0). This means that GDP could have been 4.0 percent higher (2.0 percent times 2). The actual real GDP in 2015 was 176.0 billion euros, but it could have been 4.0 percent higher, or 7.0 billion euros more, in terms of euros (176.0 × 0.04). This figure represents the GDP gap. The potential GDP of the Greek economy in 2015 was 183.0 billion euros if it had been able to achieve full employment.
Korea: If the natural rate of unemployment is 3.4 percent, then the real unemployment rate exceeded the natural rate by 0.6 percent (4.0 minus 3.4). This means that GDP could have been 1.2 percent higher (0.6 percent times 2). The actual real GDP in 2015 was 1 486.4 trillion won, but it could have been 1.2 percent higher, or 17.8 trillion won more, in terms of won (1 486.4 × 0.012). This figure represents the GDP gap. The potential GDP of the Korean economy in 2015 was 1 504.2 trillion won if it had been able to achieve full employment.
Spain: If the natural rate of unemployment is 15.5 percent, then the real unemployment rate exceeded the natural rate by 0.5 percent (16.0 minus 15.5). This means that GDP could have been 1.0 percent higher (0.5 percent times 2). The actual real GDP in 2015 was 1 080.0 billion euros, but it could have been 1.0 percent higher, or 10.8 billion euros more, in terms of euros (1 080.0 × 0.01). This figure represents the GDP gap. The potential GDP of the Spanish economy in 2015 was 1 090.8 billion euros if it had been able to achieve full employment.
United States: If the natural rate of unemployment is 4.5 percent, then the real unemployment rate exceeded the natural rate by 0.8 percent (5.3 minus 4.5). This means that GDP could have been 1.6 percent higher (0.8 percent times 2). The actual real GDP in 2015 was $18 120.7 billion, but it could have been 1.6 percent higher, or $289.9 billion more, in terms of dollars ($18 120.7 × 0.016). This figure represents the GDP gap.
To know more about percent visit:
https://brainly.com/question/31323953
#SPJ11
Elaine Chambers works as a research executive at ENVIR Inc Though her colleagues are belpful and friendly, because of her shy nature, she often eats her lunch at her desk and has limited interactions with them. She is glad that her nature of work does not require her to interact with her co-workers to a high extent Hilaine's personality is characterized by the Myers Briggs Type Indicator referred to as
A) reserved
B) introverted
C) extroverted
D) agreeableness
E) Conscientes
Answer:
The answer is B she's an introvert, a person who's more reserved in nature than other people.