5. A stock price is currently R60. Over each of the next two three-month periods it is expected to be up
by 10% or down by 10%. The risk-free interest rate is 12% per annum with continuous compounding.
a. What is the value of a six-month European put option with a strike price of R64?
b. What is the value of a six-month American put option with a strike price of R64?

Answers

Answer 1

a. The value of the six-month European put option with a strike price of R64 is R1.4323.

b. The value of the six-month American put option with a strike price of R64 is R4.

The value of a European put option can be calculated using the binomial option pricing model. The value of an American put option can also be calculated using the binomial option pricing model, but with an additional step to account for the possibility of early exercise.

a. The value of a six-month European put option with a strike price of R64 can be calculated as follows:

Calculate the up and down factors: u = e^(0.1*0.25) = 1.0253, d = e^(-0.1*0.25) = 0.9752Calculate the risk-neutral probabilities: p = (e^(0.12*0.25) - d) / (u - d) = 0.5289, 1-p = 0.4711Calculate the value of the option at the end of the second period: Vuu = max(0, 64 - 60*1.0253^2) = 0, Vud = max(0, 64 - 60*1.0253*0.9752) = 2.4316, Vdd = max(0, 64 - 60*0.9752^2) = 5.8947Calculate the value of the option at the end of the first period: Vu = (0.5289*0 + 0.4711*2.4316) / e^(0.12*0.25) = 0.9196, Vd = (0.5289*2.4316 + 0.4711*5.8947) / e^(0.12*0.25) = 2.7986Calculate the value of the option at the beginning of the first period: V = (0.5289*0.9196 + 0.4711*2.7986) / e^(0.12*0.25) = 1.4323

Therefore, the value of the six-month European put option with a strike price of R64 is R1.4323.

b. The value of a six-month American put option with a strike price of R64 can be calculated as follows:

Calculate the up and down factors: u = e^(0.1*0.25) = 1.0253, d = e^(-0.1*0.25) = 0.9752Calculate the risk-neutral probabilities: p = (e^(0.12*0.25) - d) / (u - d) = 0.5289, 1-p = 0.4711Calculate the value of the option at the end of the second period: Vuu = max(0, 64 - 60*1.0253^2) = 0, Vud = max(0, 64 - 60*1.0253*0.9752) = 2.4316, Vdd = max(0, 64 - 60*0.9752^2) = 5.8947Calculate the value of the option at the end of the first period: Vu = max((0.5289*0 + 0.4711*2.4316) / e^(0.12*0.25), 64 - 60*1.0253) = 0.9196, Vd = max((0.5289*2.4316 + 0.4711*5.8947) / e^(0.12*0.25), 64 - 60*0.9752) = 3.8083Calculate the value of the option at the beginning of the first period: V = max((0.5289*0.9196 + 0.4711*3.8083) / e^(0.12*0.25), 64 - 60) = 4

Therefore, the value of the six-month American put option with a strike price of R64 is R4.

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Related Questions

1- briefly explain what you understand by the cost based pricing model in what environment would this be most appropriate2-Take the supply chain for canned peaches sold by a major food processing company as an example. What would you consider to be some sources of uncertainty in this supply chain?3-Mr. Joseph Twain is the supply chain manager for a global Tier-1 automotive supplier. Outline and describe some of the key challenges Mr. Twain faces as he carries out his job.4- Why the term "supply chain" can be considered a misnomer Why the term "supply chain" can be considered a misnomer5- Sketch a supply chain with which you are familiar and that has at least 3 inter-company links. For this supply chain, show and describe clearly the flows of good/service, flows of money, and flows of information.

Answers

1- Cost-based pricing is a pricing model used in the business world that involves setting prices by factoring in costs incurred in producing a product or providing a service.


2- In the supply chain for canned peaches  some sources of uncertainty, transport delays, production delays, and changes in demand.


3- Some of the key challenges Mr. Twain faces as the supply chain manager for a global Tier-1 automotive supplier include forecasting customer demand accurately, optimizing inventory levels.


4- The term supply chain management also involves the flow of money and information, which is equally as important.


5- The flow in this supply chain would involve raw materials from the supplier, which are then processed and packaged by the manufacturer

Before supply chain finally being distributed by the distributor to the retailer, who then sells the product to the consumer.

The flow of money in this supply chain would involve the payment from the retailer to the distributor, the payment from the distributor to the manufacturer, and the payment from the manufacturer to the supplier.

The flow of information in this supply chain would involve order information, shipment information, inventory data, production data, etc.

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It is vital that services consider culture when serving customers. Do you agree with this statement? Imagine you work for an American chain hotel (4 star) that plans to enter the UAE market. Using Hofstede’s cultural dimensions as a template, outline strategies they might pursue to satisfy the needs of the UAE market.

Answers

I agree with the statement that it is vital for services to consider culture when serving customers. This is because cultural differences can impact how customers perceive and interact with a company's products and services. By understanding and catering to these cultural differences, companies can better satisfy the needs of their customers and build strong relationships with them.



When it comes to entering the UAE market, an American chain hotel could use Hofstede's cultural dimensions as a template to develop strategies that satisfy the needs of the UAE market. Here are some possible strategies based on each of the cultural dimensions:
Power Distance: The UAE has a high power distance, meaning that there is a strong emphasis on hierarchy and respect for authority. To satisfy this cultural need, the hotel could offer VIP services and exclusive amenities for high-ranking guests.
Individualism vs. Collectivism: The UAE is a collectivist culture, meaning that there is a strong emphasis on group harmony and loyalty.
Masculinity vs. Femininity: The UAE is a masculine culture, meaning that there is a strong emphasis on achievement and success. To satisfy this cultural need, the hotel could offer rewards and incentives for guests who achieve certain milestones, such as staying a certain number of nights or spending a certain amount of money.
Long-Term Orientation: The UAE has a long-term orientation, meaning that there is a strong emphasis on planning for the future and valuing tradition.

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2 17 Statement of Cash Flows
Cash from operations $127,000
3. Accounts payable to merchandise suppliers increased $50,000 during the year.
4. Accrued expenses payable increased $155,000 during the year.
ASQUITH COMPANY
Income Statement
For the Year Ended December 31, 2017
Sales revenue $5,250,000
Cost of goods sold
Beginning inventory $1,780,000
Purchases 3,430,000
Goods available for sale 5,210,000
Ending inventory 1,900,000
Total cost of goods sold 3,310,000
Gross profi t 1,940,000
Operating expenses
Depreciation expense 95,000
Amortization expense 20,000
Other expenses 945,000 1,060,000
Net income $ 880,000
Instructions
Prepare the operating activities section of the statement of cash fl ows for the year ended December 31, 2017, for Asquith Company, using the indirect method

Answers

Operating activities section of the statement of cash flows using indirect method is: Net income $880,000, Adjustments to reconcile net income to net cash provided by operating activities: Depreciation expense $95,000 Amortization expense $20,000 Increase in accounts payable $50,000 Increase in accrued expenses payable $155,000, Changes in operating assets and liabilities: Decrease in inventory ($120,000), and Net cash provided by operating activities $1,080,000.

The operating activities section of the statement of cash flows for the year ended December 31, 2017, for Asquith Company using the indirect method is as follows.

Operating Activities Section

Cash flows from operating activities:
Net income $880,000

Adjustments to reconcile net income to net cash provided by operating activities:
Depreciation expense $95,000
Amortization expense $20,000
Increase in accounts payable $50,000
Increase in accrued expenses payable $155,000

Changes in operating assets and liabilities:
Decrease in inventory ($120,000)

Net cash provided by operating activities $1,080,000

The net cash provided by operating activities is calculated by taking the net income and adjusting it for non-cash items such as depreciation and amortization, and changes in operating assets and liabilities. The increase in accounts payable and accrued expenses payable are added to the net income because they represent an increase in cash. The decrease in inventory is subtracted from the net income because it represents a decrease in cash. The result is the net cash provided by operating activities.

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Q17. If the initial margin requirement at stockbroker C is 30 percent on RM200,000 transaction, what is the maximum amount that a customer can borrow? A. RM120,000 B.RM130,000 C. RM140,000 D. RM150,000 Q18. Economists project the long-run real growth rate for the next five years to be 2.5 percent and the average annual rate of inflation over this five year period to be 3.90 percent. What is the expected nominal rate of return over the next five years? A. 2.750 percent B. 3.900 percent C. 5.575 percent D. 6.498 percent

Answers

A17. The maximum amount that a customer can borrow for a RM200,000 transaction with a 30 percent initial margin requirement is RM140,000. Option C is correct.

This is because the initial margin requirement is the amount of money that the customer must provide as a down payment for the transaction. The remaining amount can be borrowed from the stockbroker. To find the maximum amount that can be borrowed, we can use the formula:

The maximum amount borrowed = Total transaction value - Initial margin requirement

= RM200,000 - (30% × RM200,000)

= RM200,000 - RM60,000

= RM140,000

Therefore, the correct answer is C. RM140,000.

A18. The expected nominal rate of return over the next five years will be 6.498%. Option D is correct.

The expected nominal rate of return over the next five years can be calculated using the Fisher equation, which relates the nominal interest rate, the real interest rate, and the inflation rate.

The Fisher equation is:

Nominal interest rate = Real interest rate + Inflation rate

Given that the long-run real growth rate for the next five years is 2.5 percent and the average annual rate of inflation over this five year period is 3.90 percent, we can plug these values into the Fisher equation to find the expected nominal rate of return:

Nominal interest rate = 2.5% + 3.90%

= 6.40%

Therefore, the correct answer is D. 6.498 percent.

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You have $32,000 and observe the following exchange rates:
Exchange rate Bid Ask
Value of yen in U.S. dollars $0.0098 $0.0099
Value of Canadian dollar in U.S. dollars $0.72 $0.73
Value of yen in Canadian dollars C$0.0142 C$0.0144
What is your profit from exploiting the opportunity once (in $)?

Answers

The profit from exploiting the opportunity once is $19,833.76.

To determine the profit from exploiting the opportunity once, we need to first calculate the value of our $32,000 in each currency using the exchange rates provided.

Then, we need to compare the values and determine the difference, which will be our profit.

Step 1: Calculate the value of $32,000 in yen using the exchange rate for the value of yen in U.S. dollars:


$32,000 x $0.0098 = 313,600 yen

Step 2: Calculate the value of $32,000 in Canadian dollars using the exchange rate for the value of Canadian dollar in U.S. dollars:


$32,000 x $0.72 = $23,040

Step 3: Calculate the value of 313,600 yen in Canadian dollars using the exchange rate for the value of yen in Canadian dollars:


313,600 yen x C$0.0142 = C$4,453.12

Step 4: Convert the value of 313,600 yen in Canadian dollars to U.S. dollars using the exchange rate for the value of Canadian dollar in U.S. dollars:


C$4,453.12 x $0.72 = $3,206.24

Step 5: Determine the difference between the value of $32,000 in Canadian dollars and the value of 313,600 yen in U.S. dollars:


$23,040 - $3,206.24 = $19,833.76

Therefore, the profit from exploiting the opportunity once is $19,833.76.

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As of Monday, 28 February 2022, the bid on the Japanese yen was
$0.00850 and the ask was 0.00869, which means the bid/ask spread,
rounded to two decimal places as a percent, was __%

Answers

As of Monday, 28 February 2022, the bid on the Japanese yen was

$0.00850 and the ask was 0.00869, which means the bid/ask spread,

rounded to two decimal places as a percent, was 2.19%.

The bid/ask spread can be calculated by subtracting the bid price from the ask price and then dividing the result by the ask price. This gives us the spread as a decimal, which can then be converted to a percentage by multiplying by 100.
In this case, the bid/ask spread is:
Spread = (Ask - Bid) / Ask
Spread = (0.00869 - 0.00850) / 0.00869
Spread = 0.00019 / 0.00869
Spread = 0.02187
To convert this to a percentage, we multiply by 100:
Spread = 0.02187 * 100
Spread = 2.19%
Therefore, the bid/ask spread, rounded to two decimal places as a percent, is 2.19%.

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To illustrate how DV01 changes with maturity, we consider a bond with yield y = 3.5% for different maturities, including perpetuity and different values of coupons:a) zero coupon bondsb) discount bonds with coupon rate c = 0.75%c) par bondsd) premium bonds with coupon rate c = 6.2%DV01 – is the change in the Dollar Value of a security for a 1 basis point change in rates. Example 1: 20 year 5% (semi-annual) coupon bond issued at par. What is its yield? Change y by one b.p (up or down) . and determine the change in the price. Formally DV01 is defined asDV01=− 1 ∂P 10000 ∂ywhere ∂P is the slope of the curve, yield-price, which can be ∂yestimated through usual finite difference:∂P ≈ ∆P ∂y ∆y

Answers

DV01 is a measure of how much the price of a bond changes for a 1 basis point change in yield. It is used to estimate the change in the value of a bond portfolio for a given change in interest rates. For the example we can estimate the change in price for a 1 basis point change in yield and calculate the DV01

The DV01 for different types of bonds will vary depending on the maturity, coupon rate, and other factors.

For a zero coupon bond, the DV01 will be smaller for shorter maturities and larger for longer maturities. This is because the price of a zero coupon bond is more sensitive to changes in interest rates for longer maturities.

For a discount bond with a coupon rate of 0.75%, the DV01 will be larger for shorter maturities and smaller for longer maturities. This is because the price of a discount bond is less sensitive to changes in interest rates for longer maturities.

For a par bond, the DV01 will be smaller for shorter maturities and larger for longer maturities. This is because the price of a par bond is more sensitive to changes in interest rates for longer maturities.

For a premium bond with a coupon rate of 6.2%, the DV01 will be larger for shorter maturities and smaller for longer maturities. This is because the price of a premium bond is less sensitive to changes in interest rates for longer maturities.

In the example given, the yield of the 20 year 5% coupon bond issued at par is 5%. To determine the DV01, we can change the yield by one basis point and calculate the change in price. Using the formula DV01 = -(1/10000) * (∆P/∆y), we can estimate the change in price for a 1 basis point change in yield and calculate the DV01.

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Recent evidence appears to suggest that for US markets, the "Market Model" (Single-Index/CAPM/APT) holds
Question 20 options:
hardly ever
always
overall on a daily cycle, but less clearly on overnight returns
overall on a daily cycle, but less clearly from market opening to market close of the same day

Answers

The Market Model is option C, "overall on a daily cycle, but less clearly on overnight returns."


The Market Model, also known as the Capital Asset Pricing Model (CAPM) or the Arbitrage Pricing Theory (APT), is used to determine the expected return on a particular investment based on the risk-free rate of return, the market risk premium, and the investment's beta.

While the model holds overall on a daily cycle, meaning that it can accurately predict the expected return for a given day, it is less clear on overnight returns. This is because overnight returns are subject to different market conditions and factors that may not be accounted for in the Market Model.

Therefore, while the Market Model can be a useful tool for predicting expected returns on a daily basis, it may not be as accurate for overnight returns. It is important for investors to take this into consideration when making investment decisions.

Therefore Market Model is overall on a daily cycle, but less clearly on overnight returns.

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Consider the following spot interest rates for maturities of one, two, three, and four years. r1=3.09% r2=3.93% r3=4.29% r4=4.78% If inflation in year 3 (that is, between the end of year 2 and end of year 3) is expected to be 1.81 percent, what real rate (in percent) does this imply for year 3? Use the exact Fisher formula and expectations theory. Answer to two decimals, carry intermediate calcs. to four decimals. Note that it is possible to get a negative real rate.

Answers

The Fisher formula is used to calculate the real interest rate from the nominal interest rate and the expected inflation rate. The formula is:

real interest rate = nominal interest rate - expected inflation rate

According to the expectations theory, the nominal interest rate for a given maturity is equal to the average of the expected short-term interest rates over that maturity. In this case, the nominal interest rate for year 3 (r3) is equal to the average of the expected short-term interest rates for years 1, 2, and 3 (r1, r2, and r3).

r3 = (r1 + r2 + r3)/3

Using the given spot interest rates, we can calculate the nominal interest rate for year 3:

r3 = (3.09% + 3.93% + 4.29%)/3 = 3.77%

Now we can use the Fisher formula to calculate the real interest rate for year 3:

real interest rate = nominal interest rate - expected inflation rate
real interest rate = 3.77% - 1.81%
real interest rate = 1.96%

Therefore, the real interest rate for year 3 is 1.96%. Note that this is a positive real rate, meaning that the nominal interest rate is higher than the expected inflation rate.

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b. Ali is interested in determining the productivity of his manufacturing company. He would like to know if his company is maintaining the manufacturing average of 3% increase in productivity. He has the following data representing January from last year and an equivalent month this year. Show the productivity percentage change for each item and then determine the improvement for labor-hours, the typical standard for comparison. Item January last Year January this Year ProductivityUnits produced 1000 1000 Labors (hours) 300 275 Resin (pounds) 50 45 Capital invested (USD) 10,000 11,000 Energy (BTU) 3,000 2,850

Answers

The productivity percentage change for each item is calculated by subtracting the number of the equivalent month last year from the number of the equivalent month this year and then dividing that result by the number of the equivalent month last year. The improvement for labor-hours is 8.3%.

The productivity percentage change for each item is calculated by subtracting the number of the equivalent month last year from the number of the equivalent month this year and then dividing that result by the number of the equivalent month last year.

For units produced: 1000-1000 / 1000 = 0%.

For labor (hours): 300-275 / 300 = 8.3%.

For resin (pounds): 50-45 / 50 = 10%.

For capital invested (USD): 10,000-11,000 / 10,000 = 10%

For energy (BTU): 3,000-2,850 / 3,000 = 5%.

The improvement for labor-hours is 8.3%.

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As a property developer, describe and defend any three critical
factors that contribute to the success and sustainability of your
firm.

Answers

As a property developer, there are three critical factors that contribute to the success and sustainability of your firm: proper planning, management and implementation of sustainable practices, and communication with stakeholders.

Proper planning is essential for success. This includes an understanding of the current market conditions, local regulations, and potential risks. This can help to inform the decisions that you make to ensure the success of the development.

Management and implementation of sustainable practices can have a large impact on the success and sustainability of your firm. This includes employing sustainable building practices, adhering to energy-efficiency standards, and actively participating in the local community.

Communication with stakeholders is also important. By engaging in conversations with local businesses, government officials, and community members, you can build relationships and garner support for your project.


Overall, the key to success and sustainability for a property development firm is proper planning, management and implementation of sustainable practices, and effective communication with stakeholders.

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Choose a public company and complete a valuation report for the company’s common stock. Your report should contain the following:
An analysis of the competitive situation of the company
An assessment of the cost of equity or weighted average cost of capital for the company
A valuation of the company based on one or more valuation methods used in the course.
A recommendation to buy, sell or hold the stock in question

Answers

To complete a valuation report for the company’s common stock, you should start by researching the company in question and its competitive situation.

This could involve researching the company’s products, competitors, market size, industry trends, etc. Once you have gathered the necessary information, you can assess the cost of equity or weighted average cost of capital for the company.

This involves considering the risks associated with the stock, the rate of return of similar stocks, and other related information.

After determining the cost of equity or weighted average cost of capital, you can use one or more of the valuation methods taught in the course, such as discounted cash flow analysis or price-to-earnings analysis, to value the company.

Once you have calculated the value of the company’s stock, you can make a recommendation to buy, sell, or hold the stock.

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Q5. Give numerical examples for Gross profit and retail Methods of Estimating ending Inventory ?
I want a clear and tidy solution. I don't want to write by hand.

Answers

Gross profit method of estimating ending inventory is calculated by subtracting the cost of goods sold from the total sales for the period. For example, if the total sales for a period is $2,500 and the cost of goods sold is $1,500, then the ending inventory for the period would be estimated at $1,000.

Retail method of estimating ending inventory is calculated by taking the cost of the beginning inventory and adding any purchases made during the period. For example, if the beginning inventory cost is $800 and the total purchases are $400, then the estimated ending inventory would be $1,200.

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17. Why do WHS statistics need to be reviewed and reported on?18. Discuss how the following are used when developing monitoring reports and making recommendations for change:• agendas for and minutes of meetings• committee members• consultation decisions and follow-up actions• consultation processes• diaries of meetings• WHS information provided to personnel• risk controls• safe work practices24. Identify three reasons there is a need for workplaces to establish and maintain records regarding risk assessments including risk control actions that have been implemented.25. Identify five examples of details that need to be maintained regarding WHS training plans developed by an organisation for their employees.26. List five examples of details that need to be maintained regarding WHS training undertaken by employees of an organisation.

Answers

17. It needs to be reviewed and reported on in order to identify trends

18. Agendas for and minutes of meetings provide a record of decisions taken, as well as information.

24. to control risk, provide evidences and to know workplace injuries.

25. purpose, the training method, the instructor and cost of training.

26. Name, course of training record of employee performance.

17. Workplace Health and Safety (WHS) statistics need to be reviewed and reported on in order to identify trends in workplace injuries, to evaluate the effectiveness of risk control measures, and to ensure compliance with legal requirements.

18. Agendas for and minutes of meetings provide a record of decisions taken, as well as information about consultation processes and WHS information that has been provided to personnel. Committee members can provide feedback on how well risk controls and safe work practices are being implemented. Diaries of meetings are used to provide an overview of consultation decisions and any follow-up actions that are needed.

24. There is a need for workplaces to establish and maintain records regarding risk assessments including risk control actions that have been implemented for: 1) monitoring and assessing the effectiveness of risk control measures, 2) to provide evidence of compliance with legal requirements, and 3) to identify trends in workplace injuries.

25. Examples of details that need to be maintained regarding WHS training plans developed by an organisation for their employees include: 1) the purpose of the training, 2) the training method (i.e. classroom, online, etc.), 3) the duration of the training, 4) the instructor or provider of the training, and 5) the cost of the training.

26. Examples of details that need to be maintained regarding WHS training undertaken by employees of an organization include: 1) the employee's name, 2) the date and time of the training, 3) the topic or course of the training, 4) the instructor or provider of the training, and 5) a record of the employee's performance in the training.

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Q1: Discuss three of the accounting principles.
Provide an example for each principle
Please i wants different answers the will

Answers

Accounting principles are the fundamental rules used to measure, classify, and report financial information. The three accounting principles are: The Going Concern Principle, The Accrual Principle, and The Cost Principle.


1) The Going Concern Principle - this states that a business is expected to continue operating for the foreseeable future. For example, businesses are expected to record assets and liabilities with the assumption that they will be collected or paid off over time rather than immediately.
2) The Accrual Principle - this states that income and expenses should be reported in the period in which they occur rather than when cash is received or paid. For example, a company would recognize the revenue from a sale in the period in which it was sold, not when the customer pays for the product.
3) The Cost Principle - this states that assets should be reported at the amount that was paid for them. For example, if a company purchased equipment for $1,000, it would be reported at that amount, not its estimated fair market value.

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In the short-run, a decrease in wage rates in an economy would
increase aggregate supply.
decrease aggregate supply.
cause a movement up the AS curve.
cause a movement down the AS curve.
not impact aggregate supply.

Answers

option A is the correct solution: a decrease in wage rates in an economy would increase aggregate supply.

Why it is?

In the short-run, a decrease in wage rates in an economy would increase aggregate supply. When wage rates decrease, the cost of production for firms decreases, making it more profitable for firms to produce goods and services.

This leads to an increase in the quantity of output supplied by firms, which in turn increases aggregate supply. The relationship between wage rates and aggregate supply is depicted by the upward sloping aggregate supply curve, which shows that a decrease in costs of production, including wages, leads to an increase in aggregate supply.

Therefore, option A is the correct answer: a decrease in wage rates in an economy would increase aggregate supply.

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Identify one internal information source and one external information source that can be used to identify sustainability improvements that a company could make. For each source, explain how this source can be used to develop the sustainability policy.

Answers

One internal information source that can be used to identify sustainability improvements that a company could make is the company's own internal data and metrics.

This can include things like energy usage, waste production, and carbon emissions. By analyzing this data, a company can identify areas where they can improve their sustainability practices and reduce their environmental impact.

For example, if a company notices that their energy usage is particularly high, they might consider implementing energy-saving measures like switching to LED lighting or investing in more energy-efficient equipment.

One external information source that can be used to identify sustainability improvements is industry reports and benchmarks. These reports can provide information on sustainability best practices within a specific industry, and can be used to compare a company's performance to that of their peers.

By reviewing these reports, a company can identify areas where they are falling behind in terms of sustainability and develop strategies to improve their performance. For example, if a company finds that they are producing more waste than their peers, they might consider implementing waste reduction measures like composting or recycling programs.

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How many super bowl rings are purchased and by whom?

Answers

Answer:

The NFL typically contributes anywhere from $5,000 to $7,000 per ring for up to 150 rings per team,

Explanation:

yea

The NFL typically contributes anywhere from $5,000 to $7,000 per ring for up to 150 rings per team.

The Super Bowl ring is an award awarded to the members of the winning team in the National Football League's(NFL) annual championship game, the Super Bowl.  Rings are also presented to the Super Bowl runner-up team.

Rings are also given to members of the AFC or NFC championship teams. The NFL also offers postseason pay to all players who have played at least three games on their team's active or inactive list; the playoff bonus money is distributed equally among starters, backups, and injured players within a team.

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I need help with this one, please.City Bank has estimated that its average daily net transaction accounts balance over the recent 14-day computation period was $231 million. The average daily balance with the Fed over the 14-day maintenance period was $8.5 million, and the average daily balance of vault cash over the two-week computation period was $6 million.EXAMPLE 13-2 Computation of Dany AvenuseRequired ReservesConsider ABC Bank s reserve manager who wants to assess thebanksa. Under the rules effective in 2016, what is the amount of average daily required reserves to be held at the Fed during the reserve maintenance period for these demand deposit balances?b. What is the average daily balance of reserves held by the bank over the maintenance period? By what amount were the average reserves held higher or lower than the required reserves?c. If the bank had transferred $35 million of its deposits every Friday over the two-week computation period to one of its off-shore facilities, what would be the revised average daily reserve requirement?A. Under the rules effective in 2016, what is the amount of average daily required reserves to be held at the Fed during the reserve maintenance period for these demand deposit balances? (Do not round intermediate calculations. Enter your answer in millions rounded to 3 decimal places. (e.g., 32.161))Average daily reserve required millionB. What is the average daily balance of reserves held by the bank over the maintenance period? By what amount were the average reserves held higher or lower than the required reserves? (Input the amount as a positive value. Enter your answers in millions rounded to 3 decimal places. (e.g., 32.161))Average daily balance of reserves held million The average reserves were Lower by million.C. If the bank had transferred $35 million of its deposits every Friday over the two-week computation period to one of its off-shore facilities, what would be the revised average daily reserve requirement? (Do not round intermediate calculations. Enter your answer in millions rounded to 3 decimal places. (e.g., 32.161))Revised average daily reserve requirements million

Answers

Using the reserve requirement ratio of 10%, the average daily required reserves to be held at the Fed during the reserve maintenance period for these demand deposit balances was $23.1 million.

However, the average daily balance of reserves held by the bank over the maintenance period was only $14.5 million, resulting in average reserves that were lower by $8.6 million. If the bank had transferred $35 million of its deposits every Friday over the two-week computation period to one of its off-shore facilities, the revised average daily reserve requirement would be $22.6 million.

A. The average daily required reserves can be calculated using the following formula:

Average daily required reserves = Average daily net transaction accounts balance × Reserve requirement ratio

The reserve requirement ratio for demand deposits (less than $18.5 million) was 10% in 2016. Therefore:

Average daily required reserves = $231 million × 0.1 = $23.1 million

So, the average daily required reserves to be held at the Fed during the reserve maintenance period for these demand deposit balances is $23.1 million.

B. The average daily balance of reserves held by the bank over the maintenance period can be calculated by adding the average daily balance with the Fed and the average daily balance of vault cash:

Average daily balance of reserves held = Average daily balance with the Fed + Average daily balance of vault cash

Average daily balance of reserves held = $8.5 million + $6 million = $14.5 million

The average reserves held were lower by:

$23.1 million - $14.5 million = $8.6 million

Therefore, the average reserves were lower by $8.6 million.

C. If the bank had transferred $35 million of its deposits every Friday over the two-week computation period to one of its off-shore facilities, the revised average daily net transaction accounts balance would be:

Revised average daily net transaction accounts balance = ($231 million × 14 days - $35 million × 2 Fridays) / 14 days

Revised average daily net transaction accounts balance = ($3.234 billion - $70 million) / 14 days

Revised average daily net transaction accounts balance = $3.164 billion / 14 days

Revised average daily net transaction accounts balance = $226 million

Using the same reserve requirement ratio of 10%, the revised average daily required reserves would be:

Revised average daily required reserves = $226 million × 0.1 = $22.6 million

So, the revised average daily reserve requirement would be $22.6 million.

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Can anyone help me with these two questions from my assignment?

1. How will an increase in GDP be sustainable? List two reasons.
2.Give two reasons why economic growth may diminish the quality of life of a nation’s people.

Answers

Answer:

1. Growth encourages investment, which supports sustainability. Economic growth boosts consumer demand, spending, and confidence, all essential components of a favourable investment environment—which the energy transition will require.

describe the IT solution implemented by the suncor
energy
Describe the techniques and systems that were
implemented as part of solving the IT challenges by suncor
energy.

Answers

Suncor Energy implemented a variety of IT solutions to address their IT challenges. These included implementing an enterprise resource planning (ERP) system, developing mobile applications, deploying cloud-based computing technologies, and strengthening their cyber security.

Additionally, they optimized their processes and invested in technologies to better monitor and manage their operations. They also focused on improving their customer experience through advanced analytics and implementing artificial intelligence (AI) and machine learning (ML) technologies.


Suncor Energy implemented several IT solutions to address their challenges. These include:

1. Cloud computing: Suncor Energy migrated their IT systems to the cloud, which allowed them to reduce costs and improve scalability.

2. Automation: Suncor Energy implemented automation tools to streamline their operations and reduce manual tasks.

3. Big data analytics: Suncor Energy used big data analytics to gain insights into their operations and make data-driven decisions.

4. Cybersecurity: Suncor Energy implemented cybersecurity measures to protect their IT systems and data from cyber threats.

5. Collaboration tools: Suncor Energy implemented collaboration tools to improve communication and collaboration among their employees.

These IT solutions helped Suncor Energy to improve their operations, reduce costs, and make better decisions.

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There are 5 women and 3 men applicants for a job.Only two out of eight are selected for a job.The probability that at least one of the selected person will be a women is:

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Answer:

The probability that at least one of the selected persons will be a woman is 15/28

Step by step Explanation:

To find the probability that at least one of the selected persons will be a woman, we can find the probability that both of the selected persons will be men, and then subtract that from 1.

The total number of ways to select two people from a group of 8 is:

C(8, 2) = 28

To select two men from a group of 3 men, we have:

C(3, 2) = 3

To select two people from a group of 5 women, we have:

C(5, 2) = 10

So the total number of ways to select two people with no women is:

C(3, 2) × C(5, 0) = 3 × 1 = 3

Or

C(3, 0) × C(5, 2) = 1 × 10 = 10

Therefore, the probability that both of the selected persons will be men is:

(3 + 10)/28 = 13/28

The probability that at least one of the selected persons will be a woman is:

1 - 13/28 = 15/28

Therefore, the probability that at least one of the selected persons will be a woman is 15/28

Which of these should you consider while communicating in a diverse workplace?


Answers

Always try to learn about the history and culture of the people you meet. always pays close attention when others are speaking. Keep your thoughts and body active as you speak. Strive to overcome the linguistic barrier.

What is meant by diverse workplace?

Diversity refers to the range of parallels and distinctions that every employee brings to the workplace, including but not limited to factors such as language, national origin, race, color, disability, ethnicity, gender, age, religion, sexual orientation, gender identity, socioeconomic status, veteran status, and family structures.

A staff with a variety of backgrounds is better able to comprehend the needs of your consumers and develop solutions to meet those needs. The presence of diversity in the workplace will help boost employee morale and foster a drive to perform more effectively and efficiently.

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You have access to a savings account with an interest rate of
3.2%. What is the present value of $800 received in one year?

Answers

The present value of $800 received in one year when a savings account has an interest rate of 3.2% is $775.19.

The present value of $800 received in one year at an interest rate of 3.2% can be calculated using the formula PV = FV / (1 + r)^t, where PV is the present value, FV is the future value, r is the interest rate, and t is the time period in years.

Plugging in the given values, we get:

PV = 800 / (1 + 0.032)^1
PV = 800 / 1.032
PV = 775.19

Therefore, the present value of $800 received in one year at an interest rate of 3.2% is $775.19.

In order to calculate the present value, we used the formula PV = FV / (1 + r)^t and plugged in the given values for FV, r, and t. We then simplified the equation to find the present value.

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Investment X offers to pay you $3,400 per year for nine years, whereas Investment Y offers to pay you $5,200 per year for five years.
a. Which of these cash flow streams has the higher present value if the discount rate is 6%?
b. Which of these cash flow streams has the higher present value if the discount rate is 22%?

Answers

Investment X also has the higher present value when the discount rate is 22%.

To determine which investment has the higher present value, we need to use the formula for the present value of an annuity:

[tex]Present Value = Cash Flow * [(1 - (1 + Discount Rate)^{(-Number of Periods)}/Discount Rate][/tex]

a. For Investment X:

[tex]Present Value= $3,400 * [(1 - (1 + 0.06)^{-9}/0.06] = $23,865.23[/tex]

For Investment Y:

[tex]Present Value = $5,200 * [(1 - (1 + 0.06)^{-5}/0.06] = $22,143.84[/tex]

Therefore, Investment X has the higher present value when the discount rate is 6%.

b. For Investment X:

[tex]Present Value = $3,400 * [(1 - (1 + 0.22)^{-9})/0.22] = $16,876.66[/tex]

For Investment Y:

[tex]Present Value = $5,200 * [(1 - (1 + 0.22)^{-5}/0.22] = $15,583.51[/tex]

Therefore, Investment X also has the higher present value when the discount rate is 22%.

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Imagine the market for Good X has a demand function of Qdx = 200 – 2Px – Py +. 1M and a supply function of Qsx = 2Px – 2Pw, where Px is the price of Good X, Py is the price of Good Y, and M is the average consumer income. Pw is the price of Good W, which is an input to the production of Good X.
If Py = 10, Pw = 50, M = $2700, what's the price of X in equilibrium?​

Answers

At equilibrium, demand equals supply. The equilibrium price of Good X is $20.Therfore the price is $20.

In terms of economics, equilibrium is a situation in which a good or service's supply and demand are balanced, resulting in a stable market price. Market equilibrium happens when the quantity that consumers desire and the quantity that producers supply are equal. Changes in supply or demand can upset the market's equilibrium, which can cause fluctuations in the market's pricing.
At equilibrium, demand equals supply, so
Qdx = Qsx
200 – 2Px – Py + 1M = 2Px – 2Pw
Px = (200 + 2Py – 1M + 2Pw)/4
Px = (200 + 2(10) – 2700 + 2(50))/4
Px = $20.
Therefore, the equilibrium price of Good X is $20.

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You are planning to start your new online business in Malaysia (select any business of your choice). Briefly discuss the relative influence of Porter’s FIVE (5) forces model on your business. You are required to discuss each factor in both theoretical and application point of view.
(Total 20 marks)

Answers

Porter's Five Forces Model is a useful tool for analyzing the competitive forces that influence a business. These forces include the threat of new entrants, the bargaining power of suppliers, the bargaining power of buyers, the threat of substitute products or services, and the intensity of competitive rivalry.


1. Threat of new entrants: The threat of new entrants in the e-commerce industry is relatively high due to the low barriers to entry. However, my business has a unique selling proposition in that it focuses on handmade crafts from local artisans in Malaysia. This niche market may help to mitigate the threat of new entrants.

2. Bargaining power of suppliers: The bargaining power of suppliers is relatively low in my business, as there are a large number of artisans and crafters in Malaysia who are looking for an online platform to sell their products. This gives my business the ability to negotiate favorable terms with suppliers.

3. Bargaining power of buyers: The bargaining power of buyers is also relatively low in my business, as there are a limited number of online platforms that specialize in handmade crafts from Malaysia. This gives my business the ability to set prices and terms that are favorable to us.

4. Threat of substitute products or services: The threat of substitute products or services is relatively low in my business, as there are few online platforms that specialize in handmade crafts from Malaysia. This gives my business a competitive advantage and helps to mitigate the threat of substitutes.

5. Intensity of competitive rivalry: The intensity of competitive rivalry is relatively high in the e-commerce industry, as there are a large number of online platforms competing for customers. However, my business has a unique selling proposition in that it focuses on handmade crafts from local artisans in Malaysia. This may help to mitigate the intensity of competitive rivalry.

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Please help me write an Evaluation in at least 150 words minimum.

To evaluate your decision, play "devil's advocate." Think of some objections or arguments someone could make against your decision. List three potential objections to your decision, and then write a defense against each objection. Each defense should be based upon an ethical theory and/or logic.
For example, if you determined that the most ethical decision is for Jack to report Jill's stealing to the boss, one objection might be, If Jack informs his boss, Jill might retaliate against him. A defense against that objection could be, Jack believes reporting misconduct is his moral duty, and, therefore, overrides any concern of possible retaliation. (Kantian Ethics)

Objection 1 -
For example, If Jack informs his boss, Jill might retaliate against him.
Defense -
For example, Jack believes reporting misconduct is his moral duty, and, therefore, overrides any concern of possible retaliation. (Kantian Ethics)

NOTES:
• Most ethical resolution for Anthony is to report Mario's action to his supervisor or the peloni family.
• This decision is morally justified because it upholds the responsibility of employees to follow company policies and ensure the grocery store maintains its integrity and ethical standards.
• The peloni family implemented the policy against giving free samples for a reason, and disregarding this policy could potentially harm the business by diminishing the value of the products and potentially creating a negative customer experience.

Answers

Answer:

Objection 1 -

Anthony may be seen as a snitch or traitor by his co-worker, Mario, and other employees, causing a breakdown in trust and a negative work environment.

Defense -

According to the Virtue Ethics theory, a virtuous person would prioritize honesty and integrity over maintaining social relationships. Anthony's decision to report Mario's actions is not motivated by personal gain or ill-will, but rather by his duty to uphold the ethical standards of the grocery store. By reporting Mario, Anthony is demonstrating the virtue of honesty, which ultimately benefits the overall well-being of the store and its customers.

Objection 2 -

Anthony may be afraid of potential retaliation from Mario or other employees, which could put him in a vulnerable or unsafe position.

Defense -

The Social Contract Theory suggests that individuals in a society agree to follow certain rules and regulations in exchange for protection and security from the state or authority. In this case, Anthony has a responsibility to follow the policies set by the grocery store, and in return, he can expect protection and support from his supervisors or the Peloni family. If Anthony feels unsafe or threatened, he should report this to his superiors, who have a duty to ensure a safe and respectful work environment for all employees.

Objection 3 -

Anthony may feel guilty for potentially causing harm to Mario's employment or reputation by reporting him.

Defense -

The Consequentialist theory argues that an action should be evaluated based on its consequences, and the ethical decision is one that results in the greatest overall good. While Anthony's decision to report Mario may cause harm to his reputation or employment, it ultimately upholds the ethical standards of the grocery store and ensures a fair and just work environment for all employees. Additionally, by reporting Mario's actions, Anthony is preventing potential harm to the business and its customers, which could have more significant consequences in the long run. Therefore, the overall good resulting from Anthony's decision to report Mario outweighs any harm caused to Mario's reputation or employment.

Explanation:

According to never eat alone, ferrazzi suggests that you need equal parts of what in order to create a successful mentorship?

Answers

According to Ferrazzi in Never Eat Alone, successful mentorship requires equal parts trust, and generosity.

Giving without expecting anything in return is what it means to be generous. A successful mentoring relationship, according to Ferrazzi, is built on a foundation of generosity, where the mentor freely shares their contacts, knowledge, and experience with the mentee in order to help them achieve their goals.

Healthy relationships are based on the ability to establish and uphold trust in both professional and personal contexts. Ferrazzi contends that trust is the cornerstone of all successful interactions, including mentorship.

Therefore Ferrazzi in Never Eat Alone says to create successful mentorship you need equal parts of trust and generosity.

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Using fundamental analysis, which of the two RMBS tranches is the riskier option? Ensure you derive and explain all the metrics. Profuse RMBS Nitrex RMBS Proportion of Interest Only Loans 35% 40% Proportion of P&I Loans – – CPR 20% 18.5% SMMR – – WAL 5.5 Years 7.5 Years Overcollateralisation 1.5x 0.5x LvR – – Arrears (90+ days) 0.75% 1.25% Owner-occupied Loans 65% 35% Investment Loans – –

Answers

The riskier option between the two RMBS tranches is the Nitrex RMBS.

This can be determined by analyzing the metrics provided and comparing them between the two tranches.

The proportion of interest-only loans is higher in the Nitrex RMBS, which means there is a higher risk of default as borrowers may not be able to afford the principal payments once the interest-only period ends.

The CPR, or conditional prepayment rate, is lower in the Nitrex RMBS, which means there is a lower likelihood of borrowers paying off their loans early and reducing the risk of default.

The WAL, or weighted average life, is longer in the Nitrex RMBS, which means there is a longer period of time for potential defaults to occur.

The overcollateralisation is lower in the Nitrex RMBS, which means there is less protection for investors in the event of defaults.

The proportion of owner-occupied loans is lower in the Nitrex RMBS, which means there is a higher risk of default as investment properties are generally considered riskier than owner-occupied properties.

Finally, the arrears rate is higher in the Nitrex RMBS, which indicates a higher likelihood of defaults.

Overall, the Nitrex RMBS has a higher level of risk based on the metrics provided.

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