if a bank has a capital to asset ratio of 0.1 and a return on equity of 10%, what is its return on assets?

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Answer 1

If a bank has a capital to asset ratio of 0.1 and a return on equity of 10%, its return on assets will be 1%.

Return on assets (ROA) = Net Income / Total Assets. The capital to asset ratio is the total capital to total assets ratio, and it represents the amount of leverage used by a bank. A lower capital-to-asset ratio is desirable since it allows for a greater amount of asset investments. A return on equity (ROE) is the amount of net income generated by a business, divided by its shareholder equity.

ROE provides a measure of a company's profitability based on its shareholder's capital contribution. Return on equity (ROE) = Net Income / Shareholders Equity. We can calculate the return on assets (ROA).

ROE = Net Income / Shareholders Equity

10% = Net Income / Shareholders Equity (Equation 1)

ROA = Net Income / Total Assets

We need to calculate Net Income and Total Assets: Total Assets = Shareholders Equity / Capital to Asset Ratio

= Shareholders Equity / 0.1 (Equation 2)

Net Income = ROE * Shareholders Equity= 0.1 * Shareholders Equity (from Equation 1)

We can replace Net Income and Total Assets in (Equation 3)

ROA = Net Income / Total Assets= 0.1 * Shareholders Equity / Shareholders Equity / 0.1= 0.1 / 0.1= 1%

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benefits of erp systems include all of the following except:multiple choice more informed business decisions.improved customer service.fewer data entry errors.easy implementation.

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The benefits of ERP systems include more informed business decisions, improved customer service, and fewer data entry errors except easy implementation.


Enterprise resource planning (ERP) systems have numerous benefits that help companies to manage business operations and processes efficiently. The advantages of ERP systems are as follows:

Improved business decisions - ERP systems gather all the data in one place, making it easy for executives to make data-driven decisions.

Improved customer service - The implementation of an ERP system allows for a single database, which enables customer service staff to easily and quickly access relevant customer data

.Fewer data entry errors - As all the data is entered once and stored in a single database, there is no need to enter data multiple times, reducing the chance of errors.

Easy implementation - ERP systems are usually designed to be user-friendly and come with all the necessary support for successful implementation. However, the exception here is that ERP systems are not easy to implement, they can be time-consuming and expensive. Therefore, the correct answer is easy implementation.

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Type the correct answer in the box. Spell all words correctly.
Monica and her team have implemented IS successfully in an organization. What factor leads to successful IS implementation?
Good
between different departments in an organization leads to successful IS implementation.

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Monica and her team have implemented IS successfully in an organization. A factor that leads to successful IS implementation is good is collaboration between different departments in an organization.

What does collaboration improve IS implementation?

Effective collaboration and communication between different departments within an organization can help ensure that everyone is on the same page and working towards the same goals when implementing an IS.

This can help prevent misunderstandings or conflicts that could slow down or derail the implementation process. Additionally, good communication and collaboration can help ensure that everyone has a clear understanding of their roles and responsibilities, which is critical for a successful implementation. Overall, effective communication and collaboration are important factors that can contribute to the success of IS implementation in an organization.

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the elements of a decision problem are: i. the values of the stakeholder in the decision. ii. the number of stakeholders in the decision. iii. the stakeholder demographics (age, education, socioeconomic status, etc.). iv. the objectives of the stakeholders in the decision

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A decision problem involves a set of stakeholders, each with different values, objectives and demographics. The values of the stakeholders in the decision are a key factor in determining the outcome of the decision. The number of stakeholders in the decision can also influence the outcome, as it can determine the level of consensus among the stakeholders.

The stakeholder demographics are also important, as different demographics may lead to different objectives or values. All of these elements are important to consider when making a decision as they can determine the success or failure of the decision. Understanding the values, objectives and demographics of the stakeholders involved in the decision is essential to making the right decision.

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based on the descriptio that follows, how many potential insider threats indicator(s) are displayed? a college abruptly becomes hostile and unpleasant after previously enjoying positive working relationships

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Based on the description that follows, there is one potential insider threats indicator that is displayed.

What is an Insider Threat?

An insider threat is a cybersecurity threat that comes from within an organization. An insider is someone who is already trusted by the organization, such as an employee, contractor, or business partner.

What are the potential indicators of insider threats?

An abrupt change in attitude and behavior towards colleagues or the organization is one of the potential indicators of an insider threat. This can be seen in the question's example: "a college abruptly becomes hostile and unpleasant after previously enjoying positive working relationships." It is an indication that something has changed, and an investigation is required to determine if the change is due to a potential insider threat.

How to avoid insider threats?

Here are a few tips for avoiding insider threats:

Use data loss prevention software.Ensure that your organization's cybersecurity policies are up to date.Perform background checks on new hires regularly.Monitor your employees' activities.Be ready to quickly remove or restrict access to assets from a staff member who is leaving.Conduct regular security awareness training for your employees.

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aquistition of a foreign company creation of new manufacturing or research faciklities abroad and expansion of an existing plant in a foriegn country are all examples of quizket

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The acquisition of a foreign company, creation of new manufacturing or research facilities abroad, and expansion of an existing plant in a foreign country are all examples of foreign direct investment (FDI).

What is Foreign Direct Investment?

Foreign direct investment (FDI) is a strategy employed by businesses to expand into global markets.

It is defined as the investment made by a business into a company located in a foreign country, which provides the investor with a degree of influence over the management and operation of the foreign enterprise.

Foreign direct investment is a significant source of financing for developing countries, as it aids in the development of the infrastructure required for economic growth. It can also benefit multinational companies by providing them with access to new markets, resources, and technology.

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how do human resources professionals provide an organization with a sustainable competitive advantage? they manage commonly available resources. they help the organization do what competitors are doing. they keep the organization focused on the short term. they hire high-quality employees who provide a needed service as they perform many critical functions.

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Human Resource professionals provide an organization with a sustainable competitive advantage by hiring high-quality employees who provide a needed service as they perform many critical functions. The correct option is D.

The HR takes care of the company’s valuable asset; that is employees.

HR professionals make sure that employee has everything they want  to perform the job and they’re also responsible for making a healthy work environment that suits and retains qualified individual.

The Human resource management (HRM) is critical in developing a sustainable competitive advantage for an organization. HRM is essential in aligning human resources with the organization's strategic goals, and it contributes to the organization's success in attaining those goals.

HRM entails the management of human resources to improve organizational performance by creating policies, processes, and systems to engage employees in the pursuit of organizational objectives.

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perform the first-stage allocation of costs to the activity cost pools. 2. compute the activity rates for the activity cost pools. 3. using the activity rates you have computed, determine the total cost and the average cost per thousand square feet of each of the following jobs according to the activity-based costing system. a. a routine 1,000-square-foot asbestos removal job. b. a routine 2,000-square-foot asbestos removal job. c. a nonroutine 2,000-square-foot asbestos removal job.

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The first step in activity-based costing is to allocate costs to activity cost pools. These activity cost pools are specific to the type of activity being done.

For example, if asbestos removal is the activity being done, then the cost pool could include labor costs, equipment costs, and other costs associated with asbestos removal. After the costs have been allocated to the activity cost pools, the second step is to compute activity rates for each activity cost pool. This rate can be calculated by dividing the total cost allocated to a cost pool by the total activity associated with that cost pool. Once the activity rates have been calculated, the next step is to use the activity rates to determine the total cost and the average cost per thousand square feet of each job. For the asbestos removal jobs listed in the question, the total cost of each job would be the sum of the costs of the activities associated with the job multiplied by the activity rate.

For example, the total cost of a routine 1,000-square-foot asbestos removal job would be the sum of the labor costs, equipment costs, and other costs associated with asbestos removal multiplied by the activity rate for each cost pool. The average cost per thousand square feet of each job would then be the total cost divided by the number of square feet in the job. For example, the average cost per thousand square feet of a routine 1,000-square-foot asbestos removal job would be the total cost of the job divided by 1,000.

In summary, activity-based costing can be used to determine the total cost and the average cost per thousand square feet of a job by allocating costs to activity cost pools, calculating activity rates, and then multiplying the cost of each activity by the associated activity rate.

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from 1975 to 1995, the value of the dollar in terms of yen fell from over 300 yen per dollar to about 100 yen per dollar. considering the impact of this alone, this would likely:

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From 1975 to 1995, the dollar's value in terms of yen fell from over 300 yen per dollar to about 100 yen per dollar. Considering the impact of this alone, this would likely affect US exports and cause US imports to increase.

What is the impact of a decline in the value of a currency?

A reduction in the value of a currency lowers the prices of goods and services. When the currency value falls, purchasing foreign goods and services takes more domestic currency. This indicates that foreign goods and services become more expensive to purchase, while domestic products become less expensive to purchase by foreigners.

Therefore, when the dollar declines in value compared to the yen, it implies that it now takes more dollars to purchase goods and services from Japan.

What is the relationship between a currency’s value and international trade?

A decrease in the value of a country's currency tends to benefit its exporters and damage its importers. A decline in the value of the US dollar increases the price of imported goods, making them more expensive. This causes US imports to decline and US exports to increase.

When the dollar's value declines, US products become more appealing to foreigners, increasing exports. As a result, if the dollar value falls in terms of yen, it indicates that US exports will be impacted and US imports will rise. Therefore, the correct choice is to affect US exports and cause US imports to increase.

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lori simpson is thinking about purchasing some life insurance. she goes to a company that is owned by the policyholders. what type of life insurance company has she gone to?

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If Lori Simpson visits a mutual life insurance firm, which is owned by the policyholders, she has done so. Since policyholders own mutual insurance businesses, they have voting rights and are eligible to receive dividends.

A sort of insurance firm owned by its clients is a mutual life insurance company. As a result, policyholders can participate in corporate decision-making and be eligible to collect dividends from the firm's earnings. Due to the fact that policyholders of mutual life insurance firms are also the company's owners, these companies are renowned for their customer-centric strategies. This frequently leads to an emphasis on establishing long-term connections with clients and a dedication to offering high-quality goods and services. Any corporate profits in a mutual life insurance company are normally paid out as dividends to policyholders or used to bolster the company's financial standing. In comparison to insurance businesses that are publicly traded, this may lead to lower premiums and more policyholder benefits.

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in the market for gasoline, more consumers will begin driving at the onset of nicer weather, while the price of public transportation, a substitute, rises. the demand for gasoline should: a. shift left. b. shift right. c. stay the same since the effects will cancel each other out. d. stay the same since demand is not affected by price changes.

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The demand for gasoline should shift right when the nicer weather causes more consumers to drive and the price of public transportation, a substitute, rises. The correct answer is option b


When the demand for a good or service increases, the demand curve for that good or service will shift to the right, representing the increased quantity of the good or service that consumers are willing to purchase at each price point.

This shift in the demand curve is caused by the change in the preferences of the consumers or, in this case, the increased demand for gasoline due to the increase in the price of public transportation.


Therefore, the demand for gasoline should shift right in the market for gasoline when more consumers begin driving due to nicer weather and the price of public transportation, a substitute, rises. Therefore correct answer is option b

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if a firm is making zero economic profit, it group of answer choices will be forced to shutdown and leave the market. will also generally be making zero accounting profit. is doing as well as typical firms in other markets. will not survive in the long run.

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Competing firms whose total expenses are covered by their total revenue end up making zero economic profit.However, zero accounting profit means that a business is running at a loss.

When economic profit is zero,a firm earns the same as if its resources were spent on the next best.If the economic profit is negative, firms have an incentive to exit the market because their resources would be more profitable elsewhere.When economic profits are zero, the firm earns normal profits, where normal profits equal the return that a firm could have earned if it had invested in other markets. If economic profits are greater than zero,the company earns above normal profits. When the business makes zero economic profit, the total revenue earned exactly compensates the business owners for the time and money spent helping them stay in business.Thus,the owner would stay in business while making an accounting profit but still make zero economic profit.

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structural unemployment: group of answer choices may involve a locational mismatch between unemployed workers and job openings. is also known as frictional unemployment. is the main component of cyclical unemployment. is said to occur when people are waiting to be called back to previous jobs.

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Structural unemployment is the group of unemployed people whose skills are no longer in demand in the current labor market, leading to a locational mismatch between them and job openings.

This type of unemployment is also known as frictional unemployment, as it is caused by a lack of proper matching between supply and demand. It is the main component of cyclical unemployment, which occurs when people are waiting to be called back to previous jobs.

Structural unemployment can be difficult to address, as it requires interventions in the labor market, such as job training, wage subsidies, or wage insurance, to help those affected find a job.

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suppose that over a period of years potato-land switched from being a service-based economy to an agriculturally-based economy. as a result, many people lost jobs because they lacked the necessary skills for farming. as they search for new jobs, these individuals are best described as

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Imagine if the economy of potato-land shifted over a number of years from one centred on services to one based on agriculture. As a result, a large number of people lost their jobs due to a lack of farming-related skills. These people are better referred to as displaced workers while they look for new jobs

Who is displaced workers?

A displaced worker is someone who has lost their job because their employer has closed their business or reduced its operations. The skills and abilities of displaced workers are no longer required because of job changes or economic conditions in the place they live. The individual has to move from their residence or retrain for a new job.Displaced workers are people who have lost their jobs, and this loss has resulted in a change in their economic status. Their new status as unemployed people may impact their personal life and mental health. Displaced workers' search for jobs may require additional resources, including money and effort. For some displaced workers, the difficulty of obtaining new employment may result in long-term unemployment, which can lead to further economic and social problems.

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Suppose that over a period of years potato-land switched from being a service-based economy to an agriculturally-based economy. As a result, many people lost jobs because they lacked the necessary skills for farming. As they search for new jobs, these individuals are best described as unemployed.

Overview Potatoes are the staple food of many regions in the world. The population in these regions has grown. In the past, service-based economies that focused on trading and exchanging goods and services were prevalent. However, over time, the economy switched to agriculture-based, with potatoes being the primary crop.

Many people lost their jobs because they lacked the necessary skills for farming. These people now search for jobs in other fields. Agriculture-based economy Agriculture has always been an important part of the global economy. For several reasons, countries with a strong agricultural base were more prosperous than those without one.

The ability to produce food locally reduces dependency on other countries and makes a country more self-sufficient. The importance of farming cannot be overstated because it provides food, clothing, and jobs for a significant portion of the population.

Necessary farming skills The agricultural sector in many countries is in dire need of skilled labor. Unfortunately, the people who lost their jobs during the transition from a service-based economy to an agriculture-based economy were unable to obtain the necessary farming skills. They are now searching for work in other fields.

Conclusion Many people have lost their jobs because of the transition from a service-based economy to an agriculture-based economy. They are best described as unemployed. As they search for new jobs, it is hoped that they will find work in other sectors that are not as reliant on agricultural skills.

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what does a two-tiered board of directors refer to? 1. in addition to the management board, a company is also required to have a supervisory board 2. the management board is divided into two groups: junior and senior directors 3. the board of directors is composed solely of outsiders.

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A two-tiered board of directors refers to levels of decision-making: management board and supervisory board. The management board is composed of members who have operational responsibility for company, while supervisory board is composed of members having oversight role.

In some cases, the management board may be further divided into two groups: junior directors, who typically have specific roles, and senior directors, who are responsible for overall company strategy and performance.

Additionally, the supervisory board may be composed solely of outsiders, who are typically elected by shareholders and act independently from the management board.

This two-tiered board structure allows for a more balanced approach to corporate governance and better oversight of management.

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Which function calculates the total amount of interest paid over a specific number of payments?
CUMPMT
IPMT
CUMIPMT
PMT

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The function that calculates the total amount of interest paid over a specific number of payments is the CUMIPMT function. The "CUMIPMT" function is an Excel financial function that returns the cumulative interest paid on a loan or investment over a specified number of payment periods.

It takes five arguments: Rate, Nper, Pv, Start_period, and End_period. The rate of interest is given as a percentage per period, and the total number of payments is given as the number of periods. The present value is the initial amount of the loan, investment, or deposit. The start_period is the first period for which interest is to be calculated, and the end_period is the last period for which interest is to be calculated.
The syntax for CUMIPMT function:
CUMIPMT (rate, per, pv, start_period, end_period, type)
Where:
Rate: The interest rate per period
Nper: The total number of payment periods in an annuity.
Pv: The present value or the lump sum amount that a series of future payments is worth right now.
Start_period: The starting period number for which interest is to be calculated.
End_period: The ending period number for which interest is to be calculated.
Type: The number 0 or 1 indicates when payments are due.
0 = At the end of the period
1 = At the beginning of the period
Therefore, the answer is CUMIPMT.

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CUMIPMT function calculates the total amount of interest paid over a specific number of payments.

CUMIPMT function:

This function calculates the cumulative interest paid on a loan between any two payment periods. The cumulative interest paid on a loan is the total amount of interest paid over a specific number of payments.

It is frequently used in financial analysis because it can help users predict the future value of a loan.

The syntax for the CUMIPMT function is:

CUMIPMT(rate, nper, pv, start_period, end_period, type)

where,

rate: the interest rate per period.

nper: the total number of payment periods.

pv: the loan principal.

start_period: the first payment period for which the interest is to be calculated.

end_period: the last payment period for which the interest is to be calculated.

type: specifies when payments are due. It can be either 0 or 1, where 0 is for payments due at the end of each period, and 1 is for payments due at the beginning of each period.

Thus, the correct answer is CUMIPMT.

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a corporconsider the following three bond quotes: a treasury bond quoted at 105.4688, a corporate bond quoted at 96.20, and a municipal bond quoted at 100.60. if the treasury and corporate bonds have a par value of $1,000 and the municipal bond has a par value of $5,000, what is the price of these three bonds in dollars? (do not round intermediate calculations and round your final answers to 2 decimal places.)ate bond has a current yield of 6.39 percent and a price quote of 97.8. what is the coupon rate?

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The price of the three bonds in dollars is Treasury bond $1054.69, Corporate bond $962, and Municipal bond $5030. The bond prices are obtained by multiplying the bond quote by the par value. The bond quotes are already in decimals. The corporate and Treasury bonds have a par value of $1000, while the municipal bond has a par value of $5000.

Therefore, the price of the Treasury bond = 105.4688 × $1000 = $1054.69, the price of the Corporate bond = 96.20 × $1000 = $962, and the price of the Municipal bond = 100.60 × $5000 = $5030. Therefore, the price of these three bonds in dollars are Treasury bond $1054.69, Corporate bond $962, and Municipal bond $5030. To find the coupon rate, we use the formula for current yield:

Current Yield = Coupon Payment / Bond Price × 100

Since we know the bond price and current yield, we can calculate the coupon payment. The bond's current yield is 6.39%. Therefore,

Current Yield = 6.39% = Coupon Payment / 97.8 × 100

Coupon Payment = (6.39/100) × 97.8 = $6.24

Coupon payment is $6.24.

Therefore, the coupon rate isCoupon Rate = Coupon Payment / Par Value × 100= $6.24 / $100 × 100= 6.24%Thus, the coupon rate is 6.24%.

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which of the following factors of a product tends to accelerate customer demand for it? group of answer choices high observability low trialability minimum relative advantage high complexity minimal value

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The factor of a product that tends to accelerate customer demand for it is "high relative advantage," which refers to the degree to which a product is perceived as superior to its alternatives.

When a product has a high relative advantage, it means that customers see it as providing significant benefits compared to other products in the market. This perception of superiority can help to accelerate demand for the product, as customers are more likely to want to try it and recommend it to others.

Factors such as observability and trialability can also influence demand, but high relative advantage is generally considered the most important factor in driving customer demand.

In addition to offering a superior product, companies can also promote customer demand by effectively communicating the product's advantages through marketing and advertising campaigns. This can help customers understand why it is a better choice than other products in the market.

Therefore, when creating and promoting a product, companies should focus on highlighting its relative advantages in order to accelerate customer demand.

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legends corporation owns and operates two manufacturing facilities, one in state a and the other in state b. due to a temporary decline in sales, legends has rented 25% of its state a facility to an unaffiliated corporation. legends generated $464,800 net rent income and $3,253,600 income from manufacturing. both states classify the rent income as allocable (nonapportionable) income. by applying the statutes of each state, legends determines that its apportionment factors are 70% for state a and 30% for state b. how much income is subject to tax in:

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a) The amount of income that is subject to tax in State A is $3,543,844. b) The amount of income that is subject to tax in State B is $2,057,384.

The tax liability in the states is calculated based on the following formula:

Income subject to taxation = Total income × Apportionment factor.

The net rent income is categorized as allocable (non-apportionable) revenue in both states because it is not part of the business operations. As a result, $464,800 of rent is split 70 percent and 30 percent between States A and B, respectively.

The rent income apportionment is:

State A = 70% × $464,800 = $325,360

State B = 30% × $464,800 = $139,440

Legends' manufacturing income is classified as apportionable income. As a result, Legends needs to calculate its manufacturing income for both states. The manufacturing income apportionment is:

State A = 70% × $3,253,600 = $2,277,520

State B = 30% × $3,253,600 = $975,080

In state A, the taxable income is the sum of the rent income and manufacturing income:

$325,360 + $2,277,520 = $2,602,880.

Applying the apportionment factor of State A (70%), the taxable income in State A is:

$2,602,880 × 70% = $1,821,016.

Subtracting the taxable income of State A from the total taxable income gives us the taxable income of State B: $3,878,400 - $1,821,016 = $2,057,384.

State B's taxable income is $2,057,384.

In state B, the taxable income is the sum of the rent income and manufacturing income:

$139,440 + $975,080 = $1,114,520.

Applying the apportionment factor of State B (30%), the taxable income in State B is:

$1,114,520 × 30% = $334,556.

Subtracting State B's taxable income from the total taxable income gives us State A's taxable income:

$3,878,400 - $334,556 = $3,543,844.

State A's taxable income is $3,543,844.

Note: The question is incomplete. The complete question probably is: Legends corporation owns and operates two manufacturing facilities, one in state A and the other in state B. due to a temporary decline in sales, Legends has rented 25% of its state a facility to an unaffiliated corporation. Legends generated $464,800 net rent income and $3,253,600 income from manufacturing. Both states classify the rent income as allocable (nonapportionable) income. By applying the statutes of each state, Legends determines that its apportionment factors are 70% for state A and 30% for state B. How much income is subject to tax in: a) State A b) State B.

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a country has a total civilian population (over age 16) of 300 million. of this population, 225 million are employed, 25 million are unemployed, and the remainder of the population is not in the labor force. then, the unemployment rate is

Answers

The unemployment rate in this country is 10%.

The unemployment rate can be calculated by dividing the number of unemployed individuals by the total labor force, which is the sum of employed and unemployed individuals.

To find out the unemployment rate, let's use the information provided in the question.

A country has a total civilian population (over age 16) of 300 million. Of this population, 225 million are employed, 25 million are unemployed, and the remainder of the population is not in the labor force.

To calculate the unemployment rate, we need to add the number of employed and unemployed individuals.

225 million + 25 million = 250 million

This means that the total labor force is 250 million people.

Now we can calculate the unemployment rate by dividing the number of unemployed individuals by the total labor force.25 million / 250 million = 0.1 or 10%

Therefore, the unemployment rate in this country is 10%.

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you are borrowing money today at 9 percent, compounded annually. you will repay the principal plus all the interest in one lump sum of $13,557 two years from today. how much are you borrowing?

Answers

You are borrowing $6,723.73 today at 9 percent, compounded annually.

Given that you are borrowing money today at 9% compounded annually and you will repay the principal plus all the interest in one lump sum of $13,557 two years from today. We need to find out how much you are borrowing.

To calculate the amount you are borrowing, we use the formula; A=P(1 + r/n)nt where A is the total amount, P is the principal, r is the interest rate, n is the number of times interest is compounded per year, and t is the time in years.

To find out the principal amount, we rearrange the above formula as follows; P=A / (1 + r/n)nt Where P is the principal amount, A is the total amount, r is the interest rate, n is the number of times interest is compounded per year, and t is the time in years. According to the question; Interest rate, r = 9% Time, t = 2 years Total amount, A = $13,557 Number of times interest is compounded per year, n = 1 Substituting the values in the formula, we get; P = $13,557 / (1 + 0.09/1)¹⁰= $6,723.73

Therefore, you are borrowing $6,723.73.

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If imports.______then the economy is said to have a trade deficit. A. precede exports. B. follow exports. C. equal exports. D. exceed export

Answers

D : exceed export is the

How the government can use restrictive measures to dampen a heated economy

Answers

by Increasing interest rates, Reducing government spending, Increasing taxes, Tightening monetary policy and Implementing trade barriers the government can use restrictive measures to dampen a heated economy.

Increasing interest rates: The central bank can increase interest rates to make borrowing more expensive, thereby reducing the amount of money available for spending and investment.

Reducing government spending: The government can reduce its spending to reduce the amount of money circulating in the economy.

Increasing taxes: The government can increase taxes to reduce disposable income and discourage spending.

Tightening monetary policy: The central bank can tighten monetary policy by reducing the amount of money in circulation or increasing reserve requirements for banks.

Implementing trade barriers: The government can implement trade barriers to reduce imports and increase domestic production, which can help reduce demand and inflation.

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item 20 a project has the following projected outcomes in dollars: $250, $350, and $500. the probabilities of their outcomes are 25%, 50%, and 25%, respectively. what is the expected value of these outcomes?

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The expected value of these outcomes is $350. This is calculated by multiplying the value of each outcome by its respective probability and then summing the results.

The expected value of a project's outcomes is the predicted value that would be obtained if the project were repeated multiple times under similar conditions. It is a statistical measure that takes into account both the potential values and the likelihoods of those values occurring.

To calculate the expected value, we multiply each outcome by its probability and sum the products. The calculation is as follows:

Expected value = (0.25 x $250) + (0.50 x $350) + (0.25 x $500)Expected value = $62.50 + $175 + $125Expected value = $350

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ou have just received notification that you have won the $2 million first prize in the centennial lottery. however, the prize will be awarded on your 100th birthday (assuming you're around to collect), 80 years from now. what is the present value of your windfall if the appropriate discount rate is 9.1 percent?

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The present value of the windfall is $174,791.03 if the discount rate is 9.1%.

Given data: Prize = $2 million Discount rate = 9.1%Time = 80 years (the prize will be awarded on your 100th birthday)

The present value of windfall in the lottery at a discount rate of 9.1% is approximately $174,791.03.Present value of windfall formula:

The present value of the future cash flows can be calculated by using the following formula:

PV = FV / (1 + r) t Where PV = Present Value FV = Future Value R = Rate T = Time

To calculate the present value of the windfall, we need to use the above formula as below:

PV = $2,000,000 / (1 + 0.091) 80PV = $2,000,000 / (1.091) 80PV = $174,791.03 (rounded to the nearest cent)

Therefore, the present value of the windfall is $174,791.03 if the discount rate is 9.1%.

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vickie just bought a 5.5% annual coupon bond that will mature in 15 years for $940. assume the par value is $1,000. what is the yield-to-maturity of this bond?

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The yield-to-maturity (YTM) of Vickie's 5.5% coupon bond is 4.96%.

The YTM is the return on a bond if it is held to maturity, taking into account the current market price, par value, coupon rate, and time to maturity.

To calculate it, the present value of all cash flows (coupons and par value at maturity) must be divided by the current market price and then solved for the required rate of return. In this case, the present value of the cash flows is $1429.30, and dividing by the market price of $940 gives a YTM of 4.96%.

The YTM of a bond can be used to compare the returns of different bonds of similar credit risk, maturity, and coupon rate. It can also be used to compare a bond to other investments, such as stocks and mutual funds.

Investors often use YTM to determine if a bond is worth buying or selling at a given price. It is also important to remember that the YTM is an estimate, since the actual rate of return on a bond can differ from the expected rate due to market conditions or changes in the credit rating of the issuer.

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southwest airlines is considering adding cities in canada as flight destinations. this would be an example of what type of strategic alternative?

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Southwest Airlines considering adding cities in Canada as flight destinations is an example of diversification as a strategic alternative.

What is diversification?

Diversification is a strategic alternative in which an organization seeks to introduce new items or products into new markets. Diversification entails branching out into new business areas that aren't directly related to the company's current product lines or markets.

It can also be defined as a business strategy that involves expanding a company's operations by increasing the range of goods and services it provides in order to increase profits. Diversification can take several forms, including related diversification, concentric diversification, and conglomerate diversification.

The business diversifies into a new industry, unrelated to its existing business, with conglomerate diversification. When the company introduces new but related products or services to existing markets, it is known as concentric diversification.

Related diversification occurs when a company expands into new markets or products that are related to its existing business.

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a government decides to set a price ceiling on bread so that bread is affordable to the poor. the conditions of demand and supply are given in the table below. what is the equilibrium price before the price ceiling? what will the excess supply or the shortage be if the price ceiling is set at $2.40?

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The point at which the demand and supply curves connect can be used to calculate the equilibrium price of bread before the price ceiling. The amount required reduces as the price rises in the table below,

but the quantity provided rises as the price rises. The quantity demanded and amount provided are equal at $2.80, resulting in an equilibrium price of $2.80. Price ($) Demanded Quantity (loaves per day)

Quantity Provided (loaves per day)

2.00 900 300

2.20 800 400

2.40 700 500

2.60 600 600

2.80 500 700

If a $2.40 price ceiling is established, the price cannot climb over that amount. But, at $2.40, there is an extra demand of 200 loaves every day (700 - 500). The Oversupply occurs when the amount required exceeds the quantity provided. The $2.40 price cap may make bread more accessible for the poor, but it will also cause a scarcity and may result in other market inefficiencies such as illicit markets or rationing.

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liabilities are group of answer choices obligations to transfer ownership shares to other entities in the future. any accounts having credit balances after closing entries are made. deferred credits that are recognized and measured in conformity with generally accepted accounting principles. obligations arising from past transactions and payable in assets or services in the future.

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Liabilities are commitments emerging from past exchanges and payable in assets or services in the future. option (D) is correct.

The liability, according to a bookkeeping perspective, addresses the obligations and commitments with which an organization funds its movement and pays its resource. It is additionally known by the name of monetary design, monetary capital, the beginning of assets, and the wellspring of unfamiliar funding.

They are debts that we have in the present however that we have contracted before. An illustration of a commitment is credit from a monetary organization. While getting that credit, we are obliged to pay the head and interest to the supplier. Therefore, option (D) is correct.

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This question is not complete , Here I am attaching the complete question:

Liabilities are:___________ a) deferred credits that are recognized and measured in conformity with generally accepted accounting principles. b) any accounts having credit balances after closing entries are made. c) obligations to transfer ownership shares to other entities in the future. d) obligations arising from past transactions and payable in assets or services in the future.

how should a project manager communicate the current focus? project dashboard status report swot analysis team overview

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It's important for project managers to communicate the current focus of their project regularly and effectively to ensure stakeholders are kept informed and engaged.

As a project manager, there are different ways to effectively communicate the current focus of your project. Some options include:

Project Dashboard: A project dashboard is a visual representation of the project's key performance indicators (KPIs) and progress. It typically includes graphs, charts, and other visuals to provide stakeholders with an easy-to-understand overview of the project's status. A project dashboard can be shared with stakeholders on a regular basis to keep them informed of the project's progress and focus.Status Report: A status report is a document that provides a detailed overview of the project's progress, including completed tasks, upcoming tasks, and any issues or risks that need to be addressed. A status report can be shared with stakeholders on a regular basis (e.g., weekly or monthly) to keep them informed of the project's current focus.SWOT Analysis: A SWOT analysis is a strategic planning tool that helps identify a project's strengths, weaknesses, opportunities, and threats. By conducting a SWOT analysis, project managers can better communicate the current focus of the project and identify areas where additional resources or attention may be needed.Team Overview: A team overview is a document that provides stakeholders with an overview of the project team, including team members' roles and responsibilities, skills, and experience. By providing a team overview, project managers can help stakeholders understand how the team is working together to achieve project goals and objectives.

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which of the following is true of a whistleblower? group of answer choices a whistleblower exposes the misdeeds of others in organizations. whistleblowers unintentionally disregard the ethics of an act or a decision. whistleblowers are members of law enforcement specifically trained to deal with financial misconduct. a whistleblower is the first to act unethically in an organization. whistleblowers are members of management who specifically look out for unethical behavior among employees.

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A whistleblower exposes the misdeeds of others in organizations is true of a whistleblower. Whistleblowers are individuals who reveal secret information about illegal or unethical practices within an organization.

When reporting unlawful or unethical behavior, whistleblowers face retaliation and ostracization, therefore, they must be protected by laws to prevent such mistreatment.

What is whistleblowing?

Whistleblowing is the act of reporting unethical or illegal activities within an organization to someone in a position of authority who can take corrective action. Whistleblowers can bring attention to issues like fraud, corruption, or abuse of power by their employers or others in positions of power.

They are typically employees of the organization they are reporting, but they can also be outsiders who have discovered the illegal activity by other means. Whistleblowing can be internal or external.

An internal whistleblower reports wrongdoing within the organization to someone within the company, such as a supervisor or HR manager. An external whistleblower, on the other hand, reports the misconduct to a government agency or the media.

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