Who are Nobel Prize winners Robert Merton and Myron Scholes? (Internet source)

What were their contributions to LTCM?

What were their results in the first three years of the firm’s operation

and then ultimately, what were their results by year 2000?

Answers

Answer 1

Robert Merton and Myron Scholes were two Nobel Prize winners in Economics in 1997. They are best known for their contributions in developing the Black-Scholes-Merton model, which is used to price derivatives.

In the first three years of the operation of their firm, Long-Term Capital Management (LTCM), they had remarkable results. They earned annualized returns of over 40% and managed to increase their capital from $1.25 billion to almost $7 billion. However, by the year 2000, LTCM faced a significant financial crisis. They had lost $4.6 billion in just a few months, and the US Federal Reserve had to intervene to prevent a potential financial disaster. Despite their initial success, Merton and Scholes' firm ultimately failed due to the high-risk strategies they employed.

Simply put, a derivative is a financial contract whose value is determined by some underlying asset, such as a stock, bond, or commodity. Futures contracts, forward contracts, options, and swaps are the most common types of derivatives.

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Related Questions

lse: flotation costs need to be taken into account when calculating the cost of issuing new common stock, but they do not need to be taken into account when raising capital from retained earnings.. true or false

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The given statement "flotation costs need to be taken into account while calculating the cost of issuing new common stock, but need not be taken into account when raising capital from retained earnings" is false as it needs to be considered even when raising capital from retained earnings.  

A publicly traded firm incurs flotation costs as it issues new securities and pays costs such underwriting fees, legal expenses, and registration fees. Businesses must take into account how these fees may affect the amount of cash they can collect via a new offering.

The cost of additional equity for a company is determined by factoring in floatation expenses, estimated return on equity, dividend payments, and the percentage of earnings the company expects to keep. With the issuance of new equity, or freshly issued common stock, there are flotation charges. The flotation cost is the difference between the price of fresh shares and the price of existing equity.

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Question 29 5 pts A bond with par value of $1,000 has an annual coupon rate of 4.8% and currently sells for $930. What is the bond's current yield? Do not round intermediate calculations. Round your answer to 2 decimal places, enter numbers and decimals only

Answers

The bond's current yield is approximately 5.16%.

How to calculate the bond's current yield given its coupon rate, market price, and par value?

To calculate the bond's current yield, we need to divide the annual coupon payment by the bond's current market price.

Annual coupon payment = Coupon rate * Par value = 4.8% * $1,000 = $48

Current yield = Annual coupon payment / Current market price = $48 / $930

Calculating the current yield:

Current yield = $48 / $930

Current yield ≈ 0.05161

Rounded to 2 decimal places, the bond's current yield is approximately 0.05 or 5.16%.

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Read the article How Target Figured Out. Q1. What issues may arise when marketers try to harness customér data using sophisticated data analytics systems as Target did in the article? Q2. Then, how s

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Q1. Issues that may arise when marketers try to harness customer data using sophisticated data analytics systems Data breaches: Sophisticated data analytics systems collect and store vast amounts of customer data.

This presents an opportunity for cyber attackers who can breach the system, steal customer data, and use it for malicious purposes. The information they steal may include sensitive customer data such as names, addresses, email addresses, and credit card details. Poor implementation: Implementing a sophisticated data analytics system can be challenging. Poor implementation can result in the system providing inaccurate data, making decisions that are detrimental to the business, and wasting resources.

Misuse of data: A data analytics system can provide insights that businesses can use to improve customer experience and profitability. However, if the insights are not used ethically, customers' privacy can be violated, leading to mistrust and damage to the brand image.

Q2. How Target Used Data Analytics Target used data analytics to analyze customer purchase patterns, identify customer segments, and predict customer behavior.

They used data from various sources such as purchase history, social media data, and website interactions to build detailed customer profiles. The data helped Target to tailor their marketing strategies, personalize their communication with customers, and increase sales.

They also used the data to predict customer behavior such as when a customer was pregnant. Target would then send them targeted ads based on their purchase patterns. This helped them to reach customers at a time when they were likely to make a purchase, leading to increased revenue.

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Nik 5 years ago deposited $2,000 in a bank account. The banks use the simple interest to pay back their clients. If he just withdrew $2876, what is the interest rate Nik earned on this account? 7.7% 8.76% 5.5% None of the options

Answers

The interest rate that Nik earned on his account is 8.76%.

To calculate the interest rate on Nik's bank account, we need to use the simple interest formula: I = Prt, where I is the interest, P is the principal amount, r is the interest rate, and t is the time period. We know that Nik deposited $2,000 in the account five years ago, so P = $2,000 and t = 5 years. We also know that Nik withdrew $2,876, so the interest earned is I = $2,876 - $2,000 = $876. Now we can plug in the values and solve for r: 876 = 2000 × r × 5. Solving for r gives us r = 8.76%.

Explanation:
We can calculate the interest rate earned by Nik on his bank account by using the simple interest formula, which is given as I = Prt. Here, P is the principal amount, r is the interest rate, and t is the time period. We know that Nik deposited $2,000 in the account five years ago, so P = $2,000 and t = 5 years. We also know that he withdrew $2,876 from the account, so the interest earned is I = $2,876 - $2,000 = $876.

Now, we can plug in the values and solve for r, which is the interest rate. The formula becomes:

I = Prt
876 = 2000 × r × 5
r = 876 / (2000 × 5)
r = 0.0876 or 8.76%

Therefore, the interest rate that Nik earned on his bank account is 8.76%.

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sales agent abigail represented jeanette in the sale of her first home. now, abigail is working with jeanette as a customer to buy a home that is listed by abigail's brokerage firm. abigail knows information about jeanette's financial condition that will affect the seller's decision to accept jeanette's offer. abigail learned of jeanette's finances when representing her in the sale of her home. what is abigail's duty to disclose the information to the seller?

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Abigail has a duty to disclose the information to the seller. The duty to disclose refers to the agent's duty to reveal information to a client or to a third party in a transaction.

Abigail has a duty to disclose the information to the seller when working with Jeanette as a customer to buy a home listed by Abigail's brokerage firm. The fact that she represents the seller's firm means that she knows information about Jeanette's financial condition that may impact the seller's decision to accept Jeanette's offer.

It is essential for a sales agent to maintain a high level of professionalism when dealing with the sale or purchase of a property. It is the duty of the sales agent to ensure that the client's interests are protected. If the sales agent has any confidential information that could affect the sale or purchase, then it is their responsibility to disclose it to the relevant parties.

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On June 1, 20x1, Global Services, Inc, was started with $50,000 invested by the owners as share capital On June 30, the accounting records contained the following amounts Trade payables $100 Trade receivables 3.900 Cash 25,100 Share capital 50,000 Consulting fees earned 8,400 Dividends declared 2,100 Office equipment 24,100 Office supplies 500 Rent expense 1,300 Salary expense 1,000
Supplies expense 100 Telephone expense 500 Prepare a statement of earnings for the month ended June 30, 20X1. Was the company successful in its first month of operations? Why or why not?

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Statement of earnings for the month ended June 30, 20X1 will be calculated as follows Revenue Consulting fees earned$8,400Less :Rent expense$1,300Salary expense 1,000Supplies expense 100Telephone expense 500Depreciation expense 500Total expenses

3,400Net earnings before dividends 5,000Less: Dividends declared 2,100Net earnings after dividends $2,900 In the first month of its operations, Global Services, Inc earned $8,400 in consulting fees and incurred expenses totaling $3,400 which were rent expense ($1,300), salary expense ($1,000), supplies expense ($100), and telephone expense ($500).In addition, Global Services, Inc also incurred a depreciation expense of $500 as its office equipment has been used during the month.

The net earnings before dividends can be calculated by deducting total expenses of $3,400 from the revenue of $8,400, which results in a net earnings before dividends of $5,000.The company declared a dividend of $2,100 during the month of June. As a result, the net earnings after dividends will be $2,900 Yes, the company was successful in its first month of operations. The net earnings after dividends declared during the month of June was $2,900. As we know that the company earned more than it spent during the month of June. So, we can say that Global Services, Inc was successful in its first month of operations.

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13. compare traditional Keynessian view of monetary trnasmission with Tobin's q theory and balance sheet channel.

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According to this, any change in the money supply has an effect on total expenditure as well as other factors like unemployment, income, production, and output. It is significantly influenced by changes in interest rates.

According to the research, there are four distinct ways that monetary policy changes can affect economic outcomes, as was indicated in the Introduction: the interest rate channel, the credit channel, the exchange rate channel, and the asset price channel (Mishkin, 1995). The main goal of monetarism is to manage the money supply in order to manage the economy. Keynesianism emphasises the use of public spending to manage the economy.

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Which of the following does a life insurance policy summary normally include?

A) The policy's cash value
B) Agent's report
C) Policyowner's MIB report
D) Stated beneficiary

Answers

Answer:A

Explanation:The policy’s cash value

Phox and Ranch have decided to form a partnership. They are in the process of agreeing on how the profits/losses will be divided. Assume that the company is anticipating net income of $80,000 for the first time period. If there is no agreement, what would Phox's share of the net income be? Total Net Income$80,000
a) $40,000
b) $20,000
c) $80,000
d) There is no way to determine it.

Answers

Phox's share of the net income, without an agreement, would be $40,000.

The correct answer to the given question is option a.

Without an agreement on profit/loss division, the default assumption is that profits will be divided equally among the partners. Therefore, if there is no agreement in place, Phox's share of the net income would be equal to Ranch's share, which would also be half of the total net income.

Given that the total net income is $80,000, and assuming an equal division of profits, Phox's share would be:

Phox's share = Total net income / Number of partners

Phox's share = $80,000 / 2

Phox's share = $40,000

Therefore, the correct answer is option a) $40,000. Phox's share of the net income, without an agreement, would be $40,000.

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A company has beginning inventory of 300 units at $18.9 each; They purchased 400 units at $ 7.6 each on June 2; On June 15, they also purchased 500 units at $ 12.69 each. A physical count of merchandise inventory at the end of the month revealed that 452 units were sold. What is the cost of goods sold using the weighted average inventory method? Round all answers to the nearest dollar. But as always do not round any intermediate calculations, only round your final answer.

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The cost of goods sold using the weighted average inventory method is approximately $6,050. it is calculated by multiplying the average cost per by the number of units sold to determine the cost of goods sold.

How is the cost of goods sold calculated using the weighted average inventory method?

To calculate the cost of goods sold (COGS) using the weighted average inventory method, we need to determine the average cost per unit and then multiply it by the number of units sold.

Calculate the total cost of beginning inventory:

Beginning inventory units: 300

Beginning inventory cost per unit: $18.9

Total cost of beginning inventory: 300 units * $18.9 = $5,670

Calculate the total cost of purchases:

Purchase 1 units: 400

Purchase 1 cost per unit: $7.6

Purchase 2 units: 500

Purchase 2 cost per unit: $12.69

Total cost of purchases: (400 units * $7.6) + (500 units * $12.69) = $4,040 + $6,345 = $10,385

Calculate the total units available for sale:

Total units available for sale: Beginning inventory units + Purchase 1 units + Purchase 2 units = 300 + 400 + 500 = 1,200 units

Calculate the average cost per unit:

Total cost of beginning inventory + Total cost of purchases / Total units available for sale = $5,670 + $10,385 / 1,200 units = $16,055 / 1,200 = $13.3792 (rounded to 4 decimal places)

Calculate the cost of goods sold:

COGS = Average cost per unit * Units sold = $13.3792 * 452 units = $6,049.95

Therefore, using the weighted average inventory method, the cost of goods sold is approximately $6,050.

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a bill pending before the ny state legislature would prohibit private companies from selling health insurance and make the state the single payer of health care bills. private health insurance companies that have made above normal profits have spent large sums of money trying to prevent the legislature from passing this bill into law. this is an example of a. government failure. b. an externality. c. collusion. d. rent-seeking behavior.

Answers

The correct answer is d. rent-seeking behavior. Rent-seeking behavior refers to the activities of people and organizations who try to obtain benefits by manipulating the economic and political environment instead of earning benefits through trade and productive enterprise.

The private health insurance companies that have made above normal profits and spent large sums of money trying to prevent the legislature from passing this bill into law are indulging in rent-seeking behavior.The bill pending before the NY state legislature would prohibit private companies from selling health insurance and make the state the single payer of health care bills. This policy would be enacted if the bill passes into law. The private health insurance companies are using their influence to prevent this law from coming into force so that they can continue to earn abnormal profits by selling health insurance.

Since they are trying to manipulate the political environment to earn benefits without engaging in trade or productive enterprise, they are engaging in rent-seeking behavior.

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E 113 D Question 19 The circular flow model can be used to measure GDP. In the simple version, there are only firms and households. Two arrows go from firms to households and 2 arrows go from households to firms. a. What do the letters GDP stand for? (1 point) b. Which two arrows go from firms to households? Explain your answer. (6 points) c. Which arrow represents total spending on products? Explain your answer. (3 points) d. Which 2 other ways to measure GDP can be shown in the circular flow model? (2 points) e. Does a trade surplus increase GDP? Explain your answer. (5 points) Edit View Insert Format Tools Table 12pt Paragraph BIUA 1 17 pts 94°F Sunny ING 111 PM

Answers

All the answers to the above questions are as follows:

a. GDP stands for Gross Domestic Product. It is the total monetary value of all goods and services produced within a country's borders in a specified time period.
b. The two arrows that go from firms to households are the product market arrow and the factor market arrow. In the product market arrow, firms supply goods and services to households in exchange for money payments. In the factor market arrow, households supply factors of production such as labor, land, and capital to firms in exchange for income.
c. The arrow that represents total spending on products is the product market arrow. This arrow shows the flow of money from households to firms in exchange for goods and services, which represents total spending on products.
d. The two other ways to measure GDP that can be shown in the circular flow model are government spending and net exports. In the circular flow model, government spending is represented by an arrow that goes from the government sector to the product market. Net exports are represented by an arrow that goes from the foreign sector to the product market.
e. A trade surplus does not necessarily increase GDP. GDP only measures the value of goods and services produced within a country's borders. A trade surplus occurs when a country exports more goods and services than it imports. While a trade surplus can boost economic growth, it does not necessarily increase GDP, as GDP only measures the value of goods and services produced within a country's borders.

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Assume that Pablo and Micah can switch between producing baseballs and producing bats at a constant rate. Labor Hours Needed Quantity Produced in 36 Hours to Make 1 bat bat baseball 1 baseball 36 Pabl

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The opportunity cost for Pablo to produce 1 bat is 36 baseballs in factory, and for Micah, it is 1/36 of a bat.

Based on the given information, Pablo and Micah can switch between producing baseballs and producing bats at a constant rate. We are provided with the labor hours needed and the quantity produced in 36 hours to make one bat or one baseball.

To analyze their production possibilities, let's consider the labor hours required for each product:

Making 1 bat requires 36 labor hours.

Making 1 baseball requires 1 labor hour.

Since the labor hours required to produce 1 bat and 1 baseball are different, we can calculate the opportunity cost of producing each item.

For Pablo, if he chooses to produce 1 bat, it would require 36 labor hours. Therefore, the opportunity cost of producing 1 bat for Pablo would be equivalent to the number of baseballs he could have produced in those 36 hours.

Since it takes 1 labor hour to produce 1 baseball, Pablo's opportunity cost of producing 1 bat is 36 baseballs.

Similarly, for Micah, if he chooses to produce 1 baseball, it would require 1 labor hour. Thus, the opportunity cost of producing 1 baseball for Micah would be the number of bats he could have produced in that 1 hour. As it takes 36 labor hours to produce 1 bat, Micah's opportunity cost of producing 1 baseball is 1/36 of a bat.

In summary, the opportunity cost for Pablo to produce 1 bat is 36 baseballs, while the opportunity cost for Micah to produce 1 baseball is 1/36 of a bat.

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The complete question is:

Assume that Pablo and Micah can switch between producing baseballs and producing bats at a constant rate. Labor Hours Needed Quantity Produced to Make 1. in 36 Hours baseball bat baseballs bats Pablo 1 3 36 12 Micah 1 2 36 18 Refer to Table 3-8. Micah has an absolute advantage in the production of O a bats and a comparative advantage in the production of baseballs. Ob neither good and a comparative advantage in the production of baseballs. O baseballs and a comparative advantage in the production of bats. Od bats and a comparative advantage in the production of bats.

How positively or negatively does a business owner and these
issues (Leadership, Diversity and Motivation) affect your
business?
What aspects do you apply in your work on these issues?

Answers

Diversity can positively or negatively affect a business owner and their business. A business owner who promotes and values diversity can create a more inclusive and innovative workplace, whereas a business owner who neglects diversity may hinder productivity and lose potential customers.

Leadership is crucial to the success of a business because it sets the tone for the rest of the employees. A business owner who provides strong and effective leadership can motivate employees to work towards the goals of the business and improve overall performance. A leader who is ineffective or inconsistent may lead to a lack of motivation among employees and a lack of direction for the business.

Diversity can be a major contributor to motivation in the workplace. Employees who feel valued and respected are more likely to be motivated to work hard and stay with the company. A lack of diversity or negative attitudes towards certain groups can lead to a toxic work environment and a decrease in motivation.

In order to promote effective leadership, diversity, and motivation in the workplace, business owners can implement various strategies. This can include offering training and development programs to help employees learn new skills and improve their job performance, creating a diverse and inclusive workplace culture, and recognizing and rewarding employees for their hard work and contributions to the business.

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Comment on the cash flow management of Motherson Sumi Systems from the following figures. (Rs/Crs) Particulars Mar-20 Mar-19 Mar-18 Mar-17 Operating Activities 6,352 4,312 3,264 3,799 Investing Activities -2,239 -3,310 -3,194 -6,726 Financing Activities -2,802 -224 -2,221 5,517 Others 19 -8 0 580 Net Cash Flow 1,328 769 -2,151 3,171

Answers

From the data given about Motherson Sumi Systems, we can conclude that the business has a positive cash flow

Cash flow management in the business

In Motherson Sumi Systems, the records for three days showed that the business recorded more of positive cash flows. For instance, on March 17, 19 and 20, the business recorded a total of $5268 at the end of sales.

Also, on March 18, the business recorded a negative cash flow of -2151. Since the positive cash flow is greater than the negative one, we can conclude that the business is doing quite well.

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On1/2/2021, the County of Santa Teresa issued a 20-year-life serial bond with a principal of $8,000,000 and 5% annual interest Interests are paid on January 1 and July 1 with $400,000 in bonds being retired on each interest payment date. The debt service fund levies property taxes in the amount to cover interest and principal payments
Prepare entries for the Debt Service Fund for the following transactions. 1. Prepare the entries to record the budget for the debt service fund for Year 2021

2. Prepare the entry to levy the property taxes 3. Prepare the entry to pay the interest and principal on 7/1/2021

Answers

using funds set aside for debt service.The Debt Service Fund is made available to pay for the receipts, additional funding sources, additional uses of finance, and related expenses for long-term debt. This includes keeping track of bond principal, interest, and other debt-related expenses.

The best way to keep a journal

1. Determine the accounts that will be impacted by the transaction. Making a journal entry involves first determining which general ledger accounts the transaction is likely to affect.

2. Choose between crediting and debiting the account.

3. Write a journal entry and after that

4. Complete the accounting entries.

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A donor imposed restriction exists if a right of return or release exists and the agreement with the donor includes a barrier that must be overcome by the not-for-profit organization.

a. True
b. False

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The given statement, "A donor imposed restriction exists if a right of return or release exists and the agreement with the donor includes a barrier that must be overcome by the not-for-profit organization" is True.

This statement is related to the conditions under which a donor-imposed restriction exists.

What is a donor-imposed restriction?A donor-imposed restriction is a condition that a donor puts on a contribution of an asset or cash to a not-for-profit organization. This condition may be in the form of time, purpose, or a type of activity that the organization must perform to get the donation. When a donor imposes a restriction, the not-for-profit organization must follow it. The donor imposes the restriction by setting up an agreement between the not-for-profit organization and himself. The agreement is a legally binding document that states the terms of the contribution.

How does a donor-imposed restriction work?Donors impose restrictions on their contributions by stating the purpose of the donation. For example, a donor may give money to a not-for-profit organization with the condition that the money will only be used to buy food for the homeless. If the not-for-profit organization accepts the donation, it must use the money to buy food for the homeless. The not-for-profit organization must also provide proof to the donor that the money was used for the intended purpose.

What is the right of return or release? The right of return or release is a condition that a donor imposes on a donation. The right of return or release allows the donor to get the asset or cash back if certain conditions are not met. For example, if a donor gives money to a not-for-profit organization for a specific purpose, but the organization does not use the money for that purpose, the donor may have the right to get the money back.

What is a barrier in the agreement with the donor? A barrier is a condition that must be overcome by the not-for-profit organization to get the donation. For example, a donor may give money to a not-for-profit organization with the condition that the organization must first raise a certain amount of money from other donors. This condition is a barrier that must be overcome by the not-for-profit organization to get the donation.

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Wang wants to purchase a new computer from Best Buy. After he purchases the computer, the local Best Buy store notifies the buyer at corporate headquarters through the O weekly reporting update. fulfillment center. O point-of-sale (POS) terminal. O advanced shipping notification. O distribution center,

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Wang wants to purchase a new computer from Best Buy. After he purchases the computer, the local Best Buy store notifies the buyer at corporate headquarters through point-of-sale terminal. Option C is the correct answer.

Wherever your consumer makes a payment for goods or services at your business is known as the point of sale, or POS. Simply simply, every time a client makes a purchase, a point of sale transaction is completed. Option C is the correct answer.

The most recent point-of-sale systems go beyond credit card processing to assist merchants and eateries in integrating mobile POS features, contactless payment alternatives, e-commerce integration capabilities, and more. Every POS system is made up of hardware and software elements that simplify and speed up how your business runs every day. Understanding the many POS software solutions and what they each have to offer is crucial.

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The complete question is, "Wang wants to purchase a new computer from Best Buy. After he purchases the computer, the local Best Buy store notifies the buyer at corporate headquarters through the

A. weekly reporting update.

B. fulfillment center.

C. point-of-sale (POS) terminal.

D. advanced shipping notification.

E. distribution center"

A major problem for the implementation of privatization during the early years of
transition in the formerly planned socialist economic systems has been
a. the absence of well-developed capital markets.
b. the influx of foreign direct investment beyond tolerable limits.
c. the ease of valuing property such that there is a large backlog of firms awaiting privatization.
d. none of the above

Answers

A major problem for the implementation of privatization during the early years of transition in the formerly planned socialist economic systems has been the option a. absence of well-developed capital markets.

What is privatization?Privatization is the act of transferring ownership of a business, enterprise, agency, or public service from the public sector to the private sector. Privatization is commonly used as a synonym for deregulation, outsourcing, and de-nationalization when a publicly traded company is taken private. In this scenario, the former public entity becomes a private sector company.In the transition from planned socialist economies to market economies, many countries have turned to privatization. They privatized all or part of their previously state-owned companies. In the early years of transition, a major problem in implementing privatization has been the absence of well-developed capital markets.

This meant that state-owned enterprises were frequently sold off cheaply in the absence of competition among buyers and a developed market for shares. This had the impact of harming the public revenue's competitiveness. Consequently, it was challenging to restructure newly privatized companies efficiently. As a result, it was difficult to improve their competitiveness.

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Look through any online paper you want (see examples below) and from the news, list 3 business ideas that you can see people might need! In your submission, for EACH idea: 1. Give the link to the online news article 2. Describe what the need is (1 or 2 sentences enough) 3. Briefly state a business opportunity that you can identify to service this need or issue

Answers

Three business ideas that people need and that can be found in online news articles are the need for home cleaning services, the need for logistics persons to move goods to customers, and the need for dairies.

How to detect the business opportunities

There are many business opportunities that we can point out from online news articles. For instance, we might read about malnourished children and immediately sense the need for dairy services that will help the growth of children.

We can also see some online retailers who might need the help of logistics personnel to make home deliveries.

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What is the answer of following question ?
Zero-base budgeting means:

a. Having a budget of zero where any spending will result in an adverse variance

b. Starting from scratch in calculating the forthcoming years overhead costs

c. A budgeting system where variances are zero due to strict financial control

d.Having an initial budget of zero that is increased as actual costs occur.

Answers

Option d. is the correct answer.

Zero-base budgeting means having an initial budget of zero that is increased as actual costs occur.

What is Zero-base budgeting? Zero-base budgeting is a budgeting process in which each department is required to begin its budget from zero. It is a systematic way of budgeting that necessitates starting every budgeting cycle from scratch. The focus of this budgeting approach is on identifying and justifying every expense, rather than just modifying the prior year's budget. Instead of taking the prior year's spending as a given, the method entails starting with a blank slate and justifying each expense from scratch.

Organizations are compelled to rethink and challenge their expenditure assumptions, allowing them to determine if expenditures are still appropriate and necessary. Zero-base budgeting is generally regarded as an effective method of cost control because it demands that all expenses are justified, resulting in a more comprehensive review of expenditure patterns, improved cost control, and the reallocation of resources to more critical areas.

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For Ivanhoe Company, the predetermined overhead rate is 154% of direct labour cost. During the month, Dene incurred $108,000 of factory labour costs, of which $85,600 is direct labour and $22,400 is indirect labour. Actual overhead incurred was $123,824.
a) Calculate the amount of manufacturing overhead applied during the month.
b) Determine the amount of under- or over-applied manufacturing overhead.

Answers

The amount of manufacturing overhead applied during the month is $131,824.

For Ivanhoe Company, with a predetermined overhead rate of 154% of direct labor cost, $85,600 direct labor cost, $123,824 actual overhead incurred, and $22,400 indirect labor cost, what is the amount of manufacturing overhead applied during the month and the amount of under- or over-applied manufacturing overhead?

To calculate the amount of manufacturing overhead applied during the month, we need to multiply the direct labor cost by the predetermined overhead rate.

Direct labor cost = $85,600

Predetermined overhead rate = 154% or 1.54

Manufacturing overhead applied = Direct labor cost * Predetermined overhead rate

Manufacturing overhead applied = $85,600 * 1.54 = $131,824

Therefore, the amount of manufacturing overhead applied during the month is $131,824.

To determine the amount of under- or over-applied manufacturing overhead, we compare the actual overhead incurred with the applied overhead.

Actual overhead incurred = $123,824

Manufacturing overhead applied = $131,824

Under- or over-applied manufacturing overhead = Actual overhead incurred - Manufacturing overhead applied

Under- or over-applied manufacturing overhead = $123,824 - $131,824 = -$8,000

Since the actual overhead incurred is less than the applied overhead, there is an under-applied manufacturing overhead of $8,000.

Explanation: The predetermined overhead rate is used to allocate overhead costs to the products or processes based on the direct labor cost. In this case, the direct labor cost is multiplied by the predetermined overhead rate to determine the amount of manufacturing overhead applied.

The difference between the actual overhead incurred and the applied overhead represents the under- or over-applied manufacturing overhead, which indicates whether the allocated overhead was more or less than the actual overhead incurred.

In this scenario, there is an under-applied manufacturing overhead of $8,000, meaning that the allocated overhead was higher than the actual overhead incurred.

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which of the following statements is true with respect to red bull's efforts to establish integrated marketing communications?

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The statement "Red Bull has made significant efforts to establish integrated marketing communications" is true.

Red Bull has been known for its successful implementation of integrated marketing communications strategies. The company has consistently employed various marketing channels and communication tools to create a cohesive and unified brand message. Red Bull's approach includes combining traditional advertising methods, such as television and print, with digital marketing, social media campaigns, event sponsorships, and content marketing. They have also developed a strong presence in sports and extreme activities, aligning their brand image with high-energy and adventurous lifestyles. By integrating their marketing efforts across multiple channels and platforms, Red Bull has been able to reach and engage their target audience effectively.

Red Bull's efforts in establishing integrated marketing communications have played a significant role in building and maintaining their brand presence and connecting with their target market. By employing a diverse range of marketing channels and tactics, they have been able to create a consistent and powerful brand message that resonates with their audience. This approach has contributed to Red Bull's success as a global leader in the energy drink industry.

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a) Briefly explain the purpose of each of the following and how they relate to each other. General journal General ledger T-account Trial balance Financial statements b) Which of the documents above is the only one that does NOT show debits and credits? c) Which of the document(s) above is the only one that is designed for and provided to external stakeholders?

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a) The General Journal is where all transactions are recorded. Transactions are initially recorded in the journal in chronological order as debit and credit journal entries, along with a short explanation.

The General Ledger is a collection of T-accounts, one for each account on the balance sheet and income statement, that depicts the account’s transactions in a debit-credit format. b) Trial Balance is the only document that does NOT show debits and credits. Instead, it lists all of the debit and credit accounts and their balances at the end of a reporting period, and it ensures that debits equal credits.

c) Financial Statements are the only documents that are designed for and provided to external stakeholders. Financial statements provide a comprehensive overview of a company's financial performance, position, and cash flows.

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Why would the electoral system matter to explain levels
of redistribution? How plausible do you find the theoretical
arguments that connect electoral systems and policy
making?

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The electoral system is a vital factor in determining the level of redistribution. The reason behind this is that the electoral system serves as the interface between the voters and the policymakers.

Through the electoral system, policymakers have a better understanding of the preferences of the voters, which could inform their policy decisions. Different electoral systems might impact the behavior of political parties, who could decide to adopt policies that appeal to their supporters. One theoretical argument suggests that the two electoral systems are based on the majority voting system and the proportional representation system.

Under the majority voting system, the winning political party often enjoys an advantage in implementing its preferred policies. This could increase the likelihood of a policy being implemented. In contrast, under the proportional representation system, it is less likely that a single party will win the majority vote. As a result, political parties must be more responsive to a broader range of voters, which could limit the extent of redistributive policies.

These theoretical arguments are plausible to a certain extent. However, there are a variety of other factors to consider, such as the economic conditions, institutional arrangements, and the role of interest groups in influencing policy. As a result, it is difficult to determine the extent to which the electoral system is responsible for the observed variations in redistributive policies across different countries.

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Natural Mosaic Company (U.S.) is considering investing Rs50,000,000 in India to create a wholly owned tile manufacturing plant to export to the European market. After five years, the subsidiary would be sold to Indian investors for Rs100,000,000. A pro forma income statement for the Indian operation predicts the generation of Rs7,000,000 of annual cash flow, as listed in the following table.

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The Natural Mosaic Company is considering investing Rs50,000,000 in India to establish a tile manufacturing plant, with an anticipated annual cash flow of Rs7,000,000 and a plan to sell the subsidiary for Rs100,000,000 after five years.

What are the details of Natural Mosaic Company's investment in India, including the investment amount, purpose, anticipated annual cash flow, and planned sale of the subsidiary?

The Natural Mosaic Company (U.S.) is evaluating an investment of Rs50,000,000 in India to establish a wholly owned tile manufacturing plant aimed at exporting products to the European market.

The company anticipates selling the subsidiary to Indian investors after a five-year period for Rs100,000,000.

The pro forma income statement for the Indian operation indicates an expected annual cash flow of Rs7,000,000.

This information suggests that the investment has the potential to generate positive cash flows and achieve profitability over the projected period.

However, additional analysis is necessary to assess the financial viability and feasibility of the project, including considerations such as initial investment costs, operating expenses, taxes, and potential risks.

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should cypark operation stay in malaysia

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The decision for a company to stay or exit a particular market is complex and depends on various factors such as market conditions, business opportunities, regulatory environment, competitive landscape, and strategic objectives of the company.

Cypark Operation is an integrated environmental engineering company located in Malaysia. It's engaged in the provision of environmental-related engineering services and investing in environmental-related businesses. The company was founded in 2000 and operates mainly in Malaysia, but it also has operations in other countries.

Cypark Operation should stay in Malaysia if it continues to receive support from the Malaysian government and the Malaysian public. The Malaysian government has been supporting Cypark Operation's environmental initiatives by providing funding and policy support for renewable energy projects.

The company has also been receiving support from the Malaysian public, which has been increasingly concerned about the impact of climate change on the environment. As a result, there has been a growing demand for renewable energy and other environmental solutions in Malaysia.

Cypark Operation's presence in Malaysia has also helped to create jobs and contribute to the Malaysian economy. The company has been involved in a number of high-profile environmental projects in Malaysia, including the development of the first integrated solid waste management facility in the country.

Overall, whether Cypark Operation should stay in Malaysia or not depends on various factors such as government support, public support, economic conditions, and business opportunities.

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Calculate the amount of money needed at the time of retirement, to cover the costs of living until the end of life. Please consider the following steps in building this model: take an inventory of all costs you expect a regular person to incur during retirement, during a typical month of the year. fill in the amounts for each one calculate the grand total, for that month calculate the grand total for an entire year choose the number of years you anticipate to live after you retire calculate the total amount of money you require, to live for the rest of your life.

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To estimate the total amount of money needed, one must choose the number of years anticipated to live after retiring, usually based on family history and health.

To calculate the amount of money needed at the time of retirement to cover the costs of living until the end of life, one must take an inventory of all expected costs during retirement. This includes expenses such as housing, transportation, food, healthcare, utilities, and entertainment. Once the costs are determined, the amounts for each one should be filled in and added up to calculate the grand total for that month. The grand total for an entire year can then be calculated by multiplying the monthly total by twelve. With this number in mind, multiply the annual total by the anticipated number of years in retirement.

It's important to note that inflation must also be considered when calculating the amount of money needed for retirement. It's advisable to assume a higher inflation rate and adjust the annual expenses accordingly.

Overall, calculating the amount of money needed at the time of retirement to cover the costs of living until the end of life can be a complex process. Starting early and regularly reviewing and updating the estimates can help individuals achieve their desired retirement goals.

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Under the expense approach to recognizing product warranty liabilities, actual costs incurred in the future are O recorded as an operating expense. O not recognized, as the expense was recorded at the time of the sale. O offset against the liability that was recognized at the time of the sale. O disclosed in the notes to the financial statements as they are incurred.

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Under the expense approach to recognizing product warranty liabilities, actual costs incurred in the future are offset against the liability that was recognized at the time of the sale.  Option C

A product warranty is a company's promise to fix or replace its product if it breaks or fails to meet the consumer's expectations. If a business offers warranties, it must acknowledge them as obligations in its financial statements. As a result, companies must account for estimated warranty expenses when they sell goods and services that come with warranties.

The expense approach is one of the two methods for accounting for warranty expenses. The expense approach records the expected cost of future warranty claims in the period in which the product is sold. As a result, the expense is recorded as a liability on the balance sheet and as an expense on the income statement.

In the future, when a customer makes a warranty claim, the firm would record a reduction in the liability account and an increase in the expense account. Therefore, actual costs incurred in the future are offset against the liability that was recognized at the time of the sale.

This approach makes it easy to match the expenses of warranty repairs with the revenue generated by the goods sold. Option C

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b. how would this economy return to equilibrium if fiscal or monetary policy alone were used

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If the economy is in an imbalance and needs to return to equilibrium, monetary or fiscal policy can be implemented to address the situation. Here's an explanation of how each policy could help in restoring equilibrium:

Fiscal Policy: Fiscal policy involves the use of government spending and taxation to influence the economy. If the economy is experiencing a recession or high unemployment, expansionary fiscal policy can be employed. This typically involves increasing government spending and/or reducing taxes to stimulate aggregate demand. The increased government spending creates jobs and income, while tax cuts boost disposable income and consumer spending. These measures help stimulate economic activity and move the economy towards equilibrium.

Monetary Policy: Monetary policy is managed by the central bank and involves controlling the money supply and interest rates. In the case of an economic imbalance, such as high inflation or overheating, contractionary monetary policy can be implemented. This typically involves increasing interest rates and reducing the money supply to curb excessive spending and inflationary pressures. Higher interest rates discourage borrowing and spending, thereby reducing aggregate demand and bringing the economy back to equilibrium.

In conclusion, fiscal policy can help the economy return to equilibrium by adjusting government spending and taxes to stimulate demand and economic activity. On the other hand, monetary policy can be used to restore equilibrium by controlling the money supply and interest rates to manage inflationary pressures or excesses in the economy. Both policies aim to restore balance in the economy and promote stability and growth.

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