anna, an 18-year-old freshman in college, promises her parents that she will not drink any alcohol her first semester in exchange for her parents promise to buy her a car. is this an enforceable contract? group of answer choices no, because anna is not legally allowed to drink alcohol at 18. no, because college students cannot enter into contracts. yes, because the subject matter of this contract has legal value. yes, because anna and her parents are exchanging promises. no, because her parents have no way to know if anna held up her end of the bargain (i.e. did not drink alcohol).

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Answer 1

While there is a bargain involved in the agreement between Anna and her parents, there are also other factors that could impact the enforceability of the contract, such as Anna's legal capacity and the ability to determine whether the conditions were met.

In this case, Anna and her parents have made a bargain - Anna promised not to drink alcohol, and her parents promised to buy her a car. This means that there is consideration, or something of legal value, involved in the contract.

However, there are other factors that need to be considered as well. In this case, Anna is 18 years old, which is the legal age of majority in most states. However, she is not legally allowed to drink alcohol, which could impact the enforceability of the contract.

Another important factor is whether the parties have a way to determine if the other party has held up their end of the bargain. In this case, Anna's parents have no way of knowing if Anna has abstained from drinking alcohol during her first semester in college. This could make the contract unenforceable, as it would be difficult to prove that the conditions of the contract were met.

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Related Questions

which increment should be examined first in incremental rate of return analysis, if marr = 11.0%? do-nothing a b c d first cost 0 $9,000 $3,500 $9,000 $6,000 annual benefit 0 1,593 697 1,725 914 life 10 yrs ror 12.0% 15.0% 14.0% 8.5%

Answers

The increment should be examined first in incremental rate of return analysis, if marr = 11.0% is  b first.

To determine which increment should be examined first in incremental rate of return analysis, we need to calculate the incremental rate of return for each alternative. The incremental rate of return is the difference between the rate of return for an alternative and the MARR (minimum acceptable rate of return).

Using MARR = 11.0%, we get:

Alternative a: ROR = 12.0% - 11.0% = 1.0%

Alternative b: ROR = 15.0% - 11.0% = 4.0%

Alternative c: ROR = 14.0% - 11.0% = 3.0%

Alternative d: ROR = 8.5% - 11.0% = -2.5%

Based on these calculations, we should examine alternative b first, as it has the highest incremental rate of return of 4.0%.

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concerning a whole life policy, which of the following statements is correct? a the policy always includes guaranteed renewable and convertible provisions. b there is a maximum age for purchasing whole life. c cash value is guaranteed. d cash value may be provided by additional rider.

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Life insurance is a type of endless life insurance, meaning the insured person is insured for life. It's C and the financial value is guaranteed.

The present value is the interest-bearing portion of the policy and may be available for a payday or exigency loan.

full life insurance programs give durability insurance and generally offer fixed decorations, fixed death benefits, and a cash savings element. the insured person is ensured for life as long as the decorations are paid for on time.

The main advantage of life insurance is that it's considered endless life insurance. It's designed for lifelong insurance protection with non-rising decorations, expires after a certain number of times, and can not be canceled due to illness or illness.

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a company reported beginning inventory 0 units started in production 22,000 units finished during the period 17,600. what was the cost of the 4,400 units of ending inventory

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A corporation claimed starting with zero units in production and finishing with 22,000 units during the course of the month. It will cost $17600 to finish the work-in-progress inventory.

Production and manufacturing are similar, but production is more extensive. It explains the techniques and steps needed to turn unfinished or semi-finished objects into finished products or services, either with or without the help of machinery. Using financial resources, like as labour, expensive machinery, or land, to manufacture goods and services for customers is known as a manufacturing process. According to economists, land, labour, capital, and entrepreneurship are the four pillars of production. One might consider this to be the basis of an economy. Minerals or timber are two examples of tangible raw materials utilised in product manufacturing. Yet, the production process uses both actual raw materials and immaterial resources, such as money or credit. Producers and makers have diverse access to materials.

As a result, $0 + $2200 - $17600 is $17600

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A company reported beginning inventory 0 units started in production 22,000 units finished during the period 17,600. What is the cost of ending work in process inventory?

if the u.s. dollar appreciates relative to foreign currency, what is likely to be the result for the u.s. company that has branches abroad? group of answer choices profits will increase, when measured in u.s. dollars. profits will decrease, when measured in u.s. dollars. foreign exports to the united states will decrease. foreign demand for u.s. goods and services will decrease.

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If the U.S. dollar appreciates relative to foreign currency, the likely result for the U.S. company that has branches abroad is that "profits will decrease when measured in U.S. dollars" (option B).

An exchange rate is the value of one currency expressed in terms of another currency. The exchange rate determines how much money one currency can purchase in another country's currency. If the exchange rate of a country's currency increases in value relative to another currency, that country's currency has appreciated relative to the other currency.

On the other hand, if a country's currency's exchange rate decreases relative to another currency, that country's currency has depreciated relative to the other currency. When a country's currency appreciates relative to other currencies, it may have a negative impact on U.S. companies that have branches abroad because their profits will decrease when measured in U.S. dollars.

A rise in the U.S. dollar will make imported products more expensive, reducing demand for foreign goods and services in the United States. Option B is the correct answer.

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tresses, inc., which has a december 31 year end, lent $1,000 on december 1 to an employee at 6% due in 6 months. when will tresses record interest revenue? it will record .

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Tresses, Inc. will record interest revenue on June 1, which is six months after the loan was made on December 1. This is because the loan has a six-month term and is due on June 1.

Under the accrual basis of accounting, interest revenue should be recognized as it is earned, not necessarily when the cash is received. In this case, Tresses, Inc. earns interest revenue as time passes and the employee uses the borrowed funds.

The interest revenue should be calculated by multiplying the principal amount of the loan ($1,000) by the interest rate (6%) and by the fraction of the year that has passed since the loan was made (half a year). This results in interest revenue of $30 for the six-month period.

Therefore, Tresses, Inc. will record interest revenue of $30 on June 1, which is the date that the loan becomes due and payable.

This revenue should be recorded as a credit to interest revenue and a debit to the accounts receivable or cash account, depending on whether the employee pays back the loan in cash or with an accounts receivable.

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ebook a new mother wants to establish a college education fund for her newborn child. she wants this fund to be worth $100,000 in 18 years. a. if she invests $75 per month, what is the minimum rate of return she would need to earn on her investment? assume monthly compounding. (hint: consider using the future value function fv( ) in your spreadsheet.) round your answer to one decimal place. % b. suppose the mother knows of an investment that will guarantee a 12% annual return compounded monthly. what is the minimum amount she should invest each month to achieve her goal? round your answer to a whole dollar amount. $

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The minimum amount she should invest each month to achieve her goal is approximately $215.

The formula for future value is given as: FV = PMT × [(1 + r)n - 1] / rHere, FV = $100,000, PMT = $75, r = rate of return, and n = number of periods (18 × 12 = 216 months).Putting the given values in the formula, we get: $100,000 = $75 × [(1 + r)216 - 1] / rSimplifying the above equation, we get: r ≈ 7.1%. Therefore, the minimum rate of return she would need to earn on her investment is approximately 7.1%.b)

To calculate the minimum amount she should invest each month to achieve her goal, the formula for the present value needs to be used. The formula for present value is given as: PV = PMT × [1 - (1 + r)-n] / rHere, PV = $0 (since she hasn't invested yet), PMT = amount to be invested each month, r = 12% annual return compounded monthly, and n = 216 (number of months).Putting the given values in the formula, we get: $0 = PMT × [1 - (1 + 0.01)⁻²¹⁶] / 0.01Simplifying the above equation, we get: PMT ≈ $215.

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you have $300,000 saved for retirement. your account earns 4% interest. how much will you be able to pull out each month, if you want to be able to take withdrawals for 15 years? round your answer to the nearest dollar.

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You will be able to pull out approximately $2,148 per month, rounded to the nearest dollar, from your retirement account for 15 years if you have $300,000 saved and earn 4% interest.

To calculate the monthly withdrawal amount that can be taken for 15 years from a retirement account with $300,000 saved and earning 4% interest, we can use the present value of an annuity formula.

PV = PMT x [(1 - (1/(1+r)^n)) / r]

where:

PV = present value (initial investment)

PMT = payment per period

r = interest rate per period

n = number of periods

Since we want to withdraw the same amount each month for 15 years, the number of periods is 15 years x 12 months per year = 180 months.

To solve for PMT, we need to rearrange the formula as:

PMT = PV x (r / (1 - (1/(1+r)^n)))

Plugging in the given values, we get:

PMT = $300,000 x (0.04 / (1 - (1/(1+0.04)^180))) = $2,148.68

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an automobile dealer can sell 12 cars per day at a price of $17,000. he estimates that for each $300 price reduction he can sell two more cars per day. if each car costs him $14,000, and fixed costs are $1000, what price should he charge to maximize his profit?

Answers

To maximize profit, the dealer should charge $17,000 per car. While reducing the price may increase sales, it also results in a lower profit margin due to the increased costs.

At a price of $17,000, the dealer sells 12 cars per day, resulting in a revenue of $204,000 (12 * $17,000). However, for every $300 price reduction, the dealer can sell two more cars per day.

Therefore, if the price is reduced by $300, the dealer can sell 14 cars per day, resulting in a revenue of $210,000 (14 * $15,000). Now we need to consider costs. Each car costs the dealer $14,000, so at 12 cars per day, the total cost is $168,000 per day. At 14 cars per day, the total cost is $196,000 per day. There are fixed costs of $1000 per day.

To calculate the profit, we subtract the total cost from the total revenue: At a price of $17,000: $204,000 - $168,000 - $1000 = $35,000 profit

At a price of $15,000: $210,000 - $196,000 - $1000 = $13,000 profit

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bally's cost of goods sold in the year of sale (2016) was $750,000 and 2015 cost of goods sold was $770,000. the inventory at the end of 2016 was $188,000 and at the end of 2015 the inventory was $208,000. bally's average number of days to sell its inventory during 2016 is closest to:

Answers

Bally’s average number of days to sell its inventory during 2016 is closest to 96.4 days.

The average number of days to sell inventory, also known as the days’ sales in inventory ratio, is calculated by dividing the average inventory by the cost of goods sold and then multiplying the result by the number of days in the period. In this case, the period is one year, so there are 365 days in the period.

First, we need to calculate Bally’s average inventory for 2016. This can be done by adding the inventory at the end of 2016 ($188,000) to the inventory at the end of 2015 ($208,000) and then dividing the result by 2: ($188,000 + $208,000) / 2 = $198,000.

Next, we can calculate Bally’s days’ sales in inventory ratio for 2016 by dividing the average inventory by the cost of goods sold and then multiplying the result by 365: ($198,000 / $750,000) × 365 = 96.4.

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the asb transaction objective that requires the auditor to establish evidence that all transactions and accounts that should be presented in the financial statements are included is?

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The management's claim of accuracy is connected to posting and summarizing.  The completeness objective is a transaction-related audit objective that examines whether documented transactions have actually occurred.

Whether a business is a for-profit enterprise, a public institution, or a nonprofit, management is the administration of a corporation. It involves both the art and science of resource management for a business. Determining an organization's strategy and supervising employee efforts to achieve goals through utilising resources, such as financial, natural, technological, and human resources, are both parts of management. The terms "run the business" and "change the business" are used in management to distinguish between carrying on with the provision of goods or services .Managers, who are in charge of overseeing a business, are also referred to as "management." Some college students major in management.

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the expected average rate of return for a proposed investment of $600,000 in a fixed asset, with a useful life of four years, straight-line depreciation, no residual value, and an expected total net income of $240,000 for the 4 years, is:

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The expected average rate of return for the proposed investment is 8%.

The expected average rate of return is the ratio of the expected net income to the average investment. Here, the average investment is the initial investment divided by 2, since the asset has a useful life of 4 years and straight-line depreciation is being used.

Average investment = Initial investment / 2 = $600,000 / 2 = $300,000

Expected net income = $240,000

Expected average rate of return = (Expected net income / Average investment) x 100%

= ($240,000 / $300,000) x 100%

= 0.8 x 100%

= 10%

Therefore, the expected average rate of return for the proposed investment is 8%.

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assume that a $3,000,000 par value, semiannual coupon u.s. treasury note with five years to maturity has a coupon rate of 3%. the yield to maturity of the bond is 8.00%. using this information and ignoring the other costs involved, the value of the treasury note is

Answers

The value of the U.S. Treasury note is approximately $1,877,198.50.

To calculate the value of the U.S. Treasury note, we need to use the present value formula for a bond:

[tex]PV = (C / (1 + r/n)^nt) + (F / (1 + r/n)^nt)[/tex]

where PV is the present value, C is the coupon payment, r is the yield to maturity, n is the number of compounding periods per year, t is the number of years to maturity, and F is the face value (par value) of the bond.

In this case, the bond has a face value of $3,000,000, a coupon rate of 3%, semiannual payments (n=2), and a yield to maturity of 8%, which corresponds to a semiannual yield of 4% (8%/2).

We can now plug in the values:

PV = (0.03/2 * $3,000,000 / (1 + 0.04)^25) + ($3,000,000 / (1 + 0.04)^25)

PV = $1,877,198.50

Therefore, the value of the U.S. Treasury note is approximately $1,877,198.50.

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estimating the cost of a product, identifying the price at which a product will be sold, and estimating the demand for a product all take place in which stage of the new-product development process? multiple choice product development new-product strategy development test marketing

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Business analysis is the appropriate reaction. It is the stage of the new product development procedure known as business analysis.

By identifying needs and putting forth recommendations for solutions that benefit stakeholders, business analysis is the practise of enabling change within an organisational setting. An explanation of the business analyst's job. Business analysts support teams by helping them analyse and comprehend a business opportunity or issue. To comprehend how a company or business area functions, conduct research and analysis, taking into account the people, organization, processes, information, data, and technology. Business analysis is a profession that focuses on figuring out how to solve business issues and how to recognise business needs. Business analysts work on initiatives other than those that create software systems.

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question-

(a) product development

(b) product launch

(c) business analysis

(d) new-product strategy development

(e) test marketing

in 2024, a company estimates that warranty costs in the following year will be $25,000. actual warranty costs in 2025 are only $20,000. what is the effect on the balance sheet when recording actual warranty costs in 2025?

Answers

When recording the actual warranty costs in 2025, the effect on the balance sheet will depend on whether the company had recorded a warranty liability in 2024.

If the company had recorded a warranty liability in 2024 based on the estimated warranty costs of $25,000, then the actual warranty costs of $20,000 in 2025 would result in a reduction of the liability. This means that the liability would be decreased by $5,000, which would increase the company's equity or reduce the company's liabilities on the balance sheet.

On the other hand, if the company had not recorded a warranty liability in 2024, then the actual warranty costs of $20,000 in 2025 would be recorded as an expense in the income statement, which would decrease the company's net income. The decrease in net income would also decrease the company's equity on the balance sheet.

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is this statement true or false? all states have financial responsibility laws. responses true true false false

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Financial accountability rules are present in all 50 states. Due to these rules, drivers must demonstrate that they have the resources to pay for any damages they may be responsible for in a mishap. This assertion is true.

The purchase of automobile insurance that satisfies the state's minimal requirements is one method to adhere to these rules. State-specific guidelines and procedures for demonstrating financial accountability, however, differ.

For drivers to be able to pay for any damages they may cause in a mishap, financial accountability rules are in place. State-by-state variations in these laws apply, but generally speaking, drivers must show that they have the resources to cover any losses they may cause.

One way to comply with these laws is by purchasing car insurance that meets the state’s minimum requirements. However, there are other ways to comply with financial responsibility laws as well. For example, some states allow drivers to post a bond or make a cash deposit as proof of financial responsibility. In some cases, businesses may be allowed to self-insure their fleet of vehicles.

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why is there an emphasis on nonprice competition in oligopoly markets rather than on lowering prices to gain market share

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Because non-price competition is more sustainable than price competition, it is prioritized in oligopoly markets rather than cutting prices to increase market share.

Oligopolists favor non-price competition over price wars when they engage in rivalry. The risk is that competitors would just lower their prices in response. A price decrease may accomplish strategic objectives, such as increasing market share or discouraging entrants.

Non-price competition is a business strategy that emphasizes outstanding product quality, a compelling USP, a fantastic location, and exceptional service over reduced pricing as means of luring customers and boosting sales. It aids in brand differentiation and gaining new clients.

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pete is the marketing director for an electric car company. he recently chose "leads" as his search campaign marketing goal. what did he hope to achieve by selecting "leads" as his goal?

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Pete oversees marketing for a manufacturer of electric vehicles. He recently decided on "leads" as the marketing objective of his search effort to persuade clients to buy electric cars.

Instead of utilising fossil fuels like petrol or diesel to charge their batteries, electric vehicles use electricity. Due to their greater efficiency and the lower cost of power, charging an electric car is more affordable than purchasing fuel or diesel for your travel needs.

The key benefits are that it uses less petrol, produces less emissions, and is more economical. Longer recharge times, battery replacement, and fewer charging stations are its drawbacks.

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the ability of an individual, company, or economy to conduct an activity better than another for reasons related to location is called a(n) multiple choice question.

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The ability of an individual, company, or economy to conduct an activity better than another for reasons related to location is called a(n) comparative advantage.

What is Comparative Advantage?

Comparative advantage is an economic law referring to the ability of any given economic actor to generate products or services at a lower marginal and opportunity cost. By focusing on these primary areas of interest, the entity will often produce more effectively and/or efficiently, effectively increasing its productivity and resulting in overall economic growth.

Let's take the example of China, which has an advantage in the production of cheap consumer goods, while the United States has an advantage in high-tech innovation. By concentrating on their respective strengths, both countries may increase their productivity and efficiency, improving their economies over time.

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which best describes the current practice of multinational corporations? a. working with other lenders to provide financial stability to certain areas within developing countries b. supporting community-sponsored agriculture enterprises to feed local populations in developing countries c. hiring indigenous people for below-subsistence wages to grow crops to be exported for profit d. arranging for food and supplements to be delivered free of charge to the poorest areas of developing countries e. lending money to low-income individuals who cannot afford to buy food

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Option c. hiring indigenous people for below-subsistence wages to grow crops to be exported for profit, best describes the current practice of multinational corporations.

The current practice of multinational corporations varies widely depending on the company, its values, and its business practices. Some companies may engage in practices aimed at providing financial stability to certain areas within developing countries, while others may support community-sponsored agriculture enterprises or provide free food and supplements to the poorest areas of developing countries.

However, it is also true that some multinational corporations have been criticized for exploiting cheap labor in developing countries, including hiring indigenous people for below-subsistence wages to grow crops for export. Overall, multinational corporations need to consider the social and economic impacts of their practices and work to ensure that their business practices align with their values and contribute positively to the communities in which they operate.

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the theory of rational expectations contends that policy activism is: a warranted, because discretionary policies have a strong effect on real output. b not warranted; the public defeats discretionary policies because everyone expects them, and therefore, their effectiveness is thwarted. c not warranted; the public magnifies the discretionary policies because everyone expects them, and therefore, their impact is counterproductive. d warranted, because expectations are rational only in the short run. e not warranted, because we don't know enough about the workings of the economy to stabilize it.

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The answer is b. not warranted. According to the principle of rational expectations, advocating for policies is unnecessary Because everyone anticipates them, the public undermines the effectiveness of discretionary programmes.

The reasonable expectations hypothesis contends that past results affect what will happen in the future. According to the hypothesis, people tend to make the right choices the majority of the time because they base those choices on the knowledge they have at hand as well as their prior experiences.

According to one theory, monetary policy might have an impact on price level but not real GDP. According to the rational expectations hypothesis, individuals utilise all available data to predict future economic activity and price levels, and they then modify their behaviour in response to these predictions.

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ceteris paribus the amounts and level of productivity of land, labor, capital and enterprise, a significant increase in the us government budget deficit (assume deficit means t - g <0, meaning government spends more than it collect in taxes) is likely to:\

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Ceteris paribus the amounts and level of productivity of land, labor, capital and enterprise, a significant increase in the US government budget deficit (assume deficit means t - g <0, meaning government spends more than it collects in taxes) is likely to cause a decrease in private investment.

The concept of Ceteris Paribus is derived from the Latin language that translates to "all other things being equal." It means that everything remains constant except the factor that is under observation, this implies that when there is a significant increase in the US government budget deficit, assuming ceteris paribus the amounts and level of productivity of land, labor, capital, and enterprise, it is likely to result in a decrease in private investment.This decrease is due to the increase in interest rates that result from increased government borrowing.

The government has to sell treasury bills to finance the deficit, and when the supply of bills goes up, the interest rates rise. As a result, the cost of borrowing for private investors increases, and they tend to invest less as a result. To summarize, ceteris paribus the amounts and level of productivity of land, labor, capital, and enterprise, a significant increase in the US government budget deficit is likely to cause a decrease in private investment.

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deandre recently took a new job with macklemore industries. he is responsible for buying and selling stocks for individuals looking for assistance. macklemore industries is most likely a(n) multiple choice finance company. insurance company. treasury fund. brokerage firm. credit union.

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DeAndre just started working for Macklemore Industries. He is in charge of purchasing and selling stocks for people who need help. Very likely, Macklemore Industries is a Treasury Fund.

He participated in Texas A&M Aggies' basketball team for one season. The Los Angeles Clippers selected Jordan with the 35th overall choice in the second round of the 2008 NBA Draft. Before deciding to sign with the Dallas Mavericks in July 2018 as a free agent, he played 10 seasons with the Los Angeles Clippers. In January 2019 he was dealt to the New York Knicks, and in July of that same year he signed with the Brooklyn Nets. In September 2021, he was traded to the Detroit Pistons, and the following month, he signed with the Los Angeles Lakers after agreeing to a contract buyout.

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during which stage of the creative process would the development of a product or service prototype be done? a.incubation b.verification c.preparation d.insight

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During the preparation stage of the creative process the development of a product or service prototype would be done. Option C is the correct answer.

The creative process refers to a sequence of steps taken to generate creative ideas. It's a problem-solving process that involves brainstorming, research, testing, and analysis of a concept or idea until it's perfected. The creative process typically includes the following stages:

PreparationIncubationInsightVerificationElaboration

The development of a product or service prototype can be done during the preparation stage of the creative process. The preparation stage is the initial step in the creative process, and it's focused on identifying the problem that needs to be solved, gathering data, and analyzing the data to generate ideas for solving the problem.

During this stage, prototypes can be developed to test and refine concepts before they're implemented in the final product or service. Thus, the correct answer is option C, preparation.

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williams software has 11.8 percent coupon bonds on the market with 15 years to maturity. the bonds make semiannual payments and currently sell for 108.7 percent of par. a. what is the current yield on the bonds?

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Williams Software has 11.8% coupon bonds on the market with 15 years to maturity. The bonds make semiannual payments and currently sell for 108.7% of par. The current yield on the bonds will be 26.50%.

Williams Software 11.8% coupon bonds have 15 years remaining to maturity. The bonds make semiannual payments and are currently selling for 108.7 percent of par value.

What is the current yield on the bonds?

Given, Annual coupon rate (i) = 11.8%  

Semi-annual coupon rate (i /2) = 11.8 / 2 = 5.9%

Time to maturity (n) = 15 years

Semi-annual interest payment = (i / 2) * Face value

Semi-annual interest payment = (5.9 / 100) * $1,000

Semi-annual interest payment = $59

PV = 108.7% of Par Value = 108.7% * $1,000 = $1087.00

Current Yield -: Current yield is defined as the ratio of the bond's annual coupon payment to its market price, multiplied by 100%. The formula for calculating the current yield of a bond is as follows:

Current yield = Annual coupon payment / Market price of bond * 100%

Annual coupon payment = Coupon rate * Par value

Annual coupon payment = 11.8% * $1,000 = $118

Market price of bond = PV of interest payment + PV of maturity value

PV of interest payment = Semi-annual interest payment / (1 + i / 2) ^ n * 2

PV of interest payment = $59 / (1 + 5.9 / 2) ^ (15 * 2)

PV of interest payment = $59 / (1.0295) ^ 30

PV of interest payment = $59 / 2.3812

PV of interest payment = $24.75

PV of maturity value = Par value / (1 + i / 2) ^ n

PV of maturity value = $1,000 / (1 + 5.9 / 2) ^ (15 * 2)

PV of maturity value = $1,000 / (1.0295) ^ 30

PV of maturity value = $1,000 / 2.3812

PV of maturity value = $420.51

Market price of bond = PV of interest payment + PV of maturity value

Market price of bond = $24.75 + $420.51

Market price of bond = $445.26

Current yield = Annual coupon payment / Market price of bond * 100%

Current yield = $118 / $445.26 * 100%

Current yield = 26.50%

Therefore, the current yield on the bond is 26.50%.

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which of the following is not a responsibility of the bankruptcy trustee? group of answer choices liquidate common stock of the company. preserve the estate from any further deterioration. void preferences made by the debtor within 90 days prior to the filing of the bankruptcy petition if the company was already insolvent. recover all property belonging to the insolvent company. make distributions to the proper claimants.

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Of the options presented, the responsibility that is not a duty of the bankruptcy trustee is to liquidate common stock of the company.

The bankruptcy trustee is responsible for a wide range of tasks in order to ensure that the interests of both the debtor and the creditors are protected throughout the bankruptcy process. One of the primary duties of the trustee is to preserve the estate from any further deterioration.

This means that the trustee is responsible for ensuring that the assets of the debtor are protected and not wasted or destroyed during the bankruptcy process. The trustee must also recover all property belonging to the insolvent company in order to maximize the amount of assets available to pay back creditors.

Another responsibility of the trustee is to void preferences made by the debtor within 90 days prior to the filing of the bankruptcy petition if the company was already insolvent. This ensures that creditors are not unfairly favored over others, and that all claims are treated equally during the bankruptcy process.

The trustee is also responsible for making distributions to the proper claimants. This means that the trustee must evaluate the claims of creditors and make sure that each one is paid according to the priority set by bankruptcy law. Finally, the trustee must provide regular reports to the court and the creditors on the progress of the bankruptcy case, including any significant developments or changes to the estate.

In conclusion, while the bankruptcy trustee has a wide range of responsibilities, the liquidation of common stock of the company is not one of them. Instead, the trustee's duties primarily involve preserving the estate, recovering assets, voiding preferences, making distributions, and providing regular reports to the court and the creditors.

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trade associations are an example of , which help firms to internalize sustainability: group of answer choices market drivers

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Non-market drivers are factors that affect a firm's ability to achieve its goals and operate in the market, but are not directly related to the market forces of supply and demand. They include factors such as regulations, social norms, and stakeholder pressures, among others.

Trade associations are non-profit organizations that are formed by groups of firms in a particular industry or sector to promote their collective interests and address common challenges. They often provide a forum for firms to collaborate on issues related to sustainability, such as developing industry-wide standards and best practices, sharing knowledge and resources, and advocating for policies and regulations that support sustainable practices.

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Full Question ;

trade associations are an example of , which help firms to internalize sustainability:

imagine that you are the manager of an aspiring multinational video conferencing company. what would not be a strategic reason for your company to expand outside your domestic market to improve its overall competitiveness? multiple choice to seek a profit sanctuary to develop export markets to create new licensing opportunities to establish a subsidiary in a foreign market to franchise operations under local ownership

Answers

To Seek A Profit Sanctuary is the option that would not be a strategic justification for expanding outside your home market.

What exactly is a  Profit Sanctuary ?

The various international markets where a company is content and makes a lot of money are known as profit sanctuaries. It is expected that the business will have a robust market and the necessary resources to generate a profit.

Profit sanctuaries are a valuable competitive asset in global industries because these are the areas where businesses are known to make the most of their money. Typically, a company's home market is its most strategically important profit sanctuary. They have accumulated the majority of their wealth there steadily.

Because of this, the company will not expand beyond their domestic market.

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arnold inc. is considering a proposal to manufacture high-end protein bars used as food supplements by body builders. the project requires use of an existing warehouse, which the firm acquired three years ago for $3 million and which it currently rents out for $123,000. rental rates are not expected to change going forward. in addition to using the warehouse, the project requires an upfront investment into machines and other equipment of $1.3 million. this investment can be fully depreciated straight-line over the next 10 years for tax purposes. however, arnold inc. expects to terminate the project at the end of eight years and to sell the machines and equipment for $496,000. finally, the project requires an initial investment into net working capital equal to 10% of predicted first-year sales. subsequently, net working capital is 10% of the predicted sales over the following year. sales of protein bars are expected to be $4.5 million in the first year and to stay constant for eight years. total manufacturing costs and operating expenses (excluding depreciation) are 80% of sales, and profits are taxed at 30%. a. what are the free cash flows of the project? b. if the cost of capital is 15%, what is the npv of the project?

Answers

(A) The free cash flow of the project is -

Year 0: -$1,950,000

Year 1: $320,000

Years 2-8: $320,000

Year 9: $166,000

(B) The NPV of the project is -$204,938.87

Year 0:

Initial investment in equipment and net working capital: -$1,950,000 ($1.3 million + $450,000)

Year 1:

Sales revenue: $4,500,000

Manufacturing costs and operating expenses: -$3,600,000 (80% of sales)

Depreciation: -$130,000 ($1.3 million / 10)

Change in net working capital: -$450,000 (10% of sales)

Cash flow: $320,000

Years 2-8:

Sales revenue: $4,500,000

Manufacturing costs and operating expenses: -$3,600,000 (80% of sales)

Depreciation: -$130,000 ($1.3 million / 10)

Change in net working capital: -$450,000 (10% of sales)

Cash flow: $320,000

Year 9:

Sales revenue: $4,500,000

Manufacturing costs and operating expenses: -$3,600,000 (80% of sales)

Depreciation: -$130,000 ($1.3 million / 10)

Change in net working capital: $0 (net working capital is not needed since the project ends)

Sale of equipment: $496,000

Cash flow: $166,000 ($320,000 - $130,000 + $496,000)

Therefore, the free cash flows of the project are:

Year 0: -$1,950,000

Year 1: $320,000

Years 2-8: $320,000

Year 9: $166,000

b. To calculate the net present value (NPV) of the project, we need to discount the free cash flows to present value using the cost of capital of 15%.

NPV = ( [tex]\frac{320,000 }{1.15}[/tex]) + ( [tex]\frac{320,000 }{1.15^2}[/tex]) + ... + ( [tex]\frac{320,000}{1.15^8}[/tex]) + ( [tex]\frac{166,000}{1.15^9}[/tex]) - 1,950,000

NPV = $204,938.87

Therefore, at a cost of capital of 15%, the NPV of the project is positive, indicating that it is a good investment for Arnold Inc.

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nico owns 100 shares of stock x which has a price of $12 per share and 200 shares of stock y which has a price of $3 per share. what is the proportion of nico's portfolio invested in stock x? 50% 77% 67% 33%

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Nico has 67% of his portfolio invested in stock X and 33% of his portfolio invested in stock Y. (option c).

In this scenario, Nico owns 100 shares of stock X, which is priced at $12 per share, and 200 shares of stock Y, which is priced at $3 per share. To determine the proportion of Nico's portfolio invested in stock X, we need to calculate the total value of Nico's portfolio and the value of stock X.

The value of Nico's stock X investment is 100 shares x $12 per share = $1,200. The value of Nico's stock Y investment is 200 shares x $3 per share = $600. Therefore, the total value of Nico's portfolio is $1,800 ($1,200 + $600).

To calculate the proportion of Nico's portfolio invested in stock X, we divide the value of his stock X investment by the total value of his portfolio:

$1,200 ÷ $1,800 = 0.67 or 67%

Then the correct choice is option c.

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compute a price-weighted stock price index for the beginning of the year and the end of the year. what is the percentage change?

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The percentage change in the price-weighted stock price index is approximately 57.4%.

To compute a price-weighted stock price index, we need to find the sum of the prices of all the stocks at the beginning of the year and the end of the year, and then divide by the total number of stocks.

At the beginning of the year, the sum of the prices of all the stocks is

(100 shares x $100/share) + (1000 shares x $20/share) + (10,000 shares x $3/share) = $10000 + $20000 + $30000 = $60000

Dividing by the total number of shares, we get the price-weighted index at the beginning of the year

($60000 / 11,100 shares) ≈ $5.4/share

At the end of the year, the sum of the prices of all the stocks is

(100 shares x $94/share) + (1000 shares x $25/share) + (10,000 shares x $6/share) = $9400 + $25000 + $60000 = $94400

Dividing by the total number of shares, we get the price-weighted index at the end of the year

($94400 / 11,100 shares) ≈ $8.5/share

The percentage change in the price-weighted index is

[(End of year index - Beginning of year index) / Beginning of year index] x 100%

= [(8.5 - 5.4) / 5.4] x 100%

≈ 57.4%

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The given question is incomplete, the complete question is:

Consider the following information on the stock market in a small economy.a. Compute a price-weighted stock price index for the beginning of the year and the end of the year. What is the percentage change?

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