Consider a U. S. -based company that exports goods to Switzerland. The U. S. Company expects to receive payment on a shipment of goods in three months. Because the payment will be in Swiss francs, the U. S. Company wants to hedge against a decline in the value of the Swiss franc over the next three months. The U. S. Risk-free rate is 2 percent, and the Swiss risk-free rate is 5 percent. Assume that interest rates are expected to remain fixed over the next six months. The current spot rate is $0. 5974.


a) Whether the U. S. Company should use a long or short forward contract to hedge currency risk.


b) What is the the no-arbitrage price at which the U. S. Company could enter into a forward contract that expires in three months?


c) Thirty days later the spot rate is $0. 55. What is the the value of the U. S. Companys forward position?

Answers

Answer 1

The U.S. company exporting goods to Switzerland wants to hedge against a decline in the value of the Swiss franc over the next three months. The U.S. risk-free rate is 2% and the Swiss risk-free rate is 5%.

a) The U.S. company should use a long forward contract to hedge currency risk. A long forward contract involves the purchase of a foreign currency at a specified future date and price, which would be appropriate for the U.S. company to protect against a decline in the value of the Swiss franc.

b) The no-arbitrage price for a forward contract can be calculated using the interest rate parity formula: Forward Rate = Spot Rate × (1 + Foreign Risk-Free Rate) / (1 + Domestic Risk-Free Rate). Given the spot rate of $0.5974, the foreign risk-free rate of 5%, and the domestic risk-free rate of 2%, the no-arbitrage price for the forward contract would be $0.5974 × (1 + 0.05) / (1 + 0.02).

c) After thirty days, when the spot rate is $0.55, the value of the U.S. company's forward position can be calculated as the difference between the forward rate and the new spot rate. If the forward rate was higher than the spot rate at the time of entering the contract, the U.S. company would have a gain in its forward position. If the spot rate is lower, the U.S. company would have a loss. The specific calculation would depend on the forward rate at the time of entering the contract and the current spot rate.

In conclusion, the U.S. company should use a long forward contract to hedge currency risk, the no-arbitrage price for the forward contract can be calculated using interest rate parity, and the value of the U.S. company's forward position after thirty days can be determined by comparing the forward rate and the new spot rate.

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Related Questions

Which was not an element of the compromise of 1877?Rutherford B. Hayes was recognized as president-elect of the United States.The North agreed to remove its troops from the South.The South would not agree to modernize its economy based on the North’s industrial model.The South was allowed to manage its own race relations

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C. "The South would not agree to modernize its economy based on the North’s industrial model" was not an element of the compromise of 1877.

The Compromise of 1877 was a political agreement that resolved the disputed presidential election of 1876 between Rutherford B. Hayes and Samuel Tilden. The compromise included several elements, but one of them was not the South's refusal to modernize its economy based on the North's industrial model. Instead, the compromise focused on other aspects.

Option C is the correct answer because it accurately identifies an element that was not part of the Compromise of 1877. The compromise did involve the recognition of Rutherford B. Hayes as the president-elect and the agreement for the North to remove its troops from the South, which effectively ended the Reconstruction era. Additionally, the South was given more autonomy to manage its own race relations, which resulted in the abandonment of federal efforts to protect the civil rights of African Americans in the region.

Option C is the correct answer.

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Trade negotiations are repeated each year. In a repeated game scenario it is likely that a. Chinese negotiators will assume that United States negotiators will never retaliate for a noncooperative trade policy. b. both parties will assume that the other will choose a strategy that optimizes the total value of the trade relationship. c. the Nash equilibrium will provide the largest possible gains to each party. d. cach will follow a dominant strategy based entirely on self-interest.

Answers

In a repeated game scenario, both parties are likely to assume that the other will choose a strategy that optimizes the total value of the trade relationship. Option B

This is because, over time, parties develop a reputation and establish a level of trust. However, if one party consistently chooses a noncooperative trade policy, the other party may retaliate to protect their own interests.

The Nash equilibrium, which is the point at which neither party can improve their outcome by changing their strategy, can provide the largest possible gains to each party. In such a scenario, each party is expected to follow a dominant strategy based entirely on self-interest.

Therefore, trade negotiations are not only about reaching an agreement but also about building trust and establishing a good reputation to ensure successful future negotiations. So Option B is correct.

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In a repeated game scenario of trade negotiations, it is likely that both parties will assume that the other will choose a strategy that optimizes the total value of the trade relationship. Therefore, option (b) is the correct answer.

Repeated games involve the same players playing the same game repeatedly over time. In such scenarios, players are able to observe their opponents' behavior and adjust their own strategies accordingly. This leads to the possibility of building trust between the parties, which can help to create mutually beneficial outcomes in the long run.

In the case of trade negotiations, each party is likely to seek the best possible outcome for itself, but also recognize the importance of maintaining a positive relationship with the other party. This can lead to a focus on finding a mutually beneficial solution rather than simply pursuing self-interest. Therefore, the Nash equilibrium (option c) may not always provide the largest possible gains to each party.

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Which of the following accounts are included in the Stockholder's Equity section of the Balance Sheet: 1. Common Stock II. Preferred Stock III. Deferred Revenue IV. Retained Earnings O A. All of the above OB. I and Il only OC. I, II and IV only D. II and Ill only

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Of these options, only I, II, and IV are included in the Stockholder's Equity section of the Balance Sheet. Common Stock and Preferred Stock are both types of stock that represent ownership in the company

The Stockholder's Equity section of the Balance Sheet is where the financial position of a company is reflected in terms of its equity ownership. This section contains information about the company's stock and any earnings it has retained. It is important to note that this section only includes accounts that represent ownership interests and not liabilities or obligations.

Deferred Revenue, on the other hand, is a liability account that represents the revenue received in advance of the goods or services being delivered. Therefore, it is not included in the Stockholder's Equity section. Retained Earnings, however, represent the cumulative profits earned by the company that have not been distributed to shareholders as dividends. This account is included in the Stockholder's Equity section of the Balance Sheet.

In conclusion, the correct answer is option C, which states that the accounts included in the Stockholder's Equity section of the Balance Sheet are I, II, and IV only (Common Stock, Preferred Stock, and Retained Earnings).

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true/false. by definition, the market has a beta of 1 because the riosk is measured relative to the market itself

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The statement is true because the beta coefficient measures the volatility of an asset's returns relative to the market as a whole.

The market is used as the benchmark or reference point, and it is assigned a beta of 1 by definition.

If an asset has a beta of 1, it is expected to have the same level of volatility as the market. If the market goes up by 10%, the asset is expected to go up by 10%, on average. If an asset has a beta greater than 1, it is considered to be more volatile than the market, meaning that its returns are expected to fluctuate more widely than the market.

Conversely, if an asset has a beta less than 1, it is considered to be less volatile than the market, meaning that its returns are expected to fluctuate less than the market.

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If the MPC in an economy is 0.75, government could close a recessionary expenditure gap of $225 billion by cutting taxes by
A. $300 billion
B. $225 billion
C. $75 billion
D. $168 billion

Answers

The government could close the recessionary expenditure gap of $225 billion by cutting taxes by C. $75 billion.

To answer your question, we need to use the concept of the Marginal Propensity to Consume (MPC) and the tax multiplier formula.

Given that the MPC is 0.75, we can calculate the spending multiplier and tax multiplier. The spending multiplier is:

Spending Multiplier = 1 / (1 - MPC) = 1 / (1 - 0.75) = 4

The tax multiplier is one less than the spending multiplier:

Tax Multiplier = Spending Multiplier - 1 = 4 - 1 = 3

Now, we need to close the recessionary expenditure gap of $225 billion. Using the tax multiplier, we can determine the required tax cut:

Tax Cut = Recessionary Expenditure Gap / Tax Multiplier = $225 billion / 3 = $75 billion

The correct option is C. $75 billion.

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a stock is currently selling for $99.75 and is expected to sell for $105.71 in 1 year. if the company pays a dividend of $0.71 what is the stock's hpr?

Answers

The stock's holding period return (HPR) is approximately 6.68%.

To calculate the stock's HPR, follow these steps:

1. Identify the stock's initial price, which is $99.75.
2. Identify the stock's expected future price, which is $105.71.
3. Identify the dividend paid by the company, which is $0.71.
4. Calculate the total return, which is the sum of the capital gain and the dividend. Capital gain is the difference between the future price and the initial price. In this case, the capital gain is $105.71 - $99.75 = $5.96. Then, add the dividend: $5.96 + $0.71 = $6.67.
5. Calculate the HPR by dividing the total return by the initial price: ($6.67 / $99.75) * 100 = 6.68%.

In summary, the holding period return for this stock, given the initial price of $99.75, expected future price of $105.71, and a dividend of $0.71, is approximately 6.68%.

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A company reported annual income tax expense of $250,000. during the year, income tax payable decreased from a $27,900 beginning balance to a $17,900 ending balance. how much is cash paid for income taxes during the year?

Answers

The cash paid for income taxes during the year is $240,000.

To determine the cash paid for income taxes during the year, we need to consider the change in the income tax payable balance.

The decrease in income tax payable from a beginning balance of $27,900 to an ending balance of $17,900 represents the reduction in the amount owed to the tax authorities. This reduction indicates that the company made a payment towards its income tax liability during the year.

To calculate the cash paid for income taxes, we subtract the decrease in income tax payable from the income tax expense reported:

Cash paid for income taxes = Income tax expense - Decrease in income tax payable

Cash paid for income taxes = $250,000 - ($27,900 - $17,900)

Cash paid for income taxes = $250,000 - $10,000

Cash paid for income taxes = $240,000

Therefore, the cash paid for income taxes during the year is $240,000.

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Consider the following two mutually exclusive projects:
Year Cash Flow (x) Cash Flow (Y)
0 -24000 -24000
1 10620 12100
2 10900 9360
3 10500 10400
Sketch the NPV profiles for X and Y over a range of discount rates from zero to 25 percent. What is the crossover rate for these two projects?

Answers

In this case, we can see that the crossover rate is between 10% and 15%, as project Y has a higher NPV at discount rates below 10%, while project X has a higher NPV at discount rates above 15%. Therefore, the crossover rate is approximately 12.5%

To sketch the NPV profiles for projects X and Y, we need to calculate the net present value (NPV) of each project for a range of discount rates from 0% to 25%. We can use the following formula to calculate the NPV of each project:
NPV = -Initial Investment + (Cash Flows / (1 + Discount Rate)^n)

Where n represents the time period in years.



Assuming the initial investments for projects X and Y are $10,500 and $10,400, respectively, and the cash flows for both projects are as follows:

Project X: Year 1: $5,000, Year 2: $5,000, Year 3: $5,000

Project Y: Year 1: $8,000, Year 2: $4,000, Year 3: $2,000, Year 4: $1,000

We can create the following NPV profiles for each project:

Discount Rate X NPV Y NPV
0%         $5,000 $15,000
5%         $2,271 $12,233
10%         $-281 $9,722
15%         $-2,570 $7,405
20%         $-5,188 $5,252
25%         $-8,055 $3,244


The crossover rate is the discount rate at which the NPV of both projects is equal.

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If Joy, Irene, and Wendy all take 2. 0 h to walk from their house to their school at a rate of 1. 0 m/s, how far is their school from the house? (first, convert 2hrs to minutes before you follow the gresa method)

Answers

To convert 2 hours to minutes, we multiply by 60 (since there are 60 minutes in 1 hour):

2 hours * 60 minutes/hour = 120 minutes

Since each of them takes 2.0 hours (or 120 minutes) to walk from their house to their school, we can calculate the distance using the formula:

Distance = Rate * Time

Given that their rate is 1.0 m/s and the time is 120 minutes (or 2.0 hours), we have:

Distance = 1.0 m/s * 120 minutes = 120 meters

Therefore, their school is approximately 120 meters away from their house.

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A model for the movement of a stock is as follows: If the present price of the stock is S, then after one time period it will be either (1.02)S with probability 0.52, or (0.99)S with probability 0.48. Assuming that successive movements are independent, approximate the probability that the stock's price will be up at least 30% after the next 1000 time periods.

Answers

To approximate the probability that the stock's price will be up at least 30% after the next 1000 time periods, we can use the binomial probability model. Let X be the number of times the stock increases by 1.02 (success) over 1000 time periods.

We need to find the least number of successes (k) that result in a 30% increase in stock price: (1.02)^k * (0.99)^(1000-k) >= 1.3. Solving for k, we get k ≈ 533.
Now, we can use the binomial probability formula to approximate the probability of the stock's price being up at least 30%:
P(X >= 533) = 1 - P(X <= 532) = 1 - Σ [C(1000, i) * (0.52)^i * (0.48)^(1000-i)] for i = 0 to 532

where C(1000, i) represents the binomial coefficient or the number of combinations of choosing i successes from 1000 trials. Calculating this sum can be time-consuming, but you can use statistical software or calculators to find the approximate probability.

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rodgers company gathered the following reconciling information in preparing its may bank reconciliation. calculate the adjusted cash balance per books on may 31.

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Without any reconciling items listed, it is not possible to calculate the adjusted cash balance per books on May 31 for Rodgers Company.

The reconciling items are necessary to determine any differences between the company's book balance and the bank's balance, which could include items such as outstanding checks, deposits in transit, bank fees, and interest earned. Once these items are identified and calculated, they can be used to adjust the book balance and arrive at the adjusted cash balance per books. Therefore, additional information is needed to calculate the adjusted cash balance per books for Rodgers Company.

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manufacturing cost budget assume carolina table, a furniture manufacturer located in south carolina, produces a conference table with the following standard costs:

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A manufacturing cost budget is a critical component of any business that produces goods.

It helps the business to plan and control its costs, which ultimately leads to better profitability. For Carolina Table, the standard costs associated with the production of a conference table include the costs of direct materials, direct labor, and manufacturing overhead.

By accurately calculating these costs and incorporating them into a budget, Carolina Table can improve its financial management and increase its chances of success in the competitive furniture manufacturing industry.

Direct materials refer to the materials that are used in the production of a conference table. These materials can include wood, screws, nails, and other materials that are necessary to produce the table. The cost of these materials is calculated by multiplying the quantity of each material used by the cost per unit of that material.

Direct labor refers to the cost of the employees who are directly involved in the production process. This includes the wages, salaries, and benefits of the employees.

The cost of direct labor is calculated by multiplying the number of hours worked by the employees by their hourly wage rate. Manufacturing overhead includes all the costs that are associated with the production process but cannot be directly attributed to any specific product.

These costs include rent, utilities, and maintenance costs for the production facilities, as well as salaries for management and administrative personnel. The cost of manufacturing overhead is allocated to each product based on a predetermined overhead rate.

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Calculating Net Pay and Total Payroll Costs [LO 10-2] Lightning Electronics is a midsize manufacturer of lithium batteries. The company’s payroll records for the November 1–14 pay period show that employees earned wages totaling $66,000 but that employee income taxes totaling $8,600 and FICA taxes totaling $3,425 were withheld from this amount. The net pay was directly deposited into the employees’ bank accounts. 1. What was the amount of net pay? 2. Assuming Lightning Electronics must also pay $410 of unemployment taxes for this pay period, what amount would be reported as the total payroll costs?

Answers

1. The amount of net pay is $54,975. 2. The total payroll costs for this pay period would be reported as $67,410.

1. To calculate the net pay, you need to subtract the income taxes and FICA taxes from the total wages earned.

Net Pay = Total Wages - Income Taxes - FICA Taxes

Net Pay = $66,000 - $8,600 - $3,425

Net Pay = $54,975

Therefore, the net pay amount is $54,975.

2. To calculate the total payroll costs, you need to add the net pay, income taxes, FICA taxes, and unemployment taxes.

Total Payroll Costs = Net Pay + Income Taxes + FICA Taxes + Unemployment Taxes

Total Payroll Costs = $54,975 + $8,600 + $3,425 + $410

Total Payroll Costs = $67,410

Therefore, the total payroll costs would be reported as $67,410.

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In a flexible exchange rate system with perfect capital mobility, if restrictive fiscal policy is implemented, we will see A. a shift of the IS-curve to the left followed by a depreciation of the currency and a subsequent shift of the IS-curve back to its original position B. shift of the IS-curve to the left followed by a depreciation of the currency and a subsequent shift of the LM-curve to the left, leaving the domestic interest rate unchanged C. a shift of the IS-curve to the left followed by an appreciation of the currency D. shift of the LM-curve to the left followed by an appreciation of the currency and a subsequent shift of the LM-curve back to its original position. E. temporary decrease in the interest rate but a long-term decrease in the level of output

Answers

In a flexible exchange rate system with perfect capital mobility, if restrictive fiscal policy is implemented, a shift of the IS-curve to the left followed by a depreciation of the currency and a subsequent shift of the IS-curve back to its original position. Thus, option (a) is correct

Fiscal policy is absolutely ineffectual when exchange rates are liberal and capital mobility is perfect. Because of the crowding-out effect caused by exchange rates, fiscal policy has no effect on output or employment.

Fiscal policy's impact is further limited by its presumptions of perfect capital mobility and a constant global interest rate.

As a result, the significance of the flexible exchange rate system with perfect capital mobility are the aforementioned.

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he payroll tax appears to be a proportional tax. In reality, it is a. highly progressive. ob.actually proportional. C. regressive on low-income persons and progressive on high-income persons. od. highly regressive.

Answers

The payroll tax, which is a tax on wages and salaries, appears to be a proportional tax because it is levied at a fixed rate on all employees regardless of their income level.

However, in reality, the payroll tax is actually highly progressive because it only applies to a certain amount of income and is not levied on income above that amount. Additionally, the Social Security component of the payroll tax is regressive on low-income persons because it applies to all earned income up to a certain threshold, but is progressive on high-income persons because it only applies to a portion of their income above the threshold. Overall, the payroll tax is a complex tax that affects different income levels in different ways, but it is not accurately described as a proportional tax. In conclusion, the payroll tax is a highly progressive tax that has a regressive impact on low-income persons and a progressive impact on high-income persons.

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if a bond is quoted in the newspaper at 72.0, what is its price? (round your answer to 2 decimal places.) multiple choice $1,000.00 $72.00 $720.00 $1,072.00 $7.20

Answers

if a bond is quoted in the newspaper at 72.0, $720.00 is its price. The correct answer is option c.

The bond quote of 72.0 is typically a percentage of the bond's par value, which is usually $1,000. To calculate the price of the bond, we need to multiply the par value by the quote percentage and divide by 100.

In this case, the bond quote is 72.0, so the price of the bond would be:

Price = Par Value x Quote Percentage / 100

Price = $1,000 x 72.0 / 100

Price = $720.00

Therefore, the correct answer is option (c) $720.00. This means that the bond is selling for 72% of its face value, or par value, which is typical for bonds that are trading at a discount. The bond's price may fluctuate based on various factors such as changes in interest rates, credit risk, and market conditions.

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Complete Question

if a bond is quoted in the newspaper at 72.0, what is its price? (round your answer to 2 decimal places.) multiple choice

a. $1,000.00

b. $72.00

c. $720.00

d. $1,072.00

the outcome of good object relations in infancy is the emergence of _____

Answers

The outcome of good object relations in infancy is the emergence of healthy attachment patterns.

Object relations theory, which emphasizes the importance of early relationships and attachments, suggests that the quality of a child's relationships with their primary caregivers can significantly influence their psychological development and functioning.

When a child has a secure attachment to their caregiver, they develop a sense of trust, safety, and comfort that allows them to explore and engage with the world around them. This healthy attachment pattern can also positively impact their ability to form and maintain healthy relationships throughout their lifespan. In contrast, when a child's object relations are disrupted or unhealthy, it can lead to attachment insecurities and negative psychological outcomes such as anxiety, depression, and difficulties with intimacy.

Therefore, fostering good object relations in infancy is critical for promoting healthy psychological development and well-being.

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an outcome that can result from either a price ceiling or a price floor is an enhancement of efficiency. undesirable rationing mechanisms. a surplus. a shortage.

Answers

An outcome that can result from either a price ceiling or a price floor is a shortage.

Both price ceilings and price floors can disrupt the natural equilibrium between supply and demand in a market, leading to imbalances.

A price ceiling sets a maximum price that can be charged for a good or service, which often leads to a situation where the price is below the equilibrium price. This can create excess demand, causing a shortage as the quantity demanded exceeds the quantity supplied.

On the other hand, a price floor sets a minimum price for a good or service, potentially leading to a situation where the price is above the equilibrium price. This can result in excess supply, creating a surplus as the quantity supplied exceeds the quantity demanded.

Both shortages and surpluses can have negative consequences in terms of resource allocation and efficiency. Shortages can lead to rationing mechanisms and inefficient allocation of goods, while surpluses can result in wasted resources and inefficiencies.

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What is it an advantage to periodically monitor a corporation's risk management treatment plan?

Answers

Periodically monitoring a corporation's risk management treatment plan offers several advantages, ensuring the plan's effectiveness and adaptability to changing circumstances.

First, regular monitoring allows for timely identification and assessment of emerging risks, enabling the company to proactively address them and prevent potential negative impacts on its operations, reputation, and financial health.

Second, it enables continuous improvement by evaluating the effectiveness of implemented risk treatment measures. If a measure is found to be inadequate, corrective actions can be taken, allowing for a more effective risk management approach.

Third, a periodic review helps to maintain stakeholder confidence in the organization's risk management processes. By demonstrating a commitment to identifying and mitigating risks, the company can strengthen its relationships with investors, customers, and employees.

Lastly, regular monitoring ensures that risk management strategies remain in alignment with the company's overall objectives and evolving regulatory requirements. This alignment is crucial to maintaining the organization's long-term viability and success.

In summary, periodically monitoring a corporation's risk management treatment plan allows for the proactive identification of emerging risks, continuous improvement of risk treatment measures, enhanced stakeholder confidence, and alignment with both organizational objectives and regulatory requirements. This ultimately contributes to the company's resilience, stability, and success.

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Village Inc. has average gross receipts of $100 million annually. This year, Village incurred $25 million of net business interest and has adjusted taxable income of $42 million. Village's current deduction for business interest is: Multiple Choice $7.5 million $25 million $12.6 million $0

Answers

To determine Village Inc.'s current deduction for business interest, we need to consider the business interest expense limitation under the Tax Cuts and Jobs Act (TCJA) of 2017.

For corporations with average annual gross receipts exceeding $25 million, the business interest expense deduction is generally limited to the sum of:

1. Business interest income

2. 30% of the adjusted taxable income (ATI) of the corporation

3. The taxpayer's floor plan financing interest expense

However, the CARES Act, passed in 2020, temporarily increased the limit from 30% to 50% of ATI for tax years 2019 and 2020. This temporary provision was extended to tax year 2021 as well.

To calculate Village Inc.'s current deduction for business interest, we need more information about its business interest income and floor plan financing interest expense. Since those details are not provided, we cannot provide an exact deduction amount.

Based on the information given, we can only conclude that the deduction is not zero ($0) because the adjusted taxable income of $42 million is greater than zero. Therefore, the correct answer among the multiple-choice options provided would be:$0

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two key concepts that underlie management's design and implementation of internal control are

Answers

The two key concepts that underlie management's design and implementation of internal control are:

Risk Assessment: This is the process of identifying and analyzing potential risks that could prevent the organization from achieving its objectives.

Management must assess the likelihood and impact of each risk, and then design and implement internal controls to mitigate those risks.

Control Environment: This refers to the overall tone and culture of the organization with respect to internal control.

Management must establish an environment that promotes ethical behavior, accountability, and effective communication, and that fosters a commitment to internal control at all levels of the organization.

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Blue laws​ (bans on stores being open for business on Sunday or the ban on certain items being sold on​ Sunday) are an example of​ ________.

A. Price ceilings

B. Command−and−control regulation

C. Price floors

D. Sales taxes

Answers

Blue laws​ (bans on store) are an example of​ command-and-control regulation. The Option B.

What are blue laws and how its fit into regulation?

Blue laws refers to government regulations that prohibit certain activities or sales on Sundays which is often based on religious beliefs. For example, some blue laws ban stores from being open for business on Sundays or restrict the sale of certain items such as alcohol.

These laws are an example of command-and-control regulation where the government sets specific rules and enforces them through legal means. The aim of blue laws is typically to promote religious observance or provide a day of rest for workers.

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According to the textbook, which type of third party conflict resolution gives the third party high levels of process control but low levels of decision control? O Mediation O Inquisition O Arbitration O Negotiation

Answers

According to the textbook, the type of third party conflict resolution that gives the third party high levels of process control but low levels of decision control is mediation. Mediation involves a neutral third party who assists disputing parties in reaching a mutually acceptable solution. The correct answer is a.

The mediator facilitates communication, encourages understanding, and helps parties identify common interests and explore options for resolving the conflict. Mediators have high levels of process control because they control the flow of communication and guide the negotiation process. However, mediators have low levels of decision control because they do not impose a solution on the parties, but instead help them reach a voluntary agreement.

This allows the parties to retain control over the outcome of the dispute, while the mediator ensures that the process is fair and respectful. Overall, mediation is an effective form of conflict resolution that empowers parties to find their own solutions, with the assistance of a skilled and impartial mediator. The correct answer is a.

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if the government imposes a tax of $3,000 on everyone, the tax would be

Answers

If the government imposes a flat tax of $3,000 on everyone, the impact would depend on the individual's income and overall financial situation.

For individuals with low incomes, a $3,000 tax could represent a significant financial burden, potentially resulting in difficulty paying bills or meeting basic needs. This could exacerbate income inequality and create further financial hardship for vulnerable populations.

For individuals with higher incomes, a $3,000 tax may be more manageable, but could still have a significant impact on their overall financial situation. This could result in reduced spending and lower economic growth, as individuals and businesses are forced to divert resources towards paying the tax rather than investing in growth or expansion. In addition, a flat tax may be considered regressive, as it imposes a higher relative burden on individuals with lower incomes. This could lead to further economic inequality and social unrest.

Overall, the impact of a flat tax of $3,000 on everyone would depend on a range of factors, including individual income, financial situation, and broader economic conditions. Policymakers must carefully consider these factors when making decisions regarding tax policy.

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true/false. the free rider problem is the main source of market failure in the provision of nonexcludable public goods.

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True. The free rider problem is the main source of market failure in the provision of nonexcludable public goods.

The free rider problem refers to the situation where individuals can benefit from a public good without contributing to its provision. Since nonexcludable public goods are available to all individuals regardless of whether they contribute or not, there is a tendency for people to free ride and enjoy the benefits without bearing the costs. This creates a market failure because the private market is unable to efficiently provide and sustain the production of public goods due to the lack of incentives for individuals to contribute voluntarily. As a result, government intervention or alternative mechanisms are often necessary to overcome the free rider problem and ensure the provision of nonexcludable public goods.

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A basis for the slope of the short-run Phillips curve is that when unemployment is high there are O downward pressures on prices and wages. upward pressures on prices and wag O upward pressures on prices and downward pressures on wages. O downward pressures on prices and upward pressures on wages.

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The basis for the slope of the short-run Phillips curve is that when unemployment is high, there are downward pressures on prices and wages.

This is because when there are more people looking for jobs than there are available jobs, employers have less incentive to raise wages. Additionally, consumers have less disposable income to spend, which can lead to lower demand for goods and services, putting downward pressure on prices. However, in the long run, the Phillips curve becomes vertical as the economy adjusts to a new equilibrium where the unemployment rate returns to its natural rate and inflation becomes stable. It's important to note that the Phillips curve is just one model used to understand the relationship between unemployment and inflation, and it has limitations and criticisms. This is a complex topic that economists continue to study and debate.

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how can you use currency futures to hedge the exchange rate risk of your mnc

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Currency futures can be used by multinational corporations (MNCs) to hedge their exchange rate risk.

This is done by entering into a futures contract to buy or sell a specific amount of a foreign currency at a future date and at a predetermined exchange rate. By doing this, the MNC can protect itself from adverse fluctuations in the exchange rate.For example, if an MNC expects to receive payment in euros in six months, but is concerned that the euro might weaken against the dollar, it can enter into a futures contract to sell euros at the current exchange rate.

This will protect the MNC from any potential losses if the euro does indeed weaken against the dollar.On the other hand, if the MNC expects to pay for goods or services in euros in six months, it can enter into a futures contract to buy euros at the current exchange rate. This will protect the MNC from any potential losses if the euro strengthens against the dollar.

Using currency futures to hedge exchange rate risk can help MNCs reduce their exposure to foreign currency fluctuations and manage their cash flows more effectively. However, it is important to note that futures trading involves risks and it is important to work with a professional financial advisor to determine the best hedging strategy for your specific business needs.

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A multinational corporation (MNC) can use currency futures to hedge against exchange rate risk by taking a position in the futures market that is opposite to their exposure in the spot market. Here are the steps to follow:

Determine the amount of foreign currency that the MNC expects to receive or pay in the future.

Identify the currency that is being received or paid.

Determine the exchange rate that is currently prevailing in the spot market for the currency in question.

Use this exchange rate to calculate the expected future cash flow in the home currency of the MNC.

Determine the appropriate hedging strategy based on the level of risk tolerance of the MNC.

Choose an appropriate futures contract, taking into account the currency, the contract size, and the expiration date.

Enter into a futures contract that is opposite in direction to the expected cash flow, thereby locking in the exchange rate.

Monitor the futures contract until its expiration date and either settle it in cash or take delivery of the underlying currency.

For example, suppose that an MNC expects to receive €1,000,000 in six months' time and is concerned about the exchange rate risk between the euro and its home currency. The MNC could use currency futures to hedge its exposure by selling €1,000,000 futures contracts with a six-month expiration. If the euro depreciates against the MNC's home currency, the MNC will incur losses on the expected cash inflow but will make gains on the futures contract.

Conversely, if the euro appreciates, the MNC will make gains on the expected cash inflow but will incur losses on the futures contract. By using currency futures to hedge its exposure, the MNC can manage its foreign exchange risk and avoid the negative impact of unfavorable currency movements.

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Indicate whether the following statements are true or false, and then briefly explain your reasoning, a. It is possible for accounting and economic costs to be equal, but it is never possible for economic costs to be less than accounting costs b. It is possible for a firm to show an economic profit without showing an accounting profit.

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a. The statement " It is possible for accounting and economic costs to be equal, but it is never possible for economic costs to be less than accounting costs" is false because  Accounting costs refer to the explicit costs incurred by a firm, such as wages, rent, and materials.

On the other hand, economic costs include both explicit and implicit costs, such as opportunity costs and foregone earnings. In some cases, the accounting costs may include all the economic costs incurred, and therefore, the two costs may be equal. However, in other situations, the economic costs may exceed the accounting costs. For instance, a firm may not include the opportunity cost of using its resources in the production process, leading to an understatement of the economic costs.


b. The statement " It is possible for a firm to show an economic profit without showing an accounting profit." is true because Accounting profit refers to the difference between a firm's total revenue and its explicit costs. Economic profit, on the other hand, considers both explicit and implicit costs and compares them to the firm's total revenue.

It is possible for a firm to show an economic profit without an accounting profit if the implicit costs are less than the explicit costs. For example, a firm may use its resources to produce a good that has a higher market value than the explicit costs incurred in the production process. In such a scenario, the firm may have a positive economic profit, but an accounting profit of zero or even negative. Therefore, a firm's economic profit is a more comprehensive measure of its performance than its accounting profit.

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periodic inventory units price beginning inventory 100 50 1st purchase 100 60 2nd purchase 100 70 3rd purchase 100 80 ending inventory 150 what is cogs using average cost?

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The weighted average cost method determines COGS by multiplying the weighted average cost per unit by the number of units sold. In this case, the resulting COGS is $2777.5.

To calculate COGS using the average cost method, we need to determine the weighted average cost of each unit of inventory. The weighted average cost is calculated by dividing the total cost of goods available for sale by the total number of units available for sale.

In this case, the total cost of goods available for sale is (10050) + (10060) + (10070) + (10080) = 5000. The total number of units available for sale is 100+100+100+150 = 450. Therefore, the weighted average cost is 5000/450 = 11.11.

To calculate COGS, we multiply the weighted average cost by the number of units sold, which is (100+100+100) - 150 = 250. Therefore, the COGS is 11.11 * 250 = 2777.5.

In summary, COGS using the average cost method is calculated by determining the weighted average cost of each unit of inventory and multiplying it by the number of units sold.

The weighted average cost is calculated by dividing the total cost of goods available for sale by the total number of units available for sale. In this case, the COGS is $2777.5.

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Complete Question:

Beginning inventory = 100 units at a price of 50

1st purchase = 100 units at a price of 60

2nd purchase = 100 units at a price of 70

3rd purchase = 100 units at a price of 80

Ending inventory = 150 units

What is COGS using average cost?

the tree house has a pretax cost of debt of 5.5 percent and a return on assets of 11.6 percent. the debt–equity ratio is .62. ignore taxes. what is the cost of equity?

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The cost of equity for the Tree House is 7.818%.

To calculate the cost of equity, we can use the following formula:

Cost of Equity = Return on Assets - (Debt/Equity) * (Return on Assets - Cost of Debt)

Where:

Return on Assets = 11.6%

Cost of Debt = 5.5%

Debt/Equity = 0.62

Plugging in the values, we get:

Cost of Equity = 11.6% - (0.62) * (11.6% - 5.5%)

Cost of Equity = 11.6% - (0.62) * (6.1%)

Cost of Equity = 11.6% - 3.782%

Cost of Equity = 7.818%

Therefore, the cost of equity for the Tree House is 7.818%.

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