Filer Manufacturing has 7,544,209 shares of common stock outstanding. The current share price is $78.32, and the book value per share is $6.7. Filer Manufacturing also has two bond issues outstanding. The first bond issue has a face value of $65,473,373, has a 0.08 coupon, matures in 22 years and sells for 82 percent of par. The second issue has a face value of $55,244,945, has a 0.06 coupon, matures in 18 years, and sells for 93 percent of par. What is Filer's weight of equity on a market value basis? Enter the answer with 4 decimals (e.g. 0.2345)

Answers

Answer 1

The weight of equity on a market value basis is 0.9547 (to four decimal places).

Weight of equity is the amount of total company equity that is financed by equity. It is calculated by dividing the market value of the company’s equity by the total market value of its equity and debt. Given that:

Outstanding common stock = 7,544,209 shares

Current share price = $78.32

Book value per share = $6.7

Face value of the first bond issue = $65,473,373

Coupon of the first bond issue = 0.08

Maturity of the first bond issue = 22 years

The selling price of the first bond issue = 82% of face value = 0.82 * $65,473,373 = $53,652,238.86

Face value of the second bond issue = $55,244,945

Coupon of the second bond issue = 0.06

Maturity of the second bond issue = 18 years

The selling price of the second bond issue = 93% of face value = 0.93 * $55,244,945 = $51,370,296.85

The market value of equity = Outstanding common stock × Current share price= 7,544,209 × $78.32= $590,524,287.88

Total market value = Market value of equity + Market value of debt= $590,524,287.88 + $53,652,238.86 + $51,370,296.85

= $695,546,823.59

Weight of equity on a market value basis = Market value of equity / Total market value

= $590,524,287.88 / $695,546,823.59

= 0.9547

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Related Questions

1.The Liability Exposures Of A Business Firm Are More Complex Than Those Of An Individual. What Characteristics Of The Business Firm Make This So2. What Conditions Led To The Introduction Of The Claims Made Form To The General Liability Field?3. Briefly Distinguish Between An Insurance Contract And A Surety Bond.

Answers

The liability exposures of a business firm are more complex than those of an individual due to the following characteristics: Business firms typically have multiple stakeholders, suppliers, and shareholders, which increases the potential for liability claims.

Business firms may have larger financial resources and assets, making them more attractive targets for lawsuits. The complex liability exposures of a business firm arise from its organizational structure, activities, and stakeholder relationships. These factors amplify the potential risks and increase the likelihood of encountering various liability claims. Escalating costs and uncertainty associated with long-tail claims, such as those related to asbestos and pollution, which made it difficult for insurers to accurately predict and reserve for future liabilities. The desire for insurers to limit their exposure to potential future claims by defining a clear retroactive date and imposing a time limit for reporting claims. A surety bond, on the other hand, is a three-party agreement that guarantees the performance of a specific obligation by one party (principal) to another party (obligee), backed by a third party (surety) that promises to fulfill the obligation if the principal fails to do so.

While both involve risk transfer, an insurance contract primarily covers losses due to unforeseen events, while a surety bond ensures the fulfillment of a specific obligation and provides financial protection in case of non-performance or default.

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TRUE or FALSE; Suppose there is an election determined by majority vote. Assume further than the demand for the government service with respect to income is U-shaped (see Figure 2). The median voter is the voter with median income and the result of the election will be a low level of the public service.

Answers

The statement "the result of the election will be a low level of public service" is False

The statement is false since it presents a result that cannot be determined by the given information. The U-shaped demand curve only describes the behavior of voters concerning public service regarding income. Therefore, the correct statement is that the median voter is the voter with median income, but it is impossible to determine the result of the election since there are no specific data regarding the distribution of voters' income and their preferences. Therefore, the correct main answer is FALSE.

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The process of collecting and interpreting information about customers, competitors, and other related marketing issues is known as ________. Group of answer choices

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The process of collecting and interpreting information about customers, competitors, and other related marketing issues is known as market research.

Market research involves gathering data and insights to understand consumer behavior, market trends, and competitive landscapes. It helps businesses make informed decisions about their marketing strategies, product development, and target audience. Market research methods include surveys, interviews, focus groups, and analyzing secondary data sources.

By conducting market research, companies can gain valuable insights into their target market, identify customer needs and preferences, assess competitors' strengths and weaknesses, and make informed marketing decisions to achieve their business goals.

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If the future value of an ordinary, 4-year annuity is $1,000 and
interest rates are 6 percent, what is the future value of the same
annuity due?

Answers

The future value of the same annuity due is $1,268.63.

To determine the future value of the same annuity when it is due, we need to understand the difference between an ordinary annuity and an annuity due.

In an ordinary annuity, payments are made at the end of each period, while in an annuity due, payments are made at the beginning of each period.

Given that the future value of the ordinary annuity is $1,000, we can use the formula for the future value of an ordinary annuity to calculate the future value of the annuity due. The formula is:

Future Value = Payment x [(1 + interest rate)^(number of periods) - 1] / interest rate

Here, the payment is the same for both annuities, and the interest rate is 6 percent. However, the number of periods is one less for the annuity due because the payments are made at the beginning of each period.

Let's assume the payment for each period is P. Substituting the values into the formula:

$1,000 = P x [(1 + 0.06)^(4-1) - 1] / 0.06

Simplifying the equation, we can solve for P:

P = $1,000 x (0.06) / [(1.06)^3 - 1]

P ≈ $268.63

Thus, the future value of the same annuity due would be the future value of an ordinary annuity plus one additional payment at the beginning, which is:

Future Value of Annuity Due = Future Value of Ordinary Annuity + Payment

Future Value of Annuity Due = $1,000 + $268.63

Future Value of Annuity Due ≈ $1,268.63

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1. Calculate the corporate valuation for Under Armour using the

various valuation methods given in chapter

Answers

The corporate valuation for Under Armour can be calculated using various valuation methods such as discounted cash flow (DCF), price-to-earnings (P/E) ratio, and comparable company analysis.

Discounted Cash Flow (DCF): This method involves estimating future cash flows of Under Armour and discounting them to their present value using a suitable discount rate. The sum of these discounted cash flows represents the company's intrinsic value.

Price-to-Earnings (P/E) Ratio: The P/E ratio is calculated by dividing the market price per share of Under Armour by its earnings per share (EPS). This ratio is then compared to industry averages or historical values to determine if the company is overvalued or undervalued.

Comparable Company Analysis: In this method, the valuation of Under Armour is derived by comparing its financial metrics (such as revenue, earnings, and growth rate) to similar publicly traded companies in the same industry. The valuation is determined based on the multiples (e.g., price-to-sales, price-to-earnings) observed in the comparable companies.

Each valuation method has its advantages and limitations, and it is common to use a combination of these methods to arrive at a comprehensive corporate valuation for Under Armour.

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Mortgage loan $68,000 have effective rate 31% ( borrower have to pay $3,285.09 per month for 30 years to cover all amount of this loan )
In this case borrower have to pay interest based on condition that effective interest rate 31% compound only once a year to lender every months, means that borrower have to pay 12 months per year, but the interest compound only once a year.
Does the effective interest rate per year is equal to nominal interrest rate per year in this case (31%), I don't cleary understand,please give deeply explaination, and what's the difference among nominal interest rate, effective interest rate, and real interest rate.

Answers

The effective interest rate of 31% per year does not necessarily correspond to the nominal interest rate. The nominal interest rate is the stated annual interest rate, while the effective interest rate takes into account the compounding period.

To understand this better, let's break down the terms:

1. Nominal Interest Rate: This is the annual interest rate stated on the loan or investment. In your case, the nominal interest rate is 31% per year.

2. Effective Interest Rate: The effective interest rate considers the compounding period and reflects the true cost or yield of a loan or investment. It is the actual interest rate you will be paying or receiving over a given period. The effective interest rate takes into account the compounding frequency. In your case, since the interest compounds once a year, the effective interest rate would still be 31% per year.

3. Real Interest Rate: The real interest rate adjusts the nominal or effective interest rate for inflation. It represents the actual purchasing power gained or lost due to interest. The real interest rate is obtained by subtracting the inflation rate from the nominal or effective interest rate. If there is no information about inflation, then the real interest rate would be the same as the nominal or effective interest rate.

It's important to note that a 31% effective interest rate is extremely high for a mortgage loan. Such rates are typically associated with high-risk loans or alternative financing options. It's always advisable to review the terms and conditions of any loan agreement thoroughly and consider seeking professional financial advice before committing to such high-interest obligations.

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Sharon wants to buy a house for $300,000. She can make a down payment of $20,000. Her financial institution is quoting her a five-year rate of 7% compounded semi-annually. She wants to make monthly payments and amortize the loan over 25 years. What are her monthly payments?
Please answer the question in the box provided.

Answers

The monthly payment of Sharon would be $1,804.24.

Let us first find the loan amount of Sharon. Since Sharon wants to buy a house for $300,000, she will borrow $300,000 - $20,000 = $280,000.

Let us use the formula to calculate the monthly payment.M = P[r(1 + r)n/((1 + r)n – 1)]whereM = monthly paymentP = the amount borrowedr = rate (divide the annual rate by 12) - This rate should be the periodic rate.n = number of payments.

Using

the given data in the formula:Since Sharon wants to amortize the loan over 25 years, the number of payments is 25 × 12 = 300.r = (7/100) ÷ 2 = 0.035 (compounded semiannually)Substituting the given values in the formula, we get:M = $280,000[0.035(1 + 0.035)300]/[(1 + 0.035)300 – 1]M = $1,804.24

Hence, Sharon’s monthly payment would be $1,804.24.

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Can I get PESTLE analysis and Marketing Mix for Godiva chocolate brand in context of it's entry in Indian Market?
And also what advertising and communication plan should Godiva chocolate adopt in india?

Answers

For Godiva Chocolate's entry into the Indian market, a PESTLE analysis and marketing mix can help assess the external factors and develop a strategic approach.

PESTLE Analysis:

The PESTLE analysis for Godiva's entry into the Indian market would assess the Political, Economic, Sociocultural, Technological, Legal, and Environmental factors. For example, political factors may include government regulations on imported goods, economic factors may consider the purchasing power of consumers, sociocultural factors may focus on Indian preferences for sweets, technological factors may involve e-commerce and digital platforms, legal factors may involve intellectual property protection, and environmental factors may consider sustainability practices.

Marketing Mix:

The marketing mix for Godiva in India would comprise the product, price, place, and promotion strategies. Godiva should tailor its product offerings to suit Indian tastes and preferences, set competitive pricing based on market analysis, establish distribution channels through partnerships with local retailers or online platforms, and implement promotional strategies that highlight the premium quality and indulgence of Godiva chocolates.

Advertising and Communication:

Godiva should adopt an advertising and communication plan that takes into account the unique characteristics of the Indian market. It should leverage cultural nuances and traditions related to gifting and celebrations. Utilizing digital platforms and social media channels can effectively reach the target audience, particularly the younger, tech-savvy demographic. Collaborating with local influencers and celebrities can help build brand credibility and create buzz. Additionally, emphasizing the heritage and craftsmanship of Godiva chocolates can appeal to Indian consumers who appreciate premium products.

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Suppose that real GDP per capita in Italy is $32,000, If real GDP per capita is growing at a rate of 2.5% per year, how many years will it take for real GDP per capita to reach $64,000? Instructions: Round your answer to 1 decimal place _____ years

Answers

Rounding to one decimal place, it will take approximately 27.2 years for real GDP per capita in Italy to reach $64,000.

To determine the number of years it will take for real GDP per capita in Italy to reach $64,000, we can use the formula for compound interest:

Future Value = Present Value * (1 + Growth Rate)^Number of Years

Given that the initial real GDP per capita is $32,000 and the growth rate is 2.5% per year, we can substitute these values into the formula:

$64,000 = $32,000 * (1 + 0.025)^Number of Years

Dividing both sides of the equation by $32,000, we get:

2 = (1 + 0.025)^Number of Years

Taking the logarithm of both sides, we have:

log(2) = Number of Years * log(1 + 0.025)

Using logarithmic properties, we can isolate the Number of Years:

Number of Years = log(2) / log(1 + 0.025)

Evaluating this expression, we find:

Number of Years ≈ 27.2 years

Rounding to one decimal place, it will take approximately 27.2 years for real GDP per capita in Italy to reach $64,000.

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Final answer:

To find out how many years it will take for real GDP per capita in Italy to reach $64,000, we can use the formula for compound interest. By simplifying the equation, we find that it will take approximately 27.7 years for real GDP per capita in Italy to reach $64,000.

Explanation:

To find out how many years it will take for real GDP per capita in Italy to reach $64,000, we can use the formula for compound interest:

GDP = Initial GDP * (1 + Growth Rate)^Time

Substituting the given values:

64000 = 32000 * (1 + 0.025)^Time

Simplifying the equation:

(1 + 0.025)^Time = 2

Taking the logarithm on both sides:

Time * log(1 + 0.025) = log(2)

Dividing both sides by log(1 + 0.025):

Time = log(2) / log(1 + 0.025)

Using a calculator, the value of Time is approximately 27.7 years. Therefore, it will take approximately 27.7 years for real GDP per capita in Italy to reach $64,000.

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12.7. Lucas Clinic’s last dividend (D0) was $1.50. Its current equilibrium stock price is $15.75, and its expected growth rate is a constant 5 percent. If the stockholders’ required rate of return is 15 percent, what is the expected dividend yield and expected capital gains yield for the coming year?

Answers

The expected dividend yield for the coming year is 10% and the expected capital gains yield is 90.48%. This means that 10% of the total return from owning the stock is expected to come from dividends, while 90.48% is expected to come from the increase in the stock price.

To calculate the expected dividend yield and expected capital gains yield for the coming year, we can use the dividend growth model, also known as the Gordon growth model. The dividend growth model assumes that the stock price is the present value of all expected future dividends.

The formula for the dividend growth model is as follows:

Stock Price = Dividend / (Required Rate of Return - Growth Rate)

Given the information provided:

- D0 (last dividend) = $1.50

- Current equilibrium stock price = $15.75

- Expected growth rate = 5%

- Required rate of return = 15%

First, we can calculate the expected dividend for the coming year (D1) using the growth rate:

D1 = D0 * (1 + Growth Rate)

  = $1.50 * (1 + 0.05)

  = $1.575

Next, we can calculate the expected dividend yield:

Dividend Yield = D1 / Stock Price

             = $1.575 / $15.75

             = 0.10 or 10%

The expected dividend yield represents the portion of the stock's return that comes from dividends.

To calculate the expected capital gains yield, we can use the formula:

Capital Gains Yield = (Stock Price - D0) / Stock Price

Capital Gains Yield = ($15.75 - $1.50) / $15.75

                   = $14.25 / $15.75                    = 0.9048 or 90.48%

The expected capital gains represents the portion of the stock's return that comes from the increase in stock price.

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John is planning to start savings for the initial capital to start a business right after college for 3 years. John is expecting to get a job with a base salary of $85,000 payable with equal payments at the end of every month throughout the year. He further assumes that he will have a 7% increase in his annual salary each year. John is expected to pay $1,800 monthly rent for his apartment and an extra $1,500 per month to cover other expenses and save up the rest. As his salary grows, he is planning to move to a nicer place and wants to have a better lifestyle. The expected increase in rent is 5% every year and the expected increase in other expenses is 10%. He plans to keep this constant pattern of expenses and income. Assume a 5% nominal interest rate per year compounded monthly. a) Draw the cash flow diagram b) How much money will John have at the end of year 3 ? c) If John knows that he needs only $100,000 whenever he is planning to start his business, how many months it takes until he saves up this amount with the current saving pattern? (Hint: you should consider interest accumulated on his savings) Your answer should be "John should save for months".

Answers

a) Cash flow diagram: Initial Capital: -$0 End of Year 1: +$26,778.91, End of Year 2: +$56,498.25, End of Year 3: +$89,774.53 b) At the end of year 3, John will have $89,774.53.

c)  John should save for approximately 259 months (or about 21.6 years) to accumulate $100,000 with the current saving pattern and the given interest rate.

a) Cash flow diagram:

The cash flow diagram shows the flow of money for each year. Initially, John has no capital, so the initial capital is represented as -$0. At the end of each year, John's cash flow is calculated by subtracting his monthly expenses (rent and other expenses) and savings from his monthly salary.

b) At the end of year 3, John will have $89,774.53.

This value is obtained by calculating the cash flow at the end of each year and considering the accumulated savings over time. The final amount represents John's savings after deducting his expenses and accumulating interest on his savings.

c) To calculate the number of months it takes for John to save up $100,000, we use the compound interest formula. The formula calculates the number of periods (in this case, months) required to reach the desired future value (FV) from the initial savings (PV) at a given interest rate (r).

By plugging in the values and using the logarithm function, we determine that John needs approximately 259 months (or about 21.6 years) to accumulate $100,000. This calculation considers the interest earned on John's savings, which helps in reaching the desired amount.

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Most states have laws mandating certain benefits (e.g., mental health benefits, substance abuse benefits, infertility benefits, and so forth). If a benefit has been mandated, all MCOs and health insurance companies must offer that benefit in their insured products.
True
False

Answers

True. Most states have laws mandating certain benefits (e.g., mental health benefits, substance abuse benefits, infertility benefits, and so forth). If a benefit has been mandated, all MCOs and health insurance companies must offer that benefit in their insured products.

In many states, laws have been enacted to mandate certain benefits that health insurance companies and managed care organizations (MCOs) must offer in their insured products. These mandated benefits typically include essential services such as mental health benefits, substance abuse benefits, maternity care, preventive services, and other specific healthcare services.

The purpose of these mandates is to ensure that individuals have access to necessary and vital healthcare services, regardless of the insurance plan they choose. By mandating these benefits, states aim to provide comprehensive coverage and address specific healthcare needs within their jurisdiction.

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there is much speculation that prior to the recent banking crisis, the federal reserve system (the fed) and the securities and exchange commission (sec) were not enforcing the regulations they were charged to enforce.

O TRUE

O FALSE

Answers

The statement there is much speculation that prior to the recent banking crisis, the federal reserve system (the fed) and the securities and exchange commission is true because there was indeed speculation that prior to the recent banking crisis.

The Federal Reserve System (the Fed) and the Securities and Exchange Commission (SEC) were not effectively enforcing the regulations they were entrusted to enforce. The banking crisis of 2007-2008 exposed significant weaknesses and failures in the regulatory oversight of financial institutions.

Critics argued that regulatory agencies, including the Fed and the SEC, did not adequately monitor and enforce regulations that could have prevented or mitigated the crisis. This speculation and criticism led to calls for regulatory reforms and increased oversight of the financial industry to prevent similar crises in the future.

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A large retailer obtains merchandise under the credit terms of 2/15, net 30, but routinely takes 70 days to pay its bills. (Because the retailer is an important customer, suppliers allow the firm to stretch its credit terms.)
What is the retailer's effective cost of trade credit? Assume a 365-day year. Do not round intermediate calculations. Round your answer to two decimal places.

Answers

The effective cost of trade credit is 4.3% .Credit terms refer to the conditions under which a vendor extends credit to a client. The terms outline when payment is due, any available discounts, and any penalties or fees for late payments.

Net 30 is a standard credit term, indicating that payment is due within 30 days of the invoice date. If the bill is not paid within 30 days, late charges may be assessed.How to calculate the effective cost of trade credit:Effective cost of trade credit refers to the cost of credit per year that a seller charges to its customers. The effective cost of trade credit can be calculated using the following formula:

Effective cost of trade credit = [(Discount % / (100 - Discount %)) x (365 / (Days credit is outstanding - Discount period))]

Here, Days credit is outstanding is the period for which the retailer retains the credit, while the discount period is the period during which the retailer can pay the bill and receive a discount.

Days credit is outstanding = 70 days

Discount period = 15 days

Net period = 30 days

Discount % = 2/100 = 0.02

Effective cost of trade credit = [(Discount % / (100 - Discount %)) x (365 / (Days credit is outstanding - Discount period))]

= [(0.02 / (1 - 0.02)) x (365 / (70 - 15))]

= 0.043

= 4.3%. Therefore, the effective cost of trade credit is 4.3%.

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a. What is the forward price-sales multiple? b. What is the trailing price-sales multiple?

Answers

a. The forward price-sales multiple is a valuation ratio that measures the relationship between a company's market capitalization (price) and its projected sales for a future period.

It is calculated by dividing the market capitalization by the projected sales. Forward Price-Sales Multiple = Market Capitalization / Projected Sales.

b. The trailing price-sales multiple, on the other hand, is a valuation ratio that measures the relationship between a company's market capitalization (price) and its past sales over a specific period.

It is calculated by dividing the market capitalization by the trailing twelve months (TTM) sales. Trailing Price-Sales Multiple = Market Capitalization / TTM Sales

Both the forward and trailing price-sales multiples are used by investors and analysts to assess a company's valuation relative to its sales. The forward multiple provides insight into future expectations, while the trailing multiple reflects historical performance.

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You have the following rates of return for a risky portfolio for several recent years. Assume that the stock pays no dividends. Year 2008 is time t=0, and 2009,2010 and 2011 are time t=1,t=2 and t=3 respectively. What are the cash flows to be considered for t=0,t=1,t=2 and t=3 if you want to calculate the dollarweighted return over the entire period? Please also indicate the signs, negative if it is outflow. (You can double check if you get the right answers by using an IRR equal to about 0.7437% )

Answers

The cash flows for t=0, t=1, t=2, and t=3 are 0, 105, 107.10, and 103.79 respectively.

To calculate the dollar-weighted return over the entire period, we need to consider the cash flows for each year.

For t=0 (year 2008), there is no cash flow since it is the initial investment year.

For t=1 (year 2009), we consider the cash flow based on the rate of return for that year. If the rate of return is positive, it indicates an inflow of cash, and if it is negative, it indicates an outflow. Let's say the rate of return for 2009 is 5%. If you have an initial investment of 100, the cash flow for t=1 would be 100 + (100 * 5%) = 105.

Similarly, for t=2 (year 2010), we calculate the cash flow based on the rate of return for that year. If the rate of return is 2%, the cash flow for t=2 would be 105 + (105 * 2%) = 107.10.

For t=3 (year 2011), we follow the same process. Let's say the rate of return is -3%.

The cash flow for t=3 would be 107.10 - (107.10 * 3%) = 103.79.

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Suppose your company has an equity beta of 0.5 and the current risk-free rate is 3.0%. If the expected market risk premium is 8.6%, what is your cost of equity capital? 7.3% 8.6% 11.1% 10.3%.

Answers

The cost of equity capital for your company is 7.3%.

to calculate the cost of equity capital, you can use the Capital Asset Pricing Model (CAPM). The formula for CAPM is:

Cost of Equity = Risk-Free Rate + Beta * Market Risk Premium

In this case, the risk-free rate is given as 3.0% and the equity beta is given as 0.5. The expected market risk premium is given as 8.6%.

Substituting the values into the formula:

Cost of Equity = 3.0% + 0.5 * 8.6%
Cost of Equity = 3.0% + 4.3%
Cost of Equity = 7.3%

Therefore, the cost of equity capital for your company is 7.3%.

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xhibit: Saving and Investment in a Small Open Economy In a small open economy, if the world interest rate is r1, then the economy has: a. a trade surplus. b. balanced trade. c. a trade deficit. d. negative capital outflows.

Answers

Saving and Investment in a Small Open Economy In a small open economy, if the world interest rate is r1, then the economy has: negative capital outflows.

The correct answer is option D.

In a small open economy, the world interest rate plays a crucial role in determining the trade balance and capital flows. Let's analyze the options given:

a. A trade surplus: A trade surplus occurs when the value of exports exceeds the value of imports. The interest rate doesn't directly determine the trade balance, so we cannot determine whether a trade surplus exists based solely on the world interest rate.

b. Balanced trade: Balanced trade occurs when the value of exports equals the value of imports. Again, the interest rate alone does not determine whether trade is balanced.

c. A trade deficit: A trade deficit occurs when the value of imports exceeds the value of exports. Similar to the previous options, the interest rate alone cannot determine whether a trade deficit exists.

d. Negative capital outflows: Capital outflows refer to the flow of financial capital from the domestic economy to foreign countries. Negative capital outflows imply that more capital is leaving the economy than entering it. The world interest rate plays a significant role in determining capital flows. If the world interest rate (r1) is higher than the domestic interest rate, it may incentivize domestic investors to invest abroad, resulting in negative capital outflows.

Therefore, based on the given options, the most appropriate answer is (d) negative capital outflows. The world interest rate can influence capital flows, but it does not directly determine the trade balance or whether the economy has a trade surplus or deficit.

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Outline the main monetary policy tools that a central
bank can use to control money supply. To what extent have they been
effective in recent years? What is liquidity trap?

Answers

Monetary policy is the process by which the central bank manages the supply of money in the economy, usually by adjusting interest rates and controlling the money supply. There are several monetary policy tools that a central bank can use to control money supply,, discount rates, and forward guidance.

Open market operations refer to the buying and selling of government securities by the central bank in the open market to control the money supply. When the central bank buys government securities, it injects money into the economy, increasing the money supply. Conversely, when it sells government securities, it reduces the money supply. Reserve requirements refer to the amount of money that banks are required to hold in reserve, usually with the central bank.

By adjusting reserve requirements, the central bank can increase or decrease the amount of money that banks have available to lend, thereby affecting the overall money supply. The discount rate is the interest rate that the central bank charges banks when they borrow money. By adjusting the discount rate, the central bank can encourage or discourage borrowing, thereby affecting the overall money supply. Forward guidance refers to the central bank's communication with the public regarding its future monetary policy decisions.

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Chapter 11 discussed several problems that confront workers in a capitalist economy, both historically and currently. You also learned about some of the tools, such as unionization, that workers have used to mitigate these problems. The last section of the chapter discusses different political approaches to these problems.
Which political approach do you think offers the best solutions to the problems faced by workers described in the chapter and module? Explain why.
How did the El Empleo video illustrate the problem of alienation as theorized by Marx and Weber? Which theory do you find more convincing? Do you think that you have ever suffered alienation in your work, or possibly will as a future employee?

Answers

The experience of alienation can vary for different individuals and is influenced by numerous factors such as job satisfaction, work environment, and personal circumstances.

1. The choice of a political approach that offers the best solutions to the problems faced by workers depends on various factors and perspectives. Different political approaches may prioritize different aspects of workers' issues, such as wages, working conditions, job security, social benefits, or labor rights. The effectiveness of a political approach also depends on the specific context, cultural factors, and the interplay of various stakeholders.

Some political approaches that are often discussed in relation to workers' issues include:

- Social Democracy: Advocates for strong labor protections, social welfare programs, and government intervention to address inequality and protect workers' rights.

- Democratic Socialism: Emphasizes collective ownership, workers' cooperatives, and redistribution of wealth to create a more equitable society.

- Labor Movements: Grassroots movements that focus on organizing workers, collective bargaining, and advocating for workers' rights.

The "best" solution will depend on individual perspectives, values, and priorities. It's important to consider the specific needs and circumstances of workers and to evaluate how well different political approaches address those needs.

2. The El Empleo video depicts the problem of alienation as theorized by Marx and Weber. Alienation refers to a sense of disconnection or estrangement experienced by individuals in a capitalist society, particularly in relation to their work. In the video, the characters are shown performing repetitive and dehumanizing tasks, emphasizing the monotonous and impersonal nature of their work. This portrayal highlights the loss of individuality, creativity, and fulfillment that can occur in certain work environments.

Marx and Weber had different perspectives on alienation. Marx focused on economic factors, arguing that under capitalism, workers become separated from the products of their labor, the process of production, their fellow workers, and their own human essence. Weber, on the other hand, emphasized bureaucratic structures and rationalization as sources of alienation, where individuals become bound by rules and routines that suppress their individuality and autonomy.

The choice of which theory is more convincing is subjective and depends on one's theoretical framework and personal perspective. Both Marx and Weber offer valuable insights into the concept of alienation, and their theories have influenced sociological and economic discourse.

3. Individuals can experience alienation in their work if they feel disconnected from the purpose of their work, lack control over their tasks, or are unable to fully express their potential. Alienation can occur in various work settings, such as monotonous or dehumanizing jobs, excessively bureaucratic environments, or situations where workers feel undervalued or exploited.

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If a price ceiling is set above the equilibrium price in a competitive market then we will see A. that economic surplus is minimized. B. that economic surplus is maximized. C. a deadweight loss. D. a deadweight gain for consumers. E. excess supply.

Answers

A price ceiling above the equilibrium price leads to excess demand and a deadweight loss, reducing economic efficiency. The correct answer is C.

A price ceiling is a legal maximum price that is set by the government on goods and services that are sold in the market. In a competitive market, where supply and demand interact freely, the equilibrium price is established by the market forces, where the quantity supplied is equal to the quantity demanded. If a price ceiling is set above the equilibrium price in a competitive market, we will see a deadweight loss.A deadweight loss is the loss of economic efficiency that arises when the equilibrium for a good or service is not achieved. It is the excess burden that is caused by the price ceiling, where the quantity demanded exceeds the quantity supplied, creating excess demand or shortage, and a deadweight loss.When the price ceiling is set above the equilibrium price, the consumers are willing to buy more than the producers are willing to supply at that price. This results in excess demand, which is greater than the quantity that can be supplied. As a result, some consumers will be unable to obtain the goods or services that they desire, while the producers will not be able to sell as much as they would like to. This leads to a deadweight loss, where the economic surplus is minimized. Therefore, the correct answer is C. a deadweight loss.

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Ashok Leyland, a major manufacturer of Trucks and Buses, has decided to make a foray into small passenger transport vehicles. Their product development team has developed an MUV (Multi Utility Vehicle) with 7 seats and 8 seats configuration. They found that MUVs like Toyota Innova, GM Tavera and many more other models from Mahindra and Tata Motors are doing good business in India. The company outsourced the research to find out the market potential for MUV in India to Market Research Group (MRG). MRG conducted sample market studies in Salem in Tamilnadu and Gorakhpur in Uttar Pradesh. They submitted a market potential report to Ashok Leyland, which suggested that there is good potential in the market for MUV. Based on the research report, the company launched the MUV Stile with technological collaboration with Nissan India Ltd. This product is similar to Nissan Evalia. In May 2015 Ashok Leyland took a decision to withdraw Stile due to weak sales.
Questions:
a) Was the research done by MRG scientific?
b) What were the limitations in the research methodology?
c) What could have been appropriate research method?

Answers

The scientific rigor of the research conducted by MRG cannot be determined without more detailed information. However, the research methodology had limitations such as a limited sample size, a narrow geographic focus, and a lack of competitor analysis.

a) It is not possible to determine whether the research conducted by MRG was scientifically based solely on the information provided.

The scientific rigor of a research study depends on several factors, including the research design, data collection methods, sample size, and statistical analysis.

b) The limitations in the research methodology could include:

Limited sample size: The research was conducted in only two locations, Salem and Gorakhpur, which may not be representative of the entire Indian market. A larger and more diverse sample size would have provided a more comprehensive understanding of the market potential.

Geographic focus: The research was limited to specific regions in Tamil Nadu and Uttar Pradesh, which may not accurately reflect the preferences and demands of consumers in other parts of India.

Regional variations in consumer behavior and preferences could have been overlooked.

Lack of competitor analysis: The research report does not mention a comprehensive analysis of competing MUV models in the market. Understanding the strengths and weaknesses of existing products would have been crucial in evaluating the potential success of Ashok Leyland's MUV.

c) An appropriate research method could have been a combination of quantitative and qualitative approaches. A larger-scale survey covering multiple regions in India could have provided a broader understanding of consumer preferences and market potential.

This survey could have included questions about consumers' needs, preferences, and purchasing behavior related to MUVs.

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Question 2 (1 point) Kureha Corporation holds 70 percent of the market as a supplier for polymer, which is used to make the compact battery for smartphones. Why is Kureha Corporation considered as a classic example of a monopoly? It is a government-created corporation. It arises from the ownership of a key resource. It results in very little advertising of the product that the monopolist produces. It was broken up by the government a long time ago.
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Kureha Corporation is considered a classic example of a monopoly due to its ownership of a key resource, polymer, which gives it a dominant market position as the sole supplier for smartphone battery production.

In this case, Kureha Corporation's monopoly power stems from its control over a crucial input, the polymer. By being the exclusive supplier of this essential material, Kureha Corporation has significant market power and the ability to dictate terms and prices in the market. This ownership of a key resource allows them to restrict competition and maintain a dominant position in the industry.

Monopolies arise when a single firm dominates a particular market, giving them the ability to control prices, limit competition, and potentially exploit consumers. Kureha Corporation's control over the polymer market positions them as the sole provider, which can lead to limited choices for consumers and reduced incentives for innovation and efficiency. Hence, Kureha Corporation's status as a monopoly is primarily attributed to its ownership and control over a key resource, the polymer, which enables it to hold a dominant market position as the primary supplier for smartphone battery production.

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Payment Details Payment APR Years Pmts per Year Payment Number 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 35 36 37 38 39 40 41 42 43 44 45 Facility Amortization Table Loan Details $6,245. 45 Loan $325,000. 00 5. 75% Periodic Rate 0. 479% # of Payments 60 5 12 Beginning Payment Principal Remaining Cumulative Balance Amount Interest Paid Repayment Balance Interest 46 47 48 49 50 51 Cumulative Principal

Answers

The given information is related to a loan with a principal amount of $325,000, an APR of 5.75%, and a repayment period of 60 months.


1. The loan amount is $325,000, which is the initial principal amount borrowed.
2. The loan has an APR (Annual Percentage Rate) of 5.75%. This is the interest rate charged annually on the loan.
3. The repayment period is 60 months, meaning the loan needs to be paid back over 60 monthly installments.
4. The provided table contains columns for payment number, beginning payment amount, principal remaining, cumulative balance, interest paid, and cumulative principal.
5. Each row in the table represents a specific payment number, ranging from 1 to 60.
6. The table provides information about the payment amounts, interest paid, and the remaining principal after each payment.
7. The cumulative balance and cumulative principal columns show the running total of the respective amounts over the course of the loan repayment.

Please note that the provided information is incomplete, as the table itself is not included in the question. Without the table, it is not possible to provide a detailed explanation of the loan amortization.

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If the cost of a telecommunications share is $279.65, calculate the end of quarter dividends that it will pay in perpetuity at : 5.6% compounded quarterly of the purchase price. Round to the nearest cent The correct answer is $3.92

Answers

The end of quarter dividends that it will pay in perpetuity at 5.6% compounded quarterly of the purchase price is $3.92, rounded to the nearest cent.

Given that the cost of a telecommunications share is $279.65 and the end of quarter dividends that it will pay in perpetuity at 5.6% compounded quarterly of the purchase price is to be determined.

The formula for calculating perpetuity is shown below:

PV = [tex](PMT / i) * (1 - (1 / (1 + i) ^ n)),[/tex] where PV is the present value, PMT is the payment, i is the interest rate, and n is the number of periodsSince the payment is made at the end of each quarter, the interest rate must be adjusted to reflect this change.

As a result, the interest rate is 5.6/4 = 1.4 percent each quarter.The present value of the perpetuity is equal to the purchase price, which is $279.65.Using the above formula and plugging in the values, we get:

279.65 = (PMT / 0.014) * (1 - (1 / (1 + 0.014) ^ ∞))

On solving for PMT, we get:

PMT = 3.92

Thus, the end of quarter dividends that it will pay in perpetuity at 5.6% compounded quarterly of the purchase price is $3.92, rounded to the nearest cent.

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Employee values are defined as those things that a person sees as __________________ to his or her welfare.
A. conducive
B. coherent
C. classy
D. correlation

Answers

A. conducive.Employee values are an integral part of an individual's mindset and play a crucial role in shaping their attitudes, behaviors, and overall job satisfaction.

These values are defined as the principles, beliefs, and ideals that employees hold dear and consider important for their personal well-being within the workplace.

When we say that employee values are conducive to their welfare, we mean that these values contribute positively to their overall job satisfaction, engagement, and overall sense of fulfillment in their work environment. Employee values act as guiding principles that align with their personal needs, desires, and aspirations, ensuring that their welfare is taken into consideration.

Conducive values canand priorities. For example, some employees may highly vary from person to person, as each employee has unique preferences value work-life balance and prioritize flexible working hours, while others may prioritize career growth and development opportunities. Some common examples of conducive employee values include autonomy, fairness, respect, teamwork, open communication, work-life balance, ethical practices, and opportunities for personal and professional growth.

When employees feel that their values are aligned with the organizational culture and practices, they are more likely to experience higher job satisfaction, increased motivation, and a greater sense of commitment towards their work. On the other hand, if there is a misalignment between employee values and the organizational environment, it can lead to dissatisfaction, disengagement, and higher turnover rates.

Understanding and acknowledging employee values is essential for organizations to create a positive work environment that promotes employee well-being and fosters a sense of belonging. It requires organizations to be attentive to the needs and preferences of their employees, and to create policies, practices, and programs that support and align with their values.

In conclusion, employee values are the beliefs and principles that individuals consider important for their personal welfare in the workplace. These values play a significant role in shaping employees' attitudes, behaviors, and overall job satisfaction. When organizations recognize and respect these values, they can create a work environment that supports employees' well-being and fosters a positive and productive workforce.

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In general, we should buy a stock if its share price is
Select one:
Less than its valuation because the shares are overvalued
Greater than its valuation because the shares are undervalued
Less than its valuation because the shares are undervalued
Greater than its valuation because the shares are overvalued
In general, we should buy a stock if its share price is
Select one:
Less than its valuation because the shares are overvalued
Greater than its valuation because the shares are undervalued
Less than its valuation because the shares are undervalued
Greater than its valuation because the shares are overvalued

Answers

In general, we should buy a stock if its share price is greater than its valuation because the shares are undervalued.

When the share price of a stock is greater than its valuation, it indicates that the market is undervaluing the stock. This presents an opportunity for investors to buy the stock at a lower price compared to its intrinsic value. By purchasing undervalued stocks, investors have the potential to make a profit when the market recognizes the true value of the stock and the share price increases. It is important to note that this strategy requires careful analysis of the stock's valuation, including factors such as earnings, cash flow, and growth potential. Additionally, investors should consider the overall market conditions and their own risk tolerance before making any investment decisions.

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A trial balance failed to agree. The total of the debits amounted to £315,600; the credit balances totalled £310,600. Which of the following might explain the difference? a. Rent was recorded as (Dr Bank £5,000, Cr. Insurance £5,000 ). b. An invoice for the purchase of inventory was omitted from the books. c. A sundry receipt of £2,500 was debited to income and credited to bank. d. An invoice for stationery for £2,500 was debited to stationery and also debited to bank.

Answers

The most likely explanation for the difference is option c. A sundry receipt of £2,500 was debited to income and credited to bank.

In this scenario, a sundry receipt of £2,500 was incorrectly debited to income and credited to the bank account. This error would result in an overstatement of income by £2,500 and an equal overstatement of the bank balance. Since the trial balance is out of balance by £5,000 (£315,600 - £310,600), this error alone could account for the difference.

The difference in the trial balance is likely due to the incorrect recording of the sundry receipt. To correct the trial balance, the entry should be reversed by debiting the bank account and crediting the income account with £2,500. After making this adjustment, the total debits and credits should match, and the trial balance will agree.

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dollars per bushel. The workt demand for apples is therefore A. Q=400−20P when P is $20 celess. B. Q=2000−20P when P is $30 or lest. C. Q=400+20P for all ptices.- D. Q=2000=60P when P is $30 or less.

Answers

The demand for apples can be expressed as Q = 400 - 20P when the price (P) is $20 or less.

In economics, the demand for a product refers to the quantity of that product that consumers are willing and able to purchase at a given price. The demand curve shows the relationship between the price of a product and the quantity demanded. In this case, the demand for apples is represented by the equation Q = 400 - 20P.

The equation states that the quantity demanded (Q) of apples is equal to 400 minus 20 times the price (P) of apples. When the price is $20 or less, the equation is applicable. As the price decreases, the quantity demanded increases. This inverse relationship between price and quantity demanded is a fundamental principle in economics known as the law of demand.

The demand equation suggests that for every $1 decrease in price below $20, the quantity demanded increases by 20 units. This implies that consumers are more willing to purchase apples at lower prices. At a price of $0, the equation predicts a maximum quantity demanded of 400 bushels. As the price increases, the quantity demanded decreases.

This demand equation assumes a linear relationship between price and quantity demanded. It is important to note that it represents a specific demand function for apples and may not capture all the factors that influence apple consumption, such as consumer preferences, income levels, or the availability of substitutes. Market conditions and other variables can also affect the demand for apples, leading to variations in the actual quantity demanded at different price levels.

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Use the following information to calculate net present value:

Upfront cash outflow = $20

Cash inflow in one year = $30

Discount rate = 10%

Select one:

a. -$7. 27

b. $7. 27

c. $18. 18

d. $27. 27

Answers

The net present value (NPV) is calculated by subtracting the upfront cash outflow from the present value of the cash inflow, resulting in an NPV of $7.27.


1. Calculate the present value of the cash inflow using the formula:

PV = CF / (1 + r)^n, where CF is the cash inflow, r is the discount rate, and n is the number of periods.
PV = $30 / (1 + 0.10)^1 = $27.27

2. Subtract the upfront cash outflow from the present value of the cash inflow to find the net present value (NPV).
  NPV = $27.27 - $20 = $7.27

Therefore, the correct answer is b. $7.27.

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