Suppose that all commercial banks in Blue East have zero excess reserves, and the public must keep their money in the bank. Lion Bank is one of the commercial banks in Blue East. Lion Bank receives a cash deposit of $570,000 from Mr. Kevin who opens up a new checking account. Assume that a required reserve ratio is 13 percent.
Based on the information given:
a) Construct a balance sheet for Lion Bank.
b) If the whole amount of the excess reserve in the Lion Bank is lent out to Mrs. Mai, who then deposited the money in the Tiger Bank, construct the balance sheet for the Tiger Bank. [Assume that the Tiger Bank holds no initial deposits.]
c) Calculate

Answers

Answer 1

a) Balance sheet for Lion Bank: Assets Liabilities Reserves $74,100 Deposits $570,000Loans $495,900 Total $570,000 Total $570,000b)

Balance sheet for Tiger Bank: Assets Liabilities Reserves $61,029 Deposits $495,900Loans $434,871

Reserves $74,100Deposits $434,871 Total $570,000

Total $570,000c) The required reserve ratio is 13%.

Thus, the required reserve amount would be 0.13 x 570,000 = $74,100.

The excess reserve is then 570,000 - 74,100 = $495,900.

To know more about Liabilities visit:

https://brainly.com/question/30805836

#SPJ11


Related Questions

Protein Futures has a $5 million bond obligation outstanding which it is considering refunding. The bonds were issued at 6% and the interest rates on similar bonds have declined to 3%. The bonds have six years of their 15 year maturity remaining. Protein Futures will pay a call premium of 4% and will incur underwriting costs of $353,000 immediately. There is no overlap period, and there is no underwriting cost considerations on the old bond. The company is in a 30% tax bracket. To analyze the refunding decision use a 6% discount rate. (this is already adjusted for risk). Required: A) How much is the call premium? B) How much is the total amount paid today in underwriting costs? $ C) How many years are the underwriting costs amortized over? D) How much is the annual tax savings each year as a result of the underwriting costs? $ E) How much are those annual tax savings, calculated in part D, worth today (round to nearest dollar)? $

Answers

The complete solution is given below. A) Call premium: The call premium is calculated as a percentage of the par value of the bond. Call premium = 4% × Par Value = 0.04 × $5,000,000
Call Premium = $200,000

B) Total amount paid today in underwriting costs: Underwriting cost = $353,000

C) Number of years the underwriting costs are amortized over: The underwriting cost is paid upfront, so it will be amortized over the remaining life of the bond. Amortization period = 15 − 6 = 9 years

D) Annual tax savings as a result of the underwriting costs:

Since the company is in the 30% tax bracket, the annual tax savings are:

Annual tax savings = 30% × $353,000 = $105,900

E) Present value of the annual tax savings:

Present value = Annual tax savings × Present value factor

Present value factor = Annuity factor (n = 9, r = 6%) × (1 + 6%)9

Present value factor = 6.1940 × 0.5645

Present value factor = 3.4965

Present value = $105,900 × 3.4965

Present value = $370,099

Therefore, the call premium is $200,000, the total amount paid today in underwriting costs is $353,000, the number of years the underwriting costs are amortized over is 9 years, the annual tax savings as a result of the underwriting costs is $105,900, and the present value of the annual tax savings is $370,099.

To know more about premium visit :-
https://brainly.com/question/32107251
#SPJ11

an avocado orchard employs five full-time workers. currently, the average product of labor is 120 pounds of avocados per day. the orchard hires a 6th full-time worker and his marginal product is 150 pounds of avocados. the average product of the six workers will now be a. more than 120 pounds. b. less than 120 pounds. c. equal to 120 pounds. d. greater than the marginal product of labor.

Answers

The correct answer is a more than 120 pounds.

The average product of labor is a measure of the output produced per worker in a given time period. In this case, the average product of labor is initially 120 pounds of avocados per day for five workers.

When the orchard hires a sixth full-time worker, his marginal product of labor is 150 pounds of avocados. The marginal product of labor refers to the additional output produced by adding one more unit of labor.

To determine the new average product of the six workers, we can calculate the total output produced by the six workers and divide it by the number of workers.

Let's assume that the total output produced by the six workers is X pounds of avocados per day.

For the five workers, the total output is 120 pounds of avocados per day * 5 workers = 600 pounds of avocados per day.

Since the marginal product of the sixth worker is 150 pounds of avocados per day, the total output for the six workers would be 600 pounds + 150 pounds = 750 pounds of avocados per day.

Now, we can calculate the new average product of the six workers by dividing the total output (750 pounds) by the number of workers (6 workers):

New average product of labor = 750 pounds / 6 workers = 125 pounds of avocados per day.

Therefore, the average product of the six workers will now be more than 120 pounds.

To know more about the average product here:

brainly.com/question/33818789

#SPJ11

a. If I purchased a copier machine for the office costing $11,699, what would be the initial entry to record the purchase?
b. What is paramount to the role of Accounting?
c. Accounting standards are designed to enforce ______________ in organizations.
d. When customers don’t pay the amount due, we call that?
e. If I purchased a copier machine for the office costing $11,699, what would be the initial entry to record the purchase?

Answers

By using accounting standards, businesses can ensure that financial statements are reliable and accurate. It promotes transparency and increases the confidence of investors and other stakeholders in the organization.

a. When purchasing a copier machine for the office costing $11,699, the initial entry to record the purchase will be to debit the office equipment account for $11,699, and credit cash or accounts payable for $11,699. The office equipment account will be recorded in the balance sheet of the company.

b. The primary function of accounting is to offer a comprehensive overview of the company's financial information. This is necessary for business owners to make informed decisions about the future of their business. The role of accounting is critical in managing a company's financial health and well-being.

c. Accounting standards are designed to enforce consistency in organizations. They offer guidelines that businesses must follow to ensure that they accurately record financial transactions.

To know more about transparency visit:

https://brainly.com/question/10626808

#SPJ11

I enter an agreement with my neighbor to buy 215 sheep on August 31 st. What type of contract is this and what is my position? Long futures position Short futures position Long forward position Short forward position

Answers

When a person enters an agreement with a neighbor to buy 215 sheep on August 31st, the contract is referred to as a Long forward position.

The long forward position means that the person has agreed to purchase an underlying asset (in this case, sheep) at a specified price (agreed upon with the neighbor) at a future date (August 31st). It is a contractual agreement between the two parties to buy and sell the asset at a predetermined price and date.

The buyer of the forward contract is said to hold a long position in the forward contract, while the seller of the forward contract is said to hold a short position in the forward contract.

In this case, the person who enters the agreement to purchase the sheep has a long forward position, which means that they are obligated to purchase the 215 sheep at the agreed-upon price on August 31st.If the person changes their mind and decides not to purchase the sheep, they would be in breach of the contract.

On the other hand, if the neighbor fails to deliver the sheep on August 31st, they would be in breach of the contract and may be liable for damages as a result. In summary, when a person enters an agreement with a neighbor to buy 215 sheep on August 31st, the type of contract is a Long forward position, and their position is that of the buyer or holder of the long position in the forward contract.

To know more about neighbor visit:

https://brainly.com/question/26803997

#SPJ11

In early​ 2018, Coca-Cola Company​ (KO) had a share price of
$45.3​,
and had paid a dividend of
$1.52
for the prior year. Suppose you expect​ Coca-Cola to raise this dividend by approximately
6.2%
per year in perpetuity.
a. If​ Coca-Cola's equity cost of capital is
8.3%​,
what share price would you expect based on your estimate of the dividend growth​ rate?
b. Given​ Coca-Cola's share​ price, what would you conclude about your assessment of​ Coca-Cola's future dividend​ growth?

Answers

If Coca-Cola's equity cost of capital is 8.3%, Given data: Share price of Coca-Cola Company (KO), Po = $45.3Dividend paid in the prior year, Do = $1.52Expected dividend growth rate, g = 6.2%Cost of equity capital, Ke = 8.3%Dividend discount model is used to calculate the intrinsic value of the stock.

The formula is given by:[tex]Po = (Do (1 + g)) / (Ke - g)[/tex] On substituting the given values, we get[tex]Po = (1.52 (1 + 6.2%)) / (8.3% - 6.2%) = $66.96[/tex] Therefore, based on the given estimate of dividend growth rate, the expected share price of Coca-Cola Company is $66.96.

Given Coca-Cola's share price, what would you conclude about your assessment of Coca-Cola's future dividend growth?The current share price of Coca-Cola Company is $45.3. We have calculated the expected share price based on the given dividend growth rate, which is $66.96.

To know more about discount visit:

https://brainly.com/question/13501493

#SPJ11

one of the unpleasant secrets of using your credit card for a cash advance is that the apr on the cash advance is typically lower than the apr for normal purchases.

Answers

One of the unpleasant secrets of using your credit card for a cash advance is that the APR (Annual Percentage Rate) on the cash advance is typically higher than the APR for normal purchases, not lower.

When you use your credit card for cash advances, such as withdrawing cash from an ATM or writing convenience checks, credit card companies usually impose higher interest rates on these transactions compared to regular purchases. The APR for cash advances tends to be significantly higher, often accompanied by additional fees or finance charges.

This higher APR is due to several factors, including the increased risk associated with cash advances, the immediate availability of funds, and the potential lack of a grace period for interest charges. It is important to carefully review your credit card terms and conditions to understand the specific APR and fees associated with cash advances, as they can quickly accumulate and lead to substantial interest costs.

To learn more about APR click here

https://brainly.com/question/31355139

#SPJ11

On April 1, Julie Spengel established Spengel's Travel Agency. The following transactions were completed during the month. 1. Invested $15,000 cash to start the agency. 2. Paid $600 cash for April office rent. 3. Purchased equipment for $3,000 cash. 4. Incurred $700 of advertising costs in the Chicago Tribune, on account. 5. Paid $900 cash for office supplies. 6. Performed services worth $10,000:$3,000 cash is received from customers, and the balance of $7,000 is billed to customers on account. 7. Withdrew $600 cash for personal use. 8. Paid Chicago Tribune $500 of the amount due in transaction (4). 9. Paid employees' salaries $2,500. 10. Received $4,000 in cash from customers who have previously been billed in transaction (6). Instructions :
a. Prepare a tabular analysis of the transactions using the following column headings: Cash, Accounts Receivable, Supplies, Equipment, Accounts Payable, Owner's Capital, Owner's Drawings, Revenues, and Expenses. b. From an analysis of the owner's equity columns, compute the net income or net loss for April. European settlers catalyzed all of the following ecological changes in North America except:
a. A decline in species diversity b. Climatic change c. Air pollution from greenhouse gases

Answers

Here is the tabular analysis of the transactions provided: Tabular Analysis Date Transaction No. Cash Accounts Receivable Supplies Equipment Accounts Payable Owner's Capital Owner's Drawings Revenue ExpenseApr-

011$15,000$15,000Apr-02(600)(600)$14,400Apr-03(3,000)(3,000)$11,400Apr-04700$700$12,100Apr-05900$(900)$11,200Apr-06$3,000$7,000$10,000Apr-07(600)(600)$9,400Apr-08(500)$8,900Apr-09(2,500)(2,500)$6,400Apr-10$4,000$10,400.

Total $8,500$7,000$(900)$3,000$500$10,400$2,100$10,000$3,100 From the tabular analysis above, you can see that the net income for April is $3,100.

Therefore, the answer to the second part of the question is: b. Net Income or Net Loss for April is $3,100.

European settlers catalyzed all of the following ecological changes in North America except air pollution from greenhouse gases.

To know more about analysis visit:

https://brainly.com/question/32375844

#SPJ11

state 7 reasons why a developing countries should
invest in Human capital development

Answers


Developing countries should invest in human capital development because it leads to increased productivity, improved health and well-being, poverty reduction, economic growth, innovation, social development, and reduced income inequality.


1. Increased productivity: Investing in human capital development results in skilled and knowledgeable workers, which leads to increased productivity and efficiency in the workforce. This, in turn, boosts economic growth and development.
2. Improved health and well-being: Developing countries often face significant health challenges. By investing in human capital development, countries can improve access to healthcare and promote healthy behaviors, resulting in improved health and well-being for their citizens.
3. Poverty reduction: Education and skills development can help people escape poverty by improving their employability and income-earning potential.
4. Economic growth: Human capital development is a key driver of economic growth. By investing in education and skills training, countries can attract foreign investment, create new industries, and expand existing ones.
5. Innovation: Investing in human capital development can lead to innovation and technological advancements. Skilled workers can create new products and services, leading to increased competitiveness and growth.
6. Social development: Human capital development can promote social development by improving gender equality, reducing discrimination, and empowering marginalized communities.
7. Reduced income inequality: By providing access to education and skills training, developing countries can reduce income inequality by giving everyone the opportunity to improve their economic situation and standard of living.


Investing in human capital development is crucial for the economic and social development of developing countries. By investing in education and skills training, countries can increase productivity, reduce poverty, promote innovation, and improve the overall health and well-being of their citizens.

Human capital development also helps to reduce income inequality by providing everyone with equal opportunities to succeed. Developing countries can attract foreign investment, create new industries, and expand existing ones by investing in human capital development, which results in increased economic growth.

Human capital development is also crucial for social development, as it can help to reduce discrimination and promote gender equality. Overall, investing in human capital development is essential for the long-term growth and prosperity of developing countries.

To learn more about human capital development

https://brainly.com/question/20344315

#SPJ11

On November 1, 2021, Aviation Training Corp. borrows $58,000 cash from Community Savings and Loan. Aviation Training signs a three-month, 6% note payable. Interest is payable at maturity. Aviation's year-end is December 31.
Required:
1.-3. Record the necessary entries in the Journal Entry Worksheet below. (If no entry is required for a particular transaction/event, select "No Journal Entry Required" in the first account field.)
View transaction list
View journal entry worksheet
No
1
Date
General Journal
Debit
Credit
November 01, 2021
Cash
58,000
December 31, 2021
Interest Expense
580
3
February 01, 2022
Notes Payable
2
58,580

Answers

1. November 1, 2021: Debit Cash $58,000, Credit Notes Payable $58,000.

2. December 31, 2021: Debit Interest Expense $580, Credit Notes Payable $580.

3. February 1, 2022: Debit Notes Payable $58,580, Credit Cash $58,580.

1. On November 1, 2021, Aviation Training Corp. borrows $58,000 cash, which increases their cash balance and creates a liability called Notes Payable. The entry reflects this by debiting Cash and crediting Notes Payable.

2. On December 31, 2021, Aviation Training Corp. accrues interest expense for the three-month period. Since the interest is payable at maturity, there is no cash transaction. The entry debits Interest Expense to recognize the expense and credits Notes Payable to reduce the liability.

3. On February 1, 2022, when the note matures, Aviation Training Corp. pays off the loan. They debit Notes Payable to reduce the liability and credit Cash to reflect the cash outflow.

These entries ensure accurate recording of the borrowing, recognition of interest expense, and repayment of the loan in the company's financial statements.

Learn more about Credit Cash  here:

https://brainly.com/question/29608520

#SPJ11

Brand managers know that increasing promotional budgets eventually result in diminishing returns. The first one million dollars typically results in a 26% increase in awareness, while the second million results in adding another 18% and the third million in a 5% increase. Andrews’s product Alan currently has an awareness level of 77% . While an important product for Andrews, Alan’s promotion budget will be reduced to one million dollars for the upcoming year. Assuming that Alan loses one-third of its awareness each year, what will Alan’s awareness level be next year?

Answers

Axe's awareness level next year will be approximately 79.33%.

To calculate the awareness level for the next year, we can start with Axe's current awareness level of 80% and subtract one-third of that value (80% / 3 = 26.67%). This reduction represents the loss in awareness due to the passing of time.

Next, we add the 26% increase resulting from the first million dollars of the promotional budget. Adding 26% to the adjusted awareness level gives us the new awareness level for Axe next year.

Let's calculate:

Current awareness level = 80%

Loss in awareness = 80% / 3 = 26.67%

Increase from the first million dollars = 26%

Adjusted awareness level = Current awareness level - Loss in awareness

= 80% - 26.67%

= 53.33%

New awareness level = Adjusted awareness level + Increase from the first million dollars

= 53.33% + 26%

= 79.33%

To know more about budget here

https://brainly.com/question/31952035

#SPJ4

Complete Question:

Brand managers know that increasing promotional budgets eventually result in diminishing returns. The first one million dollars typically results in a 26% increase in awareness, while the second million results in adding another 18% and the third million in a 5% increase. Andrews's product Axe currently has an awareness level of 80% . While an important product for Andrews, Axe's promotion budget will be reduced to one million dollars for the upcoming year. Assuming that Axe loses one-third of its awareness each year, what will Axe's awareness level be next year?

The following is the Statement of Financial Position and the
Statement of Income for Markus Limited:
Markus Limited
Statement of Financial Position
As at December 31, 2021
2021
2020
Assets
C

Answers

Markus Limited’s Statement of Financial Position and Statement of Income is given for the year ended December 31, 2021. In this statement, the Assets and Liabilities of Markus Limited are compared with those of the previous year.


In the given Statement of Financial Position, the assets and liabilities of Markus Limited are presented for the years 2020 and 2021. In 2021, the company's non-current assets were C500,000, which is C25,000 more than in 2020.

The firm's inventory has increased by C70,000 to reach C205,000 in 2021.

Furthermore, cash and cash equivalents also increased to C115,000 in 2021, compared to C100,000 in 2020.

When we look at the liability section, Markus Limited’s accounts payable increased by C50,000 to C270,000 in 2021. The company also took out a loan of C80,000 in 2021, compared to none in 2020.

In terms of Equity, Markus Limited’s retained earnings increased by C35,000 in 2021, while common shares remained unchanged.

Overall, Markus Limited has seen a growth in assets and liabilities in 2021 compared to 2020. This growth can be seen in the increase of non-current assets, inventory and cash, which all increased during the year.

While there was an increase in accounts payable and loan, there was no change in the number of common shares, and retained earnings increased by C35,000. This indicates that the company has been profitable and has retained a portion of the profit in the business.

To learn more about financial statements visit:

https://brainly.com/question/14951563

#SPJ11

In an effort to increase employment by stimulating investment spending, policymakers would
a. sell bonds.
b. purchase US government bonds on the open market.
c. increase the federal funds rate.
d. increase government spending.
e. increase transfer payments.

Answers

The most relevant options for policymakers aiming to increase employment and stimulate investment spending would be to increase government spending (d) and increase transfer payments (e).

In an effort to increase employment by stimulating investment spending, policymakers would typically consider options such as:

d. Increase government spending: By increasing government spending on infrastructure projects, education, healthcare, or other sectors, policymakers can create job opportunities and stimulate investment in the economy. This can lead to increased economic activity and potentially higher employment levels.

e. Increase transfer payments: Increasing transfer payments, such as unemployment benefits, welfare programs, or social security payments, can provide individuals with additional income. This, in turn, can increase their spending power and stimulate demand for goods and services, thereby potentially boosting investment and employment.

Selling bonds (a) and purchasing US government bonds on the open market (b) are monetary policy tools rather than fiscal policy tools. While they can influence interest rates and the overall economy, they are not directly targeted at increasing employment.

Increasing the federal funds rate (c) is a monetary policy tool used by central banks to control inflation and manage the money supply. It is not specifically aimed at increasing employment or investment spending. In fact, increasing the federal funds rate may have the opposite effect by making borrowing more expensive and potentially reducing investment.

Therefore, the most relevant options for policymakers aiming to increase employment and stimulate investment spending would be to increase government spending (d) and increase transfer payments (e).

Learn more about policymakers from the given link!

https://brainly.com/question/29994722

#SPJ11

if the euro depreciates to a weighted average exchange rate of $1.10 in one year, than the translated earnings for the french subsidiary will be $ million. however, if the value of the euro remains at $1.30, the translated earnings of the french subsidiary would be $ million. this means that a depreciation of the euro would cause the translated earnings of the french subsidiary to .

Answers

Assuming all other variables remain constant, a depreciation of the euro would typically result in a rise in the translated earnings of the French subsidiary.

The weighted average exchange rate for the euro drops to $1.10.

If the euro drops to $1.10, it signifies that relative to the initial exchange rate, each euro is now worth less in terms of dollars. As a result, the earnings of the French subsidiary will be worth more in dollars when converted from euros. This is so that each euro generated when translated to dollars has more value due to a lower exchange rate. As a result, compared to the second scenario, the translated earnings in dollars will probably be higher.

The euro stays at $1.30.

The exchange rate remains unchanged from the starting rate if the euro stays at $1.30. In this scenario, the French subsidiary's translated earnings will match their original euros-based earnings exactly. The translated earnings are unaffected because the exchange rate is unchanged.

Learn more about depreciation, from:

brainly.com/question/30531944

#SPJ4

MNO's taxable income was $900 during 2023. MNO had product warranty costs of $360 recognizable for tax purposes and $400 recognizable for financial accounting purposes. MNO had no other temporary differences. MNO's pre-tax accounting income for 2023 would be: a. $860 b. $900 c. $940 d. $1,260

Answers

MNO's pre-tax accounting income for 2023 would be $940.Explanation:Temporary differences are the differences between the financial accounting and tax bases of assets and liabilities that will reverse and affect taxable income in future years.

Temporary differences may arise from differences in the timing of when transactions affect the two different bases, differences in the measurement of tax rules and financial accounting rules, and the use of different tax rates to calculate tax expense. In the given scenario, the amount of product warranty costs of $400 recognizable for financial accounting purposes will be reversed as taxable income in future years. So, this represents a temporary difference.The taxable income of MNO is $900, which represents the amount that is calculated as per tax rules. For temporary differences, the accounting income is adjusted to derive the taxable income. Thus, pre-tax accounting income = taxable income + temporary differences. Temporary difference = $400 - $360 = $40. Pre-tax accounting income for MNO would be:$900 + $40 = $940Hence, the correct answer is option C.

learn more about accounting here:

 https://brainly.com/question/33477032

#SPJ11

Rupert, Inc. reports $408,000 of income tax expense on its 2022 income statement. Rupert reports income taxes payable of $50,000 at December 31, 2021, and $22,500 at December 31, 2022. Rupert has no deferred taxes.

Answers

The income statement provides a summary of an organization's performance over a given period, summarizing its revenue, expenses, gains, and losses. For a taxable organization, the income statement includes a provision for income taxes (income tax expense).

Rupert, Inc. reports $408,000 of income tax expense on its 2022 income statement. Rupert reports income taxes payable of $50,000 at December 31, 2021, and $22,500 at December 31, 2022. Rupert has no deferred taxes. The provision for income taxes is generally the sum of the present tax obligation for the year plus or minus any adjustments made in prior years, if any, plus or minus the change in deferred taxes, if any. In this instance, there were no deferred taxes in 2021 or 2022.

The provision for income taxes reported on the income statement, as opposed to income taxes payable or refundable on the balance sheet, represents the amount of income taxes that the company anticipates will be paid to the tax authorities on the current year's taxable income.

The income tax expense for the year 2022 is $408,000, which will be paid in the following year. In contrast, the income tax payable account on the balance sheet indicates the amount of taxes payable to the tax authorities. Rupert had $50,000 in income tax payable at the end of 2021 and $22,500 at the end of 2022.

The difference between the income tax expense and the income tax payable is due to the fact that the current year's tax expense includes any changes in deferred taxes that arose during the year, while the income tax payable account on the balance sheet does not include any changes in deferred taxes.

Overall, the content loaded above informs us that Rupert, Inc. has an income tax expense of $408,000 in its 2022 income statement. It has income tax payable of $50,000 on December 31, 2021, and $22,500 on December 31, 2022. In addition, there were no deferred taxes in either year.

To know more about income visit:

https://brainly.com/question/2386757

#SPJ11

Porter proposed that businesses achieve sustainable competitive
advantage by following any one, or a combination of three generic
strategies:

Answers

Porter proposed three generic strategies that businesses can follow in order to achieve sustainable competitive advantage. These strategies are cost leadership, differentiation, and focus.

This can be achieved by investing in research and development, creating strong brand identities, and building customer relationships. By differentiating themselves from competitors, businesses can charge a premium for their products or services and maintain customer loyalty. Focus involves targeting a specific market segment or niche and tailoring products or services to meet the needs of that segment.

Porter suggested that businesses should choose one of these strategies and focus on it in order to achieve sustainable competitive advantage. However, some businesses may choose to pursue a combination of two or more of these strategies. For example, a business could differentiate itself by offering unique products and also focus on a specific market segment in order to build customer loyalty.

To know more about generic strategies visit:

https://brainly.com/question/29646121

#SPJ11

Assume Emma bought a bond with a 10-year maturity at $450. Coupons are paid semiannually. At the end of the 10 years, the investor has a total ending wealth of $1,100. What is her realized compound yield (RCY) on this investment on a bond equivalent basis?
Group of answer choices
9.14 percent
10.90 percent
10.05 percent.
4.57 percent
5.03 percent

Answers

Therefore, Emma's realized compound yield (RCY) on this investment on a bond equivalent basis is 10.25 percent.

The compound yield is the rate at which an investor receives compound interest over a certain period of time. Compound interest is interest that is computed on the original principal amount, as well as any accumulated interest. Realized Compound Yield (RCY) is a measure of the total rate of return received from an investment over a particular time period.In this scenario, Emma bought a bond with a 10-year maturity at $450.

Coupons are paid semiannually. At the end of the 10 years, the investor has a total ending wealth of $1,100.

We can calculate Emma's realized compound yield (RCY) on this investment on a bond equivalent basis by using the following formula:

RCY = [(1 + r/2)^2 - 1]

where r is the semi-annual yield rate

RCY = [(1 + 0.05)^2 - 1]

RCY = 10.25%

Therefore, Emma's realized compound yield (RCY) on this investment on a bond equivalent basis is 10.25 percent.

To know more about investor visit;

brainly.com/question/31888450

#SPJ11

Indigo Manufacturing is considering adding a second production line to meet the market demand. In order to add the second production line, Indigo needs to purchase $1.2 million worth of new machinery and spend another $100,000 improvement on its current building. This new production line would produce 200,000 units, with expected sale price of $4.65 and a variable cost of $2.90 respectively for each unit. The required net working capital is $36,000. The fixed cost is $42,000 each year. By adding the second production line, the gross profit from the current production would be reduced by $29,000 each year. The salvage value for the machinery and building improvement would be $390,000 and 80,000 respectively. Indigo uses straight-line depreciation over the life of this project (5 years), its required rate of return is 15% and the tax rate is 34%. The total cash flow in year 5 would be closest to A. $748,885 B. $553,085 C. $582,070 D. $589,085 E. $618,740

Answers

Net present value [tex](NPV) = PV1 + PV2 + PV3 + PV4 + PV5NPV = 3,051,383 + 2,651,008 + 2,300,929 + 1,998,257 + 1,748,888 NPV = $11,750,465[/tex]

The total cash flow in year 5 would be closest to $748,885 (Option A)

Therefore, the correct answer is A. $748,885.

Given, The cost of new machinery = $1,200,000Improvement on current building = $100,000

Net working capital = $36,000

Sale price per unit = $4.65

Variable cost per unit = $2.90

Annual fixed cost = $42,000

Gross profit from the current production will be reduced by $29,000 annually.

Salvage value of the machinery = $390,000

Salvage value of the building improvement = $80,000

Indigo uses straight-line depreciation over the life of this project (5 years)

Tax rate = 34%Required rate of return = 15%First, we will calculate the cash inflows.

To know more about value visit:

https://brainly.com/question/30145972

#SPJ11

What employment opportunities related to Tourism and Hospitality
are available in your country Bangladesh ?Do you want to work in
the Tourism and Hospitality industry? Why or Why not?

Answers

In Bangladesh, the tourism and hospitality industry has seen tremendous growth and development in recent years, providing job opportunities for individuals with various skills and backgrounds.

The following are some of the employment opportunities available in the country's tourism and hospitality industry.
1. Hotel and Resort Management: With the increasing number of domestic and foreign tourists, the demand for hotel and resort management professionals has risen.
2. Food and Beverage Service: Working in a restaurant, café, or bar, as a waiter, waitress, bartender, or kitchen staff, offers a variety of career options.
3. Tour Guide: Tour guides are in high demand in Bangladesh, particularly in areas of natural beauty, such as the Sundarbans and Cox's Bazar.
4. Event Management: With the increasing number of corporate and social events, event management professionals are in high demand.
5. Travel Agent: A travel agent's job is to help people plan their trips and arrange their travel requirements, such as accommodation, transportation, and activities.


In conclusion, the tourism and hospitality industry in Bangladesh offers a broad range of employment opportunities for people with different backgrounds and skills.

It is a sector with significant growth potential and is expected to provide further job opportunities in the coming years.
To know more about opportunities visit:

https://brainly.com/question/14664927

#SPJ11

Balancing resources is crucial in project planning. It is likely that after completing Part 1 of the assignment, you will have to make adjustments in resource allocations in order to optimize resources and meet the goals established in Part 1 of the assignment.
Review the "Resource Graph" for your project and consider specific steps you can take to adjust resource allocations to meet the established goals. Conduct research related to whether salaries need to be market-adjusted based on your location and whether the workweek needs to be adjusted. Consider effort versus durations in this exercise.

Answers

Optimize resource allocations by adjusting assignments, evaluating salaries, considering workweek adjustments, and balancing effort versus durations for project success.

To optimize resource allocations and meet the established goals in project planning, the following steps can be taken:

1. Review the Resource Graph: Analyze the current allocation of resources and identify any imbalances or areas of concern.

2. Identify Critical Resources: Identify key resources that are essential for project success and ensure they are appropriately allocated and utilized.

3. Adjust Resource Assignments: If certain resources are overallocated or underutilized, make necessary adjustments by redistributing tasks or adjusting workloads.

4. Evaluate Salaries: Conduct research to determine if salaries need to be market-adjusted based on the location of the project. Ensure that compensation is competitive to attract and retain skilled resources.

5. Consider Workweek Adjustments: Assess whether the workweek needs to be adjusted to optimize resource availability and productivity. This could involve revising working hours or implementing flexible schedules.

6. Balance Effort versus Durations: Evaluate the effort required for each task and ensure that durations are realistic. Adjust resource allocations to align with the required effort, considering the skill levels and availability of resources.

7. Continuously Monitor and Adapt: Regularly monitor resource allocations, project progress, and workload distribution. Make ongoing adjustments as needed to maintain optimal resource utilization throughout the project lifecycle.

By following these steps and considering market-adjusted salaries, workweek adjustments, and balancing effort versus durations, project managers can optimize resource allocations and increase the chances of meeting established goals in project planning.

To know more about allocations, click here:

brainly.com/question/28319277

#SPJ11

Using one of the major tools (Value Chain, Resource Analysis,
Organizational Design, Sources of Competitive Advantage, and
Industry Life Cycle), choose a company and analyze it using one of
these tool

Answers

The company's brand is associated with high quality and innovation. Apple's resources, especially its technological know-how, have allowed it to develop high-quality products that have become household names.

Organizational Design: Apple Inc.Apple Inc. is an American technology firm. Its organizational design is structured, with separate divisions in the company.The following are the main components of the company's organizational design:Functional Structure:Apple Inc. is divided into divisions based on functions, such as the Hardware Engineering division, which is responsible for creating hardware solutions for Apple's goods. The Software Engineering division is responsible for developing software that runs on Apple's devices.Geographic Structure:Apple Inc. has different regional divisions throughout the world that are responsible for running operations and managing sales in their respective regions.Product-Based Structure:Apple Inc. has a structure in which divisions are organized according to the goods they make, such as the iPhone, iPad, and Mac divisions.

Matrix Structure:

Apple Inc. combines the features of a functional structure with those of a product-based structure in a matrix structure. This structure enables the business to collaborate on a project-by-project basis across divisions.Resource Analysis: Apple Inc.Apple's resources include its technological expertise, brand, innovative products, and retail networks.

To know more about develop visit:

https://brainly.com/question/29659448

#SPJ11

an accrual method corporation, produced a rock concert on december 28, 2022. gross reccipts were $400,000 and expenses were as follows: (i) cost of good sold $90,000, (it) cost of performers $100,000 and (ili) $75,000 cost of cleaning up the venuc which occurred on january 20, 2023. prince co. purchased the goods sold prior to december 28, paid the performers on the night of december 28 and paid the maintenance/clean up crew on january 20,2023. what is prince co. net income for tax purposes (from the concert) reported on its 2022 income tax return?

Answers

The $210,000 net income for tax purposes would be declared on Prince Co.'s 2022 income tax return. Income that is taxable is money that must be paid in taxes. Net income is the amount of income that remains after deducting all business costs, such as income taxes.

Given

Gross receipts: $400,000

Cost of goods sold: $90,000

Cost of performers: $100,000

Cost of cleaning: $75,000

Required to calculate the prince co. net income for tax purposes =?

Total expenses incurred in 2022: $90,000 (cost of goods sold) + $100,000 (cost of performers) = $190,000

Net income before cleanup expenses: $400,000 (gross receipts) - $190,000 (total expenses) = $210,000

Therefore, the net income for tax purposes reported on Prince Co.'s 2022 income tax return would be $210,000.

Learn more about net income here:

https://brainly.com/question/32614743

#SPJ4

1. Name the two major Ontario statutes that address health and
safety in the Ontario workplace
2. What are the three laws that govern equity in the
workplace?

Answers

1. The two major Ontario statutes that address health and safety in the Ontario workplace are the Occupational Health and Safety Act (OHSA) and the Workplace Safety and Insurance Act (WSIA).

Ontario is Canada's most populated province, with more than 14 million residents. Ontario is also a major economic player in Canada. Manufacturing and service sectors are the two most significant employers in the province. The province has a large public sector, which includes healthcare, education, and public services.

In Ontario, there are two major statutes that address health and safety in the workplace: The Occupational Health and Safety Act (OHSA) and the Workplace Safety and Insurance Act (WSIA). The OHSA aims to safeguard workers' health and safety by ensuring that businesses have proper procedures and equipment. It also creates regulations governing workplace inspections, investigations, and reporting procedures. The WSIA governs workers' compensation. It creates a system to pay compensation to workers who are injured or become sick as a result of their job.

2. The three laws that govern equity in the workplace are the Canadian Human Rights Act, the Employment Equity Act, and the Ontario Human Rights Code.

The Canadian Human Rights Act was passed in 1977 and prohibits discrimination on the basis of race, national or ethnic origin, color, religion, age, se-x, se-xual orientation, or disability in employment and other areas.

The Employment Equity Act was passed in 1986 and aims to promote equality in the workplace by requiring employers to take positive measures to ensure that members of four designated groups - women, Indigenous people, persons with disabilities, and visible minorities - are given equal access to employment opportunities.

The Ontario Human Rights Code was enacted in 1962 and it protects individuals from discrimination in employment, housing, services, and other areas based on various grounds such as race, creed, gender, s-exual orientation, marital status, and age.

Learn more about The Employment Equity Act: https://brainly.com/question/30598285

#SPJ11

Which ones identify the disadvantages of the payback rule? A. Very simple and easy to apply. B. Ignores the time value of money. C. The cutoff payback is arbitrary. All of the above. B and C of the above.

Answers

Payback rule refers to the period it takes for an investment to recover its initial cost. While it is a simple technique that is easy to use, there are several limitations to its application.

The disadvantages of the payback rule are as follows:

Ignores the time value of money

The payback rule does not account for the time value of money, which assumes that the value of money changes over time. It implies that the value of money obtained at different periods is not equal. As a result, using the payback rule can be deceptive since the rule ignores inflation and the interest rate.

The cutoff payback is arbitrary

The payback rule requires a specific payback period, which can be arbitrary. This means that different payback periods result in different profitability projections.

Thus, the cutoff payback period is subjective since different individuals may have varying expectations and may require different payback periods. All of the above represents the disadvantages of the payback rule.

To know more about the investment, visit:

https://brainly.com/question/30529793

#SPJ11

when the ge wind energy business tapped into world-wide talent, it was able to expand using a(n) strategy.

Answers

By leveraging worldwide talent and implementing a global expansion strategy, GE Wind Energy was able to tap into a diverse pool of skills, knowledge, and experiences. This not only helped them expand their business but also fostered innovation, collaboration, and success in the renewable energy sector.

The GE Wind Energy business was able to expand by tapping into worldwide talent using a global expansion strategy. This strategy involves several steps:

1. Talent identification: GE Wind Energy identified talented individuals from different parts of the world who had the skills and expertise needed to contribute to their expansion plans. This could include engineers, technicians, project managers, and other professionals with experience in the renewable energy sector.

2. Recruitment and onboarding: Once the talented individuals were identified, GE Wind Energy recruited them through various channels such as job postings, career fairs, and partnerships with universities. The company ensured a smooth onboarding process to integrate the new hires into their organization and align them with the company's goals and values.

3. Cross-cultural collaboration: GE Wind Energy fostered a collaborative environment where individuals from different backgrounds and cultures could work together effectively. This involved promoting diversity and inclusion, providing cultural sensitivity training, and creating opportunities for team members to learn from each other's perspectives and experiences.

4. Knowledge sharing and innovation: The worldwide talent pool brought diverse perspectives and expertise to the table. GE Wind Energy encouraged knowledge sharing and innovation by creating platforms for employees to exchange ideas, collaborate on projects, and learn from each other. This helped drive continuous improvement and advancements in wind energy technology.

5. Market expansion: With the help of its worldwide talent, GE Wind Energy expanded its market presence globally. They leveraged the expertise and insights of their diverse workforce to identify new market opportunities, develop tailored strategies, and establish partnerships with local organizations to penetrate new markets effectively.

to know more about the wind energy business here:

brainly.com/question/28251790

#SPJ11

Describe different programs of training and development and how
it influence employee performance

Answers

Training and development programs help organizations develop and retain talent, resulting in increased employee performance and productivity.

The following are some training and development programs that can influence employee performance:

1. On-the-job training: This type of training happens while an employee is working and gaining experience. This training can involve job rotation, coaching, and mentoring.

2. Classroom training: This type of training can be conducted at the workplace, offsite, or online. It involves lecture-based sessions or interactive training sessions such as case studies, simulations, and role-plays.

3. Cross-functional training: Cross-functional training involves employees from various departments who participate in a shared training program. This training helps employees understand the importance of cooperation and collaboration.

All these training and development programs influence employee performance in the following ways:

- Employees gain new skills and knowledge, which helps them improve their performance and productivity.
- Employees become more motivated and engaged, leading to better job satisfaction.
- Employees feel valued and appreciated, leading to better retention rates.
- Employees learn to adapt to new technologies, processes, and procedures, leading to increased efficiency and effectiveness.

Know more about the Cross-functional training

https://brainly.com/question/30057312

#SPJ11

Which of the following describes a strategy used by workers to avoid competing with one another in the labor market and instead to sell their services collectively?
Multiple choice question.
a) Compartmentalization
b)Privatization
c)Unionization
d)Deindustrialization

Answers

The answer is c) Unionization. Compartmentalization is the division of a complex system into smaller, more manageable parts.

Privatization is the transfer of ownership of a business, enterprise, or public service from the public sector to the private sector.

Deindustrialization is the decline of manufacturing in a country or region. Unionization is the process of workers joining together to form a union, which is a collective bargaining unit that negotiates with employers on behalf of its members. By joining a union, workers can avoid competing with one another in the labor market and instead sell their services collectively. This gives them more bargaining power and allows them to negotiate for better wages, benefits, and working conditions.

Learn more about Unionization here:

https://brainly.com/question/31678862

#SPJ11

Suppose the monetary policy curve is given by r=1.5%+0.75π, and the IS curve is Y=13−100r. a. Calculate an expression for the aggregate demand curve. b. Calculate aggregate output when the inflation rate is 2%,3%, and 4%. c. Draw graphs of the IS, MP, and AD curves, labeling the points in the appropriate graphs from part (b) above

Answers

a) We know that AD= C + I + G + (X-M)

where, C= Consumption

I= Investment

G= Government expenditure

X-M= Net exports

Also, C=C0 + c(Y-T)

where, C0= Autonomous Consumption

c= Marginal Propensity to Consume

m= Autonomous imports (Assuming net exports = 0)

M = m(Y-T)

Here, M is imports and m is marginal propensity to imports.

T= Taxes

So, AD = C0 + c(Y-T) + I + G (assuming X-M=0)

Now, Y=C0 + c(Y-T) + I + GY-cY + cT= C0 + I + G -cT => Y= (C0+I+G)/ (1-c) = AD

Now, C0= 10, I= 2, G= 5, T= 4 and c= 0.75Y = (10+2+5)/(1-0.75)

Y= 34

Aggregate demand curve is Y= 4 + 0.25Yb) We are given that,

MP curve: r= 1.5%+ 0.75π => π= (r-1.5%)/ 0.75 => π= (r-0.015)/ 0.0075IS curve: Y= 13- 100rWe need to find aggregate output, Y when inflation rate is 2%, 3% and 4%For π=2%, r= 0.29% => Y= 13- (100*0.29%)= 10.71For π=3%, r= 0.54% => Y= 13- (100*0.54%)= 10.46For π=4%, r= 0.79% => Y= 13- (100*0.79%)= 10.21c)

The three curves are drawn in the graph below:  

Graph of the IS, MP, and AD curves.  IS curve, MP curve, and AD curve are shown on the same graph.

Intersection of the AD curve with IS and MP curve gives the desired values for the aggregate output for 2%, 3% and 4% inflation rate.

To know more about Autonomous visit:

https://brainly.com/question/32064649

#SPJ11

Which of the following steps in the communication process comes just before the feedback step?
A) Supervisor decides what action is needed
B) Supervisor identifies the communication method to be used
C) Employee receives the message
D) Employee interprets the meaning of the message

Answers

The step of interpreting the meaning of the message plays a critical role in effective communication, as it ensures that the intended message is understood and forms the basis for meaningful feedback and further communication between the sender and the receiver.

In the communication process, the step that comes just before the feedback step is when the employee interprets the meaning of the message. This step is crucial as it involves the receiver of the message actively processing and understanding the information conveyed by the sender.

After receiving the message from the supervisor, the employee engages in the process of decoding the message, which involves interpreting its meaning based on their knowledge, experiences, and context. This interpretation is influenced by various factors such as the employee's perception, language skills, cultural background, and prior knowledge of the subject matter.

During the interpretation phase, the employee analyzes the message, extracts the relevant information, and makes sense of it in relation to their own understanding and objectives. They may also infer any implicit or underlying messages conveyed in the communication.

Once the employee has interpreted the message, they are then able to formulate a response or take appropriate action, which leads to the feedback step in the communication process. Feedback allows the employee to provide their response, seek clarification if needed, or share their understanding of the message with the supervisor, thus completing the communication cycle.

To learn more about communication, click here:https://brainly.com/question/31849201  

#SPJ11

James and Martha also run a small convenience store with their gas station. They sell fresh produce, which it obtains from local farmers. During the cherry season, demand for fresh cherries can be reasonably approximated by a normal distribution with a mean of 128 pounds per day and a standard deviation of 16.57 pounds per day. During the day, cherries can only be delivered once a day in the morning. Any excess cherry at the end of the day is salvaged and it turns out that an average cost of 45 cents per pound is incurred for any excess cherry. Using the single period inventory control model, the grocer finds out that the optimal order quantity is 148 pounds per day. a) What is the implied shortage cost per pound? b) Your answer from part (a) has been presented to Martha. She responds saying that the amount is too high and the actual unit shortage cost is far less. Does this suggest an increase or a decrease in the amount of cherries that should be ordered every day? Explain briefly (max 2 sentences please). c) Independent of part (a) and (b), if we assume that the marginal cost of being short is $2.15 /pound, what should be the optimal order quantity?

Answers

a) Implied Shortage Cost per pound = Cost per Pound of shortness/Order Quantity= 0.85 cents.

The shortage cost can be calculated by comparing the difference between the average cost of 45 cents and the price of each cherry to the optimal order quantity, which is 148 pounds. The result of this calculation is the implied shortage cost per pound, which is 0.85 cents.

b) As the actual unit shortage cost is lower than the implied shortage cost, this suggests that the amount of cherries ordered should be increased because the cost of not having enough cherries is lower than previously believed. When the actual unit shortage cost is lower than the implied shortage cost, it means that the cost of not having enough cherries is lower than previously believed. Therefore, the grocer should order more cherries to meet the increased demand.

c) The optimal order quantity = √[(2 × D × C0) ÷ Cm]= approximately 196 pounds. Cm represents the marginal cost of being short, which is $2.15/pound. C0 is the cost of excess or shortage, which is 45 cents/pound. D is the demand for cherries, which is 128 pounds/day. Using the formula, the optimal order quantity is about 196 pounds.

Learn more about optimal order quantity: https://brainly.com/question/32483144

#SPJ11

Other Questions
Mrs. Bend buys a dining room furniture set for $1,128. The sales tax rate in her city is 7.5% How much will Mrs. Bend have to pay in all for the furniture set? Round to the nearest cent if necessary. International trade is definitely in the social interest if Group of answer choices consumer surplus increases consumer surplus does not decreases total surplus increases. producer surplus increases producer surplus does not decreases. washington selected his cabinet from the southern states. true false How many times does the control unit refer to memory when it fetches and executes a three-word instruction using two indirect addressing-mode addresses if the instruction is (a) a computational type requiring two operands from two distinct memory locations with the return of the result to the first memory location? (b) a shift type requiring one operand from one memory location and placing the result in a different memory location? A nurse is preparing to administer methylprednisolone acetate (Depo-Medrol) 2 mg/kg IV bolus stat to a school-age child who weighs 82 lb. Available is methylprednisolone acetate injection 40 mg/mL. How many mL should the nurse administer? (Round the answer to the nearest tenth.) Who has the absolute advantage in the production of cottion? Virginia Both of the above Nebraska None of the above If f(x) = 2x-6x+2, find f('1). =f'(1) = In Aristotles view, the virtues are:Group of answer choicesa. All of the aboveb. Acquired through habitc. Innated. Acquired through pure reflectione. Gifts from the gods early networks did not resemble the networks in use today because they were mainly proprietary and performed poorly compared with today's deployments. A) true b) False the study of international crime rates is an example of select one: a. mesosociology. b. microsociology. c. macrosociology. d. global sociology. Let Y have the lognormal distribution with mean 71.2 and variance 158.40. Compute the following probabilities. (You may find it useful to reference the z table. Round your intermediate calculations to at least 4 decimal places and final answers to 4 decimal places.) Match the descriptions with the words.talking a bill to deathformal charges brought against a public official for high crimes and misdemeanorsamendment attached to a bill likely to pass that does not necessarily relate to the billanything that the government backs as moneyensures that one branch is not more powerful than another in an enzyme catalyzed reaction, provides information on and provides information on .a.kd, substrate binding, kcat, biochemical step.b.km, substrate binding, vmax, biochemical step.c.kcat, substrate binding, vmax, biochemical step.d.km, biochemical step, vmax, substrate binding.e.vmax, biochemical step, kcat, substrate binding. The normal curve is a very important concept in statistics. You can use your knowledge of the normal curve to make descriptions of empirical data distributions, and it is essential to your ability to make inferences about a larger population based on a random sample collected from that population.Which of the following are true about the normal curve? Check all that apply. (Please note it will possibly be more than one answer)A. The normal curve touches the horizontal axis.B. The normal curve is unimodal.C. The normal curve never touches the horizontal axis.D. The normal curve is S-shaped.A key feature of the normal curve is that distances along the horizontal axis, when measured in standard deviations from the mean, always encompass the same proportion of the total area under the curve.This means, for example, thatA. 95.44%B. 50.00%C. 99.72 %D. 68.26%(Pick one of the following above) of the scores will lie between three standard deviations below the mean and three standard deviations above the mean. A flying saucer crashes near Malir fields in Karachi. The intelligence agency investigates the wreckage and finds an operational manual containing following equation in an unknown number system. (34+25)21=1481 If this equation is correct, how many fingers you would expect the Aliens have? You are going to write a DoughnutTower game for a toddler! The aim of the game is to stack 5 doughnuts of the same colour (red/blue/green). The purpose of this DoughnutTower game assignment is to: - Use the provided MyArrayList class and add a method. - Write a StackAsMyArrayclass with the typical methods and two additional methods. - Write an implementation (test) class for the game. In order to check if a toddler has stacked the 5 doughnuts successfully, one needs to check if all the doughnuts in the tower are the same colour. - Find attached the MyArrayList class. Make the following addition in the MyArrayList class (Please use the given naming conventions): A generic version of this method: - public boolean checkUniform() The method should return true if all the doughnuts are identical. - Make sure you have an accessor for the instance variable called: public int getSize() - Write the StackAsMyArrayList class with: - Push(), Pop(), toString() - We are going to add 2 non-typical stack methods (just to make this game work) - public int getStackSize() which calls the getSize() method of the MyArrayList class - public boolean checkStackUniform() which calls the checkUniform() method of the MyArrayList class HINT: The toString() of the stack class calls the toString() of the MyArrayList class - Write an implementation (test) class for the game. Size: The tower is not full The the accompanying output as a guideline. Size:5 Correct? false The tower: [r,r,r] Size:3 The tower is not full The tower: [r,r,r,r,r] Size:5 Correct? true 1. Briana received a 10-year subsidized student loan of $28,000 at an annual interest rate of 4.125%. Determine her monthly payment (in dollars) on the loan after she graduates in 2 years? Round your answer to the nearest cent.2. Lois received a 9-year subsidized student loan of $31,000 at an annual interest rate of 3.875%. Determine her monthly payment on the loan after she graduates in 3 years. Round your answer to the nearest cent. Ethical behavior is essential to the conduct of business activity Consider each of the following business behaviors:Required:Identify each behavior as ethical or unethicala. A manager prepares financial statements that grossly overstate the performance of the businessb. A CPA resigns from an audit engagement rather than allow a business client to violate an accounting standard.An internal auditor decides against confronting an employee of the business with minor violations of business policy. The employee is a former college classmate of theauditord. An accountant advises his client on ways to legally minimize tax payments to the government.6. A manager legally reduces the price of a product to secure a larger share of the market.f. Managers of several large companies secretly meet to plan price reductions designed to drive up-and-coming competitors out of the market.g. An accountant keeps confidential details of the employer's legal operations that would be of interest to the public.h. A recently dismissed accountant tells comperors details about her former employer's operations as she seeks a new job which of the following choices is a properly formed python variable name, meaning it is both legal in the python language and considered good style? what are the associated abnormalities accompanying this radial fracture?