The risk of a portfolio of stocks depends on the following
factors, except:
a. Risk of the individual stock
b. Systematic risk
c. Portfolio weights
d. Correlation between t

Answers

Answer 1

D. Correlation between stocks

The risk of a portfolio of stocks depends on several factors, including the risk of the individual stocks, systematic risk, and portfolio weights. However, the correlation between stocks is not a factor that determines the risk of a portfolio.

The risk of an individual stock refers to the variability or volatility of its returns. Stocks with higher volatility are considered riskier because their prices can fluctuate significantly. When constructing a portfolio, the risk of each individual stock is an important consideration as it contributes to the overall risk of the portfolio.

Systematic risk, also known as market risk, refers to the risk that is inherent in the overall market or economy. It cannot be eliminated through diversification. Systematic risk affects all stocks in the market and is caused by factors such as eeconomicconomic conditions, interest rates, and political events. Portfolio managers need to consider systematic risk when assessing the overall risk of a portfolio.

Portfolio weights refer to the allocation of funds across different stocks in the portfolio. The weights determine the proportion of the portfolio’s value that is invested in each stock. The allocation of funds across different stocks plays a crucial role in determining the risk and potential returns of a portfolio. By diversifying the portfolio and allocating weights appropriately, investors can potentially reduce the overall risk of the portfolio.

While correlation between stocks is an important factor in portfolio construction, it does not determine the risk of a portfolio on its own. Correlation measures the degree to which the prices of two stocks move in relation to each other.

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Related Questions

what is y=x^3+7x^2+14x+8​

Answers

Answer:

x=−2,−1,−4

Explanation:

you need to be more specific in what you want. These are the zeros for the problem

power manufacturing has equipment that it purchased 6 years ago for $2,700,000. the equipment was used for a project that was intended to last for 8 years and was being depreciated over the life of the project. however, due to low demand, the project is being shut down. the equipment was depreciated using the straight-line method and can be sold for $430,000 today. the company's tax rate is 23 percent. what is the aftertax salvage value of the equipment?

Answers

The aftertax salvage value of the equipment is $428,650.

To calculate the aftertax salvage value of the equipment, we need to first determine the book value of the equipment. Book value is the initial cost of the equipment minus the accumulated depreciation over the years. Since the equipment was being depreciated using the straight-line method, the depreciation expense per year would be $337,500 ($2,700,000/8).

After 6 years, the accumulated depreciation would be $2,025,000 ($337,500 x 6). Therefore, the book value of the equipment would be $675,000 ($2,700,000 - $2,025,000).

Now that we know the book value and the selling price of the equipment, we can calculate the gain or loss on the sale of the equipment. In this case, there would be a loss of $245,000 ($430,000 - $675,000).

To calculate the aftertax salvage value, we need to take into account the tax implications of the loss. Since the company's tax rate is 23 percent, the tax savings from the loss would be $56,350 ($245,000 x 23%). Therefore, the aftertax salvage value of the equipment would be $428,650 ($430,000 - $56,350).

In summary, The aftertax salvage value of the equipment is $428,650 This calculation takes into account the book value, selling price, and tax implications of the loss on the sale of the equipment.

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A surface, such as a prep table, that touches food or from which food could drip or drain onto surfaces that touch food is
called a "food-splash surface."
True
False

Answers

Answer:

False

Explanation:

Food contact surface is what it is called

3
what is not example of an Internal Stakeholder?
-
O
Owner
Customers
Manager
Employees
None of the Above

Answers

Answer:Imagine you’re Charlie in Willy Wonka and the Chocolate Factory.

This whole business is all yours! Run around it, eat all the free snacks, enjoy all of the delicious, owning-your-own-business feelings. And then get into work the next day and realize…

Who actually does all of the stuff here? Who’s actually running this place?

Well you, of course. But not just you. Many people have personal and financial interests in your business, and those people are called stakeholders.

What types of stakeholders do you need in business? In this post you get to learn:

The 10 types of stakeholders you meet in business

Stakeholder vs. shareholder – have you been referencing the wrong one?

What types of stakeholders are there?

No, that’s not a typo. Each of the types of stakeholders in a business are categorized in 3 ways:

Internal or external

Primary or secondary

Direct or indirect

Internal stakeholders are, as the name suggests, stakeholders that exist inside a business. These are stakeholders who are directly affected by a project, such as employees.

External stakeholders are those who have an interest in the success of a business but do not have a direct affiliation with the projects at an organization. A supplier is an example of an external stakeholder.

Explanation:

5. A number with the addition of itself becomes 38. What
is the number?

Answers

Answer:

19+19=38

...........................

To find the answer to this, just divide the given variable (38) by 2. Which is 19

Suppose the value of all the stocks in a fund's portfolio is currently $500,000. The fund has $450,000 in liabilities and has sold 2,500 shares of its fund to investors. Find the NAV.

Answers

Answer:

Well your currency will come up due to the investors only if it is a great good market platform The liabilities you must take time to pay them back it might cause interest and money building vlaues or taxes or possibly jail time

Explanation: I really hope i helped

If he fund has $450,000 in liabilities and has sold 2,500 shares of its fund to investors. The NAV is $20.

Net asset value

Using this formula

NAV = (Assets - Liabilities) / Total number of outstanding shares

Let plug in the formula

NAV=($500,000-$450,000)/2500 shares

NAV=$50,000/2500 shares

NAV=$20

Therefore the net asset value is $20.

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Jorge's soccer team is having its annual fundraiser. The team hopes to earn at least three times as much as it did last year. Last year the team earned $87. What is the team's goal for this year?

Answers

Answer:

131usd is the aswer

Explanation:

87*3=131usd

QUESTION 2 of 10: Medicare is a government program funded by tax dollars to:


a) Provide health insurance to children
b) Provide health insurance to working adults
c) Provide hospital insurance for those over 65

Answers

C is the answer for your question

Arrange the following revenues in the federal government, from greatest to
least.
Drag each item to put them in the correct order.
(2 points)
= excise taxes
= Social Security and Medicare taxes
= corporate income taxes
= individual income taxes
= customs duties
= miscellaneous revenue

Answers

Individual income taxes
Social Security and Medicare taxes
Corporate income taxes
Excise taxes
Custom duties
miscellaneous revenue

A loan of $105,487.80 is to be amortized over a 10-year term at 6% interest compounded monthly with monthly payments and a $20,000 balloon payment at the end of the term. Calculate the monthly payment.
The monthly payment is $
(Do not round until the final answer. Then round to two decimal places as needed.)

Answers

Answer:

  $1049.09

Explanation:

The present value of the balloon payment is ...

  $20,000/(1 +.06/12)^(12·10)) = $10,992.65

So, the effective amount of the loan is ...

  $105,487.80 -10,992.65 = $94,495.15

The amortization formula gives the payment as ...

  A = P(r/n)/(1 -(1 +r/n)^(-nt)) = $94,495.15(.06/12)/(1 -(1 +.06/12)^(-12·10))

 = $94,495.15(.005)/0.450367 = $1049.09

The monthly payment is $1049.09.

Possible econometrics can be defined as follows with the exception of:_____.

Answers

Possible econometrics can be defined as follows with the exception of measuring the height of economists.

Econometrics can be defined as the ones who  makes use of various statistical methods to develop different types of theories.

It also helps in the testing of various hypotheses which are included in economics that helps gives meaning to economic systems. It does not measure economics.

Therefore, Possible econometrics can be defined as follows with the exception of measuring the height of economists.

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List 4 stakeholders

Answers

Answer:

Employees,Governments,Local communities,customer

prior to accepting a new audit engagement, a public accounting firm should:

Answers

A public accounting firm should try to get in touch with the previous auditors before taking a new audit engagement. They should also assess their resources to make sure they have enough to take the engagement and evaluate the management's honesty.

A company or person that assists a variety of clients, from individuals to businesses, in the preparation of financial papers is known as a public accountant. PAs serve as a third party to analyze a company's financial statements before they are made public. Because they are not exclusively hired by any one client, public accountants and public accounting firms are not a part of that customer's corporate or company structure. An audit is defined as "an impartial review of financial data of any entity, whether profit-oriented or not, regardless of size or legal form, when such an examination is done with a view to expressing an opinion thereon." is an audit.

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Select all that apply.

Learning styles include all of the following:


bodily/kinesthetic

verbal/linguistic

naturalistic

personal

Answers

Answer:

bodily/kinesthetic

verbal/linguistic

Explanation:

Learning styles can be regarded as range of competing as well as contested theories which analyse

differences that exist learning of in individuals. It should be noted that the Learning styles includes

✓bodily/kinesthetic

✓verbal/linguistic

Answer:

verbal/linguistic

bodily/kinesthetic

naturalistic

Explanation:

checked answer on Odyssey

1. Suppose you purchase a 3-year, 5-percent coupon bond at par and held it for two years. During that time, the interest rate falls to 4%. Calculate your annual holding period return. 2. Consider a one-year, 10-percent coupon bond with a face value of $1,000 issued by a private corporation. The one-year risk-free rate is 10%. The corporation has hit on hard times, and the consensus is that there is a 20% probability that it will default on its bonds. If an investor were willing to pay $775 for the bond, is that investor risk-neutral or risk averse?

Answers

1)The annual holding period return is 15.2%; As a result, any rational investor would require a higher return than the risk-free rate to compensate for the additional risk.

1. Annual holding period return

Annual holding period return is defined as the total return received by an investor during the period he holds the investment. The formula for annual holding period return is:

AHPY = [(Ending Price + Dividend Income - Beginning Price) / Beginning Price] x 100

Given that the bond was purchased at par and the coupon rate was 5%, which implies that the coupon payment per annum is $50, the investor would have received an annual income of $50 for two years. After two years, the interest rate falls to 4%, which implies that the bond's price would have increased in value.

To calculate the new price, the investor would use the formula for bond pricing:

Price = ($50 / 0.04) x (1 - 1 / (1 + 0.04) ^ (3 - 2)) + 1000 / (1 + 0.04) ^ 2Price = $1051.98

Using the AHPY formula:

AHPY = [(1051.98 - 1000 + 100) / 1000] x 100 = 15.2%

2. Risk-neutral or risk-averse investor

A bond's yield is inversely related to its price. Therefore, if an investor is willing to pay $775 for a bond that has a face value of $1000, it implies that the investor is risk-averse. If the investor were risk-neutral, he would have been willing to pay the bond's current price. The probability of default by the corporation is 20%, which is not insignificant.

The corporation is in financial distress, indicating that there is a high risk of default, which explains why the investor was willing to pay less than the face value.

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in order to simplify market transactions, an economy must use

Answers

In order to simplify market transactions, an economy must use:

1. Standardized Currency: Having a standardized currency eliminates the need for bartering or exchanging goods directly.

provides a common medium of exchange that simplifies transactions and facilitates economic activity.

2. Clear and Enforceable Legal Framework: An economy needs a clear and enforceable legal framework that defines property rights, contracts, and dispute resolution mechanisms. This ensures that transactions are legally recognized and protected, providing a sense of security and trust for buyers and sellers.

3. Efficient Payment Systems: An economy should have efficient payment systems in place, such as banking systems, electronic transfers, and payment platforms. These systems facilitate the transfer of funds between parties, making transactions faster and more convenient.

4. Market Infrastructure: An economy needs well-functioning markets with infrastructure that supports transactions, such as marketplaces, exchanges, and trading platforms. These facilitate the buying and selling of goods, services, and financial instruments.

5. Information Availability: Access to accurate and timely information about products, prices, and market conditions is crucial for efficient market transactions. This can be facilitated through market transparency, consumer protection regulations, and information dissemination mechanisms.

By implementing these elements, an economy can simplify market transactions, promote economic activity, and foster a more efficient and effective marketplace for buyers and sellers.

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Talk about the challenges that can arise when forest and mineral
resources are found in the same region. What options are there for
resolving the problems? With reference to hoteling rule (25
points)?

Answers

When forest and mineral resources are found in the same region, challenges may arise.

The challenges that can arise when forest and mineral resources are found in the same region include the following:

One of the most significant challenges that arise is the question of how the resources in question will be allocated. Because both resources are valuable, it can be difficult to determine which resource should take precedence. When one resource is prioritized over another, it can result in resource depletion and a host of other problems.

Resource depletion is another major challenge that arises when forest and mineral resources are found in the same region. Because both resources are valuable, they are often over-exploited. This can result in the loss of habitat, the extinction of certain species, and the depletion of soil fertility. In turn, these can have far-reaching effects on the ecosystem as a whole.

There are several options for resolving the challenges that arise when forest and mineral resources are found in the same region.

One such option is to use the hoteling rule, which is a method for determining the optimal rate of resource extraction over time. The hoteling rule suggests that the optimal rate of resource extraction is the rate at which the marginal benefit of using an additional unit of the resource is equal to the marginal cost of extracting it. By using this rule, policymakers can ensure that the resources in question are being used in a sustainable manner.

In turn, this can help to mitigate the challenges that arise when forest and mineral resources are found in the same region.

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Sarah is preparing for the baptism of Chris. He bought five dressed chicken weighing 1 3/4, 2 1/8, 1 1/3,1 2/5, and 2 1/2 kilograms each, respectively.What is the total weight of the chicken?

Answers

The total weight of the chicken is 9\(\frac{5}{48}\) kg.

The total weight of the chickens can be determined by adding the weights of the five chickens together.

Addition is a basic mathematical operation that is carried out by adding two or more numbers together.

Total weight = \(1\frac{3}{4} + 2\frac{1}{8} + 1\frac{1}{3} + 1\frac{2}{5} + 2\frac{1}{2}\)

\(7\frac{720 + 120 + 320 + 384 + 480}{960}\)

7 \(\frac{2020}{960}\)

9\(\frac{5}{48}\) kg

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Why do consumer advocates advise against using alternative financial services?.

Answers

Consumer advocates advise against using alternative financial services because of the high cost that's associated with the loans and other services.

What is a financial service?

It should be noted that a financial service simply means a wide range of activities such as banking, insurance and investing.

In this case, consumer advocates advise against using alternative financial services because of the high cost that's associated with the loans and other services.

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the price of spaghetti goes up, and you know that you could buy other pasta, or other kinds of food entirely, but you really love pasta. therefore you keep buying the same quantity of pasta, regardless of the price change. how would an economist describe your demand for pasta?

Answers

An economist would define your pasta demand as inelastic. This means that even if the price of spaghetti has increased, you are still purchasing the same amount of it.

This shows that your desire for spaghetti is not very sensitive to price fluctuations, and that you are prepared to pay more for it even if the price rises. In other words, your passion for pasta trumps the impact of price fluctuations on your purchase habits. the price of spaghetti goes up, and you know that you could buy other pasta, or other kinds of food entirely, but you really love pasta. therefore you keep buying the same quantity of pasta. your passion for pasta trumps the impact of price fluctuations on your purchase habits.

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An investor is considering the purchase of either an io or po strip from a cmo offering. The portion of the mortgage pool backing this tranche consists of $1. 11 million in mortgages with a remaining maturity of 10 years and an 8 percent interest rate. Required: a1. Assuming annual payments and a zero prepayment rate, prepare a schedule showing the io and po cash flows that would be payable to investors in this tranche. A2. If the interest rate demanded by investors on this investment is also 8 percent, what would be the prices of the io and po strips? b. If interest rates increased to 10 percent and prepayments remained at a zero rate, how would the price of the io and po strips change? what is the percentage price change of each security? c. Investor interest rates now decline to 6 percent. What is the price of the io? po? prepayments now increase to a rate of 20 percent per year because mortgage borrowers in the pool begin to refinance at lower interest rates. What would prices for the io and po be now? (assume that the 20% prepayment received at the end of each year is based on the outstanding loan balances at the end of the preceding year. ) what is the percentage price change of each security?

Answers

For the IO strip, there would be no cash flows paid to investors until the end of the 10-year term, when all remaining principal would be paid along with accumulated interest. For the PO strip, cash flows would be paid annually to investors, with higher amounts paid in the earlier years and lower amounts in the later years.

       If the interest rate demanded by investors on this investment is also 8 percent, the price of the IO strip would be $574,696.54 and the price of the PO strip would be $535,303.46. If interest rates increased to 10 percent and prepayments remained at a zero rate, the price of the IO strip would decrease by 44.36%, from $574,696.54 to $320,103.18. The price of the PO strip would decrease by 6.62%, from $535,303.46 to $500,192.57. If investor interest rates now declined to 6 percent and prepayments increased to a rate of 20 percent per year, the price of the IO strip would increase by 47.53%, from $320,103.18 to $471,311.06. The price of the PO strip would decrease by 39.61%, from $500,192.57 to $302,049.06.

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During which stage of new product development do you think focus groups would be the most helpful? Explain.

Answers

With 75% of venture-backed startups set to fail and 50% of S&P 500 companies expected to be replaced in 10 years, we’re all feeling the heat to improve our speed and agility in the face of booming competition. In our quick guide, Mastering the New End-to-End Process to Transform Product Development, you’ll learn how to implement Product Pipelines to achieve outsized market success.

This new product development process quick guide covers topics such as:
How using product pipelines and consumer adoption intersect
A case study on new product development process using Netflix and Tesla
Applying the commercialization process of product development to existing products or groups of products

During 75% completion stage of new product development, focus groups would be the most helpful.

What is the role of Focus Groups?

Focus groups are used in research primarily to collect data about respondents' attitudes, feelings, beliefs, experiences, and reactions in ways that are not possible with other techniques, such as observation, one-on-one interviews, or questionnaire surveys.

A new product release is a serious undertaking. If the product does not sell as anticipated, the advertising, manufacturing, and inventory costs were all for nothing. It's critical to follow a step-by-step method while creating a product before releasing it to the general public in order to prevent this scenario.

Because the maker does not consider the intended consumer's opinion, many goods fail.

Therefore a focus group is a practical tool for gathering consumer opinions when researching a new product.

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beverly company has determined a standard variable overhead rate of $3.80 per direct labor hour and expects to incur 0.50 labor hours per unit produced. last month, beverly incurred 1,600 actual direct labor hours in the production of 3,300 units. the company has also determined that its actual variable overhead rate is $2.40 per direct labor hour.

Answers

Direct labor refers to the salaries and wages paid to people that can be without delay attributed to precise services or products. It consists of the price of normal running hours, beyond regular time hours labored, payroll taxes, unemployment tax, Medicare, employment insurance, and so on.

1.Variable Overhead rate Variance = real Hours *(real rate - trendy fee) = 1600*(2.40 - 3.80) = 2240 (F)

2.Variable Overhead efficiency Variance = wellknown fee*(real Hours - fashionable Hours) = three.80*(1600 - .five*3300) = a 190 (F)

3.Over- or Underapplied Variable Overhead = actual Overhead Incurred - Overhead applied = 1600*2.forty - 3300*.5*3.80 = 2430 (Overapplied)

Direct labor value is part of a salary invoice or payroll that may be specially and continually assigned to or related to the manufacture of a product, a selected paintings order, or the provision of a provider.

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If you have an orientation where you are completing training exercises on a computer, it is probably a ____.
A new hire orientation
B interactive orientation
C reorientation
D mentorship

Answers

Answer: new hire orientation

Explanation:

New employee orientation is used in order to welcome newly employed workers to the organization and this is done in order to integrate the new workers into the system, train them, and make them feel welcomed and part of the organization. .

This helps to boost the confidence of the employees, leads to increase in the retention of employees and also boost employees morale.

Interaction orientation simply means the interaction that takes place between companies and their customers and this is done in order to improve the relationship with customers and achieve organizational goals.

Mentorship simply means having a mentor to guide an individual. Reorientation simply means to change a particular focus or mindset of certain people.

Based on the explanation, the answer is new hire orientation.

Answer:

A

Explanation:

Jobs that require lower level skills have better benefits, like health insurance, than jobs that require a college education. Please select the best answer from the choices provided T F

Answers

Answer:

False, jobs requiring a higher level of education have more benefits than jobs that require minimal education.

Answer: f

Explanation:

During a hostile takeover attempt the board of directors of the target corporation blocked the attempt, however, shareholders who would have received a premium price for their stock are angry and sue. The courts will use: X the rule of reason to determine if the takeover made more financial sense to a greater number of people. the business judgement rule to determine if the directors acted reasonably. the rational basis test to determine if the block was the best course of action. intermediate scrutiny to determine if it was the best course of action.

Answers

The courts will determine if the board of directors acted reasonably by using the business judgement rule.

During a hostile takeover attempt the board of directors of the target corporation blocked the attempt, however, shareholders who would have received a premium price for their stock are angry and sue.

The courts will use the business judgement rule to determine if the directors acted reasonably.

However, the term 150 is not related to the given statement or the question, which is related to legal matters. Therefore, we cannot answer the question based on the given terms.

Nonetheless, the answer to the question is "the business judgement rule to determine if the directors acted reasonably."In the context of corporate law, the business judgment rule is a legal principle that allows a board of directors to make business decisions without being subjected to judicial inquiry.

It assumes that a board of directors, when making business judgments, acts in good faith and in the best interests of the company as a whole.

The courts will determine if the board of directors acted reasonably by using the business judgement rule.

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Types of Validity An investigator is interested in studying the effect of resident work hour limitations on surgical residents. One area she wishes to address is burnout, and she plans to assess it with two questions (answered on a 7-point scale) from a more extensive questionnaire: (a) "How often do you feel burned out from your work?" and (b) "How often do you feel you've become more callous toward people since you started your residency?' The investigator sets out to assess the validity of these questions for measuring burnout. For each of the following descriphons, name the type of validity being assessed: 1. Residents with higher burnout scores were more likely to drop out of the program in the following year, 2. These items seem like reasonable questions to ask to address burnout 3. Burnout scores increase during the most arduous rotations and decrease during vacations 4. A previous study of more than 10,000 medical students, residents and practicing physicians showed that these two items almost completely captured the emotional exhaustion and depersonalization domains of burnout us measured by the widely accepted (but much longer Maslach Burnout inventory (West et al. Gen Intern Med 2009:24 1318 -1321),

Answers

1. Predictive Validity: This description assesses whether the burnout scores obtained from the two questions can predict the likelihood of residents dropping out of the program in the following year.

It examines the relationship between the scores and a future outcome.

2. Face Validity: This description assesses whether the two questions appear to be reasonable and relevant for addressing burnout. It is a subjective assessment of whether the questions seem appropriate for measuring the construct of interest.

3. Concurrent Validity: This description assesses whether the burnout scores obtained from the two questions align with the expected pattern of burnout scores changing during different rotations and vacations. It examines the relationship between the scores and concurrent variables.

4. Criterion Validity: This description assesses whether the two items capture the emotional exhaustion and depersonalization domains of burnout, as measured by the widely accepted Maslach Burnout Inventory. It compares the scores obtained from the two questions with scores obtained from a validated instrument to determine how well they correlate or agree with each other.

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_____is composed of all parties who participate in the purchasing decision-making process and share common goals and risks associated with their decisions.

Answers

The buying center is composed of all parties who participate in the purchasing decision-making process and share common goals and risks associated with their decisions.

More about buying center:

The decision-making unit (DMU), also known as a buying centre, brings "all of those individuals of an organisation who can become engaged towards the purchase process for a certain product or service."

The idea of a buying centre formulates the comprehension of purchasing decision-making in complicated contexts. It is a focus of business-to-business marketing and a core fundamental in providing customer value and influence in organisational efficiency and effectiveness.

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What is likely to happen if U.S. national income increases by more than the Brazilian national income? Check all that apply: The dollar appreciates. The demand for real increases. The supply of real increases. The exchange rate movement is unclear. The dollar depreciates. The supply of real decreases. The demand for real decreases

Answers

If U.S. national income increases by more than the Brazilian national income, the following are likely to happen:

The dollar appreciates.

The demand for real increases.

The supply of real decreases.

The demand for real decreases.

Given other variables like interest rates, inflation, and political developments, the movement of the exchange rate is uncertain and could go either way.

In this scenario, the dollar is more likely to increase because a stronger currency is typically associated with higher national incomes. As investors seek greater returns in the expanding U.S. economy, an increase in the national income of the United States would also result in an increase in the demand for real, the currency of Brazil.

Real's value would rise in relation to the dollar due to the increased demand for it. However, a rise in interest rates could result from the United States' rising national income, making it more expensive for Brazilian investors to borrow dollars and make investments in the United States.

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If the following quotes are from March 15, 2013, what was the yield to maturity for the PO.BN bonds with $1,000 face values and semiannual payments?Company Last Last EST $ (Ticker) Coupon Maturity Price Yield Vol (000’s)Paul Orts (PO.BN) 10.20 Mar 15, 2020 92.368 ?? 2,860(Do not include the percent sign (%).Enter rounded answer as directed, but do not use the rounded numbers in intermediate calculations. Round your answer to 2 decimal places (e.g., 32.16).)

Answers

The yield to maturity for the PO.BN bonds on March 15, 2013 was 5.95%.

The coupon rate for the PO.BN bonds is 10.20 and the face value is $1,000. The bonds have semiannual payments, so the annual coupon payment is ($1,000 × 10.20)/2 = $5,100.

Using the price quote of 92.368, we can calculate the actual price of the bond as a percentage of the face value: 92.368% × $1,000 = $923.68.

To calculate the yield to maturity, we need to use a financial calculator or a spreadsheet program. Alternatively, we can use an online bond yield calculator.

Using an online calculator with the inputs:

Face value = $1,000

Coupon rate = 10.20

Years to maturity = 6.99 (since the bonds mature on March 15, 2020, which is 6.99 years from March 15, 2013)

Price = $923.68

We get a yield to maturity of 5.95%.

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