The benefits of debt to the corporation include all of the following EXCEPT
a.Tax-deductible interest payments
b.Increases the stock value when used heavily
c.Fixed obligation
d.Generally a lower overall cost than equity

Answers

Answer 1

The benefits of debt to the corporation include all of the following except- c. increases the stock value when used heavily.

What can it provide?

Debt can provide advantages such as tax-deductible interest payments, which reduce the overall tax burden, fixed obligations that make it easier to plan and manage finances, and generally a lower overall cost than equity.

However, using debt heavily does not necessarily increase the stock value, as excessive debt can lead to increased risk and potentially lower the company's credit rating, making it less attractive to investors.

Hence, options A, b and d are correct.

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Related Questions

which of the following is the most appropriate way to determine how closely related two groups are using an evolutionary tree?

Answers

The most appropriate way to determine how closely related two groups are using an evolutionary tree is by analyzing the branching patterns and the length of the branches.

In an evolutionary tree, the branching patterns represent the divergence of species or groups from a common ancestor. The closer the branching points, the more closely related the groups are. Additionally, the length of the branches can provide information about the amount of genetic or evolutionary change that has occurred. Shorter branches indicate less genetic divergence and suggest a closer relationship. By examining these branching patterns and branch lengths in an evolutionary tree, scientists can infer the degree of relatedness between different groups and understand their evolutionary history. This method allows for a visual representation of relationships and provides insights into the evolutionary relationships among species or groups.

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professor torres briefly mentioned information about klaus schwab and his world economic forum. this organization started in the early 1970s. what are some of its goals?

Answers

The World Economic Forum (WEF), founded in the early 1970s by Klaus Schwab, has several goals, including promoting public-private cooperation, addressing global issues, fostering economic growth, and improving the state of the world.

The World Economic Forum is an international organization that brings together political, business, and academic leaders to discuss and address global challenges. Some of its key goals include promoting public-private cooperation to find solutions to societal issues, fostering economic growth and development, and improving the overall state of the world.

The WEF aims to facilitate dialogue and collaboration among stakeholders from various sectors to address pressing global issues, such as economic inequality, climate change, healthcare, education, and technology. It organizes annual meetings in Davos, Switzerland, where leaders gather to discuss these issues and formulate strategies for collective action.

Additionally, the WEF conducts research, publishes reports, and provides platforms for discussions on topics ranging from geopolitics to industry-specific challenges. It also works towards promoting sustainable development, inclusive growth, and responsible business practices.

Overall, the World Economic Forum strives to create a global network of leaders and organizations committed to shaping a more equitable, sustainable, and prosperous world through dialogue, cooperation, and collective action.

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A company's assets are currently valued at $640,000. In 12 months, this company's debt matures and needs to be paid off. It has a $340,000 face value due at maturity. The cost of debt is 4% per year.
It is possible to explain and prove that one can view the shareholders of this company as owning a _____ on its assets with a ____ strike price.

Answers

It is possible to explain and prove that one can view the shareholders of this company as owning a call option on its assets with aequal to the face value of the debt  strike price .

One can view the shareholders of this company as owning a call option on its assets with a strike price equal to the face value of the company's debt.

A call option gives the holder the right, but not the obligation, to buy an underlying asset at a specified price (strike price) within a specified period of time. In this case, the underlying asset is the company's assets, and the strike price is the face value of the debt.

By owning the company's shares, shareholders have a residual claim on the company's assets after satisfying its liabilities. If the company's assets increase in value over time, the shareholders benefit as the value of their ownership stake increases.

However, if the company's assets were to decrease in value and become insufficient to cover its debt obligations, the shareholders' equity may become worthless, and they may lose their entire investment. This is similar to a call option expiring worthless if the underlying asset's price is below the strike price.

In this context, the shareholders' ownership in the company can be seen as a call option because it provides them with the opportunity to benefit from the upside potential of the company's assets while limiting their potential loss to the value of their investment. The strike price, which is equal to the face value of the debt, represents the threshold at which the company's assets need to cover its obligations.

Therefore, viewing the shareholders as owning a call option on the company's assets with a strike price equal to the face value of the debt highlights the contingent nature of their ownership and the risk-reward relationship associated with their investment.

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turning metals into automobiles is work that falls within the
a. primary sector. b. secondary sector. c. tertiary sector. d. Any of the above would be correct.

Answers

Turning metals into automobiles is work that falls within the secondary sector.

The correct answer is: b. secondary sector.

The secondary sector, also known as the industrial sector or manufacturing sector, involves the transformation of raw materials or components into finished products.

The process of turning metals into automobiles involves manufacturing and assembly activities, which are characteristic of the secondary sector. This sector includes activities such as construction, manufacturing, and processing.

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Which of the following is true regarding dispute resolution and business planning?
A: Dispute resolution is not a crucial part of business planning and strategy.
B: Dispute resolution is a purely legal matter to be delegated to attorneys.
C: Business owners and managers need not make critical decisions regarding how to solve disputes.
D: Business managers and owners have an ever-increasing number of options to resolve disputes within and outside the legal system.

Answers

D is true regarding dispute resolution and business planning. Business managers and owners have an ever-increasing number of options to resolve disputes within and outside the legal system. Dispute resolution is a crucial part of business planning and strategy because it affects the company's bottom line, reputation, and relationships with stakeholders.

Business owners and managers need to make critical decisions on how to solve disputes, such as using negotiation, mediation, arbitration, or litigation. They need to consider the costs, risks, benefits, and timing of each option and choose the one that best fits their needs.

Delegating the dispute resolution process entirely to attorneys may not be optimal because it may reduce their control, involvement, and knowledge of the situation. Therefore, dispute resolution should be an integral part of business planning and strategy to prevent and manage conflicts effectively.

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self-directed groups (a.k.a. self-managed groups) are found in ______.

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Self-directed groups, also known as self-managed groups, are found in various organizational settings and structures.

They are typically implemented in organizations that emphasize employee empowerment, collaboration, and decentralization of decision-making. Some common contexts where self-directed groups are found include:

1. Workplaces: Self-directed groups can be found in various industries and sectors, including manufacturing, services, healthcare, technology, and more. These groups are often responsible for managing their own work processes, setting goals, making decisions, and coordinating their activities without constant supervision.

2. Team-based organizations: Organizations that adopt team-based structures, such as cross-functional teams or project teams, often empower these teams to be self-directed. Each team is given autonomy and authority to manage their assigned tasks, make decisions, and drive their own performance.

3. Agile organizations: In Agile methodologies, such as Scrum or Kanban, self-directed groups are a core component. Agile teams are empowered to organize their work, collaborate closely, and make decisions collectively to deliver value in iterative cycles.

4. Startups and entrepreneurial ventures: Self-directed groups are commonly found in startups and entrepreneurial ventures, where small teams work together closely, often with minimal hierarchical structures. These groups are responsible for driving innovation, problem-solving, and executing business strategies.

5. Social and community organizations: Self-directed groups can also be found in social and community organizations, where members collaborate and take ownership of specific projects or initiatives. These groups operate with a degree of autonomy, allowing them to pursue their objectives and fulfill their mission.

It is important to note that the implementation and effectiveness of self-directed groups can vary depending on the specific organizational context, culture, and management practices.

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a) Suppose that there exist futures contracts as well as European call options and put options for a non-dividend paying stock. All contracts expire in one year. The futures price is Fo, and the strike price of both the call and the put is X. Use parity conditions to show that if there is no arbitrage and Fo = X, then the call price equals the put price. b) The relationship in part (b) only holds if the options are European. How does the relationship between the call price and the put price change if the options are American? (Hint: Consider the value of exercising an American option early.)

Answers

When options are American, the call price (C) can be greater than or equal to the put price (P), depending on the specific circumstances and the option holder's strategy

a) To show that the call price equals the put price when there is no arbitrage and Fo = X, we can use the put-call parity relationship.

The put-call parity relationship states:

C - P = S - X/(1 + r)^T

where:

C is the price of the European call option,

P is the price of the European put option,

S is the current price of the underlying stock,

X is the strike price of both options,

r is the risk-free interest rate,

T is the time to expire in years.

In this case, we are given that Fo = X, which means the futures price is equal to the strike price.

Substituting Fo = X into the put-call parity equation, we get:

                            C - P = S - X/(1 + r)^T

Since Fo = X, we can replace S with Fo:

                            C - P = Fo - X/(1 + r)^T

Since there is no arbitrage, the futures price (Fo) should be equal to the expected stock price (S) discounted at the risk-free interest rate. Therefore, we have:

                            Fo = S/(1 + r)^T

Substituting this into the equation:

C - P = Fo - X/(1 + r)^T

C - P = S/(1 + r)^T - X/(1 + r)^T

C - P = (S - X)/(1 + r)^T

Since Fo = X and S - X = 0:

C - P = 0

Therefore, when Fo = X and there is no arbitrage, the call price (C) equals the put price (P).

b) The relationship between the call price and put price changes when the options are American. In the case of American options, the option holder has the right to exercise the option early, before the expiration date. This additional flexibility affects the relationship between the call and put prices.

When options are American, the put-call parity relationship still holds, but it becomes an inequality:

C - P ≥ S - X/(1 + r)^T

The inequality arises because the option holder of an American option can choose to exercise the option early if it is advantageous. This early exercise may result in additional value for the option holder, as they can capture any favorable price movements before expiration.

Therefore, when options are American, the call price (C) can be greater than or equal to the put price (P), depending on the specific circumstances and the option holder's strategy.

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Assess the key considerations relating to the collection and analysis of data. The data will support a specific decision-making brief aimed at solving a problem within your chosen organization.

Answers

Collecting and analyzing data plays a crucial role in decision-making within organizations. To effectively utilize data for decision-making, it is important to consider the following key considerations:

Data RelevanceData QualityData Collection MethodsData Privacy and SecurityData Analysis TechniquesInterpretation and ContextualizationData IntegrationTimelinessStakeholder InvolvementEthical Considerations

Data Relevance: Ensure that the data collected is relevant to the problem or decision at hand. Clearly define the objectives and identify the specific data needed to address the problem.

Data Quality: Ensure the accuracy, completeness, and reliability of the data. Implement data validation processes to minimize errors and inconsistencies. Consider the data source, data collection methods, and data integrity.

Data Collection Methods: Choose appropriate data collection methods based on the nature of the problem and available resources. This can include surveys, interviews, observations, experiments, or analyzing existing data sources. Use standardized data collection techniques to maintain consistency.

Data Privacy and Security: Protect the privacy and security of collected data, especially if it contains sensitive or personally identifiable information. Comply with relevant data protection regulations and implement appropriate data security measures.

Data Analysis Techniques: Select suitable data analysis techniques based on the problem and the type of data collected. This may involve descriptive statistics, inferential statistics, regression analysis, data visualization, or machine learning algorithms.

Interpretation and Contextualization: Interpret the analyzed data within the context of the problem or decision. Consider the limitations and assumptions of the data analysis techniques used. Avoid misinterpretation or overgeneralization of the results.

Data Integration: Consider the potential for integrating data from multiple sources to gain a comprehensive understanding of the problem. This may involve merging data sets, utilizing data from different departments or external sources, and leveraging data from various formats (structured or unstructured).

Timeliness: Ensure that the data collection and analysis process is conducted in a timely manner to meet the decision-making requirements. Consider the time sensitivity of the problem and aim to provide insights and recommendations within the required timeframe.

Stakeholder Involvement: Engage relevant stakeholders throughout the data collection and analysis process. Consider their perspectives, requirements, and feedback to ensure the data aligns with their needs and supports effective decision-making.

Ethical Considerations: Adhere to ethical standards in data collection and analysis. Ensure informed consent from participants, maintain confidentiality, and consider the potential impact of data-driven decisions on individuals or groups.

By considering these key considerations, organizations can improve the quality and reliability of their data, enhance the decision-making process, and ultimately solve problems more effectively within their chosen organization.

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If the government increases government spending (G) and at the same time the Fed conducts open market purchases. The equilibrium interest rate will:
a) decrease
b) increase
c) be ambiguous
d) not change

Answers

If the government increases government spending (G) and at the same time the Fed conducts open market purchases. The equilibrium interest rate will increase.

When the government increases government spending (G), it leads to an increase in the overall demand for goods and services in the economy. This increased demand puts upward pressure on interest rates. At the same time, when the Federal Reserve conducts open market purchases, it increases the money supply in the economy, which also contributes to upward pressure on interest rates.

Therefore, both actions combined (increased government spending and open market purchases) are likely to result in an increase in the equilibrium interest rate.

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Kevin Pinker is a freelance electrical engineer who writes computer algorithms for companies such as SoftStar and BlueHill. SoftStar and BlueHill use these algorithms to make specific programs based on online market research. These programs are then sold to the online retailer, Abandon, which then sells them to individual consumers and businesses. Which of the following is a marketing intermediary in this chain? A) SoftStar B) BlueHill C) the consumer D) Abundon e) Kevin pinker

Answers

In this chain of events, the marketing intermediary is Abandon. The correct option is D) Abundon

Abandon acts as a middleman between the companies creating the computer algorithms and the final consumers and businesses that will be using the programs created with those algorithms. Abandon purchases the programs from SoftStar and BlueHill, and then sells them to individual consumers and businesses.

Abandon is an important marketing intermediary because it helps bridge the gap between the companies creating the programs and the consumers who will be using them. Without Abandon, SoftStar and BlueHill would need to find their own individual consumers and businesses to sell their programs to, which would be a time-consuming and difficult process.

Abandon also adds value to the products it sells by providing additional services, such as customer support and marketing. These services help make the products more appealing to consumers and businesses, which in turn helps increase sales.

Overall, marketing intermediaries play a critical role in the distribution of products and services. They help connect producers with consumers, and provide additional value and services that help increase sales and grow businesses.

Therefore, The correct option is D) Abundon

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Factors that shape an accounting information system include the
A. nature of the business.
B. size of the firm.
C. volume of data to be handled.
D. all of these.

Answers

The factors that shape an accounting information system include the nature of the business, the size of the firm, and the volume of data to be handled. The nature of the business is important because it determines the types of transactions that will be processed and the information that needs to be tracked.

The correct answer is D all of these .

For example, a manufacturing company will have different accounting needs than a service-based business. The size of the firm also plays a role in shaping the accounting information system. Smaller firms may be able to handle their accounting needs with a basic software package, while larger firms may require more complex systems to handle a greater volume of data.

Finally, the volume of data to be handled is another important factor in shaping the accounting information system. As the volume of data increases, the system must be able to handle the increased workload and process the information in a timely and accurate manner. Therefore, all of these factors are important in shaping the accounting information system and must be considered when selecting and implementing a system for a business.

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farmer mauricio raises goats. when he can sell his goats for $200/goat he will sell any or all of his goats. he never asks for more than $200/goat and he never sells his goats for less than $200/goat.

Answers

Farmer Mauricio will sell his goats for $200/goat when he is able to.

Farmer Mauricio raises goats and has a set selling price of $200 per goat. He is willing to sell any or all of his goats when he is able to get this price for them. He does not ask for more than $200 per goat, nor does he sell them for less than $200 per goat. This means that if he is offered a price lower than $200 per goat, he will not sell them and will wait until he can get the desired price. However, if someone is willing to pay $200 per goat or more, he will sell as many goats as the buyer wants.

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The principle at work here is price inflexibility or stickiness, often seen in a perfect competition market environment. Farmer Mauricio won't change his price of $200/goat, demonstrating predictable pricing, to avoid price wars and maintain perceived value. It shows how sellers in a perfect competition market must be price takers.

Farmer Mauricio's situation represents a principle known as price stickiness or price inflexibility in economics. Essentially, Mauricio refuses to adjust his selling price below or above $200 per goat. This can be related to price stickiness, a situation where a price is resistant to change.

This idea also presents itself in the perfect competition market structure. Perfect competition is when there are many sellers selling a homogeneous product and they are all price takers, meaning they take the market price as it is. If Mauricio asks for more than $200, his customers could buy from another seller, and if he sells for less, he would not be making optimum profits.

By keeping the price constant at $200, Mauricio can also create a predictable pricing environment for his buyers. If the $200 price meets the equilibrium between buyer demand and his supply, it will minimize the potential for price wars and inflate the perceived value of his goats.

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Every valid sale escrow has two basic requirements. Three statements below are incorrect. Which statement contains the two valid basic requirements?
a. A valid sale escrow is a non-binding contract between the buyer and seller and unconditional delivery of transfer documents and funds.
b. A valid sale escrow is a non-binding contract between the buyer and seller and conditional delivery of documents and funds.
c. A valid sale escrow is a binding contract between the buyer and seller and conditional delivery of transfer documents and funds
d. A valid sale escrow is a binding contract between the buyer and seller and unconditional delivery of transfer documents and funds

Answers

Option D. The two valid basic requirements for a valid sale escrow are a binding contract between the buyer and seller and unconditional delivery of transfer documents and funds.

Option A is incorrect because a valid sale escrow is a binding contract, not a non-binding one. Option B is incorrect because the delivery of documents and funds should be unconditional, not conditional. Option C is also incorrect because it states that the delivery of transfer documents and funds is conditional, whereas it should be unconditional.

It can be explained that a sale escrow is a legal arrangement where a neutral third party holds onto funds and documents during a transaction between a buyer and seller. The escrow agent ensures that both parties fulfill their obligations before the sale is completed.

For a valid sale escrow, there must be a binding contract between the buyer and seller, which outlines the terms and conditions of the sale. This means that both parties are legally obligated to fulfill their responsibilities, such as the buyer paying the agreed-upon price and the seller transferring ownership of the property.

In addition to the binding contract, there must also be unconditional delivery of transfer documents and funds. This means that the seller must provide all necessary documentation, such as the title and deed, and the buyer must provide the full payment amount. The escrow agent will hold onto these documents and funds until all conditions have been met, at which point they will release them to the appropriate party.

Therefore, option D contains the two valid basic requirements for a valid sale escrow: a binding contract and unconditional delivery of transfer documents and funds.

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How
should a firm improve their marketing strategy to increase number
of Black, Asian, and other minority ethnic (BAME) students applying
to a graduate recruitment programme, focusing in particular on

Answers

A firm can improve their marketing strategy to increase the number of Black, Asian, and other minority ethnic (BAME) students applying to a graduate recruitment programme by focusing on the following points:Developing a diverse marketing campaign: The marketing campaign should include images, videos, and testimonials of BAME employees.

This will give BAME students a sense of representation, inclusion, and belonging and inspire them to apply to the graduate programme. Additionally, firms can partner with BAME student organizations and societies to promote their brand and recruitment programme to BAME students directly. Offering internships: Offering internships to BAME students is a great way to attract talent. This gives BAME students an opportunity to experience the firm's culture, values, and work environment before committing to the graduate programme. It also allows the firm to assess the students' skills and potential for long-term employment. Providing mentorship and networking opportunities: Many BAME students may not have access to the same level of professional networks and mentorship as their white counterparts. Providing mentorship and networking opportunities can help bridge this gap and provide BAME students with the support and guidance they need to succeed.

In conclusion, a firm can improve their marketing strategy to increase the number of BAME students applying to a graduate recruitment programme by developing a diverse marketing campaign, offering internships, and providing mentorship and networking opportunities. These strategies will not only attract BAME students to the firm but also help them feel supported, valued, and included in the firm's culture.

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Warranties Hamiota Computer Company sells computers for $2,500 each, which includes a 3-year warranty that requires the company to perform periodic services and to replace defective parts.

Answers

Warranties are an important aspect of Hamiota Computer Company's product offering. When a customer purchases a computer for $2,500, the price includes a 3-year warranty. This warranty entails certain obligations for the company.

Firstly, the company is required to perform periodic services during the warranty period. These services may include software updates, system maintenance, and general check-ups to ensure the computer is functioning properly. By providing these services, the company aims to maintain customer satisfaction and ensure the optimal performance of their computers. Secondly, the warranty also covers the replacement of defective parts. If any component of the computer malfunctions or fails within the warranty period, the company is responsible for replacing those parts at no additional cost to the customer. This ensures that customers have peace of mind knowing that their investment is protected against potential hardware issues.

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what are the criteria to be considered to become a nee diversity
supplier? and how would a diversity supplier apply?

Answers

To become a **diversity supplier**, the criteria include being a minority-owned, women-owned, or other diverse business, and applying through a company's supplier diversity program.

A diversity supplier is a business that is at least 51% owned and controlled by an individual or group that is part of a traditionally underrepresented or underserved group. To apply, the business should first obtain relevant certifications, such as from the National Minority Supplier Development Council (NMSDC) or Women's Business Enterprise National Council (WBENC). Then, research and identify companies with **supplier diversity programs** and follow their specific application processes, which typically involve submitting company information and proof of certification. Staying persistent and networking within the industry can help increase the chances of being accepted into these programs.

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When the Fed increases the money supply, the interest rate decreases. This decrease in the
interest rate increases consumption and investment demand, so the aggregate-demand curve
shifts to the right. T/F

Answers

True, when the Fed increases the money supply, the interest rate decreases. This decrease in the interest rate leads to an increase in consumption and investment demand, causing the aggregate demand curve to shift to the right.

When the Fed increases the money supply, banks have more money to lend, which leads to a decrease in interest rates. Lower interest rates make it easier and cheaper for individuals and businesses to borrow money, which in turn leads to an increase in consumption and investment demand. As a result, the aggregate demand curve shifts to the right, indicating an increase in overall demand for goods and services in the economy.

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TRUE / FALSE. good project management is especially important with virtual teams.

Answers

True. Good project management is especially important with virtual teams. Virtual teams often consist of members located in different locations and time zones.

Making communication and coordination more challenging. Effective project management ensures clear goals, roles, and responsibilities, facilitates communication and collaboration, and establishes processes to track progress and address issues. It helps maintain team cohesion, promotes transparency, and minimizes misunderstandings or delays caused by the physical distance. With virtual teams, project managers need to leverage technology tools, establish regular check-ins, and establish a strong communication framework to keep the team aligned and motivated towards achieving project objectives.

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Services that usually require preauthorization or precertification include:
A. laboratory tests.
B. routine "wellness" examinations.
C. emergency room services.
D. inpatient hospitalization.

Answers

Preauthorization or precertification typically refers to the process of obtaining approval from a health insurance provider before receiving certain healthcare services. Among the options provided, the services that usually require preauthorization or precertification are D. inpatient hospitalization. This process is necessary to ensure that the medical service is covered by the insurance plan and is medically necessary for the patient.

In contrast, options A, B, and C (laboratory tests, routine wellness examinations, and emergency room services) usually do not require preauthorization as they are either routine services or are time-sensitive and critical for a patient's well-being. However, specific insurance plan requirements may vary, so it is always a good idea to check with your insurance provider regarding preauthorization requirements for any given service.

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Which of the following is not correct regarding IT governance?

Answers

IT governance refers to the processes, policies, and frameworks that organizations use to manage and control their IT operations. It is essential for organizations to ensure that IT investments align with business goals, minimize risks, and maximize returns. In this context, it is important to note that IT governance is not about controlling IT but about managing IT in an effective way.



With that said, the following statement is not correct regarding IT governance: IT governance is a one-time process. IT governance is an ongoing process that requires continuous monitoring and improvement. It is not a one-time event but a continuous effort to align IT operations with business needs, comply with regulations, and manage risks.

IT governance involves the collaboration of various stakeholders, including senior management, IT staff, and external auditors. It requires regular assessments, audits, and reviews to ensure that IT investments are delivering the desired results and are in line with organizational objectives. Therefore, IT governance is a crucial element of organizational success and should be considered a continuous improvement process.

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You purchased two (2) CVB call option contracts with a strike price of $38 when the option was quoted at $1.5. The option expires today when the value of CVB stock is $43. Ignoring trading costs and taxes, what is your total profit on your investment?

Answers

The investment yields a total profit of $700, disregarding trading costs and taxes.

To calculate the total profit on your investment, we need to consider the initial cost of purchasing the call options and the final value of the options at expiration.

You purchased two (2) CVB call option contracts with a strike price of $38 when the option was quoted at $1.5. Each contract represents 100 shares of the underlying stock, so you effectively control 200 shares.

The initial cost of purchasing the call options is calculated as follows:

Initial Cost = Number of Contracts * Option Price * Contract Multiplier

             = 2 * $1.5 * 100

             = $300

On the expiration date, the value of the CVB stock is $43. Since the stock price is higher than the strike price of $38, the call options are in-the-money.

To calculate the total profit, we need to determine the intrinsic value of the options. The intrinsic value is the difference between the stock price and the strike price multiplied by the contract multiplier.

Intrinsic Value = (Stock Price - Strike Price) * Contract Multiplier

                 = ($43 - $38) * 100

                 = $500

Since you hold two call option contracts, the total intrinsic value is:

Total Intrinsic Value = Intrinsic Value * Number of Contracts

                               = $500 * 2

                               = $1000

Therefore, your total profit on the investment is:

Total Profit = Total Intrinsic Value - Initial Cost

                  = $1000 - $300

                  = $700

Thus, ignoring trading costs and taxes, your total profit on the investment is $700.

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Rocket Labiscontinuing its acquisition strategy this time with a deal with Planetary Systems Corporation (PSC) PSC is a spacecraft separation systems company based in Maryland. More than 100 missions have used its mechanical separation systems and satellite dispensers. The company makes a "Canisterized Satellite Dispenser a separation system to separate spacecraft from rockets while also protecting them during launch PSC's hardware has been Integrated with launch vehicles developed domestically by SpaceX, United Launch Alliance and the now-retired NASA Space Shuttle and internationally by Arlance the Japan Aerospace Exploration Agency and others The deal comes as Rocket Lab continues to pursue its goal of becoming not simply a launch provider, but a fully vertically integrated space services company offering everything from transportation to orbit to the spacecraft themselves. Rocket Lab said in a statement that it will use the product hardware across its Space Systems division, which includes its Photon satellite buses and spacecraft component products Which of the following is a competitive risk of Rocket Labstrategy? Inability to achieve Synergy Competitor Responses Executive Compensation Managers Overly Focused on Acquisitions Lazard Ltd has formed a strategic lace with the newly launched independence Point Advisors CIPA) to provide a range of customized suite and board levelservices that go beyond traditional Investment banking IPA provides investment banking services to clients with a modern approach wie Lazard operates in MA, Restructuring and Capital Markets Advisory businesses. Also, Lazard will now be the exclusive partner to IPA generated MSA assignments IPA has been founded on the belief that today's dients have a range of opportunities and challenges that require diverse talent to navigate Peter Rose the CEO of Lazard's Financial Advisory gent, has stated. "We are looking forward to collaborating with Anna fantastic and proven leader and her team who have a broad network of CEOs, senior cutives and board members, I brings a new look and feel and level of perspective and professionalism to Wall Street that fits well with our continuing evolution in modernizing our tim, while providing a broad ray of services to clients, sporting diversity and creating commercial opportunities and . adjacent businesses Adapted from sck (2021) Which alternative does NOT represent a proper renton for Land to engage in the strategic alliance Lanard can access complementary resources Lazard can enter new market segments Lanard can share risks related to seen development X O Lazard can improve the creation of value to clients

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A competitive risk of Rocket Lab's strategy is: Managers Overly Focused on Acquisitions. This risk arises when a company pursues acquisitions so intensely that it diverts management's attention from other important aspects of the business, potentially harming overall performance.

Rocket Lab's acquisition strategy presents a competitive risk in the form of managers being overly focused on acquisitions. This can lead to a lack of focus on other important aspects of the business, such as achieving synergy and responding to competitors. However, Rocket Lab's recent acquisition of Planetary Systems Corporation (PSC) aligns with its goal of becoming a fully vertically integrated space services company. PSC's mechanical separation systems and satellite dispensers have been integrated with launch vehicles developed by various organizations, including SpaceX and the Japan Aerospace Exploration Agency. Rocket Lab plans to use PSC's hardware across its Space Systems division, which includes its Photon satellite buses and spacecraft component products.

On the other hand, Lazard Ltd's strategic partnership with the newly launched Independence Point Advisors (IPA) provides a range of customized suites and board-level services beyond traditional investment banking. Lazard will be the exclusive partner for IPA-generated MSA assignments, and IPA's diverse talent will help navigate clients through a range of opportunities and challenges. This partnership improves Lazard's creation of value for clients and creates commercial opportunities and adjacent businesses. Therefore, the alternative that does NOT represent a proper reason for Lazard to engage in the strategic alliance is X) Lazard can share risks related to seen development.

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es Jurvin Enterprises is a manufacturing company that had no beginning inventories. A subset of the transactions that it recorded during a recent month is shown below a $75,900 in raw materials were purchased for cash. b. $72,600 in raw materials were used in production. Of this amount, $65.600 was for direct materials and the remainder was for indirect materials, c. Total labor wages of $152,200 were incurred and paid. Of this amount, $134,800 was for direct labor and the remainder was for indirect labor d. Additional manufacturing overhead costs of $125,900 were incurred and paid. e Manufacturing overhead of $126.300 was applied to production using the company's predetermined overhead rate f. All of the jobs in process at the end of the month were completed. g. All of the completed jobs were shipped to customers. h. Any underapplied or overapplied overhead for the period was closed to Cost of Goods Sold. Required: 1. Post the above transactions to T-accounts. 2. Determine the adjusted cost of goods sold for the period Required i Required 2 Post the above transactions to T-accounts. Cash Raw Materials Credit Credit Debli Beginning Balance Dobit Beginning Balance Ending Balance Ending Balance Work in Process Finished Goods Credit Debit Beginning Balance Credit Debit Beginning Balance es Ending Balance Ending Balance Manufacturing Overhead Cost of Goods Sold Debit Credit Credit Beginning Balance Debit Beginning balance Ending Balance Ending Balance Bu Required 2 > Required 1 Required 2 Determine the adjusted cost of goods sold for the period. Adjusted cost of goods sold < Required 1 ROG

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Posting the transactions to T-accounts:
Cash:

Debit: $75,900 (Transaction a)
Credit: $75,900 (No other transactions affect Cash)
Raw Materials:

Debit: $75,900 (Transaction a)
Credit: $72,600 (Transaction b)
Work in Process (WIP):

Debit: $72,600 (Transaction b)
Credit: $72,600 (Transaction f)
Direct Materials:

Debit: $65,600 (Part of Transaction b)
Credit: $65,600 (No other transactions affect Direct Materials)
Indirect Materials:

Debit: $7,000 ($72,600 - $65,600, remaining amount from Transaction b)
Credit: $7,000 (No other transactions affect Indirect Materials)
Total Labor Wages:

Debit: $152,200 (Transaction c)
Credit: $152,200 (No other transactions affect Total Labor Wages)
Direct Labor:

Debit: $134,800 (Part of Transaction c)
Credit: $134,800 (No other transactions affect Direct Labor)
Indirect Labor:

Debit: $17,400 ($152,200 - $134,800, remaining amount from Transaction c)
Credit: $17,400 (No other transactions affect Indirect Labor)
Manufacturing Overhead:

Debit: $125,900 (Transaction d)
Credit: $126,300 (Transaction e)
Finished Goods:

Debit: $72,600 (Transaction f)
Credit: $72,600 (Transaction g)
Cost of Goods Sold:

Debit: $72,600 (Transaction g)
Credit: $126,300 (Transaction h)
Determining the adjusted cost of goods sold for the period:
The adjusted cost of goods sold can be calculated as follows:

Cost of Goods Sold (Before Adjustment) = $72,600
Overapplied Overhead = $126,300 - $125,900 = $400 (credit balance)

Adjusted Cost of Goods Sold = Cost of Goods Sold (Before Adjustment) - Overapplied Overhead
Adjusted Cost of Goods Sold = $72,600 - $400
Adjusted Cost of Goods Sold = $72,200

The transactions are posted to the relevant T-accounts based on the given information. Each transaction is recorded as a debit or credit to the corresponding account. The cost of goods sold is calculated by summing the amounts debited to the Finished Goods account. In this case, the adjusted cost of goods sold needs to be determined by considering any underapplied or overapplied overhead.

The adjusted cost of goods sold for the period is $72,200. This amount takes into account the initial cost of goods sold and adjusts for the overapplied overhead, resulting in a more accurate representation of the actual cost incurred in production.

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Joseph contributed $22,000 in cash and equipment with a tax basis of $5,000 and a fair market value of $11,000 to Company Partnership in exchange for a partnership interest.
a) What is Joseph's tax basis in his partnership interest?
b) What is Company's basis in the equipment?
c) When does the holding period begin?

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Joseph's tax basis in his partnership interest is $16,000. Company's basis in the equipment is $11,000. The holding period for Joseph's partnership interest begins on the date of the contribution.

Joseph's tax basis in his partnership interest is determined by the amount of cash and the adjusted basis of the property he contributed. In this case, Joseph contributed $22,000 in cash and equipment with a tax basis of $5,000.

Therefore, his tax basis in the partnership interest is the sum of the cash contribution and the adjusted basis of the property, which is $22,000 + $5,000 = $27,000.

However, since the fair market value of the equipment is lower than its tax basis, Joseph's tax basis in his partnership interest will be limited to the fair market value of the property, which is $11,000. Therefore, Joseph's tax basis in his partnership interest is $11,000.

Company's basis in the equipment is equal to the fair market value of the property at the time of contribution, which is $11,000. The partnership will use this basis for accounting and tax purposes.

The holding period for Joseph's partnership interest begins on the date of the contribution. The specific date of the contribution is when Joseph transferred the cash and equipment to the partnership in exchange for his partnership interest. From that date onwards, Joseph's holding period for the partnership interest starts.

The holding period is relevant for determining the tax treatment of any gains or losses when Joseph eventually sells or disposes of his partnership interest.

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consider an equally weighted portfolio consisting of two stocks. stock a has a beta of 1.2 and stock b has a beta of 0.2. the risk-free rate is 3% and the risk premium for the market portfolio is 6%. what is the expected return for the portfolio?

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To calculate the expected return for the portfolio, we need to consider the beta of each stock and the risk-free rate. The formula to calculate the expected return for a portfolio is:
Expected Return = Risk-Free Rate + (Beta * Market Risk Premium)

Given:
Risk-Free Rate = 3%
Market Risk Premium = 6%
Beta of Stock A = 1.2
Beta of Stock B = 0.2
First, let's calculate the expected return for Stock A:
Expected Return for Stock A = Risk-Free Rate + (Beta of Stock A * Market Risk Premium)
Expected Return for Stock A = 3% + (1.2 * 6%)
Expected Return for Stock A = 3% + 7.2%
Expected Return for Stock A = 10.2%
Next, let's calculate the expected return for Stock B:
Expected Return for Stock B = Risk-Free Rate + (Beta of Stock B * Market Risk Premium)
Expected Return for Stock B = 3% + (0.2 * 6%)
Expected Return for Stock B = 3% + 1.2%
Expected Return for Stock B = 4.2%
Since the portfolio is equally weighted, we can calculate the average of the expected returns for Stock A and Stock B to find the expected return for the portfolio:
Expected Return for Portfolio = (Expected Return for Stock A + Expected Return for Stock B) / 2
Expected Return for Portfolio = (10.2% + 4.2%) / 2
Expected Return for Portfolio = 14.4% / 2
Expected Return for Portfolio = 7.2%
Therefore, the expected return for the equally weighted portfolio consisting of Stock A and Stock B is 7.2%.

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Company has forecast sales to be 1210,000 in February, 1271.000 in March 1290.000 in April, and 18.000 in May therapeut of good in Owe made on creando collected in the month of sale 40w the month following and the remainder two months after the sale. What are bugeted cash recipes in May 5100.350 5177.600 $308,050 $257.850

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The Budgeted cash recipes in May is $ 125,040.

Calculation of Budgeted Cash Receipts in May

The budgeted cash receipts in May can be calculated by adding the collections from sales made in February, March and April.

February sales collected in April = $ 121,000 x 0.40 = $ 48,400

March sales collected in May = $ 127,100 x 0.40 = $ 50,840

April sales collected in June = $ 129,000 x 0.20 = $ 25,800

Budgeted Cash Receipts in May = $ 48,400 + $ 50,840 + $ 25,800= $ 125,040

Therefore, the option that represents the budgeted cash receipts in May is $ 125,040.

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remy pascal is a broker representing seller carl smith. remy decides that the property is a great candidate for a quick flip and makes an offer on the home. immediately after purchasing the home, remy resells it for a profit. in this case, remy has not acted appropriately to safeguard carl's interest above his own. which fiduciary duty has remy violated?

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Remy has violated the fiduciary duty of loyalty. The fiduciary duty of loyalty requires a broker to prioritize the interests of their client above their own.

In this case, Remy, who is representing seller Carl Smith, took advantage of the information and opportunity presented as a broker and purchased the property for a quick flip, intending to make a profit for themselves. By doing so, Remy put their own interests ahead of Carl Smith's. This action violates the duty of loyalty, as Remy's decision to make an offer on the property and immediately resell it for personal gain conflicts with their responsibility to act solely in the best interests of their client. Brokers have a legal and ethical obligation to avoid conflicts of interest and ensure that their actions safeguard and prioritize their clients' interests throughout the real estate transaction.

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How does the Spearman rank order correlation coefficient differ from the Pearson correlation coefficient? O A. The Spearman rank order correlation assumes that variables have a normally distributed population, whereas the Pearson correlation coefficient assumes that variables have a uniform distribution, O B. The Spearman rank order correlation is a qualitative measure of the degree of variation, whereas the Pearson correlation coefficient is a quantitative measure of the degree of variation. OC. The Spearman rank order correlation is used when variables have been measured using ordinal scales, whereas the Pearson correlation coefficient is used when variables have been measured using ratio scales. O D. The Spearman rank order correlation primarily establishes a weak association between variables, whereas the Pearson correlation coefficient establishes a strong association between variables.

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The Spearman rank order correlation coefficient is used when variables have been measured using ordinal scales, whereas the Pearson correlation coefficient is used when variables have been measured using ratio scales.

The correlation coefficient, which is the calculation of the relationship between two variables, is a crucial part of data analysis.  However, the Spearman rank order correlation is different from the Pearson correlation in a variety of ways. In contrast, the Pearson correlation coefficient is used when variables have been measured using ratio scales. The Spearman rank order correlation coefficient is a non-parametric test that measures the degree of correlation between two variables by using the rank order of each value rather than the raw data. The Pearson correlation coefficient varies between -1 and +1, with values of -1 indicating a perfectly negative correlation, 0 indicating no correlation, and +1 indicating a perfectly positive correlation.

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perry incorporated and dally company entered into an exchange of real property. here is the information for the properties to be exchanged. perry dally fmv $ 500,000 $ 530,000 adjusted tax basis 410,000 283,000 mortgage 70,000 100,000 pursuant to the exchange, perry assumed the mortgage on the dally property, and dally assumed the mortgage on the perry property. compute dally's gain recognized on the exchange and its tax basis in the property received from perry.

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Dally Company's gain recognized on the exchange is $247,000, and its tax basis in the property received from Perry Incorporated is $400,000.

To compute Dally Company's gain recognized on the exchange and its tax basis in the property received from Perry Incorporated, we need to compare the fair market values (FMV) and adjusted tax basis of the properties involved in the exchange.

In this case, Perry's property has an FMV of $500,000 and an adjusted tax basis of $410,000. Dally's property has an FMV of $530,000 and an adjusted tax basis of $283,000. Additionally, Perry assumed a mortgage of $100,000 on Dally's property, and Dally assumed a mortgage of $70,000 on Perry's property.

To determine Dally's gain recognized on the exchange, we compare the FMVs and subtract the adjusted tax basis. The gain recognized would be the excess of FMV over the adjusted tax basis. Therefore, Dally's gain recognized is ($530,000 - $283,000) = $247,000.

Next, to calculate Dally's tax basis in the property received from Perry, we subtract the assumed mortgage ($100,000) from the FMV of the property received ($500,000). This gives Dally a tax basis in the property of ($500,000 - $100,000) = $400,000.

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Analyze the main techniques your chosen organization might use to evaluate potential major investment opportunities, ensuring the needs of the business and its financial management strategy are met.

Answers

The main techniques that an organization might use to evaluate potential major investment opportunities can vary depending on the specific needs and financial management strategy of the business. However, some common techniques include:

Net Present Value (NPV)Internal Rate of Return (IRR)Payback PeriodAccounting Rate of Return (ARR)Sensitivity AnalysisScenario AnalysisReal Options AnalysisRisk Assessment

Net Present Value (NPV): NPV calculates the present value of expected cash flows from an investment, taking into account the time value of money. It compares the present value of cash inflows with the present value of cash outflows, considering the required rate of return. A positive NPV indicates a potentially profitable investment.

Internal Rate of Return (IRR): IRR is the discount rate at which the present value of cash inflows equals the present value of cash outflows. It represents the rate of return an investment is expected to generate. Comparing the IRR with the required rate of return or cost of capital can help assess the feasibility of an investment.

Payback Period: The payback period measures the time required for an investment to recover its initial cost. It focuses on cash flows and helps determine the investment's liquidity and risk. The shorter the payback period, the quicker the investment generates returns.

Accounting Rate of Return (ARR): ARR calculates the average annual accounting profit generated by an investment as a percentage of the initial investment. It provides a measure of profitability based on accounting figures but doesn't consider the time value of money.

Sensitivity Analysis: This technique involves analyzing the impact of changes in key variables (such as sales volume, costs, or interest rates) on the investment's financial outcomes. It helps assess the investment's sensitivity to different scenarios and identifies potential risks.

Scenario Analysis: Similar to sensitivity analysis, scenario analysis involves evaluating the investment's performance under different scenarios or assumptions. By considering best-case, worst-case, and moderate scenarios, decision-makers can gain insights into the investment's potential outcomes.

Real Options Analysis: This technique recognizes that some investments may provide additional options or opportunities in the future. It evaluates the value of these options and considers them in the investment decision-making process.

Risk Assessment: Assessing the risks associated with an investment is crucial. Techniques such as qualitative and quantitative risk analysis, including identifying potential risks, assessing their likelihood and impact, and developing risk mitigation strategies, help evaluate the risk-return trade-off.

It's important for the chosen organization to align the evaluation techniques with its specific financial management strategy and investment objectives. The selection of appropriate techniques should consider factors such as the company's risk appetite, desired return on investment, time horizon, and the nature of the investment opportunity.

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