To compare the Real GDP and its main components for each nation, you may present the data in a table or chart style. You may use this comparison to analyse each nation's economic performance and spot any patterns or discrepancies in the composition of their GDP.
To fulfill this task, you will need to collect Real GDP and its primary components (Consumption, Investment, Government Spending, and Net Exports) data for the United States, one country from Europe, and one country from outside of Europe, from the post-WWII era (1945-current).
For the United States, you can obtain this data from the Bureau of Economic Analysis (BEA) website, which provides quarterly and annual GDP data, as well as the breakdown of the primary components of GDP.
For the European country, you can obtain this data from the Eurostat website, which provides GDP data and the breakdown of the primary components of GDP for all EU member countries.
For the non-European country, you can obtain this data from the World Bank website, which provides GDP data and the breakdown of the primary components of GDP for all countries worldwide.
Once you have collected the data, you can display it in a table or chart format to compare the Real GDP and its primary components for each country. This comparison will help you analyze the economic performance of each country and identify any trends or differences in the composition of their GDP.
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On December 31, Lien has earned $9,900 of the $13,200 in transaction 4 and has incurred but not recorded $400 of utilities. Lien prepares adjusting entries on an annual basis.
Prepare any adjusting journal entries needed at December 31. Assume that the equipment depreciates $15,257 annually.
Equipment's depreciation expense for the year is $15,257, based on the information provided.
How we can study more about Equipment's depreciation?Based on the information provided, the following adjusting journal entries are needed at December 31:
To record the portion of transaction 4 earned by Lien:
Debit: Accounts Receivable - Lien $9,900
Credit: Service Revenue $9,900
To record the utilities expense incurred but not yet recorded:
Debit: Utilities Expense $400
Credit: Utilities Payable $400
To record depreciation expense for the year:
Debit: Depreciation Expense $15,257
Credit: Accumulated Depreciation - Equipment $15,257
Note that we assume the equipment's depreciation expense for the year is $15,257, based on the information provided.
This assumes that the equipment has a useful life and no residual value. If the equipment has a different useful life or residual value, the depreciation expense would need to be adjusted accordingly.
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You are planning a promotion that will feature breakfast burritos Your store normally sells 175 breakfast burritos per week The promotion is scheduled to last for one week The stated goal is a sales increase of 20%. How many more breakfast burritos must be sold in order to meet the sales increase goal
Answer:
35 more burritos need to be sold.
Explanation:
Normal sales are 175 burritos per week.
The promotion target is to increase sales by 20%.
The additional sales from the promotion must be at least 20% of 175 to meet the sales goal.
20% of 175 burritos
=20/100 x 175
=0.2 x 175
=35
35 more burritos need to be sold.
matching question match the method of depreciation to the respective definition. declining balance declining balance drop zone empty. straight-line straight-line drop zone empty. units-of-production
The method of depreciation to the respective definition declining balance drop zone empty straight-line.
In accountancy, depreciation is a time period that refers to two aspects of the same concept: first, the real lower of fair fee of an asset, such as the lower in price of manufacturing facility device each yr as its miles used and wear, and second, the allocation in accounting statements of the original value of the property to durations wherein the property are used (depreciation with the matching principle). Depreciation is hence the decrease inside the cost of belongings and the technique used to reallocate, or "write down" the value of a tangible asset (inclusive of system) over its useful existence span.
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Supply-side policies have proven that smaller government makes the economy more efficient. Select one: True False
Answer:
The given statement is "False".
Explanation:
Supply-side policies include those strategies that increase the economic ability of an enterprise as well as the ability to manufacture. To increase supply-side efficiency, there are also many specific steps that somehow an authority may undertake. Any strategy that increases the economic capacity of a nation's infrastructure and therefore its ability to transfer should be under the supply-side legal framework.you can likely obtain an insurance discount by taking a driver education course. T/F?
True. It is likely to obtain an insurance discount by taking a driver education course. Many insurance providers offer discounts to policyholders who have completed a driver education course.
Driver education courses provide valuable knowledge and skills to new and inexperienced drivers, helping them become safer and more responsible on the road. Insurance companies recognize the benefits of driver education in reducing the risk of accidents and claims, and as a result, they incentivize policyholders to take such courses by offering discounts on their insurance premiums. The specific discount amount may vary depending on the insurance provider and the region, but it is common for insurance companies to provide a discount of a certain percentage for completing an approved driver education course. This discount can be applied to various types of auto insurance coverage, such as liability, collision, and comprehensive.
It is important to note that the eligibility requirements and availability of the discount may differ between insurance companies. Some insurers may have specific criteria for the driver education course, such as it being approved by a recognized institution or having a minimum number of hours of instruction. Therefore, it is advisable to check with individual insurance providers to determine the details and potential savings associated with taking a driver education course.
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you can spend $300 on either a pair of new air jordan sneakers or a new skateboard. if you choose to buy the air jordans, the opportunity cost is: group of answer choices $300. your enjoyment of the new skateboard. both the $300 and your enjoyment of the new skateboard. impossible to determine.
The opportunity cost of buying the Air Jordans would be both the $300 and your enjoyment of the new skateboard. Opportunity cost is the cost of forgoing the next best alternative.
In this case, if you choose to buy the Air Jordans for $300, you are giving up the opportunity to buy a skateboard which could also provide you with enjoyment. So the opportunity cost of buying the Air Jordans is both the $300 and the enjoyment you would have gained from buying the skateboard. You can think of this as the trade-off you are making. By choosing to spend $300 on Air Jordans, you are giving up the opportunity to spend that same $300 on a skateboard and all the benefits it would bring. In summary, the opportunity cost of buying the Air Jordans is the value of the next best alternative, which in this case is both the $300 and your enjoyment of the new Skateboard.
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suppose that glamour nails, incorporated's capital structure features 30 percent equity, 70 percent debt, and that its after-tax cost of debt is 4 percent, while its cost of equity is 10 percent. if the appropriate weighted average tax rate is 21 percent, what will be glamour nails' wacc?
Glamour Nails' WACC is 6.92% when glamour nails, incorporated's capital structure features 30 percent equity, 70 percent debt, and that its after-tax cost of debt is 4 percent, while its cost of equity is 10 percent. if the appropriate weighted average tax rate is 21 percentl.
To calculate the WACC (Weighted Average Cost of Capital) for Glamour Nails, we need to use the formula:
WACC = (E/V x Re) + (D/V x Rd x (1-Tc))
Where:
E/V = percentage of equity in the capital structure = 30%
Re = cost of equity = 10%
D/V = percentage of debt in the capital structure = 70%
Rd = after-tax cost of debt = 4%
Tc = weighted average tax rate = 21%
Now, let's plug in the values:
WACC = (0.3 x 0.1) + (0.7 x 0.04 x (1-0.21))
WACC = (0.03) + (0.0392)
WACC = 0.0692 or 6.92%
Therefore, Glamour Nails' WACC is 6.92%.
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Can someone give me insights and data on these:
1. Industry analysis for BPOs
2. why flexible working arrangement is effective?
It's important to note that the effectiveness of flexible working arrangements can vary depending on the nature of the job, industry, and organizational culture. Implementing and managing flexible work arrangements requires clear policies, effective communication, and the right technological infrastructure to support remote collaboration and productivity.
Industry Analysis for BPOs:
The Business Process Outsourcing (BPO) industry has experienced significant growth and transformation over the years. Here are some insights and data on the industry:
a. Market Size and Growth: The global BPO market has been expanding steadily, with a compound annual growth rate (CAGR) of around 7% in recent years. In 2020, the market size was valued at over USD 200 billion. Factors driving growth include cost-saving benefits, technological advancements, and increased demand for specialized services.
b. Key Players: The BPO industry is highly competitive and includes both large multinational companies and smaller specialized firms. Some prominent players in the industry are Accenture, IBM, Cognizant, Genpact, and Infosys, among others.
c. Services Offered: BPO companies provide a range of services, including customer support, technical support, back-office operations, finance and accounting, human resources, data entry, and more. These services are often outsourced to countries with skilled and cost-effective labor pools, such as India, the Philippines, and Eastern European countries.
d. Technology Adoption: BPOs are increasingly adopting technologies like Robotic Process Automation (RPA), Artificial Intelligence (AI), and cloud computing to streamline operations, improve efficiency, and enhance service quality. Automation and digital transformation initiatives have become key focus areas for BPO providers.
e. Industry Trends: Some emerging trends in the BPO industry include the rise of knowledge process outsourcing (KPO) and high-value services, increasing focus on data security and compliance, the shift towards multi-channel customer support (including chatbots and social media), and the growing demand for analytics and data-driven insights.
Why Flexible Working Arrangement is Effective:
Flexible working arrangements, such as remote work, flextime, and compressed workweeks, have gained popularity and proven to be effective for both employees and employers. Here are some reasons why flexible working arrangements are considered effective:
a. Work-Life Balance: Flexible work arrangements allow employees to better balance their personal and professional commitments. It enables them to have more control over their schedules, resulting in reduced stress levels and improved overall well-being.
b. Increased Productivity: Studies have shown that flexible work arrangements can boost employee productivity. It eliminates long commutes and provides a conducive work environment, leading to fewer distractions and improved focus. Employees can choose the time and place where they are most productive.
c. Talent Attraction and Retention: Offering flexible work options can be a competitive advantage for employers when attracting and retaining top talent. It appeals to a broader pool of candidates who prioritize work-life balance and flexibility. It also improves employee satisfaction and reduces turnover rates.
d. Cost Savings: Flexible work arrangements can result in cost savings for both employees and employers. For employees, it reduces commuting expenses and saves time and money on transportation. Employers can benefit from reduced office space requirements and overhead costs.
e. Workforce Diversity and Inclusion: Flexible work options can promote diversity and inclusion by accommodating individuals with different needs and circumstances. It allows people with disabilities, caregivers, and individuals with other commitments to participate in the workforce more effectively.
f. Environmental Impact: Remote work and flexible schedules contribute to reducing carbon emissions by decreasing commuting and office energy consumption. This aligns with sustainability goals and promotes a greener work culture.
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Mergers and acquisitions associated with conglomeration result
in yet another major trend
Mergers and acquisitions in conglomeration lead to a significant trend: diversification. By combining different business , companies expand their operations into new industries, creating diverse portfolios and reducing risk.
Mergers and acquisitions (M&A) in the context of conglomeration refer to the consolidation of different companies or businesses into a single entity.
process typically leads to the formation of conglomerates, which are large corporations with diversified business interests across various industries.
One major trend associated with conglomeration through M&A is diversification. By merging with or acquiring businesses operating in different sectors, companies aim to broaden their portfolio of products, services, and markets. This diversification strategy allows them to reduce their reliance on a single industry or market segment, thereby spreading their risks.
Diversification provides several advantages. First, it enables companies to tap into new revenue streams and customer bases. By expanding into different industries, they can reach a broader audience and capitalize on the growth potential of multiple sectors. Second, diversification helps companies hedge against economic downturns or industry-specific risks. If one sector experiences a decline, the overall impact on the conglomerate's financial performance can be mitigated by the strength of other diversified business units.
However, it is worth noting that conglomeration through M&A is not always successful. Integration challenges, cultural clashes, and the management of diverse businesses can pose significant difficulties. Moreover, some argue that conglomerates may become too unwieldy to manage effectively, potentially resulting in decreased operational efficiency and slower decision-making processes.
Nonetheless, the pursuit of diversification through mergers and acquisitions remains a notable trend in the world of business, driven by the desire to expand market reach, reduce risk, and explore new opportunities across multiple industries.
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Give one example of the inappropriate application of ethical principles. State the possible consequence.
Suppose the Fed decreases interest rates by half of a percent. The Fed has most likely reduced the: a. rate for purchasing bonds in the open market. b. discount rate. c. prime lending rate. d. rate for foreign exchange.
Suppose the Fed diminishes financing costs by half of a percent. The Fed has in all probability diminished the discount rate.
The option (B) is correct.
The Federal Reserve is the central monetary game plan of the US. It is responsible for doing monetary systems to ensure money-related strength. One of the key ways the Fed achieves this is by influencing credit expenses.
In this present circumstance, the Fed has chosen to lessen funding costs by half of a percent. This most likely suggests a diminishing in the refund rate. The markdown rate is the advance charge that business banks pay while getting from the National bank's crediting office, called the refund window.
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what are the are the three groups of the economy
There are three main types of economies: free market, command, and mixed.
By viewing someone (including yourself) as a New Yorker, for example, you remove that person's individuality and instead, see him or her as a
prototypical representative of the group called New Yorkers. This process then allows you to distinguish New Yorkers from people who live in,
say, Texas or North Carolina. This is an example of
Answer:
Categorization
Explanation:
Categorization is a process whereby an individual is given or labelled a social identity based on sharing similar characteristics, such as geographical location, with a particular group. In simple terms, an individual is considered and believed to have the same behavior as those group members they have something in common, which could be just geographical location.
Therefore, the scenario of cited in the question above is an example of categorization.
what are the importance of a scale ?
Answer:
The importance of scale is given below.
Explanation:
Scale becomes making it more effective also because of the severity of the challenges faced throughout environments including certain reducing inequality, the community, gender inequality as well as infrastructure need on-scale approaches. They are therefore merge-border in natural surroundings and therefore not based exclusively towards one venue.how did Suzy Batiz failures set her up for success?
Answer:
I'm not sure
Explanation:
Not enough explanation.
an amusement park hires local college students to work for the summer months. what employee classification does this fall into.
The employee classification it falls into is Temporary Part-Time
It would often be considered temporary part-time employment to hire local college students for the summer. Temporary employment is a type of employment where a worker is hired for a brief length of time, usually for a particular project or season. Temporary workers are not given the same job security or benefits as permanent workers since they are not regarded as permanent employees.
A work arrangement known as part-time employment is one in which an employee works fewer hours than a full-time employee. Depending on how long a person works a part-time job, it may be either temporary or permanent. Local college students employed throughout the summer at an amusement park would probably be regarded as temporary part-time workers. They would only be employed during the summer months, and they would work less hours per week than a full-time worker.
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Suppose the cross-price elasticity of demand between hot dogs and mustard is -2. 50. This implies that a 25 percent increase in the price of hot dogs will cause the quantity of mustard purchased to. Fall by 62. 5 percent since the goods are complements. Fall by 62. 5 percent since the goods are substitutes. Fall by 10 percent since the goods are complements. Fall by 10 percent since the goods are substitutes
A 25 percent increase in the price of hot dogs will cause the quantity of mustard purchased to fall by 62.5 percent since the goods are complements.
The cross-price elasticity of demand measures the responsiveness of the quantity demanded of one good to a change in the price of another good. A negative cross-price elasticity indicates that the goods are complements, meaning they are consumed together.
In this case, a cross-price elasticity of -2.50 implies that a 1 percent increase in the price of hot dogs leads to a 2.50 percent decrease in the quantity of mustard purchased. Therefore, a 25 percent increase in the price of hot dogs will result in a 25 * 2.50 = 62.5 percent decrease in the quantity of mustard purchased.
Hence, the correct statement is that a 25 percent increase in the price of hot dogs will cause the quantity of mustard purchased to fall by 62.5 percent since the goods are complements.
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The predetermined fixed overhead rate is found by:
a.Actual fixed overhead / Actual activity measure.
b.Budgeted total overhead / Actual total activity.
c.Actual fixed overhead / Planned activity measure.
d.Budgeted fixed overhead / Planned activity measure.
e.Budgeted fixed overhead / Actual activity measure.
The predetermined fixed overhead rate is found by: Budgeted fixed overhead / Planned activity measure.
The fixed overhead rate refers to the cost per unit of the activity used to measure fixed overhead cost. Budgeted fixed overhead and planned activity measure are used to determine predetermined fixed overhead rates, which are established at the beginning of the year to estimate overhead costs for the upcoming period.
The formula for calculating predetermined fixed overhead rate is as follows: Predetermined fixed overhead rate = Budgeted fixed overhead / Planned activity measure The predetermined fixed overhead rate is used to calculate the fixed overhead cost to be assigned to each unit of the product, regardless of the actual overhead cost incurred. The difference between the actual overhead cost and the predetermined overhead cost is known as the overhead variance.
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A machine at a manufacturing company is programmed to fill shampoo bottles such that the amount of shampoo in each bottle is normally distributed with mean 0.60 liter and standard deviation 0.04 liter. let the random variable a represent the amount of shampoo, in liters, that is inserted into a bottle by the filling machine.
The probability that a randomly selected bottle of shampoo will be underfilled is 0.0062.
What is the meaning of Probability?
The area of mathematics known as probability deals with numerical representations of the likelihood that an event will occur or that a statement is true. An event's probability is a number between 0 as well as 1, where, roughly speaking, 0 denotes the event's impossibility and 1 denotes certainty.
Simply put, the probability is the likelihood that something will occur. When we don't know how an event will turn out, we can discuss the likelihood or likelihood of several outcomes. Statistics is the study of events that follow a probability distribution.
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Most loans are paid back in __________ installments. a. daily b. weekly c. monthly d. yearly.
Businesses that buy finished goods and sell them for a profit are called:
a. inventory carriers.
b. producers.
c. distribution networks.
d. resellers.
e. business facilitators.
Businesses that buy finished goods and sell them for a profit are called option D. resellers.
Resellers play a crucial role in the distribution process as they bridge the gap between producers and consumers. By purchasing products from manufacturers or wholesalers, resellers add value through marketing, promotion, and customer service efforts.
Resellers can be brick-and-mortar stores, online retailers, or a combination of both. They vary in size and scope, from small local shops to large multinational corporations. They help make products accessible to consumers by offering them in convenient locations and formats.
Furthermore, resellers create a competitive marketplace, which can lead to lower prices and better-quality goods for consumers. They often specialize in certain product categories or industries, allowing them to develop expertise and provide knowledgeable customer service.
In summary, resellers are businesses that purchase finished goods from producers or wholesalers and sell them to consumers for a profit. They play a vital role in the distribution process, making products accessible, fostering competition, and providing valuable services to both producers and consumers. Therefore the correct option D
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2.1.1 Laterpreting
What is polynomial.?
Answer:
an expression of more than two algebraic terms, especially the sum of several terms that contain different powers of the same variable(s).
\( \huge \boxed{\mathfrak{Question} \downarrow}\)
What are polynomials?\( \huge \boxed{\mathfrak{Answer} \downarrow}\)
Polynomials are often sum of terms that are usually in the form :-\( \huge \sf \: a {x}^{2} + bx + c\)
The powers in a polynomial are non-negative integer powers.Based on the number of terms in a polynomial, there are 3 types of polynomials. They are monomial, binomial and trinomial. Based on the degree of a polynomial, they can be categorized as zero or constant polynomials, linear polynomials, quadratic polynomials, and cubic polynomials.One of the main questions of economics involves deciding upon the method for
distributing goods and services.
creating goods and services.
pricing goods and services.
enhancing goods and services.
Answer:
creating goods and services.
Explanation:
Economics seeks to get answers to how societies utilize scarce resources to meet the unlimited needs of members. The three basic questions that economics addresses are
What to produce?How to produce?For whom to produce?Creating goods and services and services is answering on what to produce? With the limited resources, authorities must decide what goods and services to produce. Decisions have to be made on what needs to meet immediately. For example, the government may decide to build new schools rather than contract a new road
Answer:
B
Explanation: Took test!!!
Beth needs to multiply the values of two cells in her worksheet. What should she enter into the formula bar?
=CD/D4
=CD+D4
=CD*D4
=(CD)(D4)
Answer:
C4*D4
must be the correct one but its not mentioned there
Answer:
I would say =(CD)(D4) it makes the most sense
Explanation:
public relations does not create the corporate image or reputation, it the policies, statements and activities which quality an organization for its reputation. a. fabricates b. spins c. interprets d. creates
Public relations does not create the corporate image or reputation, it the policies, statements and activities which quality an organization for its reputation is interprets. Option C is the correct answer.
Public relations is responsible for interpreting and communicating the policies, statements, and activities of an organization to the public. It plays a crucial role in shaping and managing the perception of an organization, but it does not create the corporate image or reputation from scratch.
Public relations professionals work to ensure that the organization's messages and actions are effectively communicated and understood by the public. They help to shape the narrative and provide context for the organization's activities, helping to build and maintain a positive reputation.
However, the foundation of the reputation lies in the actual behavior and performance of the organization. Therefore, Option C is the correct answer.
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he following information is reported for the current year for North Atlantic Division of XT Enterprises:
Sales $3,800,000
Interest expense $250,000
Net income $500,000
Total assets $5,000,000
Noninterest-bearing current liabilities $400,000
Cost of capital 8%
Required rate of return 14%
Tax rate 30%
How much is the division’s invested capital?
a. $5,400,000
b. $5,000,000
c. $4,600,000
d. $5,500,000
Therefore, the answer is b. $5,000,000 is the division’s invested capital.
.
To find the division's invested capital, we need to calculate its total liabilities and equity. We know that total assets are $5,000,000, and noninterest-bearing current liabilities are $400,000. This means that the division's interest-bearing current liabilities and long-term liabilities, plus its equity, add up to $4,600,000 ($5,000,000 - $400,000).
We don't have information on the division's equity, but we can calculate its interest-bearing current liabilities by subtracting noninterest-bearing current liabilities from total current liabilities. Assuming all current liabilities are interest-bearing, we have:
Interest-bearing current liabilities = Total current liabilities - Noninterest-bearing current liabilities
Interest-bearing current liabilities = (Total assets - Equity) - Noninterest-bearing current liabilities
Interest-bearing current liabilities = $5,000,000 - Equity - $400,000
We can rearrange this equation to solve for Equity:
Equity = $5,000,000 - Interest-bearing current liabilities - $400,000
To find interest-bearing current liabilities, we can use the information on interest expense and cost of capital:
Interest-bearing current liabilities = Interest expense / Cost of capital
Interest-bearing current liabilities = $250,000 / 0.08
Interest-bearing current liabilities = $3,125,000
Plugging this into the equation above, we get:
Equity = $5,000,000 - $3,125,000 - $400,000
Equity = $1,475,000
Now we can find the division's invested capital:
Invested capital = Total liabilities + Equity
Invested capital = Interest-bearing current liabilities + Noninterest-bearing current liabilities + Equity
Invested capital = $3,125,000 + $400,000 + $1,475,000
Invested capital = $5,000,000
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What is something you learned about investing?
Answer:
investing ensures present and future long-term financial security
Explanation:
sana makatulong
What do you mean by technical occupations ? write with examples
Answer:
I think techical occupation means the worker who work through laptops and computers
software engineer game designer publisher etc....New product development consists of eight sequential steps. Which step reduces the number of ideas based on the company's criteria?
A. Concept testing
B. Business analysis
C. Idea screening
D. Product concept development
E. Ideation
Idea screening is an important step in the new product development process that reduces the number of ideas based on the company's criteria. So, The correct answer is C. Idea screening.
During this step, ideas are evaluated for their feasibility, market potential, and alignment with the company's goals and objectives. The goal of idea screening is to narrow down the pool of potential product concepts to a manageable number that can be further developed.
During idea screening, the company's management team, market research experts, and technical experts review and assess the potential of each idea. Ideas that do not meet the company's criteria are discarded, and those that are deemed worthy are advanced to the next step in the development process.
Idea screening is a crucial step in the new product development process because it helps to avoid wasted resources, time, and effort on concepts that may not be successful. By carefully evaluating and selecting only the best ideas, companies can increase the chances of success for their new product launches.
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Currency futures have the price of 10,000 euros at $12,000 ($1.20 per euro) 2 years from now; rosita just entered a contract to buy 10,000 euros from carl in 2 years. if the price of a euro is actually $1.50 in 2 years, how much does each make or lose?
In Currency future, if the price of a euro is actually $1.50 in 2 years, Carl (loses) $3000 and Rosita (makes) $3000.
Exchange-traded futures contracts known as currency futures define the price in one currency at which another currency may be purchased or sold at a later time.
Currency futures contracts are enforceable in court, and counterparties who are still in possession of them on the contract's expiration date are obligated to produce the specified currency amount at the agreed-upon price on the agreed-upon delivery date. Currency futures can be used to speculate on currency price changes as well as to hedge other transactions or currency concerns.
Under future contract, the rate is fixed for the future
Rate = 10,000 Euro = $12000
Rate = 1 Euro = $1.2
Actual Rate, 1 Euro = $1.50
Hence, seller i.e. Carl LOSES (1.50-1.20)*10,000 = $3,000
and buyer i.e. Rosita MAKES $3,000.
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Complete question:
Currency futures have the price of 10,000 euros at $12,000 ($1.20 per euro) 2 years from now: Rosita just entered a contract to buy 10,000 euros from Carl in 2 years. If the price of a euro is actually $1.50 in 2 years, Carl (loses/makes) $_ ,, and Rosita (loses/makes) $____ _