After a big move in BTC, and ETH prices in early 2023, prices have been in a very narrow trading range since late March. What do you think may cause prices to go up or down soon? Please explain. In 50ish sentnace
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After a big move in BTC, and ETH prices in early 2023, prices have been in a very narrow trading range since late March. What do you think may cause prices to go up or down soon? Please explain. In 50ish sentnace
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- Calculate the simple three-day moving average for the S&P 500 and the exponential three-day moving average where two-thirds of the weight is placed on the most recent close. Why would you want to know the moving average for an index? If the close on April 12, 2019, was below the three-day moving average, would it be a buy or sell signal?The economic outlook in 2021 and 2022 is not going to be better as the world is facing theCOVID 19 pandemic. The quantity demanded is expected to decrease by 20% in 2021. IMHcannot increase the selling price as it will pull the level of sales further down. It might haveto reduce the selling price as the competitors are selling at RM5.00 per bottle.Explain the effect of reducing the price as set by the competitors based on numericalanalysis.Suggest any other strategies that could be implemented to reduce any negative impacts onthe business’s profitabilityYou believe that the VIX trades in regimes where its average level is significantly different. You define four regimes from 2004 through 2021 June 2008 through October 2011 (financial crisis): February 2020 through March 2021 (the COVID-19 crisin); the 12-month transition periods before and after the financial crisis and the current transition period after the COVID-19 crisis and the remaining periods of low volatility. In order to test your hypothesis, you examine month-end values of the VIX from January 2004 through October 2021 (214 observations) and conduct the following regression: Dependent variable Y Month-end value of VIX Dummy variable X1 Financial Crisis 1 if between June 2008 through Oct 2011,0 if not Dummy variable X2.COVID-19 crisis: 1 if between Feb 2020 through March 2021, Dummy variable X2 Transition period 1 if in 12 months before or after the financial crisis orthe current period since the COVID-19 crisis (June 2007 May 2008, Nov 2011-Oct 2012 or April 2021-Oct…
- You are trader at Tiger Capital. Todays market (bid-ask) rates for the number of USD per EUR are as follows:Spot rate: 1.1250 - 1.1254 USD = EUR 1.0 3 month forward rate: 1.1055 - 1.1060 USD = EUR 1.0 You think (i.e., have a hunch) that the EUR will weaken against the USD over the next 3 months and decide to do a trade today to exploit your hunch. Specifically, you sell 10 million EUR in the 3 month forward market today. You leave that position for 3 months. In 3 months from today, the spot exchange rate (number of USD per EUR) turns out to be 1.1100. How much profit or loss have you made? Give your answer to the nearest USD and if it is a loss, enter your amount with a MINUS sign.You took a long position on EUR when the prevailing market rate was EUR/USD: 1.3223-1.3227. After six months, you want to square your net FX position to take profits. Which of the following scenarios will yield you maximum profits? Scenario A: at EUR/USD 1.3245 – 1.3253 Scenario B: at EUR/USD 1.3230 – 1.3255 Scenario C: at EUR/USD 1.3231 – 1.3235 Scenario D: at EUR/USD 1.3247 – 1.3252 You took a short position on GBP when the prevailing market rate was GBP/USD: 1.3223-1.3227. After six months, you want to square your net FX position when the prevailing market rate is GBP/USD 1.3218-1.3221. How may pips did you earn? 5 pips 9 pips 2 pips .0009 pips If you want to square your long GBP position, at what rate are you going to sell GBP to maximize profits given GBP/USD quotes from three counterparties? BDO: 1.35-45 BPI: 1.40-55 SECB: 1.50-1.65 1.35 1.50 1.65 1.45 Given “RTB 5-12”, which of the following statements is correct? This is a 5-yr RTB issued in 2012 This…The graph (attached) depicts yield curves for 5 November 2021, 5 November, 2022, and 5 November, 2019. The yield rates are given for each of those in the graph (attached). a) As of 5 November 2021, what is the one-month interest rate expected by market participants in 5 January, 2022? Are they expecting a change in monetary policy within that time frame?
- What caused amazon stocks to drop in 2023? Why is amazon a good long term investment?An analyst gathered the following year-end price level data for an economy: 2014 2018 2019 a. What is the economy's annual inflation rate for 2019? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places.) Inflation rate 178 194.3 200.8 Average rate % b. What is the average compounded inflation rate for 2014-2019? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places.) %In the year 2008, the United States was just entering a major recession. You are researching how various consumer prices changed in the ten-year period starting in 2008 and ending in 2018. Suppose you have located the following chart listing various consumer purchases and their costs in 2008 and 2018, as well as the percentage change based on the 2008 prices. Unfortunately, portions of the chart are missing Fill in the blank spaces to complete the chart for your story. Round percent answers to the nearest tenth of a percent. Round dollar amount answers to the nearest whole dollar Consumer Purchase Single-Family Home median resale price (for a particular month) A particular compact car MSRP for the manual transmission Pair of Jeans easy fit, stonewashed A particular fast food hamburger Average price at company-owned restaurants 2008 $237,300 $20,400 $ $44.80 $2.97 2018 $290,700 $59.95 $3.94 Percent Change 13.2% 1 %
- Bak Assume that Richelle Corp imported goods from New York and needs 145,000 New York dollars 180 days from now. It is trying to determine whether to hedge its position. Richelle has developed the following probability distribution for the New York dollar Possible dollar value in 180 days HAE $.45 $0.40 $0.43 $0.51 $067 $0.81 $16.095 and 75% $4653 and 4.5% $3,789 and -89% Probability $3.356 and 35% 5% 10% 30% The 180-day forward rate of New York dollar is $0.63, and the spot rate is $0.59. Determine the expected additional cost of hedging. What is the probability that hedging will be more costly to the firm that not hedging? 30% 20% 5%The graph depicts yield curves for 5 November 2021, 5 November, 2022, and 5 November, 2019. The yield rates are given for each of those in the graph (attached). a) b) As of today, what is the one-month interest rate expected by financial market participants for 5 January, 2022? Does it appear they are expecting changes in monetary policy between now and then?Ih the year 2008, the United States was just entering a major recession. You are researching how various consumer prices changed in the ten-year period starting in 2008 and ending in 2018. Suppose you have located the following chart listing various consumer purchases and their costs in 2008 and 2018, as well as the percentage change based on the 2008 prices. Unfortunately, portions of the chart are missing. Fill in the blank spaces to complete the chart for your story. Round percent answers to the nearest tenth of a percent. Round dollar amount answers to the nearest whole dollar. Consumer Purchase 2008 Percent Change 2018 Single-Family Home median resale price (for a particular month) $237,300 $290,700 % A particular compact car MSRP for the manual transmission $20,300 $4 13.2% Pair of Jeans easy fit, stonewashed $44.40 $59.95 A particular fast food hamburger Average price at company-owned restaurants $2.97 $3.93 %24