You expect to receive $3,100 upon your graduation and will invest your windfall at an interest rate of .43 percent per quarter until the account is worth $4,750. How many years do you have to wait until you reach your target account value?

(A) 25.02 years
(B) 26.78 years
(C) 21.76 years
(D) 24.86 years
(E) 23.21 years

Answers

Answer 1
Final answer:

This is a financial mathematics problem involving the concept of compounding interest. Using the appropriate formula and provided values, we find that the correct answer for the time it would take to reach a target account value of $4,750 with a starting value of $3,100 and an interest rate of 0.43% per quarter is approximately 26.78 years.

Explanation:

The problem presented is a common problem in financial mathematics and relates to the concept of compounding interest. To solve this problem, we need to use the compounding interest formula. Here is how it looks: A = P * (1 + r/n)^(nt). In your case:

P = $3,100 (the amount of money you initially invest). A =$4,750 (the amount of money you want to have in the end). r = 0.43% per quarter (the interest rate). n = 4 (how many times the interest is compounded per year). t = ? (the time the money is invested for).

Solving for t, we arrive at t = 26.78 years, so your answer would be (B) 26.78 years.

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Related Questions

20. Which of the following best describes the utility of the "roof" in the quality function deployment (QFD) matrix? A. The roof relates the customer attributes (CA) to the engineering characteristics (EC). B. The roof compares engineering characteristics (EC), which enables the study of any trade-offs among the EC. C. The roof provides the relative importance of the customer attributes (CA). D. The roof provides a competitive evaluation of the engineering characteristics (EC).

Answers

Answer:

The answer is B. The roof compares engineering characteristics (EC), which enables the study of any trade-offs among the EC.

Explanation:

Which of the four external processes in the consumer’s culture do you think have been the most important to the success of Dove’s Campaign for Real Beauty? Why?

Answers

Answer and explanation:

Dove's campaign for "Real Beauty" used the values, personality and lifestyle features to drive its advertisements to success. Dove achieved that purpose promoting the idea that there is no set definition of beauty and spreading the point of view that women are beautiful on their own.

Dove tore down the stereotype of conventional beauty by targeting its products to women of different ages, races, sizes, and social classes which helped to broaden the company's market segment since most women identified themselves with Dove's advertisements.

Final answer:

The success of Dove's Campaign for Real Beauty can largely be attributed to the external consumer cultural processes of socialization or learning and need recognition, as the campaign addressed a relevant social issue and effectively recognized the needs of its audience.

Explanation:

The four external processes in the consumer's culture that have been key to the success of Dove's Campaign for Real Beauty are socialization or learning, need recognition, information search, and purchase decision. Of these, I believe that socialization or learning an need recognition have been most important. The campaign targeted a social issue, promoting self-esteem and rejecting unrealistic beauty standards, thus fostering socialization among its audience. Additionally, the campaign effectively created need recognition by highlighting that many women deal with low self-esteem and body dissatisfaction, positioning Dove as a brand that understands and addresses these needs.

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In many universities, graduate students are employed to teach introductory undergraduate courses, even though the full professors at these universities have more experience and could potentially teach these courses better. Which of the following best explains why universities choose to hire graduate students instead of full professors to teach their introductory courses?A. The opportunity cost of teaching an introductory course is higher for graduate students than for full professors.B. The opportunity cost of teaching an introductory course is higher for full professors than for graduate students.C. Graduate students are cheaper.D. Introductory classes are the best place for graduate students to build their teaching skills.

Answers

Answer:

The correct answer is letter "A": The opportunity cost of teaching an introductory course is higher for graduate students than for full professors.

Explanation:

Opportunity cost represents the return of the choice taken compared to the return of the option left behind. For a university professor, the opportunity cost of giving an undergraduate class is lower than the opportunity cost that reflects teaching the undergraduate class to graduate students. This is because graduate students are starting to obtain experience but professors have it already.

The conservatism constraint prescribes that:

a) A company use the same accounting methods period after period.

b) All items of a material nature are included in financial statements.

c) All inventory items are reported at full cost.

d) Revenues and expenses are reported in the period in which they are earned or incurred.

e) When multiple estimates of amounts to be received or paid in the future are equally likely, then the least optimistic amount should be used.

Answers

Option E

The conservatism constraint prescribes that: When multiple estimates of amounts to be received or paid in the future are equally likely, then the least optimistic amount should be used.

Explanation:

Conservatism constraint designates the aid of the less optimistic amount when more extra than unity assessment of the amount to be collected or repaid endures and these assessments are thereby uniformly likely.

The conservatism constraint suggests that, all annexes equal, we require to choose the postulate that is more moderate for assets and more leading for liabilities, these hypotheses forming the company resemble worse or most traditional. Conservatism constraint restricts the opportunity of economic statements being proffered that are emphasized, an overstatement that investors could perform on.

Final answer:

The conservatism constraint prescribes that a company use the same accounting methods period after period to provide consistent and reliable information in financial statements.

Explanation:

The conservatism constraint in accounting prescribes that a company use the same accounting methods period after period. This means that a company should be consistent in its treatment of accounting transactions and follow the same principles and rules over time.

For example, if a company chooses to use the FIFO method to value its inventory, it should continue using the same method in subsequent periods.

The aim of the conservatism constraint is to ensure that financial statements reflect a more cautious and conservative estimate of the company's financial position and performance.

By using the same accounting methods, a company provides users of financial statements with consistent and reliable information to make informed decisions.

You are planning your retirement and you come to the conclusion that you need to have saved $1000000million in 30 years. You can invest into an retirement account that guarantees you a 12% annual return. How much do you have to put into your account at the end of each year to reach your retirement goal?

Answers

Answer:

Annual deposit= $4,143.66

Explanation:

Giving the following information:

You need to have saved $1,000,000 in 30 years. You can invest in a retirement account that guarantees you a 12% annual return.

To calculate the annual deposit needed to achieve the objective, we need to use the following formula:

FV= {A*[(1+i)^n-1]}/i

A= annual deposit

Isolating A:

A= (FV*i)/{[(1+i)^n]-1}

A= (1,000,000*0.12)/ [(1.12^30)-1]= $4,143.66

Comly Communications issues a $600,000, 10%, 20-year mortgage note on January 1. The terms provide for annual installment payments of $69,932, exclusive of real estate taxes and insurance. After the first installment payment, the principal balance is:________

a. 530,068.
b. $600,000.
c. $590,068.
d. $565,034

Answers

Answer:

The correct answer is C

Explanation:

The amount would be:

Amount = Issued Amount × Interest rate

= $600,000 × 10%

= $60,000

So, the interest would be $60,000, this amount to be paid on year end.

But the installment payment is of $69,932

Balance amount = $69,932 - $60,000

= $9,932

The first installment is of amount $60,000. So, the principal balance would be:

Principal balance = Amount - Balance amount

= $600,000 - $9,932

= $590,068

Using a conservative end of period cash flow approach when applying the conventional payback method, what is the payback period when the upfront investment is 124,000 and the end of period cash flow is 25,000?

Answers

Answer:

5 years

Explanation:

According to the conservative end of period cash flow approach, cash flow is only computed at the end of the period. Therefore, the payback occurs at the year when the balance ceases to be negative. With constant cash flows of $25,000:

[tex]Initial\ \ \ \ \ \ \ \ \ \ \ \ -\$124,000\\End\ of\ year\ 1\ -\$99,000\\End\ of\ year\ 2\ -\$74,000\\End\ of\ year\ 3\ -\$49,000\\End\ of\ year\ 4\ -\$24,000\\End\ of\ year\ 5\ \ \ \ \ \$1,000[/tex]

The payback period is 5 years.

g You take a loan for $25,000 to pay for school. You want to pay it back within 4 years by making equal monthly payments. There is a 15% interest rate on the money borrowed. Determine the monthly payment.

Answers

Answer:

$696 (approx)

Explanation:

Given:

Loan amount(P) = $25,000

Years = 4

Interest rate = 15%

Number of total month(n) = 4*12 = 48

Monthly interest rate(r) = 15 / (12*100) = 0.0125

[tex]EMI = \frac{pr(1+r)^n}{(1+r)^n-1} \\EMI = \frac{25,000\times 0.0125(1+0.0125)^{48}}{(1+0.0125)^{48}-1}\\\\ EMI = \frac{312.5(1.0125)^{48}}{(1.0125)^{48}-1}\\\\ EMI = \frac{312.5(1.81535485)}{(1.81535485)-1}\\\\EMI = \frac{567.2983}{0.81535485}\\\\EMI = 695.7685[/tex]

Fill in the blanks with given options:
Suppose the price elasticity of demand for heating oil is 0.2 in the short run and 0.7 in the long run.
a. If the price of heating oil rises from $1.90 to $2.10 per gallon, the quantity of heating oil demanded will _______ by in the short run and by ________ in the long run. The change is ________ in the long run because people can respond ________ easily to the change in the price of heating oil.
Options:
1. fall/rise
2. smaller/larger
3. less/more

Answers

Answer:

1. fall

2. Larger

3. more

Explanation:

The price elasticity is relative measure of change in demand. When the demand of heating oil decreases due to increase in price then the heating oil is considered as price elastic. The elasticity of heating oil is 0.2 in the short run and 0.7 in the long run which means customers respond less in change of demand in short run due to change in price. When the price of heating oil increases, the demand will fall in the short run.

In the short run customers may not find time to respond to the change in price. The change in demand in short run is smaller and change in demand in Long run will be larger.  

The price elasticity of heating oil is more in long run because customer may find alternate sources at a cheaper rate and may switch to it causing a greater fall in demand of heating oil.  

The gross domestic product (GDP) of the United States is defined as the market value of all final goods and services produced within the United States in a given period of time.
Based on this definition, indicate which of the following transactions will be included in (that is, directly increase) the GDP of the United States in 2018.

a. Chocolate Express, a Swiss chocolate company, produces a chocolate bar at a plant in Illinois on December 9, 2018. An elementary school student buys the chocolate bar on December 24. -------- 2018 GDP (Included/Excluded)
b. Athleticus, a U.S. shoe company, produces a pair of sneakers at a plant in Vietnam on March 27, 2018. Athleticus imports the pair of sneakers into the United States on May 18, 2018. -------- 2018 GDP (Included/Excluded)
c. Treetopplers, a U.S. lumber company, produces wood at a plant in Oregon on September 25, 2018. It sells the wood to Buildit and Partners, a developer, for use in the production of a new house that will be built in the United States in 2018. (Note: Focus exclusively on whether production of the wood increases GDP directly, and ignore the effect of production of the new house on GDP.) -------- 2018 GDP (Included/Excluded)
d. Tasty's, a U.S. fast-food company, produces a hamburger at one of its many St. Louis locations on January 14, 2018. It sells the hamburger to a customer that same day.
-------- 2018 GDP (Included/Excluded)
e. An accountant starts a client's 2018 tax return on April 14, 2019, finishing it just before midnight on April 15, 2019. -------- 2018 GDP (Included/Excluded)

Answers

Answer:

a= Included

b= Excluded

c= Included

d= Included

e= Excluded

Explanation:

a=  The product (Chocolate was produced and sold in same year i-e, 2018)

b=  Goods produced by companies having manufacturing plants in foreign countries doesn't count in the company's home country's GDP. Refer to the definition which says clearly that production of final goods within a country.

c=  Yes, as they are produced and if the house was also sold in the same year than only the house would have been counted in the GDP. Because we can't count same thing twice.

d=  As the final product was produced and sold in same year, it would be counted.

e=  No GDP as definition implies includes only final goods, tax returns doesn't count in GDP.

The fact that there is a criminal investigation pending against Johnson and Johnson suggests that regulators feel that the company is not meeting its obligations at _________ level of corporate responsibility.


A) a discretionary

B) a legal

C) an economic

Answers

Answer: B. A legal

Explanation: at a legal level of corporate responsibility, businesses are obligated to obey the law. It is the most important level of corporate social responsibility as described by Archie Carroll in the “Pyramid of Corporate Social Responsibility” in 1991. It indicates how companies are meant conduct their business in the marketplace in areas bordering competition, employment, health and safety, tax regulation etc.

Manuel has plans to go to a movie and already has a $10 nonrefundable, nonexchangeable, and nontransferable ticket. Now Poornima, whom Manuel has wanted to date for a long time, asks him to a concert. Manuel would prefer to go to the concert with Poornima and forgo the movie, but he doesn't want to waste the $10 he spent on the movie ticket.

From the perspective of an economist, if Manuel decides to go to the movie, what has he just done?

1. Incorrectly allowed a sunk cost to influence his decision
2. Made an optimal choice
3. Correctly ignored a sunk cost

Answers

Answer:

3. Correctly ignored a sunk cost

Explanation:

Sunk costs refer to those costs which have been incurred in the past and which can no longer be recovered. For example, past expenditure on research and development with no current or future benefits represent sunk costs which can no longer be recovered.

Sunk costs are irrelevant for decision making process as they do not relate to current projects and yield no economic benefit.

In the given case, Manuel had already purchased a $10 movie ticket, which can neither be transferred nor eligible for a refund.  Later when he does not exercise the option of going for the movie and opts for a concert instead, the amount of 10$ spent on the movie represents a sunk cost which is non recoverable.

Final answer:

From an economist's view, Manuel should focus on the marginal costs and benefits of current and future options, rather than the sunk cost of the movie ticket.

Explanation:

From the perspective of an economist, if Manuel chooses to attend the movie instead of going to the concert with Poornima, he is allowing a sunk cost to improperly influence his decision. The $10 he spent on the movie ticket is a sunk cost, which means it has already been incurred and cannot be recovered. His decision should be based on the comparative benefits of the current options he has: either the experience of watching the movie or the enjoyment and potential relationship benefits of going to the concert. Since he prefers to go on the date with Poornima, going to the movie would not be an optimal choice. The economist's advice would be to ignore the sunk cost of the movie ticket and attend the concert, as that would provide greater utility to Manuel.

Ashley had $10,000 in credit card debt. She negotiated a settlement with the credit card company, and the credit card company agreed to cancel $6,000 of the debt.

If Ashley has total assets of $25,000 and total liabilities of $50,000 at the time the debt was cancelled, what amount of gross income does Ashley have as a result of the credit card company cancelling $6,000 of her debt?

Answers

Answer:

The amount waived off by the lender must be treated just like gross income. The total figure for the gross income will be:

Total assets  = Equity + Liability

By putting values we have:

$25,000 = Earnings losses (Equity) + $50,000

Earnings Losses = $25,000 - $50,000 = -$25,000

So the Gross losses are $25,000. Now we will reduce this losses by $6000 which is debt cancellation. The Net losses are $19,000 which are trading losses and must be offset against trading income.

When Starbucks introduced its Tazo Tea line to bring in new customers who had never gone to Starbucks because they don't drink coffee, Starbucks was employing a ________ strategy.a.market-penetrationb.new-market segmentc.geographical-expansiond.niche identificatione.

Answers

Answer: (B) New market segment

Explanation:

 The new market segment strategy is one of the type business strategy that helps in increase the growth of an organization by developing the various types of market segments with some unique characteristics and features for the products and the services.

The main objective of the new market segment strategy is that it helps in variation in the marketing process, products and in the distribution process.

According to the given question, the Starbucks is introduced the Tazo tea in their menu and the main aim of the company is to bring the new customer. Therefore, The Starbucks is using the new market segment strategy.

Therefore, Option (B) is correct answer.      

After generating financial statements for your client, Doug, you list each line item on the income statement as apercentage of total income and each item on the balance sheet as a percentage of total assets. Which comparative financial statement tool are you utilizing?
a.Monte Carlo Analysis.
b.Horizontal Analysis.
c.Vertical Analysis.
d.Sensitivity Analysis.

Answers

Answer:

c.Vertical Analysis.

Explanation:

Vertical analysis is a proportional analysis used in financial statements. Each line item is represented as a percentage of another item on the financial statement.

On income statement items are usually represented as a percentage of income or gross sales.

On the balance sheet line items are represented as a percentage of total assets.

Answer:

The correct answer is letter "C": Vertical Analysis.

Explanation:

Under Vertical Analysis each line item is viewed as a percentage of a larger number in a company's financial statement. On the Balance Sheet, each line item in the Asset section is presented as a percentage of total assets. In the Liability and equity section, each line item is presented as a percentage of total liabilities and equity which equals total assets based on the accounting equation.

Sean, a new graduate at a telecommunications firm, faces the following problem his first day at the firm: What is the average rate of return for a project that costs $200,000 to implement and has an average annual profit of $30,000

Answers

Answer:

The average return of the project is 15%

paybakc 6.67 years

Explanation:

Sean should divide the anual profit over the project cost ot get the average return

[tex]\frac{income}{investment} = $rate of return[/tex]

30,000 / 200,000 = 0.15

0.15 = 15%

Sean may also want to know the payback period:

so we do investment / income:

200,000 / 30,000 = 6.67

The firm will recover the cost of 200,000 after 6.67 years

Final answer:

The average rate of return for Sean's telecommunications firm project, which costs $200,000 and has an average annual profit of $30,000, is 15%.

Explanation:

To calculate the average rate of return for a project, we divide the average annual profit by the initial investment cost and then multiply by 100 to get a percentage. For Sean's telecommunications firm project, the average rate of return is calculated as follows:

Determine the average annual profit: $30,000.Determine the initial cost of the project: $200,000.Calculate the average rate of return: ($30,000 / $200,000) × 100 = 15%.

Therefore, the average rate of return for the project is 15%.

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list the various elements of fraud within the organization. give several examples of each

Answers

Answer:

MotiveRationalizationOpportunity

Explanation:

Fraud is a point of concern in the business world and creates a trust deficit. There are 3 elements of fraud and one may identify each of them in every fraud situation.

Motive: Each person has an individual needs and desires which they want to be fulfilled but some people can't make it up because of the current role they have, so they go for the second or illegal option to solve their problems. Take an example of a cashier, he wants to have a car and a house but for that, he has to work 24/7 till 20 years continuously so which is difficult to do, so he chooses to steal the owner's money.Rationalization: It gets hard when some people think that whatever they are doing is not wrong although it is. For example, a stockbroker may think that it's not illegal to deceive an investor however it is. Opportunity: The 2 elements mentioned above can't be controlled by an organization for they are personal and an individual's choices, but this is in the control of the organization and it occurs when an organization loses control. So whenever an employee finds an opportunity to fraud he will. For example, an employee in the customer services centre works hard when the boss is looking but watches tv shows when he is not around.

The welding department supplies parts to the final assembly line. Management decides to implement a kanban system and has collected the following data. The daily demand is 2000 units The production lead time is 4 days (this includes processing time, transport time, and waiting time) Management has decio One container fits 400 units
How many kanban containers will be needed to support this system? _____ containers

Answers

Answer:

25 kanban containers

Explanation:

Given that,

Daily demand = 2,000 units

Production lead time = 4 days

Container size = 400 units

Lead time demand:

= Daily demand × Production lead time

= 2,000 units × 4 days

= 8,000 units

Safety Stock:

= Number of days × Daily demand

= 1 day × 2,000 units per day

= 2,000 units

Number of Kanban containers needed:

= (Lead time demand + Safety Stock) ÷ Container size

= (8,000  + 2,000) ÷ 400

= 10,000 ÷ 400

= 25

To support the Kanban system in the welding department, 20 Kanban containers will be needed, based on the daily demand, production lead time, and container capacity.

To calculate the number of Kanban containers needed in the welding department to support the Kanban system, we can use the following formula:

(Daily demand) * (Production lead time in days) / (Container capacity)

Using the data provided:

Daily demand = 2000 units

Production lead time = 4 days

One container fits = 400 units

Now, let's plug in the values:

(2000 units per day) * (4 days) / (400 units per container) = 20 containers

Therefore, 20 Kanban containers will be needed to support this system efficiently.

Calculate​ (a) MAD and​ (b) MSE for the following forecast versus actual sales​ figures: a. Forecast 100 110 120 130 b. Actual 95 108 123 130 ​a) MADequals nothing ​(round your response to one decimal​ place).

Answers

Answer:

MAD = 2.5

MSE = 9.5

Explanation:

MAD and MSE are 2 of the 3 the approaches to calculate forecasting errors.

MAD formula and solution is provided in the picture attached, with table 1 mentioned on it.

Step by Step Calculation of MAD:

Calculate the Forecast Error by subtracting Forecast from Actual Sales.Sum all the forecast errors.Divide the sum with the number (n) of periods. MSE formula and solution is provided in the picture attached, with table 2 mentioned on it.

Step by Step calculation of MSE:

Calculate the Forecast Error by subtracting Forecast from Actual Sales.Square all forecast errors and sum those squared values.Divide the sum with the number (n) of periods.

Governments often use a sales tax to raise tax rev- enue, which is the tax per unit times the quantity sold. All else the same, will a specific tax raise more tax revenue if the demand curve is inelastic or elas- tic at the original price?

Answers

Answer:

Yas tax revenue depend on elasticity of demand curve.

Explanation:

first of all we need to understand that inelastic demand curve means in which increase or decreases of price don't change consumption pattern  of consumer, however elastic demand meant in which increases or decreases price effect consumption behavior, this depend whether commodity or good is necessity  or luxurious good. so if demand is inelastic government can impose and earn more revenue from that good on other hand to impose tax on elastic commodities government cannot earn profit and there is less margin.  

If the print media is taken over by the electronic media, thereby causing employees in the print media industry to be permanently laid off, ________ unemployment would increase.
Group of answer choices:
O FrictionalO CyclicalO StructuralO Seasonal

Answers

Answer:

Structural

Explanation:

Structural unemployment occurs as a result of a mismatch between the skills of unemployed labour and the skills demanded for by the jobs available. It usually occurs as a result of technological change.

Frictional unemployment occurs when when Labour is moving from one job to another.

Cyclical unemployment is when employment level changes with the business cycle. When there's a downturn in the economy, unemployment rises and falls when there's a boom.

Seasonal unemployment is when employment level falls or rises during certain seasons.

I hope my answer helps you

Final answer:

Structural unemployment would increase if print media is replaced by electronic media, leading to permanent layoffs in the print industry due to fundamental industry changes.

Explanation:

In the given scenario, if print media is taken over by the electronic media and employees of the print media industry are permanently laid off, this would cause an increase in structural unemployment. Structural unemployment occurs when an industry undergoes fundamental changes forcing workers out of work because their skills no longer match available jobs.

Structural changes can include technological changes, introduction of automation, outsourcing, advances in efficiency or shifts in consumer demand. In this scenario, print media is taken over by electronic media, which suggests a fundamental shift in the media industry, thus leading to a structural unemployment situation where print media employees would need retraining and adjustment time to adapt to the new changes.

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Of all the companies on the New York Stock Exchange, profits are normally distributed with a mean of $6.54 million and a standard deviation of $10.45 million. In a random sample of 73 companies from the NYSE, what is the probability that the mean profit for the sample was between 3.0 million and 6.0 million?

Answers

Answer:

[tex]P(3.0<\bar X<6.0)= P(-2.894< Z< -0.442) = P(Z<-0.442) -P(Z<-2.894) = 0.329 -0.0019=0.327[/tex]

Explanation:

Previous concepts

Normal distribution, is a "probability distribution that is symmetric about the mean, showing that data near the mean are more frequent in occurrence than data far from the mean".

The Z-score is "a numerical measurement used in statistics of a value's relationship to the mean (average) of a group of values, measured in terms of standard deviations from the mean".  

Solution to the problem

Let X the random variable that represent the profits of a population, and for this case we know the distribution for X is given by:

[tex]X \sim N(6.54,10.45)[/tex]  

Where [tex]\mu=6.54[/tex] and [tex]\sigma=10.45[/tex]

We are interested on this probability :

[tex]P(3.0<\bar X<6.0)[/tex]

And the best way to solve this problem is using the normal standard distribution and the z score given by:

[tex]z=\frac{x-\mu}{\frac{\sigma}{\sqrt{n}}}[/tex]

And we can find the z score for the two limits 3.0 and 6.0 and we got:

[tex] z_1 = \frac{3-6.54}{\frac{10.45}{\sqrt{73}}} = -2.894[/tex]

[tex] z_2 = \frac{6- 6.54}{\frac{10.45}{\sqrt{73}}} =-0.442 [/tex]

So then we can calculate the probability on this way:

[tex]P(3.0<\bar X<6.0)= P(-2.894< Z< -0.442) = P(Z<-0.442) -P(Z<-2.894)[/tex]

And we can use the normal standard distribution or excel to calculate the probabilities and we got:

[tex]P(3.0<\bar X<6.0)= P(-2.894< Z< -0.442) = P(Z<-0.442) -P(Z<-2.894) = 0.329 -0.0019=0.327[/tex]

The cash price of this machine was $54,500. Related expenditures included: sales tax $2,050, shipping costs $100, insurance during shipping $110, installation and testing costs $80, and $100 of oil and lubricants to be used with the machinery during its first year of operations. Whispering Winds estimates that the useful life of the machine is 5 years with a $4,100 salvage value remaining at the end of that time period. Assume that the straight-line method of depreciation is used.

Answers

Answer:

Under striaght line the depreciation wil be of 10,548 dollar per year.

Explanation:

the accouting will enter the asset as the sum of all necessary cost to aquire it and leave it ready for use:

price       54,500

taxes         2,050

shipping       100

insurance      110

installation    80    

total        56,840‬

depreciation per year:

(cost - salvage value ) / useful life

(56,840 - 4,100) / 5 = 10.548‬

Which of the following statements is true concerning stock splits? a.The total number of shares outstanding does not change after the stock split. b.Each shareholder will own the same total par amount of stock before and after the split. c.Stock splits require journal entries to be recorded. d.None of these choices are correct.

Answers

Answer:

d.None of these choices are correct.

Explanation:

The stock split is the way to increase the outstanding number of shares.  

Take an example

The current shares are 50,000 and the stock split ratio is 2 for 1 share

So, now the new shares are  

= 50,000 × 2

= 100,000 shares

The first statement is false as it changes the outstanding shares after the stock split.  

The second statement is also incorrect because the par amount is also changed

And, the third statement is also incorrect because no journal entry is required for the stock split

eptune Accounting Services expects its accountants to work for 24 comma 000 direct labor hours per year. The​ company's estimated total indirect costs are $ 222 comma 000. The direct labor rate is $ 75 per hour. The company uses direct labor hours as the allocation base for indirect costs. If Neptune performs a job requiring 30 hours of direct​ labor, what is the total job​ cost? (Round any intermediate calculations to the nearest​ cent, and your final answer to the nearest​ dollar.)

Answers

Answer:

$2,527.5

Explanation:

Indirect labor hours:

= Estimated total indirect costs ÷ Direct labor hours per year

= $222,000 ÷ 24,000

= $9.25

Total job​ cost:

= Direct labor cost  + Indirect labor cost

= (direct labor rate per hour × Number of direct labor hours) + (Number of direct labor hours × Indirect labor rate per hour)

= ($75 × 30) + (30 × $9.25)

= $2,250 + $277.5

= $2,527.5

Common-size statements: Multiple Choice
Reveal changes in the relative importance of each financial statement item to a base amount.
Do not emphasize the relative importance of each item.
Compare financial statements over time.
Show the dollar amount of change for financial statement items.
Reveal patterns in data across successive periods.

Answers

Answer:

Reveal changes in the relative importance of each financial statement item to a base amount.

Explanation:

In the common-size statements, the items would be displayed in the percentage form that is based on the base value rather than the absolute values.  

The preparation of this statement is to do the proper analyses of each item with period to period of the similar company so that proper decisions should be taken. In addition, it would also create its importance with respect to the item mentioned in the financial statement

Esthelt, an automobile manufacturing company, has a shortage of engineers who are capable of operating computer-controlled machinery used for the production of various critical car parts. Although Esthelt has created job vacancies for this position, production has slowed down drastically due to the shortage of engineers. Due to the urgent requirement for production to gain pace, the company is looking for somebody with the necessary _____ so that he or she would not require training on Computer Numerical Control. Group of answer choices
a. human skills
b. planning skills
c. technical skills
d. conceptual skills

Answers

Answer:

c. technical skills

Explanation:

Technical skills -

It refers to the knowledge or the information necessary to perform a particular task , is referred to as the technical skill .

The knowledge of scientific activities , mathematics , technology , mechanical information , is important to be learn technical skills  .

Hence , from the given scenario of the question,

The  correct option is c. technical skills .

Your venture has net income of $600,000 taxable income of $1,000,000 operating profit of $1,200,000 total financial capital including both debt and equity of $9,000,000 a tax rate of 40%, and a WACC of 10%. What is your venture’s EVA?

Answers

Answer:

EVA = -$180,000

Explanation:

given data

net income = $600,000

taxable income of $1,000,000

operating profit = $1,200,000

total financial capital = $9,000,000

tax rate = 40%

WACC = 10%

solution

we get here EVA that is express as

EVA = NOPAT - Invested Capital × WACC   ..................1

and here

NOPAT = EBIT × ( 1 - Tax Rate )  .........2

put here value

NOPAT = operating profit × (1 - Tax Rate)  

NOPAT =$1,200,000 × (1 - 0.40)  

NOPAT =$720,000

so put in equation 1 we get

EVA = NOPAT - Invested Capital × WACC

EVA = $720,000 - $9,000,000 × 10%

EVA = -$180,000

A bond that pays interest forever and has no maturity date is a perpetual bbond, also called a perpetuity or a consol. In what respect is a perpetual bond similar to 1) a no-growth common stock and 2) a share of preferred stock?

Answers

Answer: A perpetual bond is similar to a no growth stock and a share of preferred stock as they all derive their values from a series of cash inflows.

Explanation: A perpetual bond is a bond with no maturity date. Issuers pay COUPONS on them forever. This represents the cash inflows.

In the same vein, both a no-growth stock and share of preferred stock derive their values from a series of cash inflows called DIVIDENDS.

Final answer:

A perpetual bond is similar to no-growth common stock and preferred stock because they provide consistent returns without growth prospects; their valuation also reflects a constant yield. For both types of stocks and perpetual bonds, present value calculations consider these consistent payment streams.

Explanation:

A perpetual bond, also known as a perpetuity or consol, is a bond that pays interest forever without a maturity date. This financial instrument is similar to 1) a no-growth common stock because neither the perpetual bond nor the no-growth stock will increase in value from growth; they both provide a consistent stream of income indefinitely. 2) A share of preferred stock often has a fixed dividend, which is similar to the fixed interest payment of a perpetual bond, also known as coupon payments.

Moreover, the valuation of a perpetual bond can be described using the formula V = 1/r, assuming the rate of return (r) is constant. This formula highlights the similarity between perpetual bonds and certain stocks with constant payments. In the case of no-growth common stocks, the expectancy of dividends to remain the same reinforces their resemblance to a consol's fixed interest payments. Preferred stock comparisons arise from the nature of preferred dividends, which, like consol payments, are typically fixed and paid out prior to any common stock dividends.

International Turtle Trap Manufacturing Corporation's side payments to government officials in exchange for favorable business contracts in foreign countries are considered, in the United States,

A. True
B. False

Answers

Answer: THEY ARE CONSIDERED IN THE UNITED STATES AS ILLEGAL AND UNETHICAL.

Explanation: The side payment for favorable business contracts in foreign countries made by International Turtle Trap Manufacturing Corporation is an ILLEGAL AND UNETHICAL ACT, which is punishable under the Constitution of the United States of America and most other developed countries of the world.

Side payments are payments made outside the recommended payments as stated or listed in the terms of agreement in order to subvert justice and Due process in the execution of tasks or contracts.

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