13. Using the present value tables, calculate the selling price of the bonds. • $500,000
• $545,249
• $462,808
• $473,679 • Some other amount. PART 2 - BONDS Eastern Utilities Corporation issues $500,000 of 10 -year, 5 percent bonds. Interest is paid semiannually. The market interest rate for similar investments is 6 percent.

Answers

Answer 1

The selling price of the bonds is $462,808.

Bond's Face value = $500,000

Market interest rate = 6%

Time period = 10 years, semiannually

Thus, the number of semi-annual periods is 2 * 10 = 20.

Semi-annual interest rate = Market interest rate / 2= 6/2= 3%

Now, calculate the present value of the bond's future cash flows using the following formula:

PVA = C × [(1 − [tex](1 + r)^{-n}[/tex]) / r] + FV × [tex](1 + r)^{-n}[/tex]

where

PVA= Present value

C = periodic payment

FV= Future value

r = interest rate per period

n = total number of periods

Part 1

Calculation of the periodic payment of bond's cash flow:

Face value of bond= $500,000

Coupon rate= 5%

Semi-annual payment = (5/2)% × $500,000= $12,500

Calculation of the selling price of the bond using a 6% market rate of interest:

Using the present value tables, calculate the selling price of the bonds.= $462,808

The given 10-year 5% bonds of the Eastern Utilities Corporation having a face value of $500,000 and are issued with a semi-annual payment of 5%/2= 2.5% on the face value for 10 years, which makes 20 semi-annual periods.

The market interest rate for similar investments is 6%.

The present value of future cash flow should be calculated using the given information and formula.

Using the present value tables, the selling price of the bonds is calculated as follows:

PVA = C × [(1 − [tex](1 + r)^{-n}[/tex]) / r] + FV × [tex](1 + r)^{-n}[/tex]

PVA = $12,500 x [(1-[tex](1 + 0.3)^{-20}[/tex])/(.03)] + 500,000 x [tex](1 + 0.3)^{-20}[/tex]= $462,808

Therefore, the answer is $462,808.

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Related Questions

one of dean's premises this week is that while most of us think about leadership as a title, we can actually lead without the formal authority of being the boss, the manager, or the founder of the business. which two words describes this? one of dean's premises this week is that while most of us think about leadership as a title, we can actually lead without the formal authority of being the boss, the manager, or the founder of the business. which two words describes this? paid vs volunteer structural vs relational titled vs assumed

Answers

The two words that describe the idea that leadership can exist without formal authority are "structural vs relational" and "titled vs assumed".


Structural vs relational" refers to the difference between leadership based on a formal organizational structure (such as being the boss or manager) and leadership based on relationships and influence.Titled vs assumed" highlights the contrast between leadership that comes from having an official title or position and leadership that is assumed or taken on voluntarily, regardless of one's formal role.



These two sets of words emphasize the idea that leadership can transcend formal authority and be based on personal qualities, relationships, and influence. It challenges the notion that leadership is solely defined by a title or position.

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Filer Manufacturing has 6,102,090 shares of common stock outstanding. The current share price is $31.46, and the book value per share is $7.62. Filer Manufacturing also has two bond issues outstanding. The first bond issue has a face value of $60,984,712, has a 0.08 coupon, matures in 10 years and sells for 91 percent of par. The second issue has a face value of $53,494,491, has a 0.09 coupon, matures in 24 years, and sells for 93 percent of par. What is Filer's weight of debt on a market value basis? Enter the answer with 4 decimals (e.g. 0.2345)

Answers

The formula to determine the weight of debt on a market value basis is: Wd = (B/V) × Rd × (1 − Tc), where B = market value of the firm's debt, V = market value of the firm's equity, Rd = yield to maturity on the firm's debt, and Tc = corporate tax rate.

Market value of the second bond issue = (0.09 × $53,494,491 × 24) + ($53,494,491 × 1) = $60,159,312.64

Total market value of debt[tex]= $71,182,190.56 + $60,159,312.64 = $131,341,503.20[/tex]

Next, we will determine the market value of equity:

Market value of equity =[tex]6,102,090 × $31.46 = $191,826,833.40[/tex]

Now, we will determine the weight of debt on a market value basis using the formula:

Wd = (B/V) × Rd × (1 − Tc)

Corporate tax rate is not given, so we will assume it to be 0.35 (35%).

Wd [tex]= ($131,341,503.20/$191,826,833.4[/tex][tex]0) × (0.08 ×[/tex][tex]0.91) × (1 - 0.35) + ($33.40)[/tex]× [tex](0.09 × 0.93) × (1 - 0.3[/tex]5)≈ 0.0571[tex]131,341,503.20/$191,826,8[/tex]

Therefore, Filer's weight of debt on a market value basis is approximately 0.0571.

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The Dilly Company marks up all merchandise at 25% of gross
purchase price. All purchases are made on account with terms of
1/10, (1% discount if paid in 10 days) net/60 (full amount due
within 60 days

Answers

The Dilly Company is a business that marks up all merchandise at 25% of the gross purchase price. All purchases are made on an account with terms of 1/10 (1% discount if paid in 10 days) net/60 (full amount due within 60 days). There are a few key terms that are important to understand in this scenario.

The gross purchase price refers to the amount of money that the company pays to purchase the merchandise before adding a markup.

The markup is the additional amount added to the gross purchase price in order to determine the selling price of the merchandise. For The Dilly Company, this markup is 25%.

The terms of 1/10, net/60 refer to the payment terms that the company offers to its customers. If a customer pays within 10 days, they are eligible for a 1% discount on their purchase. If they do not take advantage of this discount, they must pay the full amount within 60 days.

This type of payment term is known as a cash discount, and it is a common way for businesses to encourage customers to pay their bills more quickly.

The Dilly Company must keep track of its accounts receivable in order to ensure that its customers are paying their bills on time. If customers are consistently late with their payments, this can cause cash flow problems for the business. By offering a cash discount for early payment, The Dilly Company can encourage its customers to pay their bills more quickly, which can help to improve cash flow.

Overall, The Dilly Company's pricing and payment policies are designed to help the business generate revenue and manage its cash flow effectively. By marking up its merchandise and offering cash discounts to its customers, the company can maximize its profits while still providing value to its customers.

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Which of the following banned most proprietary trading by commercial banks?
A) Consumer financial Protection Bureau B) Regulation Q
C) Greenspan rule D) Volcker rule

Answers

The correct option is  D, which is the Volcker rule.

The Volcker rule banned most proprietary trading by commercial banks.

The Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010 established the rule in response to the financial crisis of 2008.

The Volcker rule, which went into effect in 2015, prohibits banks from conducting proprietary trading.

The Volcker Rule forbids banks from using their own capital to trade for profit.

The rule also prohibits banks from owning or investing in hedge funds and private equity funds.

Thus, option D is the correct answer.

Let's look at the other options as well:

Option A: Consumer Financial Protection Bureau

The Consumer Financial Protection Bureau (CFPB) is a United States government agency that is responsible for enforcing federal consumer protection laws.

The CFPB has jurisdiction over banks, credit unions, securities firms, payday lenders, mortgage servicers, and other financial companies.

However, it has nothing to do with the ban on proprietary trading.

Option B: Regulation Q Regulation Q was a Federal Reserve regulation that went into effect in 1933.

It placed a ceiling on the interest rate that banks could pay on deposits.

The regulation was repealed in 2011, but it has nothing to do with the ban on proprietary trading.

Option C: Greenspan rule

The Greenspan rule is a monetary policy guideline that was established by former Federal Reserve Chairman Alan Greenspan.

The Greenspan rule states that the Federal Reserve should not intervene in the stock market unless there is a significant disruption in the financial markets.

It has nothing to do with the ban on proprietary trading.

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bt tools has current assets totaling $9.2 million, including $4.3 million in inventory. the company's current liabilities total $8.1 million. what is the quick ratio?

Answers

The quick ratio is 1.037. The quick ratio, also known as the acid-test ratio, is a financial metric used to assess a company's liquidity and ability to cover its short-term liabilities with its most liquid assets.

It is calculated by dividing the sum of cash, cash equivalents, and accounts receivable by the current liabilities. In this case, the quick assets of BT Tools consist of cash and cash equivalents and accounts receivable. However, the inventory is not considered a quick asset because it may take time to convert it into cash. The current assets are given as $9.2 million, and the inventory is specified as $4.3 million. To calculate the quick ratio, we subtract the inventory from the current assets: Quick Assets = Current Assets - Inventory Quick Assets = $9.2 million - $4.3 million Quick Assets = $4.9 million The current liabilities are given as $8.1 million. Finally, we calculate the quick ratio: Quick Ratio = Quick Assets / Current Liabilities Quick Ratio = $4.9 million / $8.1 million Quick Ratio ≈ 1.037

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A two-year STRIPS sells at an interest rate of 3.84 percent and three-year STRIPS sells at a rate of 3.97 percent. What is the implied one-year interest rate two years from now? Assume the rates are effective annual rates

Answers

The implied one-year interest rate two years from now, based on the provided information, is approximately -2.83% (or -0.0283 as a decimal).

To determine the implied one-year interest rate two years from now, we can use the concept of bootstrapping in bond pricing.

Let's assume the face value of the STRIPS is $100 for simplicity.

For the two-year STRIPS selling at an interest rate of 3.84 percent, the present value of the bond can be calculated as follows:

PV = Face Value / (1 + Interest Rate)^Time

PV = $100 / (1 + 0.0384)^2

PV = $100 / 1.0784384

PV ≈ $92.61

For the three-year STRIPS selling at an interest rate of 3.97 percent, the present value of the bond can be calculated as follows:

PV = Face Value / (1 + Interest Rate)^Time

PV = $100 / (1 + 0.0397)^3

PV = $100 / 1.12083753

PV ≈ $89.16

Now, let's assume the implied one-year interest rate two years from now is "r." We can set up the equation:

PV of the two-year STRIPS = PV of the three-year STRIPS / (1 + r)^2

$92.61 = $89.16 / (1 + r)^2

Solving this equation for "r" will give us the implied one-year interest rate two years from now.

$92.61 * (1 + r)^2 = $89.16

(1 + r)^2 ≈ $89.16 / $92.61

Taking the square root of both sides:

1 + r ≈ √($89.16 / $92.61)

1 + r ≈ 0.9717

r ≈ 0.9717 - 1

r ≈ -0.0283

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Your manager mentioned; I don't understand how job experiences can help employee's development. Employees should be placed in jobs where they have the knowledge, skills, and abilities needed to perform the job, not in jobs where they don't i. Explain to your Manager how development occurs as a result of job experiences (2 Marks) ii. The types of job experiences that can be used for development (

Answers

i. Explain to your Manager how development occurs as a result of job experiences: Development happens as a result of job experiences as an individual is exposed to different challenging situations and opportunities to learn and develop new skills.

The process of job experience gives employees the opportunity to enhance and learn new skills that are applicable to a specific role.

This allows employees to progress within their current job roles, but it can also lead to opportunities for promotion and advancement within the organization.

Job experience is essential for employee development because it enables employees to build confidence in their abilities, develop new skills, and learn how to handle different work-related situations.

ii. The types of job experiences that can be used for development.

The following are the types of job experiences that can be used for employee development:

1. Cross-Functional: AssignmentsCross-functional assignments involve assigning an employee to a different department or team within the organization to gain exposure to different functions and job roles.

This can help an employee learn new skills, gain experience, and broaden their knowledge base.

2. Stretch Assignments: Stretch assignments are projects or tasks that challenge employees to work outside their comfort zones and develop new skills.

These assignments can help employees build confidence and resilience while also developing their skills.

3. Mentoring: Mentoring involves pairing an employee with a more experienced individual who can provide guidance, support, and feedback.

This can help employees gain insight into the organization's culture, develop their skills, and build relationships.

4. Job Shadowing: Job shadowing involves observing and learning from other employees as they perform their job duties.

This can help employees learn new skills, gain exposure to different job roles, and develop their knowledge.

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what is meant by a contingency between a response and a reinforcer? how does contingency influence the effectiveness of reinforcement?

Answers

The contingency between a response and a reinforcer refers to the relationship where behavior leads to consequences. A strong contingency enhances the effectiveness of reinforcement by reinforcing desired behaviors consistently and predictably.

A contingency refers to the relationship or connection between a response (behavior) and a reinforcer (consequence). It signifies that the occurrence of a particular behavior leads to a specific consequence. In other words, the delivery of the reinforcer is contingent upon the occurrence of the desired response. This contingency creates a predictable cause-and-effect relationship in which certain behaviors are more likely to be repeated or strengthened based on the consequences that follow.

The effectiveness of reinforcement is influenced by the contingency between a response and a reinforcer. When the contingency is strong and consistent, meaning the reinforcer is consistently delivered following the desired response, it enhances the likelihood of the behavior being repeated. This is because individuals learn that their behavior leads to positive outcomes or rewards. On the other hand, when the contingency is weak or inconsistent, such as when the reinforcer is only occasionally delivered or unrelated to the behavior, it diminishes the effectiveness of reinforcement. In such cases, individuals may not develop a clear association between their behavior and the consequences, leading to reduced motivation or learning.

Therefore, a strong contingency between a response and a reinforcer is crucial for reinforcement to be effective in shaping and maintaining desired behaviors. It helps establish clear expectations and incentivizes individuals to engage in behaviors that lead to positive outcomes.

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1. Accounting for Investments discuss the accounting treatment
for: Held to maturity Securities Available for Sale Securities
Trading Securities

Answers

The accounting treatment for different types of securities is as follows: Held to maturity Securities: Held to maturity securities are those that the company intends and has the ability to hold until maturity.

They are accounted for at amortized cost on the balance sheet, and any gains or losses are only recorded if the security is sold before maturity. The interest income earned on these securities is recorded as revenue on the income statement

.Available for Sale Securities: Available for sale securities are those that the company does not intend to hold until maturity, but may be sold in the future.

They are accounted for at fair value on the balance sheet, with any unrealized gains or losses recorded in other comprehensive income. If the security is sold, the gain or loss is recognized in net income.

Trading Securities: Trading securities are those that the company intends to actively buy and sell for profit. They are accounted for at fair value on the balance sheet, with any gains or losses recognized in net income.

The interest and dividend income earned on these securities is recorded as revenue on the income statement.

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Group Assignment
MapleTree Industries has $ 265,000 to invest. The company is trying to decide between two alternative uses of the funds. The alternatives follows
Project A Project B
Cost of equipment required $265,000
Working capital investment required $265,000
Annual Cash inflow $55,650 $42,400
Residue value of equipment in 8 years $21,200
Life of the project 8 years 8 years
The working capital needed for project B will be released at the end of eight years for investment elsewhere. Canada Fair Market interest rate is 13%
Required:
Which Investment option would you recommend the company to accept? Please show separate calculations and formulas for each project using the NPV method.

Answers

MapleTree Industries should invest in Project A as it is the better investment option.

Given,MapleTree Industries has $265,000 to invest and it is trying to decide between two alternative uses of the funds.The alternatives follow:
Project A:
Equipment required cost = $265,000
Working capital investment required = $265,000
Annual cash inflow = $55,650
Residual value of equipment in 8 years = $21,200
Life of the project = 8 years
Project B:
Equipment required cost = $265,000
Working capital investment required = $265,000
Annual cash inflow = $42,400
Residual value of equipment in 8 years =Working capital investment released at the end of 8 years for investment elsewhere.
Life of the project = 8 years
Interest rate = 13%The formula to calculate the Net Present Value (NPV) for each of the two projects is:
NPV = Present value of cash inflows – Initial investment
Here are the calculations for each project:Project A:
NPV = Present value of cash inflows – Initial investment
NPV = $55,650 (PVIFA13%,8) – $265,000NPV = $55,650 (5.216) – $265,000
NPV = $289,476 – $265,000NPV = $24,476
Since the NPV for Project A is greater than 0, the company should invest in Project A.
Project B:
NPV = Present value of cash inflows – Initial investment
NPV = $42,400 (PVIFA13%,8) + $21,200 (PVIF13%,8) – $265,000
NPV = $42,400 (5.216) + $21,200 (0.320) – $265,000
NPV = $254,545.6 – $265,000NPV = -$10,454.4
Since the NPV for Project B is less than 0, the company should not invest in Project B.
Therefore, MapleTree Industries should invest in Project A as it is the better investment option.

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Case: IBM Transforming 2012-16 Ginni Rometty Steers Watson
How does the case help us to understand how to transform a company to respond to change in an industry, which also requires changes in culture along with new business models?

Answers

The IBM Transforming 2012-16 case involving Ginni Rometty and Watson helps us understand how to transform a company to respond to a change in an industry, which also requires changes in culture along with new business models.

In 2012, IBM began a journey of transformation under the leadership of Ginni Rometty, who recognized the need to address the changing technology industry.

IBM's strategic imperatives included data analysis, cloud computing, and mobile computing as it faced declining revenue from its legacy hardware, software, and service offerings.

IBM realized it was necessary to change the culture of the organization and embarked on a five-year journey to reorient itself toward the strategic imperatives.

IBM transformed the culture of its organization by creating a more agile workforce, encouraging innovation, and changing the way it delivered products and services.

IBM also established a comprehensive training program for employees, emphasizing new technologies such as machine learning, artificial intelligence, and cognitive computing.

To compete in a rapidly evolving industry, IBM changed its business model from a hardware- and software-focused company to a service-focused one.

IBM began to prioritize customer-centricity and focused on creating value for clients by leveraging its strategic imperatives.

IBM also underwent a shift in its acquisition strategy, acquiring companies focused on emerging technologies such as cloud computing, analytics, and mobile computing.

The company's focus on emerging technologies helped IBM adapt to changes in the industry and deliver value to its clients.

Thus, the IBM Transforming 2012-16 case shows us how a company can transform its culture and business model to respond to changes in the industry.

The case study provides valuable insights into the challenges involved in transforming an organization, along with the strategies used to address them.

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It takes a barber 5 minutes to serve one customer. Round your answer to two decimal places.

a. What is the capacity of the barber expressed in customer per hour?

b. Assuming the demand for barber is 7 customer per hour, what is the flow rate?

c. Assuming the demand for the barber is 7 customers per hour, what is the utilization? (percent)

d. Assuming the demand for the barber is 7 customers per hour, what is the cycle time? (minutes)

Answers

a. The capacity of the barber expressed in customers per hour is 12 customers per hour. b. The flow rate is 7 customers per hour. c. The utilization is 58.33%. d. The cycle time is 8.57 minutes per customer.

To calculate the different values based on the given information:

a. The capacity of the barber expressed in customers per hour is calculated by dividing the total available time in an hour (60 minutes) by the time it takes to serve one customer (5 minutes):

Capacity = 60 minutes / 5 minutes = 12 customers per hour

b. The flow rate is the lower value between the capacity and the demand. In this case, the demand is 7 customers per hour, so the flow rate would be:

Flow Rate = Minimum(Capacity, Demand) = Minimum(12 customers per hour, 7 customers per hour) = 7 customers per hour

c. Utilization is the ratio of the flow rate to the capacity, expressed as a percentage:

Utilization = (Flow Rate / Capacity) * 100 = (7 customers per hour / 12 customers per hour) * 100 = 58.33%

d. The cycle time is the reciprocal of the flow rate, expressed in minutes per customer:

Cycle Time = 60 minutes / Flow Rate = 60 minutes / 7 customers per hour = 8.57 minutes per customer (rounded to two decimal places).

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Explain marketing strategy , in YOUR OWN WORDS, the answers to the questions
What are we selling? (Product, service, ideas, client proposal)
Who are we selling to? (Target customer, new and existing)
How to reach and serve the target market? (Marketing tools, coverage, distribution chains, clients’ relationships)
Where are we promoting our products? (Customers, target product, clusters, network/ association)

Answers

Marketing strategy is the process of creating, implementing, and evaluating the company's marketing efforts. The aim of the marketing strategy is to attract customers, increase brand awareness, and increase sales. The marketing strategy answers questions like what we are selling.

The marketing strategy answers the question of what the company is selling. The company could be selling a product, service, ideas, or client proposals. A product could be a physical product or a digital product. A service could be a service that the company provides like a cleaning service or consulting service.

Ideas could be the concept the company wants to spread to the target market. Client proposals could be an offer the company makes to a potential client. The marketing strategy answers the question of who the company is selling to. The company could be selling to new and existing customers.

The target customer could be a specific demographic or a particular industry. The company needs to identify who the target customer is and create marketing efforts tailored to the target customer. The marketing strategy answers the question of how to reach and serve the target market.

The company needs to create marketing tools, coverage, distribution chains, and client relationships that reach and serve the target market. Marketing tools could include digital marketing efforts, print marketing efforts, or event marketing efforts.

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The manufacturer of a product had fixed costs of $120,800 per
year. The variable costs are 60% of selling price. What is the
break-even point in sales dollars?
Round to the nearest cent

Answers

Break-even point can be defined as the sales level required to cover all the costs and expenses that a company bears. To find out the break-even point, we need to have information on total fixed costs, variable costs, and selling price.In this problem,

we have fixed costs of $120,800 per year and variable costs of 60% of selling price. We need to find out the break-even point in sales dollars. Let’s solve the problem:

Let S be the selling price per unitSelling price per unit (P) = SVariable cost per unit = 0.6STotal cost = Total fixed cost + Total variable costTotal cost = $120,800 + 0.6SWe know that break-even point is the point where Total cost = Total RevenueTotal revenue = Selling price per unit (P) × Quantity sold(Q)Total revenue = SPWe have,Total cost = Total Revenue$120,800 + 0.6S = SPut SP on one side to get the break-even sales equationSolve for S,$$\begin{aligned}&120,800+0.6S=S\\&120,800=0.4S\\&S=\frac{120,800}{0.4}\\&S=302000\end{aligned}$$Therefore, the break-even point in sales dollars is $302,000.

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name the 3 lines of defense in response to an acid (or base) challenge, the respective buffers , and their relative speed of action (250 words max).

Answers

The first line of defense is the chemical buffers present in the body. Buffers are substances that resist changes in pH when an acid or base is added to a solution. They work by accepting or donating protons (H+) to maintain a stable pH.

In contrast, in response to a base challenge, the kidneys excrete excess bicarbonate ions and retain hydrogen ions to help lower the pH.When the body is exposed to an acid or base challenge, it initiates a series of defense mechanisms to maintain the pH within the normal range. The first line of defense involves chemical buffers, which are substances that can resist changes in pH by accepting or donating protons. The bicarbonate buffer system is the primary buffer system in the body and helps to neutralize excess acids or bases by converting them into a less harmful form.If the acid or base challenge persists, the respiratory system comes into play. It regulates the amount of carbon dioxide in the body, which is directly linked to the pH of the blood. When there is an acid challenge, the respiratory system increases the rate and depth of breathing to eliminate excess carbon dioxide, which helps raise the pH.

If the acid or base challenge continues further, the renal system takes action. The kidneys play a vital role in maintaining acid-base balance by excreting excess acids or bases in the urine. In response to an acid challenge, the kidneys excrete excess hydrogen ions and reabsorb bicarbonate ions, which helps raise the pH. In response to a base challenge, the kidneys excrete excess bicarbonate ions and retain hydrogen ions, which helps lower the pH.
In summary, the three lines of defense in response to an acid (or base) challenge include chemical buffers, the respiratory system, and the renal system. These mechanisms work together to maintain the pH balance in the body and ensure proper functioning of various physiological processes.

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in 2021, britt drove her automobile 16,200 miles for business. she incurred $900 in gas expenses and $235 in tolls associated with the business mileage. assuming britt uses the standard mileage method, her deduction is $fill in the blank 1

Answers



The deduction for Britt's business mileage, using the standard mileage method, is $9,270.


To calculate the deduction using the standard mileage method, we need to know the standard mileage rate for the tax year. In 2021, the standard mileage rate for business purposes is 56 cents per mile. First, we calculate the total deductible amount for the miles driven for business by multiplying the business miles (16,200) by the standard mileage rate (56 cents): 16,200 miles x $0.56/mile = $9,072

Next, we add the deductible expenses for gas and tolls to this amount: $9,072 + $900 (gas expenses) + $235 (tolls) = $10,207 However, we need to subtract the personal portion of the mileage. Let's say that Britt used her car for both business and personal purposes, and the personal mileage was 3,000 miles. We calculate the personal mileage deduction by multiplying the personal miles (3,000) by the standard mileage rate (56 cents): 3,000 miles x $0.56/mile = $1,680 Finally, we subtract the personal mileage deduction from the total deductible amount: $10,207 - $1,680 = $9,527

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With regard to boards of directors, and in particular their oversight of the CEO, the board of directors' _______ is the biggest complaint.

Answers

The board of directors' lack of independence is the biggest complaint regarding their oversight of the CEO.

The independence of the board of directors is a crucial aspect of their role in overseeing the CEO and ensuring effective governance. Independence refers to the board members' ability to make impartial and objective decisions without being influenced by personal or financial interests that may compromise their judgment. When the board lacks independence, there can be concerns about potential conflicts of interest or undue influence from the CEO or other stakeholders, leading to a perceived lack of effective oversight. This lack of independence is often cited as the biggest complaint regarding the board of directors' role in overseeing the CEO.

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a) Which of the following events are studied in Macroeconomics?
Event
(YES or NO)
i. Increase 15 sen per liter of RON 95 as announced in the news recently.
ii. The unemployment rate in Malaysia has decreased by 0.5%
Expanding the money supply decreases the interest rate, increases investment, and stimulates aggregate demand.
iv. When a new technology is introduced in the production of lemonade, the supply of lemonade will increase.
V. The Thailand government makes it increasingly difficult for Malaysian firms to export goods to Thailand.
b) Explain how government copes with high inflation?

Answers

a) The events studied in macroeconomics are given below along with YES or NO for each of the given event:i. Increase 15 sen per liter of RON 95 as announced in the news recently: Yesii

The unemployment rate in Malaysia has decreased by 0.5%: Yesiii. Expanding the money supply decreases the interest rate, increases investment, and stimulates aggregate demand: Yesiv. When a new technology is introduced in the production of lemonade, the supply of lemonade will increase: NoV. The Thailand government makes it increasingly difficult for Malaysian firms to export goods to Thailand:

Yesb) Government Coping with High Inflation:Inflation is the rise in the prices of goods and services in an economy over a given period of time. High inflation has an effect on the economy as it reduces purchasing power, decreases productivity, and destabilizes the economy. Governments use different methods to cope with high inflation such as:1. Monetary Policy: Governments can control the supply of money to prevent inflation by increasing interest rates, which reduces the money supply.

2. Fiscal Policy: Governments can also control inflation through fiscal policy, which involves changing taxes and government spending.

3. Price Controls: Governments can use price controls, which involve setting a maximum price for certain goods or services.

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Determining Cash Receipts—Direct Method

Marshall Inc. had beginning balances (January 1) of $200,000 and $5,000 for accounts receivable and the allowance for doubtful accounts, respectively. During the year, the company had the following transactions.

Sales $900,000

Write-off of accounts 1,000

Cash collections on account receivable 850,000

Bad debt expense recorded 2,8001. Determine the cash receipts from customers reported in the operating activities section in the statement of cash flows assuming the direct method.

Answer

2. Reconcile sales to cash receipts from customers.

Sales Answer

Change in accounts receivable balance Answer

Account write-offs Answer

Collection of accounts receivable previously written off Answer

Cash collections Answer

Answers

Sales: $900,000
Change in accounts receivable balance: Not provided
Account write-offs: $1,000
Collection of accounts receivable previously written off: Not provided
Cash collections: $850,000

To determine the cash receipts from customers reported in the operating activities section in the statement of cash flows using the direct method, we need to reconcile the sales figure with the cash collections. Let's go through the steps:

1. Sales: The given information states that sales for the year were $900,000.

2. Change in accounts receivable balance: To determine the change in accounts receivable, we need to calculate the difference between the beginning and ending balances. The beginning balance was $200,000, and we are not given the ending balance. Therefore, we cannot determine the change in accounts receivable.

3. Account write-offs: The company wrote off $1,000 of accounts during the year.

4. Collection of accounts receivable previously written off: The information provided doesn't mention any collections on previously written-off accounts.

5. Cash collections: The given information states that the company collected $850,000 on accounts receivable.

To summarize:

Sales: $900,000
Change in accounts receivable balance: Not provided
Account write-offs: $1,000
Collection of accounts receivable previously written off: Not provided
Cash collections: $850,000

Unfortunately, without the ending balance of accounts receivable or information on the collection of previously written-off accounts, we cannot determine the exact cash receipts from customers using the direct method.

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Can you further explain the Tesla and its GRI (Global Reporting Initiative)? Can you further explain the Tesla and its ESG (Environmental, Social and Governance)? What are the SDG (sustainable development goals) of Tesla? Please give me the references of your answers?

Answers

Tesla, founded in 2003, has always placed a premium on creating the world's most environmentally friendly and sustainable products. Tesla has always followed the Environmental, Social, and Governance (ESG) framework when it comes to its products. ESG assesses Tesla's environmental impact, social impact, and corporate governance.

In recent years, Tesla has placed a greater emphasis on sustainability and has aligned its business practices with the United Nations' Sustainable Development Goals (SDGs). Tesla's mission is to make sustainable energy and transport available to everyone.

Tesla's GRI (Global Reporting Initiative) has been an essential tool in evaluating and disclosing Tesla's sustainability performance. Tesla's GRI report covers various sustainability topics, including energy and greenhouse gas emissions, product responsibility, supply chain, and human rights.


Tesla's SDGs are focused on clean energy and sustainable transport. Tesla aims to achieve a more sustainable future through its products. Tesla's SDGs include:

SDG 7: Affordable and Clean Energy

SDG 9: Industry, Innovation, and Infrastructure

SDG 11: Sustainable Cities and Communities

SDG 12: Responsible Consumption and Production

SDG 13: Climate Action

SDG 15: Life on Land

Tesla's focus on sustainable development is also reflected in its business practices. Tesla's factories are powered by renewable energy sources, such as solar panels and wind turbines. Tesla has also been working on reducing the environmental impact of its products, such as electric cars, which are designed to be more energy-efficient than traditional gas-powered cars.

References:
Tesla Inc. (2021). Tesla's Impact Report 2020. Retrieved from https://www.tesla.com/ns_videos/2020-impact-report.pdf
Tesla Inc. (2021). Global Impact Report. Retrieved from https://www.tesla.com/ns_videos/tesla-2020-impact-report.pdf

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the value of a put option is positively related to the: i) exercise price; ii) time to expiration; iii) volatility of the underlying stock price; iv) risk-free rate

Answers

The value of a put option is positively related to the exercise price, time to expiration, and volatility of the underlying stock price.

A put option is a financial instrument that gives the holder the right, but not the obligation, to sell an underlying asset (such as stock) at a predetermined price (exercise price) within a specified period (time to expiration).

The value of a put option increases as the exercise price rises because a higher exercise price means the option holder can sell the underlying asset at a higher price, resulting in a greater potential profit.

The value of a put option also increases with a longer time to expiration. More time allows for a greater likelihood of the underlying asset's price falls below the exercise price, increasing the probability of the put option being exercised and resulting in a higher value.

Additionally, the value of a put option is positively related to the volatility of the underlying stock price. Higher volatility implies a greater likelihood of the stock price moving significantly, which increases the potential for the put option to be profitable if the stock price decreases.

The risk-free rate, however, does not directly impact the value of a put option. It is not a factor in determining the intrinsic value of the option and does not affect the potential profitability of exercising the option.

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Briefly discuss some of the limitations of compensation surveys. Of what valuable is having accurate information about market rates? What would you do as an HR leader to ensure the validity of the information?

Answers

Compensation surveys provide crucial information on how to attract and retain talented employees. However, they have their limitations. Let us briefly discuss some of these limitations of compensation surveys. Limitations of compensation surveys

• They can be costly: Conducting a compensation survey can be costly, particularly if you hire a third-party vendor. This can limit the number of times that an organization can conduct surveys.  

• They can be time-consuming: The process of conducting a compensation survey is lengthy, which can delay the necessary decision-making process in an organization.

• Surveys may not be entirely accurate: The data collected in a compensation survey may not be entirely accurate. It may be that some survey respondents provide inaccurate data or that the data they provide may not be up to date.

• They may not reflect an organization’s unique features: While a compensation survey can be useful in providing market information, it may not reflect the unique features of an organization.

•They may lead to conformity: Organizations may focus too much on the market information provided in a compensation survey. This may lead to an undue emphasis on conformity and not enough emphasis on creativity and innovation. Valuable Information of Accurate Market Rates Having accurate information about market rates is essential for organizations as they can use it to ensure that they are compensating their employees at the right levels.

Accurate market information also helps organizations to compete with other employers in the industry and attract top talent. How to Ensure Validity of Information HR leaders can ensure the validity of compensation survey information by following a few guidelines. They include;

• The selection of a reputable compensation survey provider.

• Ensuring that the data collected is relevant to the organization.

• Ensuring that the survey is administered in a way that will yield accurate results.

• Having the data analyzed by a professional who can interpret the data correctly.

• Ensuring that the data is up to date before making any decisions.

• Making any necessary adjustments to ensure that the organization's compensation packages remain competitive.

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Which of the following would be included under Scheduled Farm Personal Property? A. Livestock B. Fence C. Trees D. Chutes

Answers

The correct answer is option (a) which is the Livestock would be included under Scheduled Farm Personal Property.

Scheduled Farm Personal Property is a type of insurance policy that covers damages to your property and assets. Livestock would be included under Scheduled Farm Personal Property.

What is Scheduled Farm Personal Property?

Scheduled Farm Personal Property (SFPP) insurance is an insurance policy that covers your property and assets in the event of a loss. It includes property that is scheduled, listed, and covered on the policy, such as livestock.

Scheduled Farm Personal Property policies cover a variety of things, but they mainly provide coverage for equipment, machinery, and livestock.

Below are the types of things that would be included under Scheduled Farm Personal Property:

EquipmentToolsTractorsFarm machineryHarvestersLivestock and farm animalsGrainStorage bins

What is NOT included under Scheduled Farm Personal Property?

Real estate, farm structures, and other real property are typically not included in a Scheduled Farm Personal Property policy.

The policy's coverage applies only to personal property or movable property used for farming activities, not to the immovable assets used in farming.

Therefore, the correct option is (a).

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Peter, Ashley and Erin are partners in a consulting business. Peter's initial contribution was $30,000, Ashley's was $20,000 and Erin's was $10,000. The partnership also borrows $60,000 from Regina Credit Union. The partners agree that profits and losses will be shared in
proportion to their capital contributions. The business fails. What is Peter's liability to Regina Credit Union?
Multiple Choice
a.$20,000
b.Nothing
c.$10,000
d.$60,000
e.$30,000

Answers

According to the information provided, Peter, Ashley, and Erin are partners in a consulting business, and their capital contributions to the business are $30,000, $20,000, and $10,000, respectively.

Furthermore, the partnership borrows $60,000 from Regina Credit Union, and the profits and losses will be shared in proportion to the partners' capital contributions.

Finally, the business fails, and we must calculate Peter's liability to Regina Credit Union.

To begin, we must determine the total capital contributions of all three partners.

$30,000 (Peter's) + $20,000 (Ashley's) + $10,000 (Erin's) = $60,000.

We now know that the total capital contributions are $60,000.

Furthermore, the proportion of Peter's capital contribution to the total is calculated by dividing Peter's capital contribution by the total capital contributions:

$30,000/$60,000 = 1/2.

This implies that Peter contributed half of the total capital contributions.

Because the losses and profits are shared in proportion to the capital contributions,

Peter must bear half of the losses (or profits).

However, the partnership borrowed $60,000 from Regina Credit Union,

which is equivalent to the total capital contributions.

As a result, each partner must bear an equal amount of liability, which is the entire $60,000.

Peter's liability to Regina Credit Union is $60,000.

The correct option is (d) $60,000.

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the problem of searching for cycles in graphs arises naturally in financial trading applications. consider a firm that trades shares in n different companies.

Answers

The problem of searching for cycles in graphs is relevant in financial trading applications. Let's consider a firm that trades shares in n different companies.

In financial trading, graphs can be used to represent the relationships between different companies. Each company can be represented as a node in the graph, and the edges between nodes represent the trading relationships or connections between the companies.

The problem of searching for cycles in this graph arises when the firm wants to identify any trading patterns that result in cycles. A cycle occurs when a sequence of trades can be made that eventually brings the firm back to its initial position.

Finding cycles in the graph is important because it can indicate potential arbitrage opportunities or trading strategies that can be exploited for profit. By identifying cycles, the firm can take advantage of these patterns to make profitable trades.

Here's an example to illustrate the concept:

Let's say the firm trades shares in three different companies: Company A, Company B, and Company C. The graph representation would have three nodes, one for each company, and the edges would indicate the trading relationships between them.

If there is a cycle in this graph, it means that there is a sequence of trades that can be made that brings the firm back to its initial position. For example, the firm could buy shares in Company A, sell them to buy shares in Company B, sell them to buy shares in Company C, and finally sell them to buy shares in Company A again. This sequence of trades forms a cycle.

By identifying such cycles, the firm can execute the appropriate trades to make profits. However, it's important to note that finding cycles in larger graphs can be a computationally complex problem, and there are various algorithms and approaches that can be used to solve it.

In summary, the problem of searching for cycles in graphs arises in financial trading applications when a firm wants to identify trading patterns that result in cycles. By finding these cycles, the firm can exploit potential arbitrage opportunities or trading strategies for profit.

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A dollar invested today at 7.5% interest compounded annually will be worth _______ one year from now.

Answers

To calculate the future value of a dollar invested at 7.5% interest compounded annually, we can use the formula for compound interest:
Future Value = Principal * (1 + Interest Rate)^Number of Periods
In this case, the principal is $1, the interest rate is 7.5% (or 0.075 as a decimal), and the number of periods is 1 year. Plugging these values into the formula, we get:
Future Value = $1 * (1 + 0.075)^1
Future Value = $1 * 1.075
Future Value = $1.075
Therefore, a dollar invested today at 7.5% interest compounded annually will be worth $1.075 one year from now.

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Appendix Four (Equipment Replacement Decision) Objective: The proposed manufacturing plant has a food packaging equipment. The analysis would provide Jacob with decision support as to use that equipment or procure a new one. Scenario: The current equipment was purchased eight years ago for $750,000 and has eight useful years remaining. The new machine will cost $ 380,000 and will have the same useful life remaining as the old machine and will have zero disposal value. Currently the annual operating cost is $110,000 and will reduce by 50% if the new equipment is purchased. If the new equipment is procured, it will need to be shut down once a year for maintenance purposes. Opportunity cost of the shut down period is as follows: - \$6,000 in each of the years 1-3 - $8,000 in each of the years 4 and 5 - $10,000 in each of the years 6 and 7 The old equipment will have limited use and can only fetch $120,000 when disposed off at this time. Methodology: The group would calculate the net advantage/ disadvantage of buying the new equipment by applying a discount rate of 10% wherever applicable.

Answers

Choosing whether to buy new equipment or keep utilising the existing one in Jacob's facility is a part of the equipment replacement choice.

Currently, the ageing equipment has eight more productive years left after being purchased for $750,000 eight years ago. The new equipment will cost $380,000 and will be used for a further eight years, but it has no disposal value. The running costs for the existing equipment are $110,000 year, and if the new equipment is purchased, these costs will drop to $55,000 annually, a 50% reduction. However, if Jacob decides to buy the new machinery, it will need to be shut down every year for maintenance. Over time, the closure period's opportunity cost changes: Years 1-3: $6,000, Years 4–5: $8,000, and Years 6–10: $10,000

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Answer the following questions with the title: "Inflation and inflation targeting in South Africa"
The nature of inflation as a symptom of conflict over income distribution. (15/100)
Indicate the reasons why inflation cannot come down, unless economic sectors (labour, business, government and the foreign sector) collectively accept that their real income cannot grow ahead of real productivity gains.
The role of money in the inflationary process. (5/100)
The cost of inflation. (10/100)

Answers

Inflation and inflation targeting in South AfricaInflation is the rate at which the general level of prices for goods and services is rising.

The symptom of conflict over income distribution and it is generally linked with the increase in the supply of money which results in the decrease in the value of money.

When prices of goods and services rise, the value of money falls which increases the price level and results in inflation.

It is essential to control inflation in order to maintain economic stability and growth.

Inflation cannot come down unless economic sectors collectively accept that their real income cannot grow ahead of real productivity gains.

To decrease inflation, all economic sectors including labour, business, government and foreign sectors need to work collectively.

All these sectors must work towards keeping the rate of inflation low.

This can be done by limiting the supply of money which is linked with the decrease in the value of money.

The government can limit the supply of money by reducing its expenditure.

By reducing the supply of money, prices can be controlled and inflation can be reduced.

The role of money in the inflationary process is significant.

The increase in the supply of money can lead to inflation.

The central bank has the power to control the supply of money, thus, it is necessary for them to keep a check on the money supply in the economy.

Therefore, it is important to control inflation to maintain economic stability and growth.

The government and the central bank can work collectively to control the inflationary pressures in the economy.

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What is the appropriate research design to be applied in the below scenario? Justify your answer. Explain in terms of the following: - purpose of the study. - study setting. - research strategy. - time horizon. - unit of analysis. Haji Khairulfizi, the owner of Fizzlynn Café in Changlun, Kedah, is worried about his weak business leading to low profits. From his observations, he found that the café was not strategically located causing the number of customers who came to his café to be low despite offering quality food and service. He also felt there were other factors associated with his café business. He requests you to conduct research to investigate this matter. Based on previous findings, other factors might relate to café performance such as café atmosphere, price of food, customer satisfaction, etc. besides the identified factors (location, food quality, and service quality).

Answers

Scenario: A researcher wants to investigate the relationship between sleep duration and academic performance among college students.

The researcher plans to collect data by administering a survey questionnaire to a sample of college students, asking about their sleep habits and academic performance. The questionnaire will include questions about the number of hours of sleep students get per night and their GPA.

Appropriate research design: The appropriate research design for this scenario would be a correlational study. A correlational study aims to examine the relationship between two variables without manipulating any variables or establishing causality. In this case, the researcher wants to explore the relationship between sleep duration and academic performance. By collecting data through a survey questionnaire, the researcher can measure the variables of interest (sleep duration and GPA) and determine if there is a correlation between them. However, it is important to note that correlation does not imply causation, and other factors could be influencing the observed relationship.

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select all that apply. if you do not wish to give up an equity share of your business, what crowdfunding model(s) should you use?

Answers

If you do not wish to give up an equity share of your business, there are several crowdfunding models that you can consider. Here are some options:

1. Rewards-based crowdfunding: With this model, you offer various rewards or perks to individuals who contribute to your campaign. These rewards can be tangible items, services, or experiences related to your business. For example, if you have a clothing line, you can offer discounted or exclusive items to your backers.

2. Donation-based crowdfunding: This model involves seeking donations from individuals who believe in your business or cause. In return for their support, you may provide updates on your progress or give recognition to your donors. This model is commonly used by non-profit organizations or social enterprises.

3. Pre-selling or pre-order crowdfunding: In this model, you offer your product or service for pre-sale or pre-order. This allows you to generate revenue upfront and fund the production or development of your offering. This model is often used by entrepreneurs who have a prototype or a finished product ready for market.

4. Debt-based crowdfunding: With this model, you borrow money from individuals or institutions through crowdfunding platforms. You commit to repay the borrowed amount with interest over a specified period of time. This model is suitable if you are confident in your ability to generate enough revenue to cover the loan repayments.

It's important to choose the crowdfunding model that aligns best with your business and goals. Consider factors such as your target audience, the nature of your business, and the resources you have available. Additionally, make sure to research and choose a reputable crowdfunding platform that suits your needs.

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