cabell products is a division of a major corporation. last year the division had total sales of $17,540,000, net operating income of $1,438,280, and average operating assets of $4,735,800. the company's minimum required rate of return is 13%. the division's return on investment (roi) is closest to:

Answers

Answer 1

The Cabell Products is a profitable division that is generating high returns on the company's investment.

To calculate the return on investment (ROI) for Cabell Products, we need to divide the net operating income by the average operating assets.

ROI = Net Operating Income / Average Operating Assets

ROI = $1,438,280 / $4,735,800

ROI = 0.3038 or 30.38%

However, to determine if this ROI is meeting the company's minimum required rate of return, we need to compare it to the company's hurdle rate of 13%.

Since the division's ROI of 30.38% is higher than the company's minimum required rate of return of 13%, the division is generating returns that exceed the company's expectations.

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Related Questions

The Mobile Agricultural Machinery and Equipment Coverage Form includes coverage for all of the following, except:a. Irrigation equipmentb. Farm tractorsc. Hay balersd. Cotton pickers

Answers

The right choice is option E - none of the above. The Mobile Agricultural Machinery and Equipment Coverage Form typically provides coverage for various types of machinery .

Equipment used in farming operations, including irrigation equipment, farm tractors, hay balers, and cotton pickers, among others. Therefore, none of the options listed is correct as they are all typically covered by this type of insurance policy. The coverage provided by the policy typically includes a wide range of equipment used in farming and agriculture, including irrigation equipment, farm tractors, hay balers, cotton pickers, and more. Therefore, all of the items listed in the question are typically covered by the Mobile Agricultural Machinery and Equipment Coverage Form.

The question specifically asks which of the listed items is not covered by the policy. Since all of the listed items are typically covered, the correct answer is e) none of the above.

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Complete Question

The Mobile Agricultural Machinery and Equipment Coverage Form includes coverage for all of the following, except:

a. Irrigation equipment

b. Farm tractors

c. Hay balers

d. Cotton pickers

e. none of the above

assume the firm has a tax rate of 24 percent. c-1. calculate return on equity (roe) under each of the three economic scenarios before any debt is issued.

Answers

To calculate ROE for a firm under different economic scenarios, calculate net income by deducting all expenses, including taxes, from revenue, and dividing it by shareholder equity. The tax rate of 24 percent also needs to be considered in the calculation of net income.

To calculate the return on equity (ROE) for a firm under different economic scenarios, we need to consider the net income generated by the company and the total shareholder equity. ROE is a measure of a company's profitability and efficiency in utilizing shareholder investments to generate profits.

Assuming the firm has no debt, the ROE can be calculated as:

ROE = Net Income / Shareholder Equity

Under each of the three economic scenarios, we need to determine the net income generated by the company. The net income is calculated by deducting all expenses, including taxes, from the total revenue.

Once we have calculated the net income, we can use the above formula to determine the ROE under each scenario. The tax rate of 24 percent will also need to be considered in the calculation of net income.

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suppose the government in this economy decides to increase government purchases by $400 billion. the increase in government spending will lead to an increase in income, creating an initial change in consumption equal to$320 billion . this increases income yet again, leading to a second change in consumption equal to$256 billion . the total change in demand resulting from the initial change in government spending is .

Answers

The total change in demand resulting from the initial change in government spending is $976 billion. This is because the initial increase in government purchases of $400 billion leads to an increase in income of $320 billion, which in turn leads to a second increase in consumption of $256 billion. The total increase in demand is equal to the sum of the initial increase in government spending and the subsequent increases in consumption, which is $400 billion + $320 billion + $256 billion = $976 billion.


Based on your question, it appears you are discussing the concept of the multiplier effect in economics. When the government increases its purchases by $400 billion, it initially stimulates demand and creates a change in consumption of $320 billion. This further increases income, leading to a second change in consumption of $256 billion.
To find the total change in demand resulting from the initial government spending, you simply add up the initial change in government spending and the subsequent changes in consumption:

Total change in demand = Initial government spending + First change in consumption + Second change in consumption
Total change in demand = $400 billion + $320 billion + $256 billion
Total change in demand = $976 billion
So, the total change in demand resulting from the initial $400 billion increase in government spending is $976 billion.

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Holding all other factors constant indicate which of the following changes generally signals good or bad news about a company(a) Increase in profit margin. Bad newsGood newsBoth(b) Decrease in inventory turnover. Bad newsBothGood news(c) Increase in current ratio. Good newsBothBad news(d) Decrease in earnings per share. Bad newsBothGood news(e) Increase in price-earnings ratio. Bad newsBothGood news(f) Increase in debt to assets ratio. Bad newsBothGood news(g) Decrease in times interest earned. Bad newsBothGood news

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An increase in profit margin and an increase in current ratio signal good news about a company, while a decrease in inventory turnover, decrease in earnings per share, increase in the price-earnings ratio, increase in debt to assets ratio, and decrease in times interest earned signal bad news about a company.

(a) Increase in profit margin: Good news
(b) Decrease in inventory turnover: Bad news
(c) Increase in the current ratio: Good news
(d) Decrease in earnings per share: Bad news
(e) Increase in the price-earnings ratio: Both (can be good or bad news, depending on context)
(f) Increase in debt to assets ratio: Bad news
(g) Decrease in times interest earned: Bad news

(a) An increase in profit margin indicates higher profitability, which is generally good news for a company.
(b) A decrease in inventory turnover suggests the company is less efficient in managing inventory, which is generally bad news.
(c) An increase in the current ratio indicates better short-term liquidity, which is generally good news for a company.
(d) A decrease in earnings per share implies lower earnings for shareholders, which is generally bad news.
(e) An increase in the price-earnings ratio can be either good or bad news, depending on context. A higher ratio may indicate investor confidence, but could also signal overvaluation.
(f) An increase in the debt-to-assets ratio shows that the company has more debt relative to its assets, which is generally bad news.
(g) A decrease in times interest earned means the company has less capacity to cover its interest expenses, which is generally bad news.

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the forecasting method that is appropriate when the time series has no significant trend, cyclical, or seasonal effect is . a. mean squared error b. mean average deviation c. moving averages

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The forecasting method that is appropriate when the time series has no significant trend, cyclical, or seasonal effect is moving averages.

The moving average is a statistical method for forecasting long-term trends. The approach shows how to average a group of values while shifting the range. When used with time-series data, the moving average technique hides both short-term variability and long-term patterns.

Moving average is utilized in scientific and technical applications as well as financial ones. The moving average is used to anticipate the supply of products or commodities when there is a little seasonality or trend but constant demand. A basic arithmetic average of prices over a time period is used by simple moving averages, but exponential moving averages give more weight to more recent values than to older ones over the same time period.

Therefore, the correct answer is option C.

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How is performance evaluated for an investment center?.

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To evaluate the performance of an investment center, various financial metrics are used. These metrics may include return on investment (ROI), net present value (NPV), internal rate of return (IRR), and profit margin.  



Other non-financial metrics may also be considered, such as customer satisfaction, employee engagement, and efficiency. The evaluation of an investment center's performance is usually done on a regular basis, such as monthly, quarterly, or annually. The results are then compared to previous periods and benchmarks to determine if the investment center is meeting its goals and objectives.


In summary, evaluating the performance of an investment center involves a comprehensive analysis of both financial and non-financial metrics. The results of the evaluation are used to make informed decisions about future investments and strategies. This is a complex topic that requires a long answer, as there are many different approaches and methods used to evaluate investment center performance.

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an employee stock ownership plan represents a. a harvest method of choice. b. an effort to ease investor concerns. c. an opportunity for employees to acquire an ownership interest in their company. d. a good way for a business founder to build his/her position in the company.

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C. An employee stock ownership plan (ESOP) represents an opportunity for employees to acquire an ownership interest in their company. ESOPs are retirement plans that invest primarily in the employer's stock, allowing employees to become shareholders in the company.

This can be beneficial for both the company and the employee, as it aligns their interests and can increase employee motivation and loyalty. Additionally, ESOPs can provide tax benefits to the company and allow the business owner to gradually transfer ownership to employees. Overall, ESOPs can be a valuable tool for businesses looking to promote employee ownership and engagement in the company's success.

An Employee Stock Ownership Plan (ESOP) represents c. an opportunity for employees to acquire an ownership interest in their company. This allows employees to benefit from the company's success and aligns their interests with the overall growth of the business.

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To facilitate collection, some companies have customers send their payments to a _____, which is simply an address for receiving payments.

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Some businesses ask customers to send their payments to a lockbox, which is just an address for receiving payments, to make collection easier.

Cash discounts are incentives provided by a seller to a buyer in exchange for paying a bill in full earlier than the due date. In a cash discount, the seller typically lowers the amount owed by the buyer by a small percentage or a predetermined sum of money.

Your retained earnings, the first and subsequent investor financing rounds, the stock and fixed assets you have on hand, and the collection of debt or money owing to you are all examples of internal funding sources. In IaaS, the cloud provider only provides the utilities and owns the hardware. The OS, programmes, and data are the customer's responsibility.

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ohn bought a new house. he made a $5,500 down payment and financed the rest, $260,000, through his credit union. the credit union charged him 12% per year compounded monthly for 21 years. how much were his monthly payments?

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To find John's monthly payments, we need to use the formula for calculating the monthly payment on a loan. This formula is: P = (r(PV)) / (1 - (1 + r)^(-n))

Where P is the monthly payment, r is the monthly interest rate (which is the annual interest rate divided by 12), PV is the present value of the loan (which is the amount financed), and n is the total number of payments (which is the number of years times 12).

So, let's plug in the numbers:

r = 0.12 / 12 = 0.01
PV = $260,000 - $5,500 = $254,500
n = 21 * 12 = 252

P = (0.01($254,500)) / (1 - (1 + 0.01)^(-252))
P = $2,734.34

Therefore, John's monthly payments are $2,734.34. It's important to note that this is just the principal and interest portion of the payment. John's total monthly payment will likely include additional expenses such as property taxes, insurance, and possibly private mortgage insurance if he put down less than 20% of the home's value as a down payment.

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april 1 Accepted a $8,000, 90-day, 5 note fron Travis in granting a time extension on his past-duo account receivable. June 30 Travis dishonored his note. View transaction list Journal entry worksheet 2 Record receipt of note on account Note: Enter debits before credits Dato April 01 Credit General Journal Notes receivable Travis Accounts receivable Travis Debit 8,000 8.000 Journal entry worksheet < 1 2. Record the maturity value of Travis' dishonored note.

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Date June 30
Debit Accounts receivable Travis $8,000
Credit General Journal Notes receivable Travis $8,000

The above journal entry records the maturity value of Travis' dishonored note. Since the note was not paid on its due date, it is considered dishonored and the full amount owed becomes due immediately. Therefore, we debit the Accounts Receivable Travis account to reflect the amount that is now owed to us and credit the Notes Receivable Travis account to show that the note has been dishonored.


When Travis was granted a time extension on his past-due account receivable, you recorded the receipt of the note as follows:
Date: April 01
General Journal
Debit: Notes Receivable - Travis - 8,000
Credit: Accounts Receivable - Travis - 8,000
To record the maturity value of Travis' dishonored note, you'll first need to calculate the interest. The formula is Principal x Interest Rate x Time = Interest, where the time is in years.
Interest = 8,000 x 0.05 x (90/360) = 100
The maturity value is the principal plus the interest: 8,000 + 100 = 8,100
Now, you can record the dishonored note:
Date: June 30
General Journal
Debit: Accounts Receivable - Travis - 8,100
Credit: Notes Receivable - Travis - 8,000
Credit: Interest Income - 100

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TRUE/FALSE. In the United States, a federal judge who owns stock in a company may not hear a case involving that company.

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True. A federal judge who owns stock in a company may be required to recuse themselves from hearing a case involving that company in order to avoid any appearance of impropriety or conflict of interest.

This is based on the Code of Conduct for United States Judges, which requires judges to disqualify themselves in cases where their impartiality might reasonably be questioned.

A federal judge is a judge who serves on the federal judiciary in the United States. Federal judges are appointed by the President and confirmed by the Senate, and they serve lifetime appointments. There are three main types of federal judges:

District Judges: These judges preside over cases in the U.S. district courts, which are the trial courts of the federal system. They hear both criminal and civil cases, and their decisions can be appealed to the U.S. circuit courts.

Circuit Judges: These judges sit on the U.S. circuit courts of appeals, which are the intermediate appellate courts in the federal system. They hear appeals from the district courts and certain specialized courts, and their decisions can be appealed to the U.S. Supreme Court.

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The prize money for the winner of the Masters Golf Championship increased from $0.828 Million when Vijay Singh won in April 2000 to $1.80 Milion when Danny Willett won in April 2016. During the same time period, the CPI value increased from 171.3 in April 2000 to 239.3 in 3 in April 2016 (a) Calculate the average annual rate of increase in the prize money over that period (b) Calculate the corresponding average annual general Inflation rate over the same time period. (c) Hence, calculate the real' annual rate of increase in the prize money taking into account the general inflation rate over the time period (d) Calculate Danny Wilett's 2016 prize money in "2000" dollars.

Answers

Danny Willett's 2016 prize money in "2000" dollars would be approximately $1.288 million.

(a) The increase in prize money over the period is:

$1.80 million - $0.828 million = $0.972 million

The time period is 16 years, so the average annual rate of increase in prize money is:

$0.972 million / 16 years = $0.061 million per year

(b) The increase in the CPI over the period is:

239.3 - 171.3 = 68.0

The time period is 16 years, so the average annual general inflation rate is:

68.0 / 16 years = 4.25%

(c) The real annual rate of increase in prize money taking into account general inflation is:

0.061 - 0.0425 = 0.0185 or 1.85%

(d) To calculate Danny Willett's 2016 prize money in "2000" dollars, we need to adjust for inflation. We can use the CPI values to calculate the inflation factor:

Inflation factor = CPI in 2016 / CPI in 2000

Inflation factor = 239.3 / 171.3

Inflation factor = 1.397

So the equivalent 2000 prize money would be:

$1.80 million / 1.397 = $1.288 million

Therefore, Danny Willett's 2016 prize money in "2000" dollars would be approximately $1.288 million.

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Tamara believes her job as a leader should be to help members develop their perceptions of their work goals and then help them find a way to reach those goals. Based on this comment, Tamara prefers a ________blank approach to leadership.
Multiple Choice
Fiedler’s contingency theory
Hersey and Blanchard’s situational theory
laissez-faire theory
path–goal theory
leader-member exchange theory

Answers

Tamara's approach to leadership, which involves helping members develop their perceptions of their work goals and finding a way to reach those goals, is consistent with the path-goal theory of leadership. Therefore, the correct answer is option D.

The path-goal theory emphasizes the leader's responsibility to clarify the follower's goals and provide the necessary support and guidance to achieve them. This theory suggests that a leader's effectiveness is based on how well they can help their followers reach their goals by providing them with the necessary resources and support.

In contrast, Fiedler's contingency theory focuses on the leader's situational control, Hersey and Blanchard's situational theory emphasizes the leader's adaptability to the follower's level of development, laissez-faire theory suggests that the leader should have minimal involvement, and the leader-member exchange theory focuses on the quality of the relationship between the leader and each follower.

Therefore, Tamara's approach to leadership aligns with the path-goal theory, which emphasizes the leader's responsibility to provide support and guidance to followers to help them achieve their goals.

In summary, Tamara's approach to leadership involves helping members develop their perceptions of their work goals and finding a way to reach those goals.

This approach aligns with the path-goal theory of leadership, which emphasizes the leader's responsibility to provide support and guidance to followers to help them achieve their goals. Therefore, the correct answer is option D.

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which of the following are accurate statements regarding how to report or treat prepaid accounts? (check all that apply.)

Answers

The correct option is B, The expired portion of pay-as-you-go money owed is treated as liabilities.

Liabilities refer to the financial obligations that an individual or organization owes to others. These obligations can be in the form of debts, loans, or other financial commitments that the entity is liable to pay at some point in the future.

There are two types of liabilities: current and long-term. Current liabilities are those that are due within a year, such as accounts payable, wages payable, and short-term loans. Long-term liabilities are those that are due after a year or more, such as long-term loans, bonds payable, and lease obligations. Liabilities are recorded on the balance sheet of an organization, along with assets and equity. The balance sheet provides a snapshot of the financial position of an entity at a specific point in time.

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Complete Question:

Which of the following are accurate statements regarding how to document or treat prepaid accounts? (check all that apply.) multiple pick questions.

A). The expired part of prepaid debts is mentioned on the profits statement as a price.

B). The expired portion of pay-as-you-go money owed is treated as liabilities.

C). over the years, the expired part of pay-as-you-go accounts is eliminated from the account and stated as a rate.

D). The unexpired part of pay-as-you-go money owed is handled as assets.

blossom real estate company managment is planning to fund a devopment project by issuing 10-year zero coupon bonds with a face value of $1,000. assuming semiannual compounding, what will be the price opf these bonds if the appropriate discount rate is 9.0 percent?

Answers

The price of the 10-year zero-coupon bonds with a face value of $1,000 and a 9.0 percent discount rate, assuming semiannual compounding, will be approximately $479.41.

To calculate the price of the 10-year zero-coupon bonds with a face value of $1,000 issued by Blossom Real Estate Company, you need to use the present value formula considering the semiannual compounding and the discount rate of 9.0 percent.

Step 1: Convert the annual discount rate to a semiannual rate.
Semiannual rate = (1 + 0.09)^(1/2) - 1 ≈ 0.0436 or 4.36%

Step 2: Calculate the total number of compounding periods.
10 years x 2 (semiannual compounding) = 20 periods

Step 3: Calculate the present value (price) of the bond.
PV = FV / (1 + r)^n
PV = $1,000 / (1 + 0.0436)^20
PV ≈ $1,000 / 2.0855
PV ≈ $479.41

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Suppose you are a manager of a firm that operates in a duopoly. Recently, the state attorney general fined you and your competitor for price fixing. In your market, firms only set prices, not total quantities to sell. From previous experience you know your competitor has a marginal cost of $4.34. Further, your marginal costs are $4.32. The previous cartel price was $10.00 (when you and your competitor were price fixing). What price level do you now choose to maximize profits?

Answers

If two competitors decide to agree on a price, it should always be above one competitor's marginal cost and not above the other competitor's marginal cost.

If a competitor chooses to set prices in a battle of prices between two rivals.

The price shouldn't be higher than the other competitor's marginal cost (price) or lower than it.Given that there will be a $10 fee (prior cartel pricing) for price fixing. In order to maximise profit, the ideal price would then be below the competitor's price and above his marginal cost.

Therefore, $2.33 would be the best price to maximise profits since it is above his marginal cost and below the price of the competition. Since price fixing will result in a fine. The appropriate price level to select in order to maximise profit is $779. When there is a price fix that affects both competitors, the price fix chosen by one competitor should not be higher than the competitor's marginal cost, i.e. price, but it is the price is fixed at $10, which means that the price level would be greater than the marginal cost and less than the rival price, making it $7.79.

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true or false: the number of maya artifacts sold in the united states through auction has decreased since the 1970's.

Answers

True, the number of Maya artifacts sold in the United States through auction has decreased since the 1970s.

This decline can be attributed to several factors. Firstly, there has been a growing awareness and concern regarding the preservation of cultural heritage, leading to stricter laws and regulations on the trade of antiquities. Secondly, international cooperation has increased, resulting in the repatriation of stolen artifacts to their countries of origin. Lastly, public opinion has shifted, with many collectors now prioritizing the ethical acquisition of artifacts. Collectively, these factors have contributed to a decrease in the number of Maya artifacts being sold at auction in the U.S. since the 1970s.

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Holly bought a stock at the margin requirement, when the stock was trading at $10. The stock paid quarterly dividends of $.25. Holly held the stock for one year and sold the stock when it was trading at $11. What was Holly's holding period return?A. 10%B. 20%C. 30%D. 40%

Answers

Holding Period Return = (Capital Gains + Dividends) / Initial Stock Price Holding Period Return = ($1 + $1) / $10 = $2 / $10 = 0.2 or 20% So, the correct answer is B. 20%.

Holly's holding period return can be calculated by considering both the capital gains and the dividends received. In this case, the capital gain is $1 per share (the stock price increased from $10 to $11). Holly also received quarterly dividends of $0.25, totaling $1 for the year (4 quarters x $0.25). To calculate the holding period return, we use the following formula: Holding Period Return = (Capital Gains + Dividends) / Initial Stock Price Holding Period Return = ($1 + $1) / $10 = $2 / $10 = 0.2 or 20% So, the correct answer is B. 20%. To calculate Holly's holding period return, we need to determine the total return she received from the stock, including any dividends paid. Here's how we can calculate it:

Calculate the total amount of dividends paid over the year: Holly held the stock for one year, during which it paid quarterly dividends of $0.25 each. Therefore, the total annual dividend paid is: 4 x $0.25 = $1.00 Determine the total gain from the sale of the stock: Holly bought the stock at the margin requirement when it was trading at $10. She sold the stock when it was trading at $11, which represents a gain of $1 per share.

Since Holly bought the stock on margin, we need to take into account the margin requirement. Let's assume the margin requirement was 50%. This means Holly put up 50% of the purchase price ($5) and borrowed the other 50% ($5) Holly therefore bought 2 shares of stock for a total cost of $10, and sold the 2 shares of stock for a total of $22 ($11 per share x 2 shares). Holly received $22 from the sale of the stock, but she also needs to repay the $5 she borrowed on margin, leaving her with a net gain of $17.

Calculate the holding period return: To calculate the holding period return, we add up the gain from the sale of the stock and the dividends received, and divide by the initial investment (the amount Holly put up):  Total gain from sale of stock: $17 Total dividends received: $1 Initial investment: $5 (50% of the purchase price) Holding period return: ($17 + $1) / $5 = 3.6 or 360% Therefore, the answer is not listed among the options. It seems there may be an error in the question or options provided.

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what is the purpose of karin fong's title sequence for rubicon? group of answer choices it allows the viewer to interact with the information of a website. it uses simplified images and typography to convey a corporate message. it appeals to moving viewers and directs their eyes to information. it introduces viewers to the content of a television program.

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The purpose of Karin Fong's title sequence for Rubicon is to introduce viewers to the content of a television program.

The title sequence uses various visual techniques, such as simplified images and typography, to appeal to moving viewers and direct their eyes to important information. Through these techniques, the title sequence creates a mood and atmosphere that prepares viewers for the show's themes and tone. Additionally, the use of symbolism and hidden meanings in the visuals also adds to the intrigue and mystery of the show. Overall, the purpose of the title sequence is to not only introduce the show but also set the stage for the viewing experience.

Fong's title sequence effectively sets the tone, mood, and theme for the show, giving viewers a glimpse of what to expect from the program. This helps engage the audience and build anticipation for the content that follows.

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To increase the money supply, the federal reserve could.

Answers

Answer: lowering the reserve requirements for banks

Lowering interest rates

Conducting open market operation

Explanation:

Central banks use several methods, called monetary policy, to increase or decrease the amount of money in the economy. The Fed can increase the money supply by lowering the reserve requirements for banks, which allows them to lend more money.

By lowering the discount rate that banks pay on short-term loans from the Federal Reserve Bank, the Fed is able to effectively increase the liquidity of money.Lower rates increase the money supply and boost economic activity; however, decreases in interest rates fuel inflation.

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at an annual interest rate of 7% the future value of $5,000 in five years is closest to: group of answer choices $7,035 $3,569 $6,757 $7,013

Answers

The future value of $5,000 in five years at an annual interest rate of 7% is closest to $7,013 hence option D) is the correct answer.

Hi! Based on your question, you would like to calculate the future value of $5,000 in five years at an annual interest rate of 7%. To do this, we can use the formula for future value (FV) of a single sum, which is: FV = P * (1 + r)^n Where: - P is the principal amount (initial investment) - r is the annual interest rate - n is the number of years In this case, P = $5,000, r = 0.07 (7% as a decimal), and n = 5 years. Plugging these values into the formula, we get: FV = $5,000 * (1 + 0.07)^5 FV = $5,000 * (1.07)^5 FV = $5,000 * 1.40255 FV ≈ $7,012.75 Therefore, the future value of $5,000 in five years at an annual interest rate of 7% is closest to $7,013. Therefore, option D) is correct.

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Fill in the blank: In order to calculate marginal cost, the change in ______________ is divided by the amount of change in quantity.

Answers

In order to calculate marginal cost, the change in total cost is divided by the amount of change in quantity.

Marginal cost is a crucial concept in microeconomics that refers to the cost incurred by producing one additional unit of a product or service. It helps businesses to determine the point at which they can produce goods and services in the most efficient way.

To calculate the marginal cost, one needs to divide the change in the total cost of production that arises from producing one more unit of output by the change in the quantity of output. In other words, the marginal cost is the cost of producing one extra unit of output.

For instance, if a company produces 100 units of a product for $5,000, and then it decides to produce an extra unit of the same product for $55, the marginal cost for that additional unit will be $55 (the change in total cost) divided by 1 (the change in quantity), which equals $55. The marginal cost can help businesses to optimize their production decisions by determining the level of output that maximizes their profits.

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in accounting for operating leases, the lessee will recognize lease expense on a straight-line basis.T/F

Answers

Accounting for operating leases, the lessee will recognize lease expense on a straight-line basis by calculating the lease liability's interest using the effective-interest method. This statement is True.

And then depreciating the right-of-use asset to keep the lease expense constant over time. Businesses are required to account for operational leases.

As assets and liabilities for assets leased for a duration longer than a year. According to the CPA Journal, you enter them together as a single item. The operating lease's present value is declared on the balance sheet, as opposed to the previous requirements. This standard provides a more accurate representation of the assets and lease-related liabilities of the Company in the balance sheet. Financial Accounting Standards Board.

Complete question:

in accounting for operating leases, the lessee will recognize lease expense on a straight-line basis. This statement is True or false?

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Tech outsourcing, inc. , registers a domain name that is the same as, or confusingly similar to, the trademark of tech resourcing corporation and then offers to sell the domain name back to tech resourcing. This is:.

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This is a clear case of cybersquatting, which is the act of registering, trafficking, or using a domain name with bad faith intent to profit from someone else's trademark.

By registering a domain name that is similar to Tech Resourcing Corporation's trademark and then offering to sell it back to them, Tech Outsourcing Inc. is attempting to extort money from Tech Resourcing Corporation.

This is a violation of intellectual property laws and could lead to legal consequences for Tech Outsourcing Inc. It is important for companies to protect their trademarks and take legal action against cybersquatters to prevent them from profiting off of their brand.

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new york times on the web, espn, and encyclopedia britannica online provide financial, research, and other information. they are called .

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New york times on the web, espn, and encyclopedia britannica online are called online information resources.

These websites serve as valuable sources of information for individuals seeking financial, research, and other types of information. They offer a platform for people to access information on various topics from the comfort of their homes or offices.


Online information sources, such as the New York Times on the web, ESPN, and Encyclopedia Britannica Online, provide users with a wealth of financial, research, and other types of information. These sources often offer up-to-date and easily accessible content for their users, making them a valuable resource for research and knowledge gathering.

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which of the following phrases best defines a production bottleneck? multiple choice a constrained resource the most profitable resource the least productive resource a resource that is available in abundance

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The phrase that best defines a production bottleneck is "a constrained resource." Option (1)

A bottleneck refers to a point in the production process where the flow of work is slowed down or stopped because of limited availability or capacity of a resource.

This resource could be a machine, a worker, a raw material, or any other factor that is necessary for the production process. The bottleneck becomes the limiting factor that determines the maximum capacity of the production line. Therefore, a constrained resource is the best phrase that defines a production bottleneck.

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Full Question: Which of the following phrases best defines a production bottleneck?

Multiple Choice

A constrained resourceThe most profitable resourceThe least productive resourceA resource that is available in abundance

Which situation is least likely to be an example of labor discrimination?

A. A restaurant that hires only young female servers

B. Senior citizens finding difficulty in pursuing new careers

C. Women earning less money in a career that offers flexible work hours

D. Employers screening out candidates based on candidates' names

Answers

Employers screening out candidates based on candidates' names is least likely to be an example of labor discrimination. The correct answer is option D.

Unfair treatment based on your genetic information, age (40 or older), national origin, ethnicity, color, religion, sex (including pregnancy, gender identity, or sexual orientation), or racial or ethnic background.

Employers may, for instance, discriminate against women when hiring and promoting employees, preferring to appoint males to positions of greater prominence, and spending more money on training and career assistance for men.

The unfair or unfavorable treatment of individuals or groups on the basis of traits like race, gender, age, or sexual orientation is known as discrimination. The simple response is yes. The dentist claims that due to her behavior, she is no longer willing to treat her.

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pip pop is an app development firm that prizes creativity and technical skills. if you were the chief people officer of pip pop, how would you ensure external fit of the hr system?

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As the Chief People Officer of Pip Pop, an app development firm that values creativity and technical skills, ensuring external fit of the HR system is crucial.

Here's a step-by-step plan to achieve this:
1. Analyze industry trends and benchmarks: Research the app development industry's HR practices, focusing on companies with similar values. Collect information about compensation, benefits, recruitment strategies, and employee development programs.
2. Align recruitment strategies: Design job descriptions, selection criteria, and interview processes to target candidates who possess both creativity and technical skills. Use industry-specific job boards, social media platforms, and attend tech events to expand your talent pool.
3. Develop competitive compensation and benefits: Offer competitive salaries, bonuses, and equity packages to attract top talent. Provide unique benefits that cater to the creative and technical nature of your workforce, such as flexible work hours, remote work options, and continuous learning opportunities.
4. Foster a culture of innovation: Create an organizational culture that promotes creativity, innovation, and technical excellence. Encourage open communication, teamwork, and risk-taking. Recognize and reward employees for their contributions and achievements.
5. Implement employee development programs: Invest in training and development programs to help employees expand their technical skills and enhance their creative abilities. Offer mentorship, coaching, and opportunities for employees to attend industry conferences and workshops.
6. Monitor and evaluate HR practices: Regularly assess the effectiveness of your HR system by collecting and analyzing relevant data, such as employee turnover, job satisfaction, and performance metrics. Make adjustments to your HR practices as needed to maintain external fit.
By following these steps, you can ensure the external fit of the HR system at Pip Pop, enabling the company to attract, retain, and develop a workforce that possesses both creativity and technical skills.

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clarkson construction buys $800 of merchandise on account from hillside tools. hillside tools offers credit terms of 2/10, n/30. if clarkson construction pays the total amount due within 10 days, its payment will be

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If Clarkson Construction pays the total/full amount due within 10 days, its payment will be $784.

$800 x .02 = $16. $800 - $16 = $784

The trade credit given to a customer in exchange for the purchase of products or services is referred to as 2/10 Net 30. 2/10 net 30 denotes that the buyer will receive a 2% discount if the whole payment is paid within 10 days. If not, payment must be made in full within 30 days.

An arrangement or understanding between business partners that permits the exchange of goods and services without the instant exchange of money is known as a trade credit. The vendor of goods or services is said to extend credit to the customer when they permit the buyer to pay for the products or services at a later time.

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the consumer price index is used to group of answer choices monitor changes in the level of wholesale prices in the economy. monitor changes in the cost of living over time. monitor changes in the level of real gdp over time. monitor changes in the stock market.

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Option c: Changes in the level of wholesale prices in the economy are monitored or overseen using the consumer price index.

The consumer price index is used to determine how prices for products and services provided to consumers in the US market have changed over time. It is possible to tell whether there has been inflation or deflation using this index. The price index is used by the monetary authorities of the Federal Reserve to determine whether to speed up or slow down economic activity.

The average price of a market basket of goods and services that families purchase for their members is weighted by the consumer price index (CPI). The CPI is measured over time to reflect changes in pricing.

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Complete question:

The consumer price index is used to a. monitor changes in the stock market. b. monitor changes in the level of real GDP over time. c. monitor changes in the level of wholesale prices in the economy. d. monitor changes in the cost of living over time.

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