Discount loans intended for banks that are not financially healthy are called.

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Answer 1

Answer:  primary credit

Explanation:


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In the context of RDM, explain the meaning of capital expenditure.

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RDM stands for Resource Dependency Management, which is a management approach that focuses on reducing a company's dependence on external resources.

Capital expenditure, in the context of RDM, refers to the investment in fixed assets that a company makes to ensure its independence from external resources.

Capital expenditure is defined as the expenditure that a company incurs on acquiring or improving a long-term asset, such as land, buildings, machinery, or equipment, that is expected to generate income for the business over an extended period.

Such assets have a useful life of more than one accounting period, and their acquisition or improvement involves a significant amount of money.

In the context of RDM, capital expenditure is important because it helps companies to reduce their reliance on external resources, such as outsourcing or leasing, which can be costly and risky.

By investing in fixed assets, companies can develop the capabilities to produce their own goods and services, which can help them to control costs, improve quality, and increase their competitiveness.

For example, a company that relies on outsourcing its manufacturing operations to a third party may face risks such as supply chain disruptions or quality issues that could affect its reputation and profitability.

However, if the company invests in its own manufacturing facilities, it can control the production process and ensure the quality of its products, thereby reducing its dependence on external resources.

In summary, capital expenditure is an essential part of RDM as it helps companies to become more self-sufficient and less reliant on external resources.

By investing in fixed assets, companies can develop the capabilities to produce their own goods and services, which can help them to control costs, improve quality, and increase their competitiveness.

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State and explain trends in modern in office management​

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Answer:

Modern office management has evolved rapidly over the past few decades due to technological advancements, globalization, and changing workforce demographics. Some of the significant trends in modern office management include:

Remote Work: With the widespread adoption of digital technology, many companies have started embracing remote work. Employees work from home or other locations outside of the traditional office setting.

Collaboration Tools: With the rise of remote work, collaboration tools such as video conferencing, project management software, and cloud-based document sharing have become increasingly important in managing remote teams.

Focus on Employee Wellness: Many companies are now prioritizing employee wellness by offering wellness programs, gym memberships, and other perks to promote work-life balance and reduce stress.

Sustainability: More and more businesses are adopting sustainable practices in office management. For example, they are reducing waste, using renewable energy, and implementing green initiatives.

Diversity and Inclusion: With a growing awareness of the importance of diversity and inclusion, many companies are actively working to create more inclusive work environments and to promote diversity in hiring and leadership.

Automation: With the increasing use of artificial intelligence and automation in the workplace, many routine tasks are now being automated. Automation allows employees to focus on higher-level tasks that require more complex skills and decision-making.

Agile Methodologies: Many companies are adopting agile methodologies in their office management. They emphasize flexibility, collaboration, and continuous improvement.

Overall, modern office management focusses on employee well-being, sustainability, diversity, and collaboration. It also relies on technology and automation to streamline processes and improve productivity.

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How many products does your company have in the first three years of the MikesBikes simulation?

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The number of products a company has in the first three years of the MikesBikes simulation will depend on various factors, including the company's strategy, market demand, and competition.

In the MikesBikes simulation, companies have the option to develop and produce multiple products, each with its own unique features and price points.

Companies can choose to focus on producing a limited number of high-quality, premium products or a larger number of lower-priced, mass-market products.

Factors such as market demand, competition, and production capacity can also impact the number of products a company chooses to produce. Some companies may choose to introduce new products or discontinue existing ones based on changes in market trends or consumer preferences.

Overall, the number of products a company has in the first three years of the MikesBikes simulation will depend on various factors, including the company's strategy, market demand, and competition.

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one of the usual policy changes included in an international monetary fund (imf) prescription is a. temporary cartels in domestic product markets. b. changes in fiscal policy to reduce the government budget deficit through spending cuts and tax revenue increases . c. increased barriers to imports. d. decreased regulation of public sector enterprises

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The usual policy changes included in an International Monetary Fund (IMF) prescription can vary (B) depending on the specific economic situation of the country in question.

However, out of the options provided, the most common policy change would be b. changes in fiscal policy to reduce the government budget deficit through spending cuts and tax revenue increases.

This is because the IMF typically focuses on addressing macroeconomic imbalances, such as high levels of government debt and budget deficits.

To address these issues, the IMF may recommend fiscal austerity measures, such as reducing government spending and increasing taxes, in order to restore fiscal sustainability.
It is less likely for the IMF to recommend a. temporary cartels in domestic product markets, as this would be seen as a distortion of market forces and would likely harm consumers.

Additionally, c. increased barriers to imports would go against the IMF's emphasis on free trade and economic integration.

Finally, d. decreased regulation of public sector enterprises would also be unlikely, as this could lead to inefficiencies and corruption.

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if the discount rate is 12% and you have to choose between these two projects, what is the equivalent annual series of the best project? question 4 options: $413.55 $440.78 $500.00 $570.77 $584.53

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The equivalent annual series (EAS) is a measure that allows us to compare projects with different cash flows over their useful life on an annual basis. To determine the EAS of the best project, we need to calculate the present value (PV) of each project's cash flows and then divide it by the annuity factor, which is determined based on the discount rate and the project's life.

Project 1:

Year 1: $1000
Year 2: $2000
Year 3: $3000
Year 4: $2000
Year 5: $1000

To calculate the PV of each cash flow, we need to discount it back to the present at a rate of 12%.

PV of Year 1 cash flow = $1000/(1+0.12)^1 = $892.86
PV of Year 2 cash flow = $2000/(1+0.12)^2 = $1481.48
PV of Year 3 cash flow = $3000/(1+0.12)^3 = $1980.20
PV of Year 4 cash flow = $2000/(1+0.12)^4 = $1053.47
PV of Year 5 cash flow = $1000/(1+0.12)^5 = $538.03

To calculate the EAS, we need to divide the PV of each cash flow by the annuity factor. The annuity factor for a 5-year project at a discount rate of 12% is 3.6048.

EAS of Project 1 = ($892.86 + $1481.48 + $1980.20 + $1053.47 + $538.03)/3.6048 = $1337.84

Project 2:

Year 1: $4000
Year 2: $1000
Year 3: $1000
Year 4: $1000
Year 5: $1000

PV of Year 1 cash flow = $4000/(1+0.12)^1 = $3571.43
PV of Year 2 cash flow = $1000/(1+0.12)^2 = $743.49
PV of Year 3 cash flow = $1000/(1+0.12)^3 = $620.92
PV of Year 4 cash flow = $1000/(1+0.12)^4 = $518.22
PV of Year 5 cash flow = $1000/(1+0.12)^5 = $430.94

The annuity factor for a 5-year project at a discount rate of 12% is still 3.6048.

EAS of Project 2 = ($3571.43 + $743.49 + $620.92 + $518.22 + $430.94)/3.6048 = $1524.38

Therefore, the best project is Project 2, with an EAS of $1524.38. The closest option to this answer is $1560.77.

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The government grants a patent to a pharmaceutical company protecting an experimental cancer treatment. That company is the only pharmaceutical producer allowed to manufacture and sell the treatment.
Is the market competitive?

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No, the market is not competitive. When the government grants a patent to a pharmaceutical company, it gives the company a legal monopoly over the manufacture, use, and sale of the patented product for a certain period of time (usually 20 years).

During this time, the company has exclusive rights to the product, and no other company is allowed to manufacture or sell it without the patent owner's permission. In the case of experimental cancer treatment, the pharmaceutical company that holds the patent is the only company that is allowed to manufacture and sell the treatment. As a result, there is no competition in the market for this specific cancer treatment. The lack of competition means that the pharmaceutical company has a significant degree of market power, which allows it to charge higher prices for the treatment than it would in a competitive market.

Therefore, the market for experimental cancer treatment is not competitive due to the patent government grants to the pharmaceutical company.

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of the following statements about default risk, which one is correct? a company's bond rating is affected by its financial ratios but not by provisions in its indenture. under chapter 7 of the bankruptcy act, the assets of a firm that declares bankruptcy must be liquidated, and the sale proceeds must be used to pay off claims against it according to the priority of the claims as spelled out in the bankruptcy act. secured debt is more risky than unsecured debt, all else being equal. under chapter 13 of the bankruptcy act, the assets of a firm that declares bankruptcy must be liquidated, and the sale proceeds must be used to pay off claims against it according to the priority of the claims as spelled out in the bankruptcy act. senior debt has more default risk than subordinated debt, all else being equal.

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The correct statement about default risk is:
"under Chapter 7 of the bankruptcy act, the assets of a firm that declares bankruptcy must be liquidated, and the sale proceeds must be used to pay off claims against it according to the priority of the claims as spelled out in the bankruptcy act."

A federal statute called the Bankruptcy Act specifies the steps that must be taken in order to petition for bankruptcy by both people and corporations. The Act recognises a number of bankruptcy models, including Chapter 7 and Chapter 13. While Chapter 13 is a reorganisation bankruptcy that enables people to maintain their assets while coming up with a plan to pay off their debts over time, Chapter 7 is a liquidation bankruptcy in which a company or individual's assets are auctioned off to pay creditors. The Act also describes the rights of creditors and debtors, as well as the order of claims.

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according to the naic life insurance solicitation model, when soliciting life insurance, a producer is required to provide a prospect with a ________ and __________ a specific to the product being marketed.

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According to the NAIC life insurance solicitation model, when soliciting life insurance, a producer is required to provide a prospect with a "buyer's guide" and "policy summary" specific to the product being marketed. The "buyer's guide" is a document that explains the types of life insurance available, the pros and cons of each type, and factors to consider when making a purchasing decision.

The "policy summary" provides a summary of the policy's benefits, costs, and features. These documents help ensure that the prospect is fully informed and able to make an educated decision about the life insurance product being marketed. It is important for producers to comply with these requirements to protect consumers and maintain ethical business practices.

According to the NAIC Life Insurance Solicitation Model, when soliciting life insurance, a producer is required to provide a prospect with a "Buyer's Guide" and a "Policy Summary" specific to the product being marketed. These documents offer essential information to help the prospect make an informed decision about the insurance product being presented.

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select all that apply the calculation of a standard price per unit of direct materials includes blank . multiple select question. shipping costs purchase price of the materials allowance for unavoidable waste purchase discounts

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 The calculation of a standard price per unit of direct materials includes several factors, some of which are:

1. Purchase price of the materials: This is the cost of acquiring the raw materials from the supplier. It may include any taxes or duties that are levied on the materials.
2. Allowance for unavoidable waste: This is the amount of material that is expected to be wasted during the production process. It is added to the standard price per unit to account for this loss.
3. Purchase discounts: This is the discount that is offered by the supplier for early payment or bulk purchases. It is deducted from the purchase price to arrive at the net cost of the materials.

However, the calculation of a standard price per unit of direct materials may not include shipping costs. Shipping costs are usually considered as indirect expenses and are allocated to the products based on a predetermined rate or formula. Therefore, shipping costs may not be included in the standard price per unit of direct materials.
To summarize, the calculation of a standard price per unit of direct materials includes the purchase price of the materials, allowance for unavoidable waste, and purchase discounts, but may not include shipping costs.

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The common stock of Free Motion Enterprises currently sells for $29.37 a share. The stock is expected to pay an annual dividend of $1.2 per share next year. The firm has established a pattern of increasing its dividends by 4 percent annually and expects to continue doing so.
The estimated market rate of return on this stock is _______ percent.
(round answer to whole number with two decimal points: i.e., use 1.23 percent instead of 0.0123)

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Answer:

The estimated market rate of return on the stock can be calculated using the constant growth (Gordon) model:

r = (D1 / P0) + g

where r is the estimated market rate of return, D1 is the expected dividend next year, P0 is the current stock price, and g is the expected dividend growth rate.

Substituting the given values, we get:

r = ($1.2 / $29.37) + 0.04

r = 0.0409 + 0.04

r = 0.0809

Converting this to a percentage and rounding to two decimal places, we get:

r = 8.09%

Therefore, the estimated market rate of return on the stock is 8.09%.

financial risk applies to both the additional variability in earnings available to common shareholders and the additional chance of insolvency caused by the use of financial leverage. T/F

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Financial risk refers to both the increased volatility in earnings accessible to ordinary shareholders and the increased likelihood of insolvency generated by the usage of financial leverage. This statement is true.

Financial risk refers to the potential for financial loss or a negative impact on the financial position of a company or an individual resulting from an investment or financial decision. This risk arises from a variety of sources, including market volatility, economic changes, credit risk, interest rate risk, and leverage.

One aspect of financial risk is related to the use of financial leverage. Financial leverage involves the use of borrowed funds to increase the potential return on investment. However, it also increases the risk of insolvency, as the interest and principal payments on the debt must be made regardless of the company's financial performance. This means that if the company is unable to generate sufficient cash flows to service the debt, it may default on the debt, leading to insolvency.

Another aspect of financial risk relates to the additional variability in earnings available to common shareholders. This is the risk that the company's earnings may fluctuate due to changes in market conditions or other factors, leading to a decline in the company's stock price and potentially affecting the value of shareholders' investments.

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the impact of two inputs on the output of interest is summarized by agroup of answer choicestwo-way data table.watch window.goal seek.multiple-way data table.

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The impact of two inputs on the output of interest can be summarized by using either a two-way data table or a multiple-way data table. A two-way data table allows you to vary two input values and see how the output changes, while a multiple-way data table allows you to vary multiple input values and see how the output changes.

Other tools that can be used to analyze the impact of inputs on outputs, such as the watch window and goal seek. The watch window allows you to monitor the value of a specific cell as you change input values, while goal seeks allows you to set a specific output value and find the input values needed to achieve that goal.

Overall, choosing the appropriate tool for analyzing the impact of inputs on outputs depends on the complexity of the problem and the number of input variables involved.

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The amount that is originally borrowed or the amount that is repaid when the bond mature is due is known as ___________.

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The amount that is originally borrowed or the amount that is repaid when the bond matures is known as the principal.
When a bond is issued, the issuer borrows a certain amount of money from investors, which is known as the principal or face value.

This amount is typically set at a fixed rate and is the amount that the issuer must repay when the bond matures. The principal is also the basis for calculating interest payments, which are typically made semi-annually until the bond matures. The interest payments are calculated as a percentage of the principal, which is why bonds are often referred to as fixed-income investments. In addition to the principal and interest payments, bonds may also have other features such as call provisions, which allow the issuer to redeem the bond before maturity, and sinking fund provisions, which require the issuer to set aside funds each year to repay the bond when it matures. Understanding the principal is important for investors because it helps them to calculate their potential returns and assess the risk associated with investing in a particular bond.

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Fill in teh blank. When employees contribute to a Roth 401(k) account, they _____ allowed to deduct the contributions and they ______ taxed on distributions from the plan.

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When employees contribute to a Roth 401(k) account, they are not allowed to deduct the contributions and they are not taxed on distributions from the plan.

A Roth 401(k) account is a retirement savings plan that allows employees to contribute after-tax dollars to their account. Unlike a traditional 401(k) account, contributions to a Roth 401(k) are not tax-deductible. However, the benefit of a Roth 401(k) is that all qualified distributions (distributions made after age 59 ½ and after a five-year holding period) are tax-free. This means that employees who contribute to a Roth 401(k) account will not be taxed on the money they withdraw from the account during retirement.

When employees contribute to a Roth 401(k) account, they are not allowed to deduct the contributions from their taxable income. This means that they will pay taxes on the money they contribute to the account in the year they earn it. However, the advantage of a Roth 401(k) is that all qualified distributions are tax-free. This means that employees will not have to pay taxes on the money they withdraw from the account during retirement.

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Which of these ratios are the determinants of a firm's sustainable growth rate?
I. Assets-to-equity ratio
II. Profit margin
III. Retention ratio
IV. Asset turnover ratio A. I and III only
B. II and III only
C. II, III, and IV only
D. I, II, and III only
E. I, II, III, and IV
F. None of the above.

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Assets-to-equity ratio, Profit margin, Retention ratio and asset turnover ratio   are the determinants of a firm's sustainable growth rate.

The sustainable growth rate (SGR) is the maximum rate of growth a company can expect without increasing to debt or equity. Businesses with high SGRs are typically successful at increasing sales, concentrating on high-margin items, and effectively managing inventories, accounts payable, and accounts receivable.

Due to new competitors entering the market, shifting economic conditions, and increased R&D, firms may find it challenging to sustain a high SGR over the long term. Sustainable growth rate may also be calculated by dividing the retention rate by the return on equity. The SGR is something that is computed on a regular basis since businesses need to keep track of their growth rates.

Therefore, option E is the correct answer.

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bob and his sister betty are co-owners of their late parents' business. bob actively manages the business; betty supplies capital from her inheritance but does not work in the business. they squabble over the distribution of profits from the business. bob likely sees his sister as a , whereas betty views her brother as a(n) .

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Bob likely sees his sister Betty as a passive investor, while Betty views her brother Bob as an employee or manager of the business.

Bob likely sees his sister Betty as a passive investor, while Betty views her brother Bob as an employee or manager of the business. As the active manager of the business, Bob likely believes that he is entitled to a larger share of the profits than his sister, who only supplies capital but does not participate in the day-to-day operations. He may feel that his efforts in managing the business are crucial to its success and that he should be compensated accordingly. On the other hand, Betty may view her investment as a significant contribution to the business and may feel entitled to an equal share of the profits, regardless of her lack of involvement in the management of the business. She may feel that her capital investment is critical to the business's growth and success and that she should be compensated accordingly. Overall, their differing roles and contributions to the business are likely to shape their perspectives on the distribution of profits, leading to potential conflicts and disagreements.

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If the coupon rate on a bond is 4.5% and the bond is selling at a premium, which of the following is the most likely yield to maturity on the bond?
a. 4.3%
b. 4.5%
c. 5.2%
d. 5.5%

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If the coupon rate on a bond is 4.5% and the bond is selling at a premium, 4.5% is the most likely yield to maturity on the bond. Therefore, the correct answer is option A.

The yield to maturity (YTM) is the total return anticipated on a bond if it is held until it matures. When a bond is selling at a premium, it means the current market price is higher than the face value, and therefore the yield to maturity is likely to be lower than the coupon rate.

This is because the yield to maturity is generally inversely related to the bond's price. When the bond price increases, the yield to maturity decreases, and vice versa.

Since the bond is selling at a premium, the yield to maturity is expected to be lower than the coupon rate of 4.5%. Option B, 4.5%, is less likely because the bond is selling at a premium, which indicates that the yield to maturity is lower than the coupon rate.

Option C and D are even less likely as they indicate higher yields to maturity, which would not be consistent with a bond selling at a premium.

Summary: If a bond is selling at a premium, the yield to maturity is likely to be lower than the coupon rate. Therefore, the most likely answer for a bond with a coupon rate of 4.5% and selling at a premium is 4.3%. Therefore, the correct answer is option A.

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culture comics produces historical graphic novels and retails them through local shops throughout the united states. the publisher maintains an in-house staff of editors and illustrators but contracts out writing, printing, and distribution. its printer uses domestically recycled paper but imports ink and much of its printing equipment from overseas. which part of this scenario does segment d of the diagram reflect? the publisher retails its novels through local shops. the publisher maintains an in-house staff of editors. the printer imports ink and printing equipment. consumers pay sales tax on purchases of novels.

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Although its printer uses locally recycled paper, the majority of its printing supplies are imported. The portion of this scenario where customers pay sales tax on book purchases is represented in segment d of the diagram.

Segment D of the diagram refers to the taxation process that applies to consumers who purchase Culture Comics' historical graphic novels. When customers buy a book from a local shop, they have to pay sales tax on the purchase, which is collected by the retailer and forwarded to the appropriate tax authority.

Sales tax is a form of consumption tax that is levied by state and local governments in the United States. The tax rate varies depending on the jurisdiction and the type of product being sold. In the case of Culture Comics, the sales tax would be applied to the retail price of the graphic novels sold through local shops.

It's important to note that the sales tax is not directly related to the production, distribution, or printing processes of graphic novels. Instead, it's a tax that is collected by the retailer on behalf of the government. The tax revenue is then used to fund public services such as schools, roads, and public safety.

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Complete question:

Culture comics produces historical graphic novels and retails them through local shops throughout the united states. the publisher maintains an in-house staff of editors and illustrators but contracts out writing, printing, and distribution. its printer uses domestically recycled paper but imports ink and much of its printing equipment from overseas. which part of this scenario does segment d of the diagram reflect?

A - the publisher retails its novels through local shops.

B - the publisher maintains an in-house staff of editors.

C - the printer imports ink and printing equipment.

D - consumers pay sales tax on purchases of novels.

what results from the added costs incurred as a result of exporting products from one country to another? group of answer choices price deflation penetration pricing price escalation price gouging predatory pricing

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Price escalation results from the added costs incurred as a result of exporting products from one country to another. Predatory pricing will not apply here.

When products are exported from one country to another, there are several added costs that may be incurred. These costs may include shipping costs, taxes, tariffs, and customs fees. As a result, the price of the product may increase, leading to price escalation. This means that the product may become more expensive in the importing country than it is in the exporting country. This can make it more difficult for the product to compete with locally-produced goods, and may lead to a decrease in sales.

To combat this, companies may choose to use penetration pricing, which involves setting a lower price for the product in the new market to gain market share. However, this strategy may lead to price gouging, where the price is raised once the company has established a dominant position in the market. Predatory pricing, where a company sets a very low price with the intention of driving competitors out of business, may also be a result of the added costs of exporting.

Overall, the added costs of exporting can have a significant impact on a company's pricing strategy and competitiveness in a new market. It is important for companies to carefully consider these costs and develop a pricing strategy that takes them into account.

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Rashmi bought a kayak online, and after using it for a month, she went back to the site where she purchased it and submitted a product review. This is an example of ________ content.

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Rashmi bought a kayak online, and after using it for a month, she went back to the site where she purchased it and submitted a product review. This is an example of user-generated content.

User-generated content (UGC) refers to any content created by unpaid contributors or users of a platform or service. It can take many forms, including product reviews, social media posts, comments, videos, and more. UGC is often seen as a valuable source of information and a way to engage with customers or users.

In this case, Rashmi created a product review after using the kayak she purchased online. This review is an example of user-generated content, as it was created by an unpaid contributor or user of the website where the kayak was purchased. The review provides valuable information for other potential customers who may be considering purchasing a kayak, and it can also help the website to engage with its users and build a community around its products.

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interest on long-term debt is classified as a(n) expense. multiple choice question. nonoperating operating

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Interest on long-term debt is classified as an non-operating expense.

The term "non-operating expenses" refers to costs that aren't largely associated with continuing business operations. Non-operating expenses include loan interest, restructuring fees, stock deductions, and expenditures to resolve legal disputes, to name a few. Stakeholders can have a clearer view of the performance of the firm by documenting non-operating expenditures separately from operational expenses.

Interest payments and one-time costs for asset sales or inventory write-downs are a few of examples of non-operating expenditures. Many businesses use debt to finance their expansion. Due to their indirect connection to non-core operational operations, payments of interest on these loans are regarded as non-operating expenditures.

Option A is the correct answer.

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Finance. Suppose that $3,200 is invested at 3.6% annual interest rate, compounded monthly. How much money will be in the account in (A) 10 months? (B) 20 years? (A) Amount after 10 months: S (Round to the nearest cent.)

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The amount of money in the account after 20 years is $7,187.10.

To find the amount of money in the account after 10 months, we need to use the formula for compound interest:
A = P(1 + r/n)^(nt)
Where:
A = the amount of money in the account after t years
P = the principal amount (the initial investment)
r = the annual interest rate (as a decimal)
n = the number of times the interest is compounded per year
t = the time period (in years)
In this case, P = $3,200, r = 0.036 (since 3.6% is the annual interest rate), n = 12 (since the interest is compounded monthly), and t = 10/12 (since we're calculating the amount after 10 months).
So, plugging in the values:
A = 3200(1 + 0.036/12)^(12*(10/12))
A = 3200(1 + 0.003)^10
A = 3200(1.033)^10
A = $3,407.39
Therefore, the amount of money in the account after 10 months is $3,407.39.
(B) Amount after 20 years: S (Round to the nearest cent.)
To find the amount of money in the account after 20 years, we'll use the same formula as above:
A = P(1 + r/n)^(nt)
This time, P = $3,200, r = 0.036, n = 12, and t = 20 (since we're calculating the amount after 20 years).
Plugging in the values:
A = 3200(1 + 0.036/12)^(12*20)
A = 3200(1 + 0.003)^240
A = 3200(2.246)
A = $7,187.10

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a system in which the value of currency issued by the government is based entirely on public faith that the currency will be acceptable in trade is select one: a. a private property system. b. a fiduciary system. c. a gresham system. d. a socialistic system.

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A system in which the value of currency issued by the government is based entirely on public faith that the currency will be acceptable in trade is a fiduciary system.

The term fiduciary is an individual or organization who operates on account of a different individual or persons, putting the best interests of their clients ahead of one's own, and who is required to preserve excellent faith and trust. Becoming a fiduciary means being ethically and legally bound to do what's in the most beneficial passions of the other party.

The fiduciary might be liable for another person's general well-being (for example, a child's legal guardian), but the obligation typically involves finances—for example, managing another person's or group of people's resources. Anyone who has legal responsibility for managing someone else's money, such as a member of a charity's investment committee, is considered an investment fiduciary.

Therefore, option B is the correct answer.

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How does an open market sale of a $100 government security to a bank appear on the T-account entries of Federal Reserve?

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The open market sale of a $100 government security to a bank would appear on the T-account entries of the Federal Reserve as a decrease in securities holdings and an increase in bank reserves.

When the Federal Reserve sells a government security to a bank, it receives payment in the form of reserves held by the bank. This increases the bank's reserves and decreases the Federal Reserve's holdings of securities. On the T-account, this transaction would be represented as a decrease in the securities holdings account and an increase in the bank reserves account. The opposite would occur if the Federal Reserve were to buy a government security from a bank, resulting in an increase in securities holdings and a decrease in bank reserves on the T-account entries.

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The adjusted trial balance columns of the worksheet for DeSousa Company are as follows. The owner did not make any additional investments in the business in April.

Debits :
Buildings $128,800
Accounts Receivable 14,800
Prepaid Insurance 4,000
Notes Payable 96,400
Equipment 61,300
Land 69,000
Insurance Expense 600
Depreciation Expense 7,000
Interest Expense 2,400
$306,900

Credits
Owner's Capital $119,300
Accumulated Depreciation-Buildings 42,300
Accounts Payable 11,200
Cash 19,000
Accumulated Depreciation-Equipment 18,300 Interest Payable 2,900
Service Revenue 16,500
$306,900
a. Prepare an Income statements

b. Post the closing entries to income summary and Retained Earnings

c. Prepare a post-closing trail balance at April 30

Answers

To prepare an income statement, we need to list all the revenues and expenses of DeSousa Company for the month of April. From the adjusted trial balance columns of the worksheet, we can see that there are no revenue accounts, so we only need to list the expenses. Option c

Expenses:
- Salaries and Wages Expense $42,000
- Rent Expense $8,000
- Insurance Expense $2,400
- Supplies Expense $3,800
- Depreciation Expense-Equipment $3,100
- Interest Expense $2,900
Total Expenses $62,200
To calculate the net income, we subtract the total expenses from zero, since there are no revenues:
Net Income $0
To prepare a post-closing trial balance at April 30, we need to list all the accounts with their adjusted balances after closing entries have been made:
Cash $23,700
Accounts Receivable $14,000
Prepaid Insurance $7,200
Equipment $87,000
Accumulated Depreciation-Equipment $18,300
Accounts Payable $9,700
Interest Payable $0
Salaries and Wages Payable $0
Unearned Rent Revenue $6,000
Owner's Capital $74,800
Owner's Drawings $5,000
Depreciation Expense-Equipment $0
Insurance Expense $0
Interest Expense $0
Rent Expense $0
Salaries and Wages Expense $0
Supplies Expense $0
Total Debits $130,200
Total Credits $130,200
This post-closing trial balance confirms that all the temporary accounts have been closed to the Owner's Capital account, which has a balance of $74,800, reflecting the net effect of the company's operations and any owner investments or withdrawals during the month of April. The Interest Payable account has a balance of zero, indicating that the interest expense for the month has been paid. Option c

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a firm makes a rights offer of one new share for four old shares at an issue price of 100 (n 1:4 - 100). (a) if the market price equals 200 on the last day before the stock goes ex, what is the ex-right market price per share? (b) what is the ex-right market price per share, if the market price equals 200 and the rights offer in the previous question (n 1:4 - 100) takes place at the same time as a stock dividend of one new share for four old shares (f 1:4)? (c) what is the ex-right market price per share, if the market price is 200, the firm makes a rights offer of one new share for four old shares at an offer price of 100 (n 1:4 - 100), and the next dividend of 20 per share is reserved for old shareholders? (d) what is the ex-right market price per share, if the market price is 200, the firm makes a rights offer of one new share for four old shares at an offer price of 100 (n 1:4 - 100), old shareholders receive the next dividend of 20 per share, and new shareholders receive half the next dividend of 10 per share?

Answers

a. The ex-right market price per share is 195.

b. When a stock dividend of one new share for four old shares ex-right market price per share is 160.

c. If the next dividend of 20 per share is reserved for old shareholders the ex-right market price per share is 200.

d. When old shareholders receive the next dividend of 20 per share, and new shareholders receive half the next dividend of 10 per share the ex-right market price per share is 201.6.

a. The ex-right market price per share can be calculated as follows:

Total value of old shares = 4 x 200 = 800

Value of subscription right = (100/5) = 20

Total value of old shares after ex-right = (800 - 20) = 780

Ex-right market price per share = (780/4) = 195

b. When a stock dividend of one new share for four old shares is issued at the same time as the rights offer, the ex-right market price per share can be calculated as follows:

Total value of old shares = 4 x 200 = 800

Total number of shares after the stock dividend = 5

Value per share after stock dividend = (800/5) = 160

Value of subscription right = (100/5) = 20

Total value of old shares after ex-right = (4 x 160) = 640

Ex-right market price per share = (640/4) = 160

c. If the next dividend of 20 per share is reserved for old shareholders, the ex-right market price per share can be calculated as follows:

Total value of old shares = 4 x 200 = 800

Value of subscription right = (100/5) = 20

Total value of old shares after ex-right = (800 - 20) = 780

Value of next dividend per share = 20

Ex-right market price per share = [(780 + 20)/4] = 200

d. When old shareholders receive the next dividend of 20 per share, and new shareholders receive half the next dividend of 10 per share, the ex-right market price per share can be calculated as follows:

Total value of old shares = 4 x 200 = 800

Value of subscription right = (100/5) = 20

Total value of old shares after ex-right = (800 - 20) = 780

Value of next dividend per share for old shareholders = 20

Value of next dividend per share for new shareholders = 10

Value of new share after dividend = (200 - 10) = 190

Value of subscription right after dividend = (90/5) = 18

Total value of old shares after ex-right and dividend = (780 + 20) = 800

Ex-right market price per share = [(800 + 190 + 18)/5] = 201.6

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The correct question is:

A firm makes a rights offer of one new share for four old shares at an issue price of 100 (n 1:4 - 100).

(a) If the market price equals 200 on the last day before the stock goes ex, what is the ex-right market price per share?

(b) What is the ex-right market price per share, if the market price equals 200 and the rights offer in the previous question (n 1:4 - 100) takes place at the same time as a stock dividend of one new share for four old shares (f 1:4)?

(c) What is the ex-right market price per share, if the market price is 200, the firm makes a rights offer of one new share for four old shares at an offer price of 100 (n 1:4 - 100), and the next dividend of 20 per share is reserved for old shareholders?

(d) What is the ex-right market price per share, if the market price is 200, the firm makes a rights offer of one new share for four old shares at an offer price of 100 (n 1:4 - 100), old shareholders receive the next dividend of 20 per share, and new shareholders receive half the next dividend of 10 per share?

here should rhonda put the administrative expenses for her business when she prepares the financial forecasts? a. in the operating expenses section b. administrative costs are included in cost of goods sold c. in the interest expense section d. administrative costs are subtracted from amount of sales.

Answers

Rhonda should put the administrative expenses for her business in the operating expenses section when she prepares the financial forecasts. Here option A is the correct answer.

When preparing financial forecasts for a business, it is essential to accurately categorize the various expenses to better understand the overall financial health of the business. In this scenario, Rhonda needs to determine where to put administrative expenses in her financial forecast.

Administrative expenses are the costs incurred by a business for its daily operations, such as rent, utilities, salaries, insurance, and office supplies. These expenses are separate from the cost of goods sold (COGS), which represents the direct costs associated with producing the goods or services sold by the business.

The most appropriate category for Rhonda to place administrative expenses in her financial forecast is the operating expenses section. This section includes all expenses that are necessary to run the business, such as rent, salaries, utilities, and other overhead costs. By separating administrative expenses from COGS, Rhonda can better analyze the impact of these expenses on the overall profitability of the business.

It is not correct to include administrative expenses in the COGS section since COGS only represents direct costs related to the production of goods or services. Likewise, it is not appropriate to categorize administrative expenses as interest expenses or subtract them from the amount of sales.

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What is the specific market failure justification for government spending on: A. Public universities, B. Health care, C. Trash pickup, D. highways, E. Police, F. Solar energy?
Would a purely private economy produce any of these services?

Answers

Public universities: One market failure justification for government spending on public universities is the presence of positive externalities. Education provides benefits not only to the individual student but also to society as a whole, through increased productivity, innovation, and economic growth.

Because these benefits are not fully captured by the individual, they may be underprovided by the market. Government spending on public universities can help correct this market failure by increasing access to education and promoting social and economic benefits. Health care: The market failure justification for government spending on healthcare is based on the existence of information asymmetry and the potential for adverse selection. Consumers may lack the knowledge or ability to assess their own health needs and the quality of available healthcare services. This can lead to market failure, where individuals may not purchase sufficient or appropriate health care services, leading to negative outcomes. Government spending can help correct this market failure by increasing access to healthcare and promoting social welfare.Trash pickup: The market failure justification for government spending on trash pickup is related to negative externalities. Individuals may not consider the full social cost of their waste disposal choices, such as pollution and environmental damage. Government spending can help correct this market failure by providing efficient and cost-effective waste management services that minimize negative externalities.

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which of the following is recorded with a debit to interest receivable and a credit to interest revenue?

Answers

Answer:

The amount of accrued interest for the party who is receiving payment is a credit to the interest revenue account and a debit to the interest receivable account.

you have a portfolio of two stocks held in equal weights. the abc stock has a beta of 1.7, and the xyz stock has a beta of -0.5. the risk free rate is 3% and the market risk premium is 8%. what is the return on the portfolio?

Answers

The return on the portfolio is 7.8%.

To calculate the return on your portfolio, we'll use the following terms and steps:

1. Portfolio beta (β): The weighted average of the individual stock betas.
2. Risk-free rate (Rf): The return on a risk-free investment (3% in this case).
3. Market risk premium (MRP): The difference between the expected return on the market and the risk-free rate (8% in this case).
4. Calculate the portfolio's expected return using the Capital Asset Pricing Model (CAPM).

Step 1: Calculate the portfolio beta:
Given that both stocks are held in equal weights (50% each), the portfolio beta is:
β_portfolio = (0.5 × β_ABC) + (0.5 × β_XYZ) = (0.5 × 1.7) + (0.5 × -0.5) = 0.85 - 0.25 = 0.6

Step 2: Use the risk-free rate as given: Rf = 3%

Step 3: Use the market risk premium as given: MRP = 8%

Step 4: Calculate the expected return using the CAPM formula:
Expected Return = Rf + β_portfolio × MRP = 3% + 0.6 × 8% = 3% + 4.8% = 7.8%

The return on the portfolio is 7.8%.

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