if the maximum loan-to-value ratio that a lender will accept on a house costing $100,000 is 90%, then the borrower must make a:

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Answer 1

The maximum LTV on a $100,000 house is 90%, then the borrower must make a down payment of $10,000 to qualify for a loan of $90,000.

If the maximum loan-to-value ratio that a lender will accept on a house costing $100,000 is 90%, then the borrower must make a down payment of $10,000 (which is 10% of the house price). Loan-to-value (LTV) is the ratio of the loan amount to the value of the property. In this case, if the maximum LTV is 90%, then the lender will provide a loan of $90,000 (which is 90% of $100,000), and the borrower must come up with the remaining $10,000 as a down payment.

The purpose of LTV is to assess the risk of the loan. The higher the LTV, the riskier the loan is for the lender because there is a greater chance of the borrower defaulting on the loan. Therefore, lenders usually set a maximum LTV for different types of loans, and borrowers must meet the requirements to qualify for the loan.

In summary, if the maximum LTV on a $100,000 house is 90%, then the borrower must make a down payment of $10,000 to qualify for a loan of $90,000.

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a group of prominent manufacturers, inventors, and naturalists is credited with inaugurating the

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The group you are referring to is likely the Royal Society of London, which was founded in 1660. The Royal Society was a society of natural philosophers, or scientists, who were dedicated to the pursuit of scientific knowledge. Among its founding members were prominent figures such as Robert Boyle, Christopher Wren, and John Wilkins.

Over the centuries, the Royal Society has played a key role in advancing scientific knowledge in a wide range of fields, from astronomy to zoology. Today, the Royal Society remains one of the most prestigious scientific organizations in the world, and its members continue to make important contributions to our understanding of the natural world.

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The HITECH part of the American Recovery and Reinvestment Act provided for the following: a. Programs to prevent fraud and abuse
b. Billions of dollars for the development of HIS C. Provisions for the hiring of HR staff d. Provisions for protecting personal health information

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The HITECH part of the American Recovery and Reinvestment Act provided for the development of health information technology, not the hiring of HR staff or programs to prevent fraud and abuse.

The act was passed in 2009 and aimed to modernize healthcare by promoting the adoption and meaningful use of health information technology. As part of the act, billions of dollars were allocated to incentivize healthcare providers to adopt electronic health records (EHRs) and to establish standards for the secure exchange of health information. The act also included provisions for the protection of personal health information, as well as penalties for noncompliance with the regulations. The ultimate goal of the HITECH Act was to improve patient outcomes, reduce healthcare costs, and increase efficiency in the delivery of healthcare services.

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what is the difference between the roles of the systems analyst and the project manager?

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The main difference between the roles of a systems analyst and a project manager is that a systems analyst focuses on understanding and designing solutions for business problems, while a project manager oversees the planning, execution, and completion of a project.

A systems analyst works closely with the organization's stakeholders to identify their needs and requirements, and then designs or recommends IT solutions to address these issues. Their responsibilities include analyzing existing systems, gathering requirements, and designing new solutions.
On the other hand, a project manager is responsible for leading a project from its inception to completion.

They coordinate resources, create project plans, monitor progress, manage risks, and ensure that the project is delivered on time and within budget. Project managers work with various team members, including systems analysts, to ensure that the project's goals are achieved.

In summary, the systems analyst focuses on understanding and addressing business needs through IT solutions, while the project manager is responsible for managing the overall project and ensuring its successful completion.

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Antonia sells pasta to all the finest Italian restaurants in town. Nobody can make pasta like Antonia. As a result, hers is the only business in town that sells pasta to restaurants. Assuming that Antonia is maximizing her profit, which of the following statements is true?
a. Pasta prices will be less than marginal cost.
b. Pasta prices will equal marginal cost.
c. Pasta prices will exceed marginal cost.
d. Pasta prices will be a function of supply and demand and will therefore oscillate around marginal costs.

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Answer:

C) Pasta prices will exceed the marginal cost.

Explanation:

Marginal cost - it is the change in total production cost that comes when there is an increase in the quantity produced.

since
Antonia has created a monopoly with her pasta this will result in her being also able to increase the prices of pasta while maintaining a low production cost so which will result in a high-profit margin with increased production quantity .

christy purchased 100 shares of good idea stock for $48 last year. yesterday she sold the stock for $45. if she received $4 in dividends during the time she held the security, what is her holding period return (round % to 2 decimals)?

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Christy's holding period return is -2.25%. Therefore, the answer is -2.25%.

Christy purchased 100 shares of good idea stock for $48 last year. Yesterday she sold the stock for $45. If she received $4 in dividends during the time she held the security. To find out Christy's holding period returnWe use the formula:

Holding period return = Dividend income + ((Ending price - Beginning price) / Beginning price) x 100

Dividend income = $4

Ending price = $45

Beginning price = $48

Let's plug these values into the above formula: Holding period return = 4 + ((45 - 48) / 48) x 100

Holding period return = 4 - (3/48) x 100

Holding period return = 4 - 6.25

Holding period return = -2.25

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Which of the following groups are considered to be internal users of accounting information? a.employees and managers b.government entities and banks c.customers and vendors d.employees and customers

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The best option  is a. employees and managers. Internal users of accounting information refer to individuals or groups within an organization who use financial information to make decisions.

In this case, employees and managers are considered internal users because they work for the company and need financial information to help with their job responsibilities. An explanation is that employees may use accounting information to help with budgeting, forecasting, or determining compensation, while managers may use it to make strategic decisions or evaluate performance. Government entities and banks, customers and vendors, and employees and customers are considered external users of accounting information. In conclusion, internal users of accounting information are individuals or groups within a company who use financial information for decision-making, and the correct group of internal users in this question is employees and managers.

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which development process allows for changes and adjustments in technology throughout the development?

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The development process allows for changes and adjustments in technology throughout the development is Scrum/Agile.

The term "scrum," which is short for "scrummage," derives from rugby and refers to starting play again after a minor rule violation. Players congregate tightly to win possession of the ball and cooperate to advance it when a scrum begins. Although this might appear completely unrelated to software, Hirotaka Takeuchi and Ikujiro Nonaka used it in a 1986 Harvard Business Review article to explain a parallel between rugby teams and product development teams.

They used the phrase to express how every team member worked closely with one another to advance a project little by little. Jeff Sutherland improved on this and continued to apply the idea and methodology to software development. According to a survey, due to scope creep and feature bloat, the majority of features deployed in typical waterfall projects were never used or required by consumers. With Scrum, you mercilessly prune the release backlog at the end of each sprint to swiftly eliminate these unneeded features (and their related costs). The short-time boxes address increment delivery by lowering the possibility of hazards manifesting during the sprint.

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_______________ argue that fiscal policy is weak due to the crowding-out effect.

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Some economists argue that fiscal policy is weak due to the crowding-out effect. This effect occurs when the government increases its spending, which in turn leads to higher interest rates.

Higher interest rates make it more expensive for businesses and individuals to borrow money, reducing their willingness to invest and spend. As a result, the impact of government spending is reduced and can be offset by the reduction in private sector spending. Critics of fiscal policy argue that this crowding-out effect undermines the effectiveness of government spending as a tool to stimulate economic growth. However, proponents of fiscal policy point out that the crowding-out effect is not always present and that government spending can be used effectively to support economic growth in specific situations.
Some economists argue that fiscal policy is weak due to the crowding-out effect. The crowding-out effect occurs when government spending increases, resulting in a decrease in private investment. This happens because the government borrows funds from the financial market, causing interest rates to rise. Higher interest rates make borrowing more expensive for businesses and individuals, leading to reduced private investment. Consequently, the initial boost in economic activity due to increased government spending may be offset by the decline in private investment, rendering fiscal policy less effective in stimulating economic growth.

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which of the following is the assertion with the highest inherent risk in auditing inventory?
a. completeness
b. rights
c. existence
d. properly classification on the balance sheet

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Option c, existence. Explanation: Inherent risk is the risk that exists in the absence of any internal control procedures.

The assertion with the highest inherent risk in auditing inventory is the assertion of existence because it is difficult to determine whether the inventory physically exists or not, especially in cases where there is a high volume of inventory or when the inventory is located in remote areas.

Therefore, auditors need to perform thorough procedures to verify the existence of inventory.


In summary, the assertion with the highest inherent risk in auditing inventory is existence due to the difficulty in verifying the physical existence of inventory. Auditors need to perform extensive procedures to ensure the validity of the existence assertion.

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suppose an import quota of 100 is imposed in the domestic market. what will be the new market price of suga

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With an import quota of 100 imposed in the domestic market, the new market price of sugar will increase due to a reduction in supply.


An import quota is a restriction on the quantity of a product that can be imported. When a quota of 100 is imposed on sugar, it limits the amount of sugar that can be brought into the domestic market.

This restriction results in a decrease in the overall supply of sugar, causing the demand for sugar to exceed the available supply.

As a result, the market price of sugar will increase to balance the demand and the limited supply.



Summary: In conclusion, the imposition of an import quota of 100 in the domestic market will lead to a rise in the market price of sugar due to the reduced supply and increased demand.

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a special surveillance and rescue team is being deployed to counter the menace of pirates in the indian ocean. nick, sid, leah, and kevin are the core members of the team. nick was elected as the leader of the team. sid is responsible for monitoring the team's progress toward its goals. kevin took on the role of motivator and confidence builder for the team. this team has worked together before and has developed a high level of common understanding regarding the team and its mission. members also strongly believe that the team can be effective across a variety of situations and tasks. as a standard practice, before deployment, the team members observe how other members perform their roles by shadowing and going through simulations.19. sid's role of monitoring the team's progress contributes to which of the following teamwork processes?transitionactioninterpersonalcreative

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Sid's role of monitoring the team's progress contributes to the action teamwork process. In this process, the team members are focused on achieving their goals and objectives.

Sid's responsibility of monitoring the team's progress towards its goals helps the team stay on track and ensures that they are making progress towards achieving their objectives.

The action process is an essential component of effective teamwork. In this process, team members are focused on accomplishing their goals and tasks. Sid's role of monitoring the team's progress ensures that the team stays on course and makes progress towards achieving their objectives.

This process involves establishing clear goals, identifying the steps required to achieve those goals, and monitoring progress along the way. Sid's monitoring helps to ensure that the team stays focused and motivated towards achieving their objectives, making him an essential member of the team. Therefore, Sid's role of monitoring the team's progress contributes to the action process of teamwork.

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Which of the following would normally be banking book assets rather than trading book assets?
A. Capital
B. Short position in bonds
C. FX forward contracts
D. Long-term loans
E. Options on interest rates

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Long-term loans and capital would normally be considered banking book assets rather than trading book assets. Banking book assets are assets that are held by banks for the purpose of generating long-term income, such as loans that are held to maturity or investments in fixed-income securities.

These assets are typically held on the bank's balance sheet at their historical cost and are subject to prudential regulations and risk management practices.

In contrast, trading book assets are held by banks for the purpose of generating short-term profits from market movements, such as derivatives and securities that are actively traded. These assets are marked-to-market and are subject to market risk and volatility.

Short positions in bonds, FX forward contracts, and options on interest rates are typically considered trading book assets, as they are used for short-term trading purposes and are subject to market risk.

However, this may depend on the specific circumstances and the bank's internal policies and risk management practices.

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you are set to receive an annual payment of $11,700 per year for the next 13 years. assume the interest rate is 6.6 percent. how much more are the payments worth if they are received at the beginning of the year rather than the end of the year? multiple choice $6,932.81 $6,602.68 $5,880.51 $6,190.01 $6,396.34

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The closest option is $6,396.34, but this is not the correct answer. The correct answer is that the payments are worth $6,280.81 more if they are received at the beginning of the year rather than the end of the year.

To calculate the value of receiving the payments at the beginning of the year rather than the end, we need to use the concept of present value. The present value of an annuity is the current value of all future payments, discounted at the given interest rate.

To calculate the present value of this annuity, we can use the formula:

PV = C * [(1 - (1 + r)^-n) / r]

where PV is the present value, C is the annual payment, r is the interest rate, and n is the number of years. Plugging in the values, we get:

PV = 11,700 * [(1 - (1 + 0.066)^-13) / 0.066]
PV = $111,404.63

This is the present value of the annuity if the payments are received at the end of the year. To calculate the present value if the payments are received at the beginning of the year, we need to adjust for the time value of money. Essentially, receiving the payments earlier means that we can earn interest on them for an extra year, so they are worth more.

To adjust for this, we can use the formula:

PV(beginning) = PV(end) * (1 + r)

where PV(beginning) is the present value of the annuity if the payments are received at the beginning of the year, PV(end) is the present value if the payments are received at the end of the year, and r is the interest rate. Plugging in the values, we get:

PV(beginning) = 111,404.63 * (1 + 0.066)
PV(beginning) = $118,685.44

So the present value of the annuity if the payments are received at the beginning of the year is $118,685.44. The difference between this value and the present value if the payments are received at the end of the year is:

118,685.44 - 111,404.63 = $6,280.81

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Which of the following are examples of key performance indicators [kpis]? (choose all that apply)
your conversion rate for purchases a measurement of website traffic to your new product page
a pie graph that breaks down your audience’s favorite color
the number of subscriptions/sales

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The examples of key performance indicators (KPIs) include your conversion rate for purchases, the measurement of website traffic to your new product page, and the number of subscriptions/sales.

These KPIs are crucial metrics that help businesses determine their progress towards achieving their goals. Conversion rate measures the percentage of visitors who take a specific action, such as making a purchase. Website traffic to a new product page shows how many people are interested in the new product. The number of subscriptions/sales indicates the revenue generated by the business. A pie graph that breaks down the audience's favorite color is not a KPI as it does not directly measure the business's performance.

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CPA Firm A has performed most of the audit of Consolidated Company's financial statements and qualifies as the group auditor. CPA Firm B did the remainder of the work. Firm A wishes to assume full responsibility for Firm B's work. Which of the following statements is correct? A) Such assumption of responsibility violates the profession's standards. B) In such circumstances, when appropriate requirements have been met, Firm A should issue an unmodified opinion on the financial statements but should make appropriate reference to Firm B in the audit report. C) CPA firm A should normally qualify its audit report on the basis of the scope limitation involved when another CPA firm is involved. D) In such circumstances, when appropriate requirements have been met, Firm A should issue a standard unmodified opinion on the financial statements.

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The correct statement in this scenario is D) In such circumstances, when appropriate requirements have been met, Firm A should issue a standard unmodified opinion on the financial statements.

In this case, CPA Firm A has performed most of the audit work for Consolidated Company's financial statements and qualifies as the group auditor, while CPA Firm B has done the remainder of the work. If Firm A wishes to assume full responsibility for Firm B's work, it must adhere to certain professional standards.

According to the International Standards on Auditing (ISA) 600, the group auditor can assume full responsibility for the work done by another auditor if certain conditions are met. These include having a clear understanding of the work done by the other auditor, ensuring that the work is of satisfactory quality, and ensuring that the work is adequately documented.

If these conditions are met, the group auditor (in this case, Firm A) can issue an unmodified opinion on the financial statements, without any reference to the work done by the other auditor (Firm B). However, it is important to note that the group auditor must still disclose in their report the fact that another auditor (Firm B) was involved in the audit work, and the extent of their involvement.

Therefore, option D is the correct statement, and the appropriate course of action for Firm A in this scenario, assuming all relevant requirements have been met.

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A pricing strategy is
A. a long-term approach to setting prices in a companywide integrated effort.
B. the use of one-time seasonal discounts to reduce inventory.
C. the use of slotting allowances to gain access to distribution channels.
D. a short-term approach to setting prices.
E. associated with competitive threats in the marketplace.

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A pricing strategy refers to a long-term approach to setting prices in a companywide integrated effort. It involves considering various factors such as the costs of production, desired profit margins, competition, and customer behavior to determine the optimal pricing for a product or service.

A pricing strategy is not a one-time or short-term approach, but rather a continuous process of evaluating and adjusting prices to meet changing market conditions.

While competitive threats in the marketplace can influence pricing decisions, a pricing strategy involves considering broader business objectives and aligning pricing decisions with overall company goals.

Pricing strategies can also include the use of discounts, promotions, and other tactics to attract and retain customers and drive sales.

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after estimating its payroll for the year, an employer usually pays workers' compensation insurance

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After estimating its payroll for the year, an employer usually pays workers' compensation insurance to provide benefits to employees who suffer job-related injuries or illnesses.

This insurance is required by law in most states in the United States, and the cost of the insurance is based on the employer's payroll and the level of risk associated with the industry. The purpose of workers' compensation insurance is to provide financial protection to employees who are injured or become ill due to their work. It also helps to protect employers from lawsuits filed by employees seeking damages for workplace injuries or illnesses.

Workers' compensation insurance typically covers medical expenses, lost wages, and rehabilitation costs for employees who are injured or become ill due to their work. The cost of the insurance can vary depending on the industry and the level of risk associated with the work.

For example, industries with a higher risk of injury or illness, such as construction or manufacturing, may have higher workers' compensation insurance premiums than industries with a lower risk, such as office work. Employers may also be required to provide training and safety equipment to reduce the risk of workplace injuries and illnesses, which can help to lower the cost of workers' compensation insurance in the long run.

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ambrosio, a marketing executive, distributes samples of a new detergent to prospective buyers and requests them to voice their thoughts as they use the product. this is an example of .

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Ambrosio's act of distributing samples of a new detergent to prospective buyers and requesting their feedback as they use the product is an example of product testing.

Product testing is a marketing research technique that involves giving potential customers free samples of a product to try out and provide their opinions and thoughts on the product. This feedback is then used to improve the product or adjust marketing strategies to better appeal to the target audience.

Product testing is a valuable tool for businesses to gather information about their product's strengths, weaknesses, and areas for improvement. It provides an opportunity for businesses to get firsthand insights from potential customers, which can help them understand what customers want and how to meet their needs.

This feedback can be used to develop new products, improve existing products, or tailor marketing campaigns to better target specific customer segments.

In summary, Ambrosio's act of distributing samples of a new detergent and requesting customer feedback is an example of product testing, which is a valuable marketing research technique used to gather insights from potential customers and improve products and marketing strategies.

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Which of the following is assigned to goods that were either purchased or manufactured for resale? A. Opportunity cost. B. Period cost. C. Product cost.

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The answer is C. Product cost. Product cost is assigned to goods that were either purchased or manufactured for resale and includes direct materials, direct labor, and manufacturing overhead.

These costs are assigned to products and recorded as inventory until the products are sold, at which point they are recognized as cost of goods sold on the income statement. Opportunity cost is the value of the next best alternative that is forgone as a result of choosing a certain course of action. Period costs, on the other hand, are not directly related to the production process and are expensed in the period incurred, such as selling and administrative expenses.

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cost of goods sold on the income statement reports the . multiple choice question. cost of merchandise available to sell at the end of the period amount of cash paid during the period cost times the quantity of goods sold during the period cost of merchandise purchased during the period

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The cost of goods sold (COGS) on the income statement reports the cost times the number of goods sold during the period.

The cost of goods sold (COGS) is an important component of the income statement, as it represents the direct costs associated with producing or acquiring the goods that a company sells. It includes the cost of raw materials, labor, and other direct expenses necessary to manufacture or purchase the products. COGS is calculated by multiplying the cost per unit by the quantity of goods sold during the period.

This figure is crucial for determining a company's gross profit, which is calculated by subtracting COGS from the total revenue. The other options mentioned (cost of merchandise available to sell at the end of the period, amount of cash paid during the period, and cost of merchandise purchased during the period) are not the correct definitions of COGS on an income statement.

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True or false?: Any action taken by a financial manager that increases risk will also increase the required return.

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True. Any action taken by a financial manager that increases risk will also increase the required return.

According to the principles of finance, increasing risk will also increase the required return. This is because investors expect to be compensated for taking on additional risk, and a higher return is one way to do so. Therefore, financial managers must carefully consider the potential risks and rewards of any decision that may increase risk.


Hence, True, any action taken by a financial manager that increases risk will generally also increase the required return. This is because investors demand a higher return for taking on more risk, as compensation for the additional uncertainty associated with the investment.

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Which level of fear is most likely to succeed in an advertisement?
A) a low, non-threatening level
B) a moderate level
C) high levels
D) it's not the level of fear that matters, it's the type

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When it comes to using fear in advertising, research has shown that a moderate level of fear is most likely to succeed. This level of fear is enough to grab the audience's attention and motivate them to take action, but not so overwhelming that it leads to avoidance or denial.

However, it's important to note that the type of fear being used is just as important as the level. For example, using fear to promote a product or service that has nothing to do with the fear being presented can backfire and lead to negative associations with the brand. Additionally, using fear too frequently or inappropriately can desensitize the audience and reduce the effectiveness of the tactic. Ultimately, the success of using fear in advertising depends on how well it is executed and whether it is appropriate for the product or service being promoted. Marketers should carefully consider the level and type of fear they use, and aim for a balance between grabbing the audience's attention and avoiding overwhelming them.

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what kind of follow-up should you send after an interview? responses a cover letter a cover letter an interview note an interview note a thank-you note a thank-you note a resignation letter

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A thank-you note is the most appropriate follow-up after an interview. A resignation letter is only necessary if you have accepted a job offer and need to resign from your current position.

After an interview, it is important to follow up with the interviewer to show your appreciation and reiterate your interest in the position. The most appropriate way to do this is by sending a thank-you note. This can be a handwritten or email message that thanks the interviewer for their time and the opportunity to discuss your qualifications for the role. In the note, you can also restate your interest in the position and highlight any key points from the interview that you found particularly interesting or compelling.

It is best to send the thank-you note within 24 hours of the interview to ensure that the interviewer remembers you and your enthusiasm for the position. A resignation letter is only necessary if you have accepted a job offer and need to resign from your current position.

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in her talk on why business models matter, ann miura-ko of floodgate ventures says that she likes to see a business model for a new venture because it shows:

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Ann Miura-Ko, a prominent venture capitalist, emphasizes the importance of having a solid business model when launching a new venture. According to her, having a business model is crucial as it helps entrepreneurs to articulate their ideas and determine how their company will generate revenue.

It also enables them to identify potential customers, understand market dynamics, and evaluate their competitors. Furthermore, a well-structured business model helps to determine the feasibility and sustainability of a new venture, which is essential for securing investment and support from investors and stakeholders.

Overall, a business model is an essential tool that provides entrepreneurs with a roadmap for building a successful and profitable business. It helps to clarify their vision, articulate their value proposition, and determine the best strategies to achieve their goals. Therefore, entrepreneurs should prioritize developing a sound business model that aligns with their overall business strategy, market needs, and long-term goals. By doing so, they will be well-positioned to create a sustainable and profitable business that can thrive in a competitive market.

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consider an asset that costs $720,000 and is depreciated straight-line to zero over its 10-year tax life. the asset is to be used in a 8-year project; at the end of the project, the asset can be sold for $207,000. if the relevant tax rate is 22 percent, what is the aftertax cash flow from the sale of this asset?

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If, the relevant tax rate is 22 percent. Then, the aftertax cash flow from the sale of this asset is $49,140.

The depreciable basis of the asset is $720,000 since it is being depreciated straight-line to zero over 10 years. This means that the annual depreciation expense is $72,000 ($720,000 / 10).

To find the book value of the asset at the end of the 8-year project, we need to subtract the accumulated depreciation from the initial cost of the asset. The accumulated depreciation after 8 years is $576,000 ($72,000 x 8), so the book value of the asset is $144,000 ($720,000 - $576,000).

When the asset is sold for $207,000, the company will recognize a gain of $63,000 ($207,000 - $144,000). However, this gain is subject to a tax rate of 22%, so the aftertax gain is;

$63,000 x (1 - 0.22) = $49,140

Therefore, the aftertax cash flow from the sale of this asset is $49,140.

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Problem 1. You have just purchased a home by borrowing $400,000 for 30-years at a fixed APR of 3.87%. The loan payments are monthly and interest is compounded monthly.
a. What is the periodic interest rate? (I.e., what is the monthly interest rate?)
b. What is the effective annual rate on the loan? (I.e., what is the interest rate once we take into account compounding?)
c. What is the monthly mortgage payment?
(Hint: A mortgage is just an annuity where the borrowed amount is the present value of the annuity. So, use the annuity formula, but solved for the cash flow in terms of the present value:
CF =PV×R/k 1−(1+R/k)−T×k)

Answers

The periodic interest rate is 0.3225%, the effective annual rate on the loan is 30% and the monthly mortgage payment is $ 1879.80.

Amortization, the process of repaying a mortgage loan, is frequently structured so that monthly payments are required. The amortization schedule shows how the equal monthly payment is split between paying off the principal and paying off the interest.

We can involve the accompanying equation to figure the regularly scheduled installment for a credit with head P, month to month loan fee r and number of regularly scheduled installments T:

[tex]\frac{Pr}{1-(1+r)^{-T}}[/tex]

In this inquiry, the credit sum is 400,000, month to month financing cost is:

3.87% / 12 = 0.3225%, and there are 30*12 = 360 monthly payments.

[tex]\frac{400,000*0.3225}{1-(1+0.3225)^{-360}}[/tex]

= 1879.80.

A drawn-out credit meant to help you buy a house is called a home loan. In addition to repaying the principal, you must also pay the lender interest. The land surrounding the home serves as insurance. However, you need to know more than these generalities if you want to own a home. Businesses can benefit from this idea, particularly when it comes to fixed costs and shutdown points.

As a general rule, a 20% initial investment is attractive, for the most part since, supposing that your up front installment is under 20%, you are expected to take out confidential home loan protection (PMI), making your regularly scheduled installments higher. However, desirable is not always attainable. There are mortgage programs that allow for much lower down payments, but if you can afford to put down 20%, you should definitely do so.

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a short sale transaction will be profitable when prices are falling. group of answer choices true false

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True, a short sale transaction can be profitable when prices are falling.

In a short sale transaction, the investor borrows a security and sells it on the market with the hope that its price will decline.

The investor then buys back the security at a lower price and returns it to the lender, pocketing the difference between the sale price and the purchase price. This means that if prices are falling, the investor can buy back the security at a lower price and profit from the difference. However, it's important to note that short selling can be risky as there is no limit to how much a stock's price can rise. If the price of the security rises instead of falls, the investor can suffer significant losses. Additionally, short selling can be subject to high transaction costs and margin requirements, which can eat into potential profits. Therefore, it's important to carefully evaluate market conditions and assess the risks before engaging in a short sale transaction.

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list the factor other than profit which act as a regulating force of economic activity​

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In order to control and alter economic behaviors, governments typically impose legislation on people and private sector businesses. The interests of persons who use public services, commercial practices (such as maximizing profit), the interests of those not directly involved in transactions (externals), and commercial and external interests can all come into conflict.

Therefore, most countries have some sort of legislation or oversight to handle these potential conflicts. Economic regulation should aim to assure the provision of a safe and adequate service while not impeding on the efficient operation and growth of firms.

Several components can make up regulation:

public regulations, benchmarks, or expected pronouncements;

a registration or licensing procedure to approve and grant permission for the provision of a service, generally by a designated entity or individual;

a procedure for inspecting conformity with standards, such as managing and reporting instances of non-compliance with them; or

the implementation of price limits, particularly for natural monopolies, through price-cap regulation or rate-of-return regulation.

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what percent should the employer withhold for virginia withholding for an employee who is to receive a separate supplemental payment for vacation? the employer is using a flat percentage rate.

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The employer should withhold Virginia state income tax at a flat rate of 4.3% for the supplemental payment for vacation.

According to the Virginia Department of Taxation, if the employer is using a flat percentage rate to withhold state income tax, the rate for supplemental payments such as vacation pay should be the same as the rate for regular wages. Currently, the flat rate for Virginia state income tax is 4.3%. Therefore, the employer should withhold 4.3% of the supplemental payment amount for vacation as Virginia state income tax.
It's important to note that the employer may also need to withhold federal income tax and FICA taxes (Social Security and Medicare) from the supplemental payment. The federal income tax withholding rate depends on the employee's W-4 form and the supplemental payment amount, while the FICA tax rate is 7.65% for both the employer and the employee.
In summary, the employer should withhold Virginia state income tax at a flat rate of 4.3% for the supplemental payment for vacation. However, they may also need to withhold federal income tax and FICA taxes from the payment.

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according to of when vertical integration creates value, vertical integration is valuable when it reduces threats from a firm's suppliers or buyers due to any transaction-specific investments a firm has made. group of answer choices opportunism-based explanations opportunity-based explanations firm capability explanations corporate strategy explanations

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Vertical integration is useful when it minimizes pitfalls from a establishment's suppliers or buyers, according to B) occasion- grounded explanations of when it provides value.

Investments relate to means as a resource or thing bought with the intention of producing a profit or appreciating in value in the future and serving the investor. To increase gains, investments are made in bonds, stocks, real estate, and a variety of other enterprises.

Vertical integration is a business approach that allows a pot to streamline its operations by acquiring direct power of colorful stages of the manufacturing process rather than depending on outside contractors or suppliers.

Vertical integration can be achieved by acquiring or forming one's own suppliers, manufacturers, distributors, or retail outlets rather than outsourcing them. Vertical integration, on the other hand, may be regarded as a parlous implicit disadvantage due to the considerable original capital expenditure needed.

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Correct question:

According to _____ of when vertical integration creates value, vertical integration is valuable when it reduces threats from a firm's suppliers or buyers due to any transaction-specific investments a firm has made.

A) firm capability explanations

B) opportunity-based explanations

C) flexibility-based explanations

D) opportunism-based explanations

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