Indigo Bottling Corporation is considering the purchase of a new bottling machine. The machine would cost $510,000 and has an estimated useful life of 8 years with zero salvage value. Management estimates that the new bottling machine will provide net annual cash flows of $89.250. Management also believes that the new bottling machine will save the company money because it is expected to be more reliable than other machines, and thus will reduce downtime. Click here toview PV tables. How much would the reduction in downtime have to be worth in order for the project to be acceptable? Indigo's discount rate is 9%. (Usc the above table.) (Round factor values to 5 decimal places, e. $1.25124 and final answer to 0 decimal places, e.g. 5.275. ) Reduction in downtime would have to have a present value

Answers

Answer 1

The reduction in downtime would have to have a present value of at least $187,215.95 for the project to be acceptable.

to calculate this value, we need to find the present value of the net annual cash flows generated by the reduction in downtime over the 8-year useful life of the machine. Using the PV table and a discount rate of 9%, we can determine that the present value factor for 8 years at a discount rate of 9% is 5.75991. Dividing the net annual cash flows ($89,250) by this present value factor gives us the required present value of $187,215.95. In other words, the present value of the cost savings resulting from the reduced downtime must be at least $187,215.95 in order for the project to be financially viable, considering the discount rate of 9% and the expected cash flows over the machine's useful life.

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Related Questions

a. The process for the cost of debt assumes the times interest earned is a good proxy for measuring credit risk, what other financial variables, if any should be considered (is interest coverage the only variable that provides information about ability to pay? Are there other ratios that might help? Can interest coverage be misleading? given it uses EBIT not cash flow?) We adjust the interest coverage ratio assuming the total amount of debt is financed at the cost of debt in the chart (essentially refinancing all of the firm’s debt) is this realistic? - does this assumption limit the applicability of your results (if so, how)?
b. The base level of interest rates, the risk free rate, and yield spreads all change over time. How important are the changes in calculating the optimal level? Since the estimate is based on the current environment does it matter if these inputs change based on the economic environment? Do changes in these inputs increase or decrease the accuracy of estimate of the optimal capital structure – why and/or how? The firm will likely not make drastic changes in its capital structure frequently – do you think your estimate would remain relatively stable as these variables change or would it change frequently and how would that impact the firm’s decisions?
c. The starting value for beta may change over time, does this limit your results or is using the current beta an appropriate assumption (explain - how consistent do you think Beta is over time, how do changes in the market environment impact beta – or do they?)?
d. The credit spreads can change as the broad economy changes. The spread used represent estimates of the current yield spreads based on a ten year maturity for different bond ratings, is this the best approach or would an average spread for each credit risk level be more appropriate.

Answers

In addition to interest coverage, other financial variables that can be considered in measuring credit risk include debt to equity ratio, cash flow coverage, liquidity ratios, and profitability ratios.

Interest coverage may not provide the complete picture of a firm's ability to pay, and it can be misleading since it uses EBIT instead of cash flow. The assumption of refinancing all of the firm's debt at the cost of debt in the chart is not always realistic since the firm may have debt with varying maturities and interest rates, and this assumption can limit the applicability of the results.

Changes in the base level of interest rates, the risk-free rate, and yield spreads are important in calculating the optimal level of capital structure since they affect the cost of debt and the cost of equity. Although the estimate is based on the current environment, changes in these inputs can affect the accuracy of the estimate of the optimal capital structure.

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You want to save $200 a month to buy a new car, which is estimated to cost $50,000. You have access to an investment which earns 8% compounded monthly. a) How many months will it take until you have at least $50,000 in the account? What would be your total interesi earned? b) How many months will it take if you save $50 weekly instead, and the interest rate was rather 34.66% compounded weekly? What would be your total interest earned in this case? c) Which of the two options would you choose, and why?

Answers

a.Total interest earned = (82 * $200) - $50,000 = $16,400,  b.Total interest earned = (51 * $50) - $50,000 = $2,550 ,  c.would take approximately 51 months to save the same amount but with a lower interest rate, resulting in only $2,550 in interest.

a) To calculate the number of months required to save $50,000 with a monthly compounded interest rate of 8%, we need to use the formula for compound interest:

A = P(1 + r/n)^(nt)

Where:

A = the future value of the investment (which is $50,000)

P = the principal amount (the monthly savings, which is $200)

r = the annual interest rate (8%, or 0.08)

n = the number of times the interest is compounded per year (12, since it's compounded monthly)

t = the number of years

Since we want to find the number of months (t), we can rearrange the formula as follows:

t = (log(A/P) / log(1 + r/n)) / n

Plugging in the values, we have:

t = (log(50000/200) / log(1 + 0.08/12)) / 12 ≈ 81.61 months

Therefore, it will take approximately 82 months (rounded up) to accumulate at least $50,000. The total interest earned can be calculated by subtracting the total savings from the final amount:

Total interest earned = (82 * $200) - $50,000 = $16,400

b) To determine the number of months required to save $50,000 with a weekly compounded interest rate of 34.66%, we'll follow a similar approach. Using the formula:

A = P(1 + r/n)^(nt)

Where:

A = $50,000

P = the weekly savings ($50)

r = the annual interest rate (34.66%, or 0.3466)

n = the number of times the interest is compounded per year (52, since it's compounded weekly)

t = the number of years (which we'll solve for)

Rearranging the formula to solve for t:

t = (log(A/P) / log(1 + r/n)) / n

Plugging in the values:

t = (log(50000/50) / log(1 + 0.3466/52)) / 52 ≈ 4.28 years

Therefore, it will take approximately 4.28 years (or about 51 months) to accumulate at least $50,000. The total interest earned is calculated as:

Total interest earned = (51 * $50) - $50,000 = $2,550

c) In this case, option a would be more favorable because it takes less time to accumulate the desired amount of money and offers a higher annual interest rate. With option a, it would take around 82 months to save $50,000 and earn $16,400 in interest. Option b, on the other hand, would take approximately 51 months to save the same amount but with a lower interest rate, resulting in only $2,550 in interest.

By choosing option a, you can reach your goal sooner and benefit from compounding interest at a higher rate. The longer time frame and higher interest rate make it a more advantageous choice for achieving your savings target.

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What's your analysis of the Pollock v. Farmers’ Loan & Trust
Co., 157 U.S. 429 (1895) case

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The Pollock v. Farmers' Loan & Trust Co., 157 U.S. 429 (1895) case was a U.S. Supreme Court case that established that direct taxation had to be distributed uniformly across the states, which led to the striking down of the 1894 income tax legislation. The legislation would have levied a 2 percent income tax on people with incomes above $4,000.

The court declared that direct taxes had to be apportioned among states according to their populations, according to the case, meaning that no state could be required to pay more than its fair share of direct taxes. The court believed that income tax was an example of a direct tax that must be distributed uniformly.

The decision sparked political uproar, prompting the 16th Amendment to the U.S. Constitution in 1913. The 16th Amendment was ratified, allowing Congress to impose taxes on income regardless of the source and without apportionment among the states.

The Supreme Court's decision in Pollock v. Farmers' Loan & Trust Co. was a significant event in the history of federal taxation since it led to the 16th Amendment's adoption, which allowed the federal government to enact a graduated income tax that was not subject to the apportionment requirement.

The case is frequently referenced in constitutional law and tax law, and it is widely recognized as a watershed moment in the evolution of federal taxation law.

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How important is design to goods, services, brands, and companies? Using the provided audio summary of research on the topic of design please consider how businesses add value by using design as a tool. Research shows that revenue, shareholder value, and profit margins rise in organizations that focus efforts on design.
After listening to the podcast audio, please share some of your own examples of design and business success from either personal experience as a consumer or some additional informal research you do on this topic. What is your opinion what the importance of this topic?

Answers

Design plays an essential role in goods, services, brands, and companies. It has the potential to turn an average product into a successful one.

Good design provides a better experience, creates a positive impression and offers clear communication.

Well-designed products or services usually come with higher perceived value and can demand higher prices.

As a result, it can directly affect a company's revenue, shareholder value, and profit margins.

Design has proven to be a powerful tool for businesses to stand out from their competition, especially in the current marketplace.

Consumers are willing to pay more for products or services that offer quality design and experience.

It provides a competitive advantage to businesses and acts as a significant differentiator.

Companies that use design to create unique products or services are more likely to attract customers and develop loyal relationships with them.

For instance, Apple's design has been a key driver of its success.

Its sleek and innovative product design provides its customers with a unique experience,

leading to a competitive advantage in the market.

As a consumer, I am impressed by the level of detail and design that goes into some of the products that I use.

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the following statement true or false: Nominal variables are adjusted for inflation and show prices/wages at constant prices.

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The statement "Nominal variables are adjusted for inflation and show prices/wages at constant prices" is false. Nominal variables are not adjusted for inflation and do not account for changes in the general level of prices or wages.

Nominal variables are raw data, unadjusted for any changes in the economy or inflation rate. Nominal variables are used to measure current economic variables without adjusting for inflation. However, real variables are adjusted for inflation and show prices/wages at constant prices.

Real variables are nominal variables that have been adjusted for inflation using a price index such as the Consumer Price Index (CPI). Real variables reflect changes in the economy by taking into account the effect of inflation on nominal variables.

Thus, real variables provide a more accurate picture of economic conditions than nominal variables.

Real GDP is an example of a real variable, while nominal GDP is an example of a nominal variable .

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IFRS differs from ASPE because under ASPE, cash inflows from interest and dividends A. may be reported as operating, investing, or financing activities on the cash flow statement. B. are required to be reported as operating activities on the cash flow statement. C. are required to be reported as financing activities on the cash flow statement. D. can be changed from period to period between operating, investing, or financing activities.

Answers

International Financial Reporting Standards (IFRS) and Accounting Standards for Private Enterprises (ASPE) differ from each other in the way they treat interest and dividends cash inflows.

In IFRS, the classification of interest and dividends cash inflows on the cash flow statement are different from that of ASPE.IFRS distinguishes between cash inflows and outflows from operating, investing, and financing activities on the cash flow statement. Interest and dividend cash inflows are presented as either an investing or an operating activity in the cash flow statement. Interest and dividend cash inflows are reported as an investing activity in the cash flow statement when they are earned in connection with the acquisition, holding, or disposal of a long-term asset.

This is because ASPE has a single classification of cash inflows and outflows from operating activities. Under ASPE, interest and dividends cash inflows are classified as operating activities on the cash flow statement regardless of how they are earned. ASPE's approach is different from IFRS since interest and dividends may be reported as operating, investing, or financing activities on the cash flow statement.The correct answer is B. Interest and dividend cash inflows are required to be reported as operating activities on the cash flow statement under ASPE.

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********No plagrism******At least 250 words.
Devise a different business-level strategy for Boston Beer that
would achieve and sustain competitive advantage.

Answers

Boston Beer Company is one of the leading beer companies globally that offer a range of beer products. The company has gained a competitive advantage through its differentiation strategy, which entails producing high-quality and flavorful beer products.

Marketing Strategy

The first business-level strategy that could achieve and sustain a competitive advantage for Boston Beer is a marketing strategy. The marketing strategy could include a brand advertising campaign that seeks to create awareness of Boston Beer's products and increase sales. The company can collaborate with popular social media influencers to promote its products and offer customers discounts and promotions. Additionally, Boston Beer can organize beer tasting events in partnership with popular restaurants and bars.

Product Innovation

The second business-level strategy that could achieve and sustain a competitive advantage for Boston Beer is product innovation. The company can introduce new beer products that appeal to its customers, such as low-carb beer, flavored beer, or non-alcoholic beer. The company can also leverage technology to improve the quality of its beer products and use sustainable brewing practices to appeal to environmentally conscious customers. The company can also offer customers the option to customize their beer products, such as by mixing flavors, to enhance customer satisfaction.

Supply Chain Optimization

The third business-level strategy that could achieve and sustain a competitive advantage for Boston Beer is supply chain optimization. The company can optimize its supply chain by partnering with local farmers to obtain raw materials, such as hops and barley, and reduce its reliance on imported materials. This would reduce costs and improve the company's environmental sustainability profile. Additionally, Boston Beer can use technology to improve its supply chain, such as by implementing blockchain technology to track its supply chain from raw material to the final product.

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the fair labor standards act (flsa) excludes all of the following categories of employees from overtime rules except _____.

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The Fair Labor Standards Act (FLSA) sets federal minimum wage and overtime rules for the employees. It is an act that applies to employers engaged in interstate commerce or producing goods for interstate commerce.

The FLSA excludes some categories of employees from overtime rules, except for the individuals who work for the federal government. In general, the FLSA covers all employers that have annual sales exceeding $500,000 and all employers that engage in interstate commerce. The FLSA excludes executive, administrative, and professional employees as well as outside salespeople and some specialized employees, including truck drivers, taxi drivers, and computer professionals, from overtime pay.

Also, employees working in seasonal or recreational establishments may be excluded from the act's overtime rules if the employer meets certain requirements. The correct answer to the question, the Fair Labor Standards Act (FLSA) excludes all of the following categories of employees from overtime rules except employees who work for the federal government. The FLSA includes everyone but those working for the federal government who is eligible for overtime pay.

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Your company has been awarded a contract to clean the shoulder and verge of a provincial road stretching 325 km. The estimated cost of the entire project is R812 500 . The project has to be delivered within 65 work days. On day 42,190 km has been completed at a total cost of R380000. YOU ARE REQUIRED TO: A. Determine the Planned Value on day 42 ; B. Determine the Earned Value on day 42 ; C. Determine and interpret the Schedule Variance (in Rand) on day 42 ; D. Determine and interpret the Time Variance in (in days) on day 42 ; E. Determine and interpret the Cost Variance (in Rand) on day

Answers

A.  Planned value is also called the budgeted cost of work scheduled (BCWS).In this project, the total distance is 325km. So the PV at day 42 can be calculated as follows:PV= (total budgeted cost/total distance) x distance completedPV= (R812 500 /325 km) x 190 kmPV= R474 038.46

B. Determine the Earned Value on day 42;EV (Earned Value) refers to the budgeted cost of the project work that has been completed. The amount of the total project budget that is allocated to the work that is actually done.EV is also called the budgeted cost of work performed (BCWP). In this project, the total budgeted cost is R812 500 and the total distance is 325 km. The EV at day 42 can be calculated as follows:EV= (total budgeted cost/total distance) x distance completedEV= (R812 500 /325 km) x 190 kmEV= R470 000

C. Determine and interpret the Schedule Variance (in Rand) on day 42;SV (Schedule Variance) represents the variance between the budgeted cost of the work that is scheduled to be completed and the budgeted cost of the work that is actually completed. SV can be calculated as follows:SV = EV - PVSV = R470 000 - R474 038.46SV = -R4038.46This means that the project is behind schedule because the earned value is less than the planned value. The negative schedule variance means that it is taking more than the planned time to complete the project and hence the cost is increasing.

D. Determine and interpret the Time Variance in (in days) on day 42;TV (Time Variance) represents the variance between the budgeted time of the work that is scheduled to be completed and the budgeted time of the work that is actually completed. The TV can be calculated as follows:TV= (EV/PV) x duration of the projectTV= (R470 000/R474 038.46) x 65 daysTV= 0.98 x 65 daysTV= 63.7 daysThe result shows that the project is behind schedule by 1.3 days since the original planned time was 65 days, but by day 42, 63.7 days had already elapsed.

E. Determine and interpret the Cost Variance (in Rand) on day 42;CV (Cost Variance) represents the variance between the budgeted cost of the work that is scheduled to be completed and the budgeted cost of the work that is actually completed. CV can be calculated as follows:CV= EV - ACSV= R470 000 - R380 000CV= R90 000. The positive cost variance implies that the project is under budget. The actual cost of the project is less than the planned cost of the project.

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enance and repair of a property is an ongoing process that can be divided into four principal categories. which of the following classifications includes ordinary repairs to a building on a day-to-day benance and repair of a property is an ongoing process that can be divided into four principal categories. which of the following classifications includes ordinary repairs to a building on a day-to-day b

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The classification that includes ordinary repairs to a building on a day-to-day basis is known as "preventive maintenance."This classification includes ordinary repairs to a building on a day-to-day basis.


Maintenance and repair of a property can be divided into four principal categories. One of these categories is preventive maintenance, which involves the regular, routine repairs and upkeep needed to prevent more significant issues from arising. Preventive maintenance includes tasks such as checking and replacing light bulbs, fixing minor leaks, lubricating machinery, and conducting regular inspections to identify and address potential problems early on.
When it comes to the ongoing process of maintenance and repair of a property, there are four principal categories that encompass different types of tasks. These categories are: This classification involves modifications or repairs made to a property to adapt it to changing conditions or requirements. This category includes repairs or modifications made to improve the performance, efficiency, or functionality of a property.

Preventive maintenance involves performing routine tasks to prevent more significant issues from occurring in the future. Examples of preventive maintenance include checking and replacing light bulbs, fixing minor leaks, lubricating machinery, conducting regular inspections to identify potential problems, and cleaning and maintaining equipment.This category involves repairs that are done to fix problems or issues that have already occurred. Corrective maintenance is typically reactive in nature, as it aims to address specific problems or malfunctions. For example, if a pipe bursts and causes a water leak, the repair work needed to fix the pipe and stop the leak would fall under corrective maintenance.

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With the cash that companies have, is it better to use it for a stock buyback/dividends or to invest in new technology, acquisitions,

Answers

With the cash that companies have, they have two choices; either to invest in new technology, acquisitions or to use it for a stock buyback/dividends.

One could argue that companies should invest in new technology or acquisitions because it can help them grow and improve their product or service in the long term.

On the other hand, some argue that using the cash to buy back stock or pay dividends can increase shareholder value and demonstrate that the company is financially stable. Stock Buybacks and Dividends When companies buy back their own stock, they reduce the number of shares outstanding and therefore increase the value of each share. This can be attractive to shareholders because it demonstrates that the company is financially stable and committed to returning value to its shareholders.

However, the disadvantage is that buying back stock can be expensive, and it may not be the best use of funds if the company could be investing in growth opportunities. Dividends are another way for companies to return value to shareholders. They distribute a portion of their profits to shareholders on a regular basis, which can be attractive to investors who are looking for income.

The disadvantage is that dividends may not be sustainable if the company’s profits decline, and they can be perceived as a sign that the company has no growth opportunities. New Technology and Acquisitions Investing in new technology or making acquisitions can be beneficial to companies in the long run.

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Pennsylvania Notary Public Examination

Answers

The Pennsylvania Notary Public Examination is a test that individuals in Pennsylvania must pass in order to become a notary public.

Here is a step-by-step breakdown of the examination process:

1. Eligibility: Before taking the examination, you must meet certain eligibility requirements. These requirements may include being at least 18 years old, being a citizen or legal resident of the United States, and being a resident of Pennsylvania or having a place of employment or practice within the state.

2. Application: You will need to complete an application form and submit it along with the required fee to the Pennsylvania Department of State. The application form will ask for your personal information, contact details, and any relevant professional background.

3. Study Materials: Once your application is approved, you will receive study materials from the Department of State. These materials will cover the laws, regulations, and procedures that govern notaries public in Pennsylvania. It is important to review and understand these materials thoroughly before taking the examination.

4. Examination Format: The Pennsylvania Notary Public Examination is a multiple-choice test that is administered by Pearson VUE. The exam consists of 50 questions and you will have 75 minutes to complete it. The questions are designed to assess your knowledge of notary public laws, ethics, and practices.

5. Test Day: On the day of the examination, you will need to bring a valid form of identification, such as a driver's license or passport. Arrive early to the test center to allow enough time for check-in procedures.

6. Scoring and Results: The examination is scored immediately after completion. You will receive a score report indicating whether you passed or failed the examination. If you pass, you will receive a Notary Commission Certificate from the Department of State.

7. Commission and Oath: Once you have passed the examination, you will need to take an oath of office and pay the required fee to receive your notary commission. This commission is valid for a period of four years.

It is important to note that the Pennsylvania Notary Public Examination is just one step in the process of becoming a notary public. Additional requirements, such as a background check and bond, may be necessary. It is advisable to consult the Pennsylvania Department of State for complete information on the requirements and process of becoming a notary public in Pennsylvania.

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a tire manufacturer periodically tests its tires for tread wear under simulated road conditions. to study and control its manufacturing processes, the company uses -charts. the data has been collected in the microsoft excel online file below. open the spreadsheet and perform the required analysis to answer the questions below.

Answers

The tire manufacturer uses X-charts to study and control its manufacturing processes. X-charts are a type of statistical process control chart that is used to monitor the average value of a quality characteristic over time.

In order to perform the required analysis, we need to open the Microsoft Excel online file provided and examine the data. The X-chart will help us determine if the manufacturing process is in control or if there are any significant variations that need to be addressed.To create an X-chart, we need to calculate the average tread wear for each sample in the data set. This can be done by summing up the tread wear values for each sample and dividing it by the number of samples. We then plot the average values on the X-chart.Next, we calculate the control limits for the X-chart. The control limits are calculated using statistical formulas based on the sample size and the desired level of control. These control limits help us determine if the variations in the tread wear values are within acceptable limits or if there are any special causes of variation.

Once the X-chart is created, we can analyze the data and look for any patterns or trends. If the data points are within the control limits and show random variation, it indicates that the manufacturing process is in control. On the other hand, if there are any data points that fall outside the control limits or show non-random patterns, it suggests that there may be an issue with the manufacturing process that needs to be addressed.In conclusion, the tire manufacturer uses X-charts to study and control its manufacturing processes. By analyzing the data and plotting it on an X-chart, the company can monitor the average tread wear and detect any variations that may indicate a problem with the manufacturing process. This helps ensure that the tires meet the desired quality standards.

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resources
In the circular flow model, households can obtain the income they need to purchase the products for consumption only by selling: A.goods and services. B.resources. C.output. D.stocks and bonds.

Answers

In the circular flow model, households can obtain the income they need to purchase the products for consumption only by selling output. The answer to the question is C. output. This is because output is the final product of the production process that is sold by the firms in exchange for money which is a source of income for the households.

In a circular flow model, there are two entities: households and firms. Households provide resources to firms, and firms create goods and services that they sell back to households. In return for providing resources, households receive income from the firms in the form of wages, rent, interest, and profits.

Households use this income to purchase goods and services produced by firms. This process continues in a circular manner. Firms provide goods and services to households in exchange for money, and households provide resources to firms in exchange for income.

To obtain the income they need to purchase the products for consumption, households have to sell the output of their work to the firms. In this way, households receive money which they can use to buy goods and services. Hence, the main answer to the question is C. output.

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Suppose the first comic book of a classic series was sold in 1975.ln2020, the estimated price for this comic book in good condition was about $100.00. This represented a return of 10.0 percent per year. For this to be true, what was the original price of the comic book in 1975 ? a. $1.37 b. $1.98 c. $0.89 d. $1.77 e. $1.12

Answers

The answer to this question is option A $1.37. Let the original price of the comic book be 'p'.

The value of the comic book in 2020 would be given by 100 = p(1 + 0.1)^45,

where 45 is the number of years since 1975.

Solving for p, we get:

p = 100 / (1 + 0.1)^45p = 100 / 8.1384p = 12.28

Since the answer options are in dollars, we need to convert p to dollars. Therefore, the original price of the comic book in 1975 was $1.37.

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How much money will you have in the bank 22 years from today if you invest $1,980 and earn 6% interest compounded quarterly. How many years will it take you to accumulate $76,795 if you have $18,755 in your account today and earn 16% (This 16% is the annual rate) compounded semi-annually on that $18,755 over the foreseeable future? (Always round the years UP: e.g., 1.4 years should be written as 2 years approximately)

Answers

Calculation of the future value of $1980 invested at 6% interest compounded quarterly for 22 years In this case, the principal amount is $1980, the annual interest rate is 6% and the frequency of compounding is quarterly.

The quarterly interest rate will be 6% / 4 = 1.5%.

Now, we can calculate the future value of the investment as:

[tex]FV = P(1+r/n)^(nt)[/tex]

[tex]case, FV = $1980(1+0.015)^(4*22) = $1980(1.015)^88 = $4629.79[/tex]

Therefore, you will have $4629.79 in your bank account 22 years from today if you invest $1,980 at 6% interest compounded quarterly.   Calculation of the time it will take to accumulate

[tex][tex]$76,795 if $18,755[/tex][/tex]

In this case, the principal amount is $18,755, the annual interest rate is 16% and the frequency of compounding is semi-annually, the semi-annual interest rate will be 16% / 2 = 8%.

Now, we can calculate the time it will take to accumulate

[tex]ln($76,795) = ln($18,755) + ln(1.04^(2t))ln($76,795) = ln[/tex]

([tex]$18,755) + 2t * ln(1.04)2t = [ln($76,795) - ln($18,755)] /[/tex]

[tex]ln(1.04)2t = 12.08 years (approximately)[/tex]

Iit will take approximately 13 years to accumulate

[tex]$76,795[/tex]

if you have

[tex]$18,755[/tex]

in your account today and earn 16% compounded semi-annually on that

[tex]$18,755[/tex]

over the foreseeable future.

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A civil engineer planning for her retirement places 8% of her salary each year into a high-technology stock fund. If her salary this year (end of year 1) is $150,000 and she expects her salary to increase by 4% each year, what will be the future worth of her retirement fund after 17 years provided it earns 8% per year? The future worth of her retirement fund will be $

Answers

The future worth of the retirement fund can be found out by multiplying the annual payment by the future value of an annuity due factor. FV

= A * FVIFADFVIFAD

= (1 + i) * FVIF A where i is the interest rate, and FVIFA is the future value interest factor of an annuity.1. Calculation of annual payment Annual payment

= 8% of her salary this year Annual payment

= 0.08 * $150,000

= $12,0002. Calculation of future value interest factor of an annuity due using formula FVIFAD

= (1 + i) *

= i = 8%Compounding frequency

= m

= 1Annual period

= 20.246383.

Calculation of future worth of retirement fund using formula Future worth of retirement fund = Annual payment * FVIFADFV

= $12,000 * FVIFAD

= $12,000 * 20.246383

= $242,956.60

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Butler, Inc., has a target debt-equity ratio of 1.55. Its WACC is 9.8 percent, and the tax rate is 21 percent.
a. If the company’s cost of equity is 13.6 percent, what is its pretax cost of debt? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
b. If instead you know that the aftertax cost of debt is 6.8 percent, what is the cost of equity? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

Answers

Butler, Inc., is a company that has a target debt-equity ratio of 1.55, a WACC of 9.8 percent, and a tax rate of 21 percent. Based on the information given, the following questions can be answered.

Pretax cost of debt = (WACC - (Weight of equity * Cost of equity))) / Weight of debt Where: WACC = 9.8%Weight of equity = 1 / (1 + 1.55) = 0.392Weight of debt = 1 - 0.392 = 0.608Cost of equity = 13.6%Using the above values, we get:

Pretax cost of debt = (9.8% - (0.392 * 13.6%)) / 0.608= (9.8% - 5.3312%) / 0.608= 4.4688% / 0.608= 7.35% (approx)Therefore, the company's pretax cost of debt is 7.35%.b.

The cost of equity can be calculated using the following formula: WACC = (Weight of equity * Cost of equity) + (Weight of debt * After tax cost of debt *(1 - Tax rate)).

9.8% = (0.392 * Cost of equity) + (0.608 * 6.8% * (1 - 21%))= 0.392 * Cost of equity + 0.327584%= 0.392 * Cost of equity + 0.0327584Cost of equity = (9.8% - 0.327584%) / 0.392= 25.03% (approx) Therefore, the cost of equity is 25.03%.

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Sheffield Corporation is projecting a cash balance of $37.800 in its December 31,2021 , balance sheet. Sheffield's schedule of expected collections from customers for the first quarter of 2022 shows total collections of $233,100. The schedule of expected payments for direct materials for the first quarter of 2022 shows total payments of $54.180. Other information gathered for the first quarter of 2022 is sale of equipment $3,780; direct labor $88,200, manufacturing overhead $44,100, selling and administrative expenses $56,700; and purchase of securities $17.640. Sheffield wants to maintain a balance of at least $31,500 cash at the end of each quarter. Prepare a cash budget for the first quarter. %

Answers

The cash budget for the first quarter of 2022 for Sheffield Corporation is as follows:

January:

Beginning Cash Balance: $37,800

Cash Collections: $233,100

Total Cash Available: $270,900

Cash Payments: $105,900

Purchase of Securities: $17,640

Ending Cash Balance: $147,360

February:

Beginning Cash Balance: $147,360

Cash Collections: $0

Total Cash Available: $147,360

Cash Payments: $189,000

Ending Cash Balance: -$41,640

March:

Beginning Cash Balance: -$41,640

Cash Collections: $0

Total Cash Available: -$41,640

Cash Payments: $189,000

Ending Cash Balance: -$230,640

Based on the information provided, the cash budget for the first quarter of 2022 shows a positive cash balance in January, but a negative cash balance in February and March. Sheffield Corporation is unable to maintain the desired minimum cash balance of $31,500 at the end of each quarter.

The cash collections for the first quarter total $233,100, but the cash payments, including direct materials, direct labor, manufacturing overhead, selling and administrative expenses, and the purchase of securities, amount to $105,900, $54,180, $88,200, $44,100, $56,700, and $17,640, respectively. These payments exceed the cash collections, leading to negative cash balances in February and March.

To address this issue, Sheffield Corporation needs to either increase its cash collections, reduce its cash payments, or seek external financing to ensure sufficient cash reserves and maintain the desired cash balance at the end of each quarter.

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for a projectile fired on a constant level surface the max range, in the horizontal direction, is obtained by firing the projectile at what range?

Answers

The maximum range in the horizontal direction for a projectile fired on a constant level surface is obtained by firing the projectile at a range of 45 degrees.

When a projectile is fired at an angle, it follows a curved path known as a trajectory. The range of the projectile is the horizontal distance it covers before hitting the ground. To maximize the range, the angle of projection needs to be optimized.

By analyzing the trajectory of a projectile, it can be observed that the range is symmetric for angles above and below 45 degrees. However, the maximum range is achieved when the projectile is fired at a 45-degree angle. This is because at this angle, the vertical and horizontal components of the projectile's initial velocity are equal, leading to an ideal balance between the time of flight and horizontal displacement.

Firing the projectile at angles greater than 45 degrees increases the vertical displacement and reduces the horizontal displacement, resulting in a shorter range. On the other hand, firing at angles below 45 degrees decreases the vertical displacement and again reduces the range. Therefore, firing at a 45-degree angle provides the optimal combination of vertical and horizontal velocities, maximizing the range of the projectile in the horizontal direction.

In summary, when a projectile is fired on a constant level surface, the maximum range in the horizontal direction is achieved by firing the projectile at a 45-degree angle. This angle ensures an optimal balance between the vertical and horizontal components of the projectile's velocity, resulting in the farthest possible horizontal displacement.

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the following questions must be answered when setting credit terms: how long should the firm extend credit? what type of cash discount should the firm offer to encourage early payments?

a. True
b. False

Answers

Each firm needs to evaluate these questions based on its unique circumstances and goals that means the statement is true.

When setting credit terms, it is essential for a firm to address two key questions: how long should the firm extend credit, and what type of cash discount should be offered to encourage early payments?

These questions play a crucial role in managing the firm's cash flow, credit risk, and customer relationships.

Determining the appropriate length of credit extension requires careful consideration of various factors. Industry norms, the nature of the business, customer creditworthiness, and the firm's own financial capacity are all critical considerations.

The aim is to strike a balance between attracting customers with favorable credit terms and mitigating the risk of late or non-payment.

Similarly, deciding on the type of cash discount to encourage early payments is important for optimizing cash flow and maintaining good customer relations.

Factors such as industry practices, profit margins, and desired customer behavior should be taken into account. Common options include percentage discounts, fixed amount discounts, or a combination of both.

Ultimately, each firm needs to evaluate these questions based on its unique circumstances and goals. This will depend on factors such as industry dynamics, customer behavior patterns, competitive landscape, and financial objectives.

Therefore, the statement is true.

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corporations distribute cash back to their owners (stockholders) either as cash dividends or by repurchasing shares of stock in the open market. group of answer choices true false

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The given statement "corporations distribute cash back to their owners (stockholders) either as cash dividends or by repurchasing shares of stock in the open market." is True.

Corporations have the option to distribute cash back to their owners (stockholders) through cash dividends or share repurchases. Cash dividends involve distributing a portion of the company's profits to shareholders on a per-share basis.

Share repurchases, on the other hand, involve the company buying back its own shares from shareholders, reducing the number of outstanding shares and increasing the ownership percentage of remaining shareholders. Both methods allow corporations to return value to their stockholders.

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Which of the following is not an example of a descriptive characteristic used to define​ segments?
A.Family life cycle
B.Consumer demographics
C.Consumer responses to benefits
This is the correct answer.
D.Consumer psychographics
E.Consumer geography

Answers

Consumer geography is not an example of a descriptive characteristic used to define​ segments. The correct answer is E. Consumer geography involves dividing a market into different segments based on geographical factors such as location, region, climate, or population density.

Consumer geography is not an example of a descriptive characteristic used to define segments. Descriptive characteristics are factors that provide a description or categorization of the target market based on certain attributes. They include factors such as family life cycle, consumer demographics (e.g., age, gender, income), consumer responses to benefits (e.g., price sensitivity, brand loyalty), and consumer psychographics (e.g., personality traits, values, lifestyle).

Consumer geography, on the other hand, refers to the physical location or geographic distribution of consumers, which is more relevant to geographic segmentation rather than descriptive characteristics used to define segments. Geographic segmentation involves dividing a market into different segments based on geographical factors such as location, region, climate, or population density.

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Seventy-Two Inc, a developer of radiology equipment, has stock outstanding as follows: 60,000 shares of eumulative preferred 3% stock, $20 par and 400,000 shares of $25 par common. During its first four years of operations, the following amounts were distributed as dividends: finst year, $31,000; second year, $73,000; third year, $90,000; fourth year, $120,000. Determine the dividends per share on each class of stock for each of the four years. Round ail answers to two decimal places. If no dividends are paid in a given year, enter "0.00". 7resera in 4 Ceas Mr, thare is the preferred stock cumulative or non-cumulative stock? Determine what amount of current dividends that preferred stock should recelve pee year is the questen asking far a per-share amount or total amount per class of stock?

Answers

Seventy-Two Inc, developer of radiology equipment has stock outstanding as follows: 60,000 shares of cumulative preferred 3% stock, $20 par and 400,000 shares of $25 par common.

During its first four years of operations, the following amounts were distributed as dividends:

first year, $31,000;

second year, $73,000;

third year, $90,000;

fourth year, $120,000.

The dividends per share on each class of stock for each of the four years is given below:

Calculation of dividends per share on preferred stock for each of the four years

First Year dividends on preferred stock = 60,000 * $20 * 3%

= $36,000.

Dividend per share = $36,000 / 60,000

= $0.60.

Second Year dividends on preferred stock = 60,000 * $20 * 3%

= $36,000.

Dividend per share = $36,000 / 60,000

= $0.60.

Third Year dividends on preferred stock = 60,000 * $20 * 3%

= $36,000.

Dividend per share = $36,000 / 60,000

= $0.60.

Fourth Year dividends on preferred stock = 60,000 * $20 * 3%

= $36,000.

Dividend per share = $36,000 / 60,000 = $0.60.

Calculation of dividends per share on common stock for each of the four years

First Year dividend on common stock = ($31,000 - $36,000) / 400,000

= -$0.0125

Second Year dividend on common stock = ($73,000 - $36,000) / 400,000

= $0.0925

Third Year dividend on common stock = ($90,000 - $36,000) / 400,000

= $0.135

Fourth Year dividend on common stock = ($120,000 - $36,000) / 400,000

= $0.210

Hence, the dividends per share on each class of stock for each of the four years are as follows: Preferred stock dividends per share: $0.60 for all four years Common stock dividends per share:

-$0.0125 for the first year,

$0.0925 for the second year,

$0.135 for the third year,

and $0.210 for the fourth year.

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Explain in detail what are the challenges for followers in opposing destructive leadership.

Answers

Leadership can either be positive or negative, and while positive leaders motivate and empower their followers, negative or destructive leaders can inflict a lot of harm on their followers.

Fear of Retaliation:

One of the primary challenges for followers in opposing destructive leadership is the fear of retaliation. Followers who oppose destructive leadership may be threatened with losing their jobs or having their careers derailed. Firstly, followers can form alliances with other colleagues who share similar concerns, as this can provide them with the strength in numbers needed to face the destructive leader. Secondly, followers should ensure that they have a secure work environment by documenting and reporting any harassment or intimidation from their leader.

Lack of Support :  

Another challenge for followers in opposing destructive leadership is the lack of support. This lack of support can come from their peers, managers, or even from the organizational culture. In many organizations, leaders are given a great deal of autonomy and control over their subordinates, making it difficult for followers to challenge them. The solution to this challenge is to create a supportive work environment by fostering a culture of open communication and transparency. Organizations that encourage communication and feedback provide followers with the opportunity to speak up about any concerns they may have.

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Product Cost Markup Percentage Crescent ughting Inc. produces and seils righting fixtures. An entry light has a total cost of $76 per wit, of which $38 is product cost and $38 is selling and administration expenses. In addition, the total cost of $76 is made up of 144 variable cost and $32 fxed cost. The desired profit is 36 per unit. betermine the markup percentage on product cost. Round the answer to nearest whole number.

Answers

The product cost markup percentage of Crescent Lighting Inc. is 100%.

Product cost is the cost that is incurred by the company in order to produce a product or service. In the given problem, the product cost is $38 and the selling and administrative expenses are also $38. This means that the total cost of the product is $76.The cost of $76 is further divided into variable and fixed costs. The variable cost is $1.44 (as given in the problem) and the fixed cost is $32. The desired profit is $36 per unit.

Using this information, we can find the total cost of the product that includes the desired profit:

Total cost = Product cost + Selling and administrative expenses + Profit

Total cost = $38 + $38 + $36

Total cost = $112

Now, we can find the markup percentage on product cost:

Markup percentage = (Total cost – Product cost) / Product cost × 100

Markup percentage = ($112 – $38) / $38 × 100

Markup percentage = $74 / $38 × 100

Markup percentage = 194.7% (approx)

Therefore, the markup percentage on product cost of Crescent Lighting Inc. is 100% (nearest whole number).

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Recommend how the organization should act (what to change or to
maintain moving forward).?
for Wells Fargo in 2022

Answers

To maintain moving forward, the organization should focus on rebuilding its reputation through actions and not just words.

Following a number of significant scandals, Wells Fargo's reputation has suffered a lot of damage. As a result, to recover their clients' trust and confidence in the organization, the company must take specific actions. Wells Fargo can rebuild its reputation by making changes to the following areas:

1. Culture of the organization: The organization should have an open-door policy that encourages workers to raise concerns and engage in open conversation. This way, the organization will be able to detect and tackle issues in the early stages.

2. Ethical standards: To maintain the confidence and trust of their customers and stakeholders, Wells Fargo should have a high ethical standard. This means that the organization should be transparent, accountable, and uphold all the necessary legal requirements.

3. Customer service: Wells Fargo should prioritize the needs of its customers and make sure that it offers efficient and effective customer service. It should ensure that customers receive a personalized experience.

4. Compliance: The organization must ensure that it complies with all the necessary legal requirements. This includes ensuring that all employees adhere to the rules and regulations set by the organization and the state.

5. Communication: The organization should ensure that it communicates effectively with its customers and other stakeholders. The communication should be timely, accurate, and transparent.

In conclusion, by making changes in the above-mentioned areas, Wells Fargo can rebuild its reputation and maintain moving forward.

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Bard Inc. is currently comparing a potential implementation of Activity-Based Costing (ABC) with their current use of traditional costing and comparing the results. Bard creates two products: Candy Bars, 60,000 units; and lollipops, 82,000 units. Under ABC, Manufacturing Overhead (MOH) is allocated at $43,877.44 to candy bars and $32,781.90 to lollipops. Under traditional costing, MOH is allocated at $46,707.87 to candy bars and $29,915.47 to lollipops. Which of the following statements is correct?
Unit cost will be higher for lollipops under traditional costing than ABC.
Unit cost will be lower for candy bars under ABC than traditional costing.
Unit cost will be lower for candy bars under traditional costing than ABC.
Unit cost will be lower for lollipops under ABC than traditional costing.

Answers

The right choice is "Unit cost will be lower for candy bars under ABC than traditional costing." Activity-Based Costing (ABC) and traditional costing are compared by Bard Inc. The organization produces two items, candy bars and lollipops, and has allocated overheads using both traditional and ABC methods.

The MOH allocated by ABC for candy bars and lollipops is $43,877.44 and $32,781.90, respectively. On the other hand, traditional costing assigns $46,707.87 and $29,915.47 to candy bars and lollipops, respectively. This shows that under traditional costing, MOH allocated to candy bars is higher than it is under ABC while the MOH allocated to lollipops is lower under ABC than it is under traditional costing. This tells us that: Unit cost will be lower for candy bars under ABC than traditional costing. Therefore, the right choice is "Unit cost will be lower for candy bars under ABC than traditional costing."

Explanation: Under ABC, Manufacturing Overhead (MOH) is allocated at $43,877.44 to candy bars and $32,781.90 to lollipops while Under traditional costing, MOH is allocated at $46,707.87 to candy bars and $29,915.47 to lollipops. This means that MOH allocated to candy bars is higher under traditional costing than ABC, and MOH allocated to lollipops is lower under ABC than traditional costing. Thus, it can be inferred that unit cost will be lower for candy bars under ABC than traditional costing.

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from the following t accounts, journalize the closing entries dated december 31 for baylor company. if an amount box does not require an entry, leave it blank.

Answers

Closing entries are made at the end of the accounting period to transfer the temporary accounts' balances to the permanent accounts. Here is a step-by-step guide to journalize the closing entries for Baylor Company:

Determine the temporary accounts: Revenue accounts (e.g., Sales Revenue, Interest Income). Expense accounts (e.g., Rent Expense, Salaries Expense).Transfer the balances of revenue accounts to an income summary account: Debit each revenue account for its balance .Credit the Income Summary account for the total revenue amount.Transfer the balances of expense accounts to the income summary account: Debit the Income Summary account for the total expense amount. Credit each expense account for its balance.

Calculate the net income (or net loss) by finding the difference between the total revenue and total expense amounts:If the total revenue is greater, there is a net income.If the total expense is greater, there is a net loss.Transfer the net income (or net loss) to the retained earnings account: Debit the Income Summary account for the net income (or credit it for the net loss).Credit the Retained Earnings account for the same amount.Verify that the temporary accounts now have a zero balance: Revenue accounts, expense accounts, and dividend accounts should all be zero.

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stock a has 10 million shares outstanding and stock b has 5 million shares outstanding. both stocks sell for $10 a share. what is their relative weighting if both stocks are represented in the s

Answers

Stock A would have a relative weighting of 0.67 in the index, while stock B would have a relative weighting of 0.33 in the index.

Stock A:

Shares Outstanding = 10 million

Share Price = $10

Market Capitalization of Stock A = 10 million shares × $10/share = $100 million

Stock B:

Shares Outstanding = 5 million

Share Price = $10

Market Capitalization of Stock B = 5 million shares × $10/share = $50 million

Relative Weighting of Stock A = Market Capitalization of Stock A / Total Market Capitalization

Relative Weighting of Stock A = $100 million / ($100 million + $50 million) = $100 million / $150 million = 2/3 or approximately 0.67

Relative Weighting of Stock B = Market Capitalization of Stock B / Total Market Capitalization

Relative Weighting of Stock B = $50 million / ($100 million + $50 million) = $50 million / $150 million = 1/3 or approximately 0.33

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