Question 2

Consider a level-payment mortgage, the initial principal is M0​=1 million, the coupon rate is c=5% per period, and there are n=20 payment period in total. Compute the amount of each payment BB.

Answers

Answer 1

The amount of each payment (BB) for the level-payment mortgage is approximately $80,232.25.

To compute the amount of each payment (BB) for a level-payment mortgage, we can use the formula:

BB = M0 * (c * (1 + c)^n) / ((1 + c)^n - 1)

Where:

M0 = Initial principal (loan amount)

c = Coupon rate per period

n = Total number of payment periods

Given the following values:

M0 = $1,000,000

c = 5% per period (expressed as a decimal, 0.05)

n = 20 payment periods

Substituting the values into the formula:

BB = $1,000,000 * (0.05 * (1 + 0.05)^20) / ((1 + 0.05)^20 - 1)

Calculating the expression inside the parentheses:

(0.05 * (1 + 0.05)^20) = 0.05 * (1.05^20) ≈ 0.05 * 2.653297705 ≈ 0.132664885

Calculating the expression in the denominator:

((1 + 0.05)^20 - 1) = (1.05^20 - 1) ≈ 2.653297705 - 1 ≈ 1.653297705

Now, substituting the calculated values into the formula:

BB ≈ $1,000,000 * 0.132664885 / 1.653297705

BB ≈ $132,664.89 / 1.653297705

BB ≈ $80,232.25

Therefore, the amount of each payment (BB) for the level-payment mortgage is approximately $80,232.25.

Learn more about mortgage here:

brainly.com/question/31751568

#SPJ11


Related Questions

Topic: Discuss the Business Level Strategy with example. (If you do provide examples, you will see less marks for the assignment. Make sure that you are showing examples for each of the Business Level

Answers

Business-level strategy refers to the set of actions and approaches a company adopts to gain a competitive advantage in a specific market or industry. There are several types of business-level strategies, including cost leadership, differentiation, and focus strategies.

It focuses on how a firm positions itself relative to its competitors and targets a specific customer segment. There are several types of business-level strategies, including cost leadership, differentiation, and focus strategies.

Cost leadership strategy aims to achieve a competitive advantage by becoming the lowest-cost producer in the industry while maintaining acceptable levels of quality. This strategy allows companies to offer products or services at lower prices than their competitors, appealing to price-sensitive customers. Examples include Walmart, which leverages its large scale and efficient supply chain to offer everyday low prices, and Ryanair, a budget airline known for its low-cost fares.

Differentiation strategy focuses on creating unique and distinctive products or services that are perceived as superior by customers. Companies employing this strategy strive to offer unique features, high quality, exceptional customer service, or innovative designs. Apple is a prominent example of a company using differentiation strategy through its innovative and user-friendly products like the iPhone and MacBook, which have established a strong brand image and a loyal customer base.

Focus strategy involves targeting a specific market segment or niche and tailoring products or services to meet the needs and preferences of that particular segment. By focusing on a narrow market, companies can develop deep expertise and better serve the specialized needs of customers. An example is Rolex, a luxury watchmaker that caters to a niche market of affluent consumers seeking high-end and prestigious timepieces.

In summary, business-level strategy encompasses various approaches such as cost leadership, differentiation, and focus. Each strategy aims to create a competitive advantage by positioning a company in a distinct way relative to its competitors, either through cost advantage, product uniqueness, or specialization in a specific market segment. Successful implementation of a business-level strategy requires aligning internal capabilities with external market opportunities to meet customer demands effectively.

Learn more about Business-level strategy here;

brainly.com/question/30639283

#SPJ11

You are considering two investment alternatives. The first is a stock that pays quarterly

dividends of $0.25 per share and is trading at $20 per share; you expect to sell the stock

in six months for $24. The second is a stock that pays quarterly dividends of $0.50 per

share and is trading at $27 per share; you expect to sell the stock in one year for $30.

Which stock will provide the better annualized holding period return?

Answers

Comparing the total returns, the second stock has a higher return of $5.00 compared to the first stock's return of $4.50. Therefore, the second stock provides the better annualized holding period return.

The better annualized holding period return can be determined by comparing the total returns of both stocks.

First, let's calculate the total return for the first stock.
- Dividends per share per quarter: $0.25
- Holding period: 6 months (2 quarters)
- Dividends received: $0.25 * 2 = $0.50
- Selling price: $24
- Initial investment: $20
- Capital gain: $24 - $20 = $4

Total return for the first stock = Dividends received + Capital gain = $0.50 + $4 = $4.50

Next, let's calculate the total return for the second stock.
- Dividends per share per quarter: $0.50
- Holding period: 1 year (4 quarters)
- Dividends received: $0.50 * 4 = $2.00
- Selling price: $30
- Initial investment: $27
- Capital gain: $30 - $27 = $3

Total return for the second stock = Dividends received + Capital gain = $2.00 + $3 = $5.00

To determine the better annualized holding period return, we calculated the total return for both stocks. This includes the dividends received and the capital gain from selling the stock. By comparing the total returns, we found that the second stock had a higher return of $5.00 compared to the first stock's return of $4.50. Therefore, the second stock provides the better annualized holding period return.

Learn more about Capital gain: https://brainly.com/question/32193753

#SPJ11

which amino acid lowers blood pressure and prevents blood clots?

Answers

The amino acid L-arginine is known to lowers blood pressure and prevents blood clots.

It is well known that the amino acid L-arginine may help lower blood pressure and prevent blood clots. The amino acid L-arginine serves as a building block for the molecule nitric oxide which relaxes and dilates blood vessels to improve blood flow and lower blood pressure.

Additionally, nitric oxide reduces platelet aggregation which can aid in preventing blood clots from forming. The effects of L-arginine on blood pressure and blood clotting can differ from person to person, so using it for these conditions should be discussed with a healthcare provider. Before including L-arginine in a health regimen, it's also important to think about unique medical issues and possible drug interactions.

Learn more about amino acid at:

brainly.com/question/31872499

#SPJ4

XYZ Inc. owns 55% of DEF Inc.'s 100,000 outstanding voting shares.
Another company, GHI Inc., owns 40%, with the remaining shares being
held by many individual investors. GHI Inc. also owns $25,000,000 worth
of DEF Inc.'s $1,000 par value bonds, each of which is convertible to
one voting share of DEF Inc. Which of the following statements regarding
the control of DEF Inc. is correct? Question 5 options: XYZ Inc. has
control over DEF Inc. as it owns a majority of DEF Inc.'s currently
outstanding voting shares. XYZ Inc. does not have control over DEF Inc.,
as it cannot exercise control over DEF's strategic operating, investing
and Financing activities without the cooperation of GHI Inc. XYZ Inc.
has de facto control over DEF Inc. As long as GHI Inc. does not exercise
its option to convert its bonds to voting shares, XYZ Inc. has control
over DEF Inc.

Answers

Currently, XYZ Inc. has control over DEF Inc. due to its majority ownership stake. However, the potential conversion of GHI Inc.'s bonds could impact the control dynamics.

XYZ Inc. owns 55% of DEF Inc.'s outstanding voting shares, which gives it a majority ownership stake. This means that XYZ Inc. has control over DEF Inc. in terms of voting on important matters and decision-making processes.  However, control over a company involves more than just owning a majority of the voting shares. GHI Inc. also plays a significant role in the control of DEF Inc.

It owns 40% of the outstanding voting shares and holds $25,000,000 worth of DEF Inc.'s convertible bonds. If GHI Inc. decides to exercise its option to convert these bonds into voting shares, it would significantly increase its ownership stake and potentially challenge XYZ Inc.'s control over DEF Inc. Until GHI Inc. exercises its option to convert the bonds, XYZ Inc. has de facto control over DEF Inc. De facto control means that XYZ Inc. has effective control over the company, even if it is not guaranteed or legally binding. However, if GHI Inc. decides to convert its bonds, the control dynamics could change.


To know more about the ownership visit:

https://brainly.com/question/32419745

#SPJ11

There are a number of issues surrounding the general area of quality in project management. Poor quality management can place a permanent stain on any project.
Discuss SIX strategies to keep project

Answers

Define Clear Objectives and Scope: Start by establishing clear project objectives and defining the scope of work.

Ambiguity or vague requirements can lead to misunderstandings and compromises in quality.

Conduct Thorough Planning: Develop a comprehensive project plan that includes all necessary activities, resources, timelines, and milestones.

Effective planning helps identify potential quality risks and allows for proper allocation of resources and time.

Implement a Robust Quality Assurance Process: Set up a quality assurance process that includes regular inspections, reviews, and testing at key stages of the project. This process should be designed to identify and address any quality issues promptly.

Learn more about project management here:

https://brainly.com/question/28963322

#SPJ11

Present at least 10 countries, Identify its currency.
And present the value of their currency in Philippine Peso and US Dollar.

Answers

The list of 10 countries along with their currencies and their values in Philippine Peso (PHP) and US Dollar (USD):

1. United States: Currency - US Dollar (USD)
  - Value in PHP: 1 USD = 50 PHP (approximately)

2. United Kingdom: Currency - British Pound (GBP)
  - Value in PHP: 1 GBP = 70 PHP (approximately)
  - Value in USD: 1 GBP = 1.38 USD (approximately)

3. Japan: Currency - Japanese Yen (JPY)
  - Value in PHP: 1 JPY = 0.45 PHP (approximately)
  - Value in USD: 1 JPY = 0.0088 USD (approximately)

4. Eurozone (19 countries): Currency - Euro (EUR)
  - Value in PHP: 1 EUR = 58 PHP (approximately)
  - Value in USD: 1 EUR = 1.12 USD (approximately)

5. Canada: Currency - Canadian Dollar (CAD)
  - Value in PHP: 1 CAD = 40 PHP (approximately)
  - Value in USD: 1 CAD = 0.79 USD (approximately)

6. Australia: Currency - Australian Dollar (AUD)
  - Value in PHP: 1 AUD = 38 PHP (approximately)
  - Value in USD: 1 AUD = 0.75 USD (approximately)

7. China: Currency - Chinese Yuan (CNY)
  - Value in PHP: 1 CNY = 7 PHP (approximately)
  - Value in USD: 1 CNY = 0.15 USD (approximately)

8. South Korea: Currency - South Korean Won (KRW)
  - Value in PHP: 1 KRW = 0.045 PHP (approximately)
  - Value in USD: 1 KRW = 0.00088 USD (approximately)

9. India: Currency - Indian Rupee (INR)
  - Value in PHP: 1 INR = 0.67 PHP (approximately)
  - Value in USD: 1 INR = 0.013 USD (approximately)

10. Brazil: Currency - Brazilian Real (BRL)
   - Value in PHP: 1 BRL = 8 PHP (approximately)
   - Value in USD: 1 BRL = 0.16 USD (approximately)

learn more about US Dollar (USD)

https://brainly.com/question/33162701

#SPJ11

What is a post-audit, why do firms use them, and what problems
can arise when they are used?
( make sure your answer is 100 words or more)

Answers

A post-audit is an evaluation process used by firms to assess project outcomes and improve future performance. Although it can provide valuable insights, potential problems such as biases, data limitations, and timing issues should be carefully considered when conducting a post-audit.

A post-audit is a process conducted by firms after a project is completed to evaluate its effectiveness and efficiency. This evaluation involves comparing the actual results of the project with the planned objectives and resources allocated.

Firms use post-audits to assess the success of a project, identify any deviations from the initial plan, and learn from the experience. Post-audits provide valuable insights into project management practices, helping firms make informed decisions for future projects and improve their overall performance.

However, there are several problems that can arise when post-audits are used.

Firstly, biases may affect the evaluation process, as individuals involved in the project may be hesitant to acknowledge failures or mistakes.

Secondly, insufficient data or inaccurate information can hinder the accuracy of the post-audit results.

Lastly, timing is crucial; conducting a post-audit too soon may not provide a comprehensive understanding of the project's long-term impacts, while delaying the post-audit may result in forgotten details or incomplete data.

Learn more about post-audit from the given link:

https://brainly.com/question/32560221

#SPJ11

arko, Inc. is considering the purchase of ABC Co. Marko believes that ABCCo. can generate cash flows of $5,000,$9,000, and $15,000 over the next three years, respectively. After that time, they feel the business will be worthless. Marko has determined that a 14 percent rate of return is applicable to this potential purchase. What is the value of the cash flow stream i. at time 0 (today)? ii.at time 2? iii.at time 4?

Answers

The value of the cash flow stream for the potential purchase of ABC Co. can be calculated using a discounted cash flow (DCF) analysis. Marko believes that the cash flows over the next three years will be $5,000, $9,000, and $15,000, respectively. Assuming a 14 percent rate of return, the value of the cash flow stream is calculated as follows: i. At time 0 (today), the value is $22,388. ii. At time 2, the value is $10,573. iii. At time 4, the value is $4,981.

To calculate the value of the cash flow stream, we use a discounted cash flow (DCF) analysis. This method considers the time value of money, recognizing that a dollar received in the future is worth less than a dollar received today. The DCF formula is as follows:

Value = CF1 / (1 + r)^1 + CF2 / (1 + r)^2 + ... + CFn / (1 + r)^n

Where CF1, CF2, ..., CFn represent the cash flows in each period, r is the discount rate (rate of return), and n is the number of periods.

i. At time 0 (today), the cash flow is $5,000 in the first year, $9,000 in the second year, and $15,000 in the third year. Plugging these values into the DCF formula, we have:

Value = $5,000 / (1 + 0.14)^1 + $9,000 / (1 + 0.14)^2 + $15,000 / (1 + 0.14)^3 = $22,388

ii. At time 2, we only consider the cash flow in the third year since two years have already passed. The calculation is as follows:

Value = $15,000 / (1 + 0.14)^1 = $10,573

iii. At time 4, the cash flow stream has ended, and there are no more cash flows to consider. Therefore, the value is zero.

In conclusion, the value of the cash flow stream for the potential purchase of ABC Co. is $22,388 at time 0, $10,573 at time 2, and $4,981 at time 4.

Learn more about discount here: brainly.com/question/32394582

#SPJ11

an example of a noninvasive cardiology procedure/service is:

Answers

An example of a noninvasive cardiology procedure or service is an echocardiogram.

An echocardiogram is a diagnostic test that uses ultrasound technology to create real-time images of the heart's structure and function. It provides valuable information about the heart's size, shape, and movement, as well as the functioning of its valves and chambers.

During an echocardiogram, a trained technician or sonographer places a small handheld device called a transducer on the patient's chest. The transducer emits high-frequency sound waves that bounce off the heart structures and create detailed images on a computer screen.

These images are then interpreted by a cardiologist or healthcare provider to assess the heart's condition and diagnose any abnormalities or conditions.

The procedure is considered noninvasive because it does not involve the insertion of any instruments or devices into the body. It is painless and does not pose any significant risks to the patient.

Echocardiograms are widely used in cardiology practice to diagnose various heart conditions, monitor treatment effectiveness, and guide further management decisions.

To learn more about cardiology click on,

https://brainly.com/question/29565671

#SPJ4


Choose an academic class . Describe the strengths and weaknesses
of the training methods used in that class. Be sure to explain your
comments.

Answers

The training methods used in a math class have strengths in building a strong foundation of mathematical concepts and problem-solving skills through lectures, textbook readings, and practice exercises.

One academic class that I will discuss is a math class. In a math class, the main strength of the training methods used is that they focus on building a strong foundation of mathematical concepts and problem-solving skills. This is typically achieved through a combination of lectures, textbook readings, and practice exercises.

Lectures provide students with a clear explanation of mathematical concepts and the reasoning behind them. The instructor can demonstrate problem-solving strategies, explain important formulas, and provide examples to illustrate the application of those concepts. This helps students understand the material in a structured and organized manner.

Textbook readings complement the lectures by providing additional explanations, examples, and practice problems. Students can review the material at their own pace, and the textbook often includes step-by-step solutions to the practice problems, which can be helpful for self-study.

Practice exercises are essential for reinforcing the concepts learned in class. They allow students to apply their knowledge to solve various types of problems and build their problem-solving skills. Math classes often provide a variety of practice problems, ranging from simple to complex, to cater to different levels of understanding and challenge students appropriately.

However, there are also some weaknesses in the training methods used in a math class. One weakness is that the focus on lectures and textbook readings may not engage all types of learners. Some students may find it difficult to stay attentive during lectures or struggle to understand concepts from reading alone. Different teaching methods, such as hands-on activities or visual aids, could be incorporated to cater to a wider range of learning styles.

Another weakness is that the emphasis on practice exercises may not allow for sufficient exploration and creativity. Math is not just about finding the right answer, but also about understanding the underlying concepts and applying them to real-life situations. Encouraging more open-ended problem-solving activities or real-world applications could enhance students' critical thinking and problem-solving skills.

The training methods used in a math class have strengths in building a strong foundation of mathematical concepts and problem-solving skills through lectures, textbook readings, and practice exercises. However, weaknesses exist in engaging different types of learners and fostering exploration and creativity. Incorporating alternative teaching methods and promoting open-ended problem-solving activities could address these weaknesses and provide a more comprehensive learning experience in math.

To know more about exploration visit:

brainly.com/question/13467559

#SPJ11

QUESTION 1

In the short run, the ATC curve is _____ above the AVC curve.


A. always


B. sometimes


C. never

2 points

QUESTION 2

As output rises,


A. AFC rises.


B. AFC falls.


C. AFC remains the same.


D. there is no way of determining what happens to AFC.

2 points

QUESTION 3

When average total cost is declining, then


A. marginal cost must be less than average total cost.


B. marginal cost must be greater than average total cost.


C. average total cost must be greater than average fixed cost.


D. average variable cost must be declining.

2 points

QUESTION 4

Which statement is true?


A. The marginal cost curve intersects both the average variable cost curve and the average total cost curve at their minimum points.


B. The marginal cost curve intersects neither the average variable cost curve nor the average total cost curve at their minimum points.


C. The marginal cost curve intersects the average variable cost curve at its minimum point, but it does not intersect the average total cost curve at its minimum point.


D. The marginal cost curve intersects the average total cost curve at its minimum point, but it does not intersect the average variable cost curve at its minimum point.

2 points

QUESTION 5

The law of diminishing returns states that as output rises, eventually _____ output will decline.


A. total


B. average


C. fixed


D. marginal

2 points

QUESTION 6

The law of diminishing marginal returns implies


A. the more hours you spend studying economics the less you will know.


B. your understanding of economics will be increased by decreasing your marginal study time.


C. after a certain point, the more hours you spend studying economics per day, the less you will learn with each added hour.


D. the more hours you spend studying economics per day, the more you will learn with each added hour.

2 points

QUESTION 7

The law of diminishing returns


A. is completely invalid.


B. states that if units of a resource are added to a fixed proportion of other resources, eventually marginal output will decline.


C. states that if any two resources are combined, production will fall.


D. states that profit margins decline as output rises.

2 points

QUESTION 8

If marginal output is rising it is possible to have


A. diminishing returns.


B. negative returns.


C. both diminishing returns and negative returns.


D. neither diminishing returns nor negative returns.

2 points

QUESTION 9

If fixed cost is P5,000, and, at an output of 3 variable cost is P4,000, how much is average total cost at an output of 3?


A. P1,333.33


B. P3,000


C. P4,500


D. P9,000


E. There is not enough information to determine ATC at an output of 3.

2 points

QUESTION 10

If fixed cost is P8,000, variable cost is P5,000 at an output of 2 and P9,000 at an output of 3, how much is marginal cost at an output of 3?


A. P3,000


B. P4,000


C. P5,000


D. P8,000


E. There is not enough information to determine marginal cost at an output of 3.

Answers

The marginal cost at an output of 3 is P4,000. The correct option is B

QUESTION 1:
In the short run, the ATC curve is sometimes above the AVC curve. This means that at certain levels of output, the average total cost (ATC) can be higher than the average variable cost (AVC). This occurs when the fixed costs are relatively high compared to the variable costs. As output increases, the fixed costs are spread over a larger number of units, leading to a decrease in the average fixed cost (AFC) and the average total cost.

QUESTION 2:
As output rises, AFC falls. This is because as more units of output are produced, the fixed costs are spread over a larger number of units, resulting in a decrease in the average fixed cost (AFC). The variable costs, on the other hand, may or may not change with the level of output. Therefore, as output increases, the AFC falls while the average variable cost (AVC) remains the same or may even increase.

QUESTION 3:
When average total cost is declining, the marginal cost must be less than average total cost. This is because the marginal cost (MC) represents the additional cost incurred for producing one more unit of output. When the average total cost (ATC) is declining, it means that the cost per unit of output is decreasing. Therefore, the marginal cost must be less than the average total cost.

QUESTION 4:
The statement that is true is: The marginal cost curve intersects both the average variable cost curve and the average total cost curve at their minimum points. This means that the marginal cost (MC) curve intersects the average variable cost (AVC) curve and the average total cost (ATC) curve at the lowest points of these curves. At the minimum point of the AVC curve, the MC curve intersects from below, indicating that the MC is below the AVC. At the minimum point of the ATC curve, the MC curve intersects from below, indicating that the MC is below the ATC.

QUESTION 5:
The law of diminishing returns states that as output rises, eventually total output will decline. This means that after a certain level of output, the additional units of input added to the production process will result in a smaller increase in output. This occurs due to factors such as limited resources, diminishing productivity, or inefficiencies in the production process. Therefore, as output increases, there comes a point where the total output starts to decline.

QUESTION 6:
The law of diminishing marginal returns implies that after a certain point, the more hours you spend studying economics per day, the less you will learn with each added hour. Initially, as you increase your study time, your understanding of economics will improve. However, there comes a point where the additional hours of study yield diminishing returns, meaning that the increase in knowledge or understanding becomes less significant with each additional hour. This is because your brain may reach its limit in processing and retaining information, or you may experience fatigue or diminishing focus.

QUESTION 7:
The law of diminishing returns states that if units of a resource are added to a fixed proportion of other resources, eventually marginal output will decline. This means that when additional units of a resource are added to a fixed quantity of other resources, there will be an initial increase in output. However, as more units of the resource are added, the marginal output (additional output produced) will start to decline. This occurs due to factors such as limited resources, bottlenecks in the production process, or inefficiencies in resource allocation.

QUESTION 8:
If marginal output is rising, it is not possible to have diminishing returns. Diminishing returns occur when the marginal output starts to decline as more units of input are added. Therefore, if the marginal output is rising, it means that each additional unit of input is contributing more to the total output, indicating increasing returns.

QUESTION 9:
To determine the average total cost (ATC) at an output of 3, we need to calculate the total cost (TC) and divide it by the output quantity. Given that the fixed cost (FC) is P5,000 and the variable cost (VC) at an output of 3 is P4,000, we can calculate the total cost as follows:
TC = FC + VC = P5,000 + P4,000 = P9,000
ATC = TC / Output = P9,000 / 3 = P3,000
Therefore, the average total cost at an output of 3 is P3,000.

QUESTION 10:
To determine the marginal cost (MC) at an output of 3, we need to calculate the change in total cost (ΔTC) when the output increases from 2 to 3. Given that the fixed cost (FC) is P8,000, the variable cost (VC) at an output of 2 is P5,000, and at an output of 3 is P9,000, we can calculate the change in total cost as follows:
ΔTC = TC2 - TC1 = (FC + VC2) - (FC + VC1) = (P8,000 + P9,000) - (P8,000 + P5,000) = P9,000 - P5,000 = P4,000

For more such questions on marginal cost

https://brainly.com/question/17230008

#SPJ11

The Perez Company has the opportunity to invest in one of two mutually exclusive machines that will produce a product it will need for the foreseeable future. Machine A costs $8 million but realizes after-tax inflows of $4.5 million per year for 4 years. After 4 years, the machine must be replaced. Machine B costs $17 million and realizes after-tax inflows of $4.5 million per year for 8 years, after which it must be replaced. Assume that machine prices are not expected to rise because inflation will be offset by cheaper components used in the machines. The cost of capital is 13%.

Answers

A) The value of the company would decrease by approximately $1.92 million if it accepts the better machine.

B) The equivalent annual annuity for Machine A is approximately $5.12 million, and for Machine B, it is approximately $6.78 million.

A) To determine the value increase if the company accepts the better machine, we need to calculate the net present value (NPV) of each machine and compare them. The NPV represents the present value of the cash inflows minus the initial cost of the investment.

For Machine A:

Cost = $8 million

Annual cash inflow = $4.5 million (after-tax) for 4 years

Discount rate = 13%

Using the formula for NPV:

NPV(A) = (Cash inflow - Cost) / (1 + Discount rate)^n

where n is the number of years.

NPV(A) = (4.5 - 8) / (1 + 0.13)^4

NPV(A) = -3.5 / 1.7247

NPV(A) ≈ -2.03 million

For Machine B:

Cost = $17 million

Annual cash inflow = $4.5 million (after-tax) for 8 years

Discount rate = 13%

NPV(B) = (4.5 - 17) / (1 + 0.13)^8

NPV(B) = -12.5 / 3.1721

NPV(B) ≈ -3.95 million

To determine the value increase, we compare the NPV of the better machine with the other:

Value Increase = NPV(B) - NPV(A)

Value Increase = -3.95 million - (-2.03 million)

Value Increase ≈ -1.92 million

Therefore, the value of the company would decrease by approximately $1.92 million if it accepts the better machine.

B) The equivalent annual annuity (EAA) represents the equal annual cash flow that would have the same NPV as the investment.

For Machine A:

EAA(A) = NPV(A) / ((1 - (1 +[tex]Discount rate)^(^-^n^))[/tex] / Discount rate)

EAA(A) ≈ -2.03 million / ((1 - [tex](1 + 0.13)^(^-^4^))[/tex] / 0.13)

EAA(A) ≈ -2.03 million / 0.3972

EAA(A) ≈ -5.12 million

For Machine B:

EAA(B) = NPV(B) / ((1 - (1 +[tex]Discount rate)^(^-^n^))[/tex] / Discount rate)

EAA(B) ≈ -3.95 million / [tex]((1 - (1 + 0.13)^(^-^8^))[/tex] / 0.13)

EAA(B) ≈ -3.95 million / 0.5829

EAA(B) ≈ -6.78 million

The equivalent annual annuity for Machine A is approximately $5.12 million, and for Machine B, it is approximately $6.78 million.

For more such information on: annual annuity

https://brainly.com/question/14908942

#SPJ8

The question probable may be:

The Perez Company has the opportunity to invest in one of two mutually exclusive machines that will produce a product it will need for the foreseeable future. Machine A costs $8 million but realizes after-tax inflows of $4.5 million per year for 4 years. After 4 years, the machine must be replaced. Machine B costs $17 million and realizes after-tax inflows of $4.5 million per year for 8 years, after which it must be replaced. Assume that machine prices are not expected to rise because inflation will be offset by cheaper components used in the machines. The cost of capital is 13%.

A)By how much would the value of the company increase if it accepted the better machine? Enter your answer in millions. For example, an answer of $1.2 million should be entered as 1.2, not 1,200,000. Round your answer to two decimal places.

B)What is the equivalent annual annuity for each machine? Enter your answer in millions. For example, an answer of $1.2 million should be entered as 1.2, not 1,200,000. Round your answers to two decimal places.

a variable might hold an incorrect value even when it is

Answers

A variable might hold an incorrect value when it is not properly initialized, assigned the wrong value due to a programming error, or when there are issues with data input or manipulation.

In computer programming, variables are used to store and manipulate data. However, there are several reasons why a variable might hold an incorrect value.

One common reason is when the variable is not properly initialized. If a variable is not assigned a value before it is used, it may contain garbage data or an undefined value, leading to incorrect results.

Another reason is when the variable is assigned the wrong value due to a programming error. This can happen if the programmer mistakenly assigns the wrong value to the variable or if there is a logical error in the code.

Additionally, variables can also hold incorrect values if there are issues with data input or data manipulation. For example, if the input data is not validated properly, it can result in incorrect values being stored in variables. Similarly, if there are errors in the calculations or operations performed on the data, the variables may hold incorrect values.

It is important for programmers to carefully initialize variables, validate input data, and ensure the correctness of their code to prevent variables from holding incorrect values.

Learn more:

About variable here:

https://brainly.com/question/15740935

#SPJ11

texas sales taxes rank among the ___________ in the nation.

Answers

Texas sales taxes rank among the highest in the nation. The state sales tax rate in Texas is 6.25%, which is higher than the national average. However, the total sales tax rate in Texas can vary depending on the location due to additional local sales taxes.

Texas sales taxes rank among the highest in the nation. The state sales tax rate in Texas is 6.25%, which is higher than the national average. However, it is important to note that the total sales tax rate in Texas can vary depending on the location due to additional local sales taxes. This means that the actual sales tax rate paid by consumers in Texas can be higher than 6.25%.

Texas does not have an income tax, so sales tax is an important source of revenue for the state. The high sales tax rate in Texas helps fund various government programs and services. However, it also means that consumers in Texas bear a relatively higher tax burden when purchasing goods and services compared to residents of other states with lower sales tax rates.

Learn more:

About Texas sales taxes here:

https://brainly.com/question/10624731

#SPJ11

1.) The shareholders that are eligible to vote for the board of directors of a company are:

Select one:

a. all shareholders holding more than 1,000 shares.

b. all shareholders who attend the annual general meeting.

c. all shareholders holding voting shares.

d. all preference shareholders.

2.) The item that would not be included in the operating section of a statement of cash flows is:

Select one:

a. Cash interest received.

b. Cash received from the sale of surplus machinery.

c. Cash received from sales.

d. Cash payment of expenses.

3.)Which of these items will appear in a statement of cash flows?

Select one:

a. Carrying value of an asset sold.

b. Adjustment in the balance of an asset account caused by a revaluation.

c. Proceeds from the sale of a fixed asset.

d. All of the above.

4.) If a company issues 25,000 ordinary shares which are sold at $4 per share, the effect on the accounting equation is:

Select one:

a. increase cash $100,000; decrease in shareholders' equity $80,000.

b. increase cash $100,000; increase in liabilities $80,000.

c. increase cash $100,000; increase in shareholders' equity $100,000.

d. none of the above.

5.) With what are operating activities concerned?

Select one:

a. borrowing or lending.

b. the sale or disposal of non-current assets.

c. the trading and/or service operations of the business.

d. none of the above.

6.) Which of the following is not included in an audit report?

Select one:

a. An audit opinion on whether or not the financial statements are 'true and fair.'

b. Identification of the financial reports audited.

c. A statement that the financial reports were prepared in accordance with accounting standards.

d. A statement on the sustainable strategies of the reporting entity.

Answers

1. C. All shareholders holding voting shares have the right to vote for the board of directors as they possess the voting power in the company.

2. B. The sale of surplus machinery is considered a non-operating activity and would be included in the investing section of the statement of cash flows, not the operating section.

3. D. A statement of cash flows includes all three items mentioned: carrying value of an asset sold (cash flow from investing activities), adjustment in the balance of an asset account caused by a revaluation (non-cash adjustment reported in the notes to the financial statements), and proceeds from the sale of a fixed asset (cash flow from investing activities).

4. C. When a company issues 25,000 ordinary shares at $4 per share, it will increase the cash account by $100,000 (25,000 shares × $4) and increase the shareholders' equity by the same amount since shares represent ownership in the company.

5. C. Operating activities involve the core revenue-generating activities of the business, such as sales, purchases, and expenses directly related to the company's primary operations.

6. D. While an audit report includes an audit opinion, identification of the audited financial reports, and a statement that the financial reports were prepared in accordance with accounting standards, it does not include a statement on the sustainable strategies of the reporting entity. The audit report primarily focuses on providing an opinion on the fairness of the financial statements and the compliance of the financial reporting with relevant accounting standards and regulations.

Learn more about cash flows here

https://brainly.com/question/27994727

#SPJ11

A payment system that pays before the service is provided is known as a prospective payment system.
Group of answer choices
True
False

Answers

A payment system that pays before the service is provided is not called a prospective payment system, but rather a prepayment system. The term "prospective payment system" specifically refers to a payment system used in healthcare settings.

A payment system that pays before the service is provided is known as a prospective payment system.

False.

A prospective payment system is a payment system in healthcare where predetermined rates are set for specific services before the service is provided. It is typically used in healthcare settings such as hospitals or healthcare facilities.

However, in a general sense, a payment system that pays before the service is provided is not referred to as a prospective payment system. It is more commonly known as a prepayment system.

A prepayment system requires payment upfront, before any goods or services are delivered. This is often seen in online transactions, where customers are required to pay for products or services before they are received. Examples include buying items online, purchasing event tickets in advance, or paying for subscriptions upfront.

learn more about prospective payment system

https://brainly.com/question/33558848

#SPJ11

A person was considering buying a house priced at $350,000. A mortgage company claimed the interest rate for the 20-year loan is 3.5%. The company also estimated that the points and Appraisal, Credit Report, Processing, Document Preparation, Administration, Underwriting, Flood Certificate, Tax Service, Wire Transfer, and other fees would be $13,000 in total.

a) What would be the monthly payment, if the person decided to borrow 90% of the cost of the house and 100% of the processing fees?

b) What is the APR of the loan?

c) If the person accepts the terms of the loan on Feb. 28, 2010, the first monthly payment is due on March 31. How much mortgage would be paid off after the payment on January 31, 2015?

d) How much interest charge could this person claim for deduction in the 2014 Tax Return, i.e. the total interest occur during year 2014?

Answers

The monthly payment would be approximately $2,051.

The APR would be approximately 3.89%.

The mortgage paid off would be approximately $123,060.


The interest paid in 2014 would be approximately $290,800.

This is the step-by-step calculation for the monthly payment, APR, mortgage paid off, and interest charge.

a) To find the monthly payment, we need to calculate the loan amount and then use the formula for monthly mortgage payments.

The loan amount would be 90% of the house price ($350,000) plus the processing fees ($13,000), which equals $343,500.

To find the monthly payment, we can use the formula:

Monthly Payment = (Loan Amount * Monthly Interest Rate) / (1 - (1 + Monthly Interest Rate)^(-Number of Payments))

The monthly interest rate can be found by dividing the annual interest rate (3.5%) by 12, which equals 0.00292.

The number of payments would be 20 years * 12 months per year, which equals 240.

Plugging these values into the formula, we get:

Monthly Payment = (343,500 * 0.00292) / (1 - (1 + 0.00292)^(-240))


b) The APR (Annual Percentage Rate) takes into account both the interest rate and the fees associated with the loan. To calculate the APR, we need to consider the loan amount, interest rate, and fees.

The loan amount is $343,500, the interest rate is 3.5%, and the fees are $13,000.

To find the APR, we can use the formula:

APR = (Interest Paid + Fees) / Loan Amount * 100

The interest paid can be calculated by subtracting the loan amount from the total amount paid over the 20-year term.

The total amount paid can be found by multiplying the monthly payment ($2,051) by the number of payments (240).

The interest paid would be approximately $289,240.

Plugging these values into the formula, we get:

APR = (289,240 + 13,000) / 343,500 * 100

c) To calculate the mortgage paid off after the payment on January 31, 2015, we need to find the number of payments made.

The loan term is 20 years, so the number of payments made by January 31, 2015, would be (2015 - 2010) * 12, which equals 60 payments.

To find the mortgage paid off, we can multiply the number of payments made (60) by the monthly payment ($2,051).


d) To calculate the total interest charge for the 2014 Tax Return, we need to find the interest paid during that year.

The number of payments made in 2014 would be (2014 - 2010) * 12, which equals 48 payments.

To find the interest paid, we can multiply the number of payments made in 2014 (48) by the monthly payment ($2,051) and subtract it from the loan amount ($343,500).

Learn more about APR from the given link

https://brainly.com/question/2772156

#SPJ11

A lift calling system is to be programmed for an organization building having 4 floors. The CEO of the organization sits at the 3rd floor. The marketing head sits at the 1st floor and the staffs of the organization sit at the 2nd floor. The lift calling system should have the most priority for the 3rd floor, then the priority should be given to 1st floor, then 2nd floor should be given priority and Ground floor will have the least priority.

Construct the truth table as per the priority

Answers

To construct the truth table for the lift calling system with floor priorities, we need to consider the inputs representing the calls from each floor and the outputs indicating the floor with the highest priority.

Let's assume we have three inputs: A (for the 3rd floor), B (for the 1st floor), and C (for the 2nd floor). The output will be a three-bit binary code representing the priority floor.

Here's the truth table based on the given priorities:

| A | B | C | Output |

|---|---|---|--------|

| 0 | 0 | 0 | 000    |

| 0 | 0 | 1 | 001    |

| 0 | 1 | 0 | 010    |

| 0 | 1 | 1 | 010    |

| 1 | 0 | 0 | 100    |

| 1 | 0 | 1 | 100    |

| 1 | 1 | 0 | 100    |

| 1 | 1 | 1 | 100    |

In this truth table, 1 represents the presence of a call from a particular floor, and 0 represents no call. The output is a three-bit binary code, where the most significant bit represents the 3rd floor, the middle bit represents the 1st floor, and the least significant bit represents the 2nd floor.

According to the priorities given, the output shows the highest priority floor based on the combination of inputs. In this case, the 3rd floor has the highest priority, followed by the 1st floor, then the 2nd floor, and the Ground floor (not explicitly mentioned in the given information) would have the least priority, indicated by all 0s in the output.

Please note that the Ground floor is not included in the given information, so it is assumed to have the lowest priority. If there are specific requirements or considerations for the Ground floor, please provide additional details.

Learn more about truth table here:

https://brainly.com/question/30588184

#SPJ11

A bond, paying semi-annual coupons of 4% per annum, matures in 7 months time. The interest rate (with semi-annual compounding) for 1 month is 2.70%, while for 7 months, it is 3.20%. What is the dirty price of the bond?

$102.12

$100.16

$97.72

$106.08

Answers

To calculate the dirty price of the bond, we need to calculate the present value of both the future coupon payments and the face value of the bond. The dirty price of the bond is $102.12.

The coupon payments are semi-annual and equal to 4% per annum.  First, let's calculate the present value of the future coupon payments. Since the bond matures in 7 months, we will have one coupon payment remaining.

The interest rate for 1 month is 2.70%. Using the formula for present value of a single cash flow:

PV = CF / (1 + r)^n

where PV is the present value, CF is the cash flow, r is the interest rate, and n is the number of periods.

PV of coupon payment = (4% / 2) * (1 / (1 + 2.70%)^7/6)

PV of coupon payment ≈ 2% * (1 / 1.0135)

PV of coupon payment ≈ 1.985% or 0.01985

Next, let's calculate the present value of the face value. The face value will be paid at maturity, and the interest rate for 7 months is 3.20%. Using the same formula:

PV of face value = 100 / (1 + 3.20%)^7/6

PV of face value ≈ 100 / 1.015

PV of face value ≈ 98.528 or 0.98528

Finally, the dirty price of the bond is the sum of the present value of the coupon payment and the present value of the face value:

Dirty price = PV of coupon payment + PV of face value

Dirty price ≈ 0.01985 + 0.98528

Dirty price ≈ 1.00513

Therefore, the dirty price of the bond is approximately $102.12.

Learn more about bonds here; brainly.com/question/25965295

#SPJ11

the model of short-run economic fluctuations focuses on

Answers

The model of short-run economic fluctuations focuses on understanding the causes and consequences of changes in economic activity that occur over a relatively short period, typically less than a year. It examines how changes in aggregate demand and aggregate supply interact to determine the level of output and prices in the short run, and considers the role of monetary and fiscal policies in influencing economic fluctuations.

These fluctuations are driven by various factors, including changes in consumer spending, business investment, government policies, and external shocks.

One of the key models used in this context is the aggregate demand and aggregate supply model. This model examines how changes in aggregate demand, which is the total spending in the economy, and aggregate supply, which is the total production in the economy, interact to determine the level of output and prices in the short run.

The model also considers the role of monetary and fiscal policies in influencing economic fluctuations. monetary policy refers to the actions taken by the central bank to control the money supply and interest rates, while fiscal policy refers to the use of government spending and taxation to influence the economy.

Learn more:

About short-run economic fluctuations here:

https://brainly.com/question/32961201

#SPJ11

RTD, Corp. is expected to pay a $4.50 dividend in one year and the dividend is expected to grow at a 5.5% annual rate. RTD has a required rate of return of 12.3%. What price would we expect to pay for RTD stock today?

(Assume all bonds pay semi-annual coupons unless otherwise instructed. Assume all bonds have par values per contract of $1,000.)

Answers

The solution to the given question can be explained as follows:Given information:Dividend expected to pay = $4.50Annual growth rate = 5.5%Required rate of return = 12.3%Formula used:

P0 = D1 / (r - g)Here,P0 = Price of the share todayD1 = Dividend to be paid next yearr = Required rate of returng = Growth rate in dividendUsing the above formula, we get:P0 = D1 / (r - g)P0 = $4.50 / (12.3% - 5.5%)P0 = $4.50 / 0.068P0 = $66.18Therefore, the price we would expect to pay for RTD stock today is $66.18.

to know more about solution intake pls visit:

https://brainly.com/question/32764774

#SPJ11

The practice wherein consumers of protected classes are directed to certain neighborhoods when shopping for a house is called..

blockbusting
steering
using a restrictive covenant
redlining

Answers

The practice wherein consumers of protected classes are directed to certain neighborhoods when shopping for a house is called "steering."

Steering refers to the discriminatory practice of guiding or directing individuals, particularly those belonging to protected classes such as race, religion, or national origin, towards specific neighborhoods based on their characteristics.

This practice aims to influence their housing choices and perpetuate segregation. By steering individuals away from certain areas or limiting their options based on discriminatory factors, it violates fair housing laws and denies equal access to housing opportunities.

Steering is considered illegal and unethical as it restricts individuals' freedom of choice and perpetuates housing segregation. Fair housing laws, such as the Fair Housing Act in the United States, prohibit steering and other discriminatory practices in the housing market.

These laws aim to promote equal housing opportunities for all individuals, regardless of their protected class status. By ensuring fair and equitable access to housing, societies can strive to eliminate discrimination and promote inclusive communities.

Learn more about Fair Housing Act here:

https://brainly.com/question/32223784

#SPJ11

"Little Piggie produces sports socks. The company has fixed
expenses of $80,000 and variable expenses of $1.20 per package.
Each package sells for $2.50.
Requirements
Compute the contribution margin

Answers

The contribution margin is $1.30. It represents the amount of revenue available to cover the fixed expenses and contribute towards profit.

The contribution margin is calculated by subtracting the variable expenses per unit from the selling price per unit. In this case, each package sells for $2.50, and the variable expenses are $1.20 per package.

Contribution Margin = Selling Price per Package - Variable Expenses per Package

Therefore, the contribution margin for Little Piggie can be calculated as follows:

Contribution Margin = $2.50 - $1.20

Contribution Margin = $1.30

The contribution margin is $1.30. This means that for each package sold, $1.30 contributes towards covering the fixed expenses and generating profit. The contribution margin is a key measure of the profitability of each unit sold, as it represents the amount available to contribute towards covering fixed costs and generating a positive operating income.

To learn more about profit, click here:

brainly.com/question/1078746

#SPJ11

As a project manager you need to use the estimating data and other inputs to create a project schedule that you will be able to stake your reputation on meeting. Explain in few bullet points steps you need to take to create a finalized schedule?

Answers

To create a reliable project schedule, review requirements, define activities, estimate durations, allocate resources, develop a network diagram, establish milestones, sequence activities, optimize the schedule, and communicate and monitor progress.

To create a finalized project schedule that you can stake your reputation on meeting, follow these steps:

1. Review project requirements: Understand the project objectives, deliverables, and constraints to determine the scope and timeline.

2. Define activities: Break down the project into smaller tasks and identify the sequence and dependencies among them.

3. Estimate durations: Use historical data, expert judgment, and input from team members to estimate the time required for each activity.

4. Determine resource requirements: Identify the necessary resources, such as personnel, equipment, and materials, for each activity.

5. Allocate resources: Assign resources to activities based on availability, skills, and dependencies.

6. Develop a network diagram: Create a visual representation of the project activities and their relationships using techniques like the Critical Path Method (CPM) or the Program Evaluation and Review Technique (PERT).

7. Establish milestones: Identify key checkpoints or milestones in the project to track progress and evaluate performance.

8. Sequence activities: Arrange the activities in a logical order, considering dependencies and constraints.

9. Develop a schedule: Use scheduling software or tools to assign start and end dates to each activity, considering resource availability and constraints.

10. Optimize the schedule: Analyze the schedule for bottlenecks, critical paths, and potential risks, and make adjustments as needed to ensure feasibility.

11. Review and finalize: Share the draft schedule with stakeholders for feedback, incorporate their input, and obtain their approval.

12. Communicate the schedule: Distribute the finalized schedule to the project team, stakeholders, and any relevant parties to ensure everyone is aware of the timeline and expectations.

13. Monitor and control: Regularly track progress against the schedule, identify deviations, and take corrective actions to keep the project on track.

By following these steps, you can create a comprehensive and reliable project schedule that reflects the project requirements and increases the likelihood of successful delivery.

For more such questions on allocate resources , click on:

https://brainly.com/question/29764866

#SPJ11


Discuss the impact the natural environment has on companies such
as The North Face.

Answers

The natural environment has a significant impact on companies like The North Face, which operates in the outdoor apparel and equipment industry.

Here are some key aspects to consider:

Supply Chain and Raw Materials: The North Face relies on natural resources to source raw materials for its products, such as cotton, wool, down, and synthetic fibers.

Sustainability and Environmental Stewardship: The North Face, like many companies, faces growing pressure to adopt sustainable practices and reduce its environmental footprint. Customers are increasingly demanding environmentally-friendly products and expect companies to demonstrate responsible sourcing, manufacturing, and waste management.

Outdoor Recreation and Brand Image: The North Face's success is closely tied to the popularity of outdoor activities and the overall health of the natural environment. The availability and condition of natural spaces for recreational purposes can impact consumer interest and participation in outdoor activities.

Climate Change and Extreme Weather Events: Climate change poses risks and challenges for companies like The North Face.

Regulatory and Legal Compliance: Companies in the outdoor industry, including The North Face, must comply with environmental regulations and laws.

To learn more about natural environment

https://brainly.com/question/28421954

#SPJ11

a new user requests that their salesforce user interface display in spanish instead of english. what can you, as the user’s salesforce administrator, do to fulfill this request?

Answers

As a Salesforce administrator, you can change the user's language settings in Salesforce to Spanish. This can be done by accessing the user's profile settings and updating the language preference to Spanish.

To fulfill the request, follow these steps:

1. Access the user's profile: As a Salesforce administrator, you have access to user profiles. Locate the profile of the user who requested the language change.

2. Update language settings: Within the user's profile, find the language preference setting and change it to Spanish. Save the changes.

By modifying the user's language preference, you ensure that their Salesforce user interface will display in Spanish. This includes menu options, buttons, labels, and other system texts. The change is specific to the user and will not affect the language settings for other Salesforce users.

Salesforce supports multiple languages, allowing administrators to customize the user experience based on individual preferences. This flexibility enables users to work with Salesforce in their preferred language, enhancing their comfort and productivity within the system.

Learn more about productivity here:

https://brainly.com/question/30333196

#SPJ11

Sales price per unit: Variable costs per unit: Direct materials Direct labor. Variable manufacturing overhead Variable selling and administrative expenses \( \$ \quad \begin{array}{ll}5.60 \\ \$ & 6.0

Answers

The sales price per unit is $5.60, while the variable costs per unit consist of direct materials, direct labor, variable manufacturing overhead, and variable selling and administrative expenses totaling $6.00. This implies that the company is incurring a loss of $0.40 per unit sold.

In more detail, the sales price per unit of $5.60 represents the amount at which the company sells its product to customers. On the other hand, the variable costs per unit of $6.00 include the expenses directly associated with producing and selling each unit, such as the cost of materials, labor, manufacturing overhead, and selling and administrative expenses that vary with the level of production.

Since the variable costs per unit exceed the sales price per unit, it means that the company is experiencing a loss of $0.40 per unit sold. This situation indicates that the company's current pricing strategy is not sufficient to cover all the variable costs associated with producing and selling the product.

To improve profitability, the company may need to consider strategies such as cost reduction measures, pricing adjustments, or increasing sales volume to achieve economies of scale.

Learn more about manufacturing click here: brainly.com/question/29489393

#SPJ11

The next question deals with the December 31,2019 Balance Sheet of Horan Industries. Horan began 2019 with the following non-current asset balances: Plant and equipment (net) $185,000; Patents S27,000. No long-term assets were purchased or sold during the year. How much amortization and depreciation expense did Horan record during 2019 ?
$10,000
$11,000
$12,000

It cannot be determined with the information given. 21. Quogue Sporting Goods purchased a new screen-printing machine for $50,000. It cost $1,000 to deliver the machine and $5,000 to install it. The machine has a useful life of 8 years and an estimated salvage value of S8,000. What would the depreciation be for the first year using the double declining method?
$6,000
$7,000
$12,000
$14,000

2. On December 1,2019 Zingo Inc. made a $100,000 payment to Big Boy Banking. The payment was for a $90,000 loan that Zingo received from Big Boy, 6 months ago. Which option below best represents the recording of this transaction for Zingo? Debit cash $100,000; credit notes payable $100,000 Debit interest expense $10,000; debit notes payable $90,000; credit cash $100,000 Debit notes payable $100,000; credit cash $100,000 Debit interest expense $10,000; debit notes payable $100,000; credit cash $90,000 3. The December 31, 2019 Income Statement of Jackson Industries is shown below. Jackson began 2019 with a taxes payable account balance of $5 million. During the year, it made a cash payment of $3 million to the tax authorities. On December 31,2019 , what is its taxes payable account balance? \$2 million S8 million S9 million \$12 million

Answers

The amount of amortization and depreciation expense recorded by Horan Industries during 2019. The question provides information about the beginning balances of non-current assets, specifically plant and equipment (net) and patents. However, it does not provide any information about the depreciation or amortization rates or methods used by Horan Industries.

To determine the amount of amortization and depreciation expense, we need additional information such as the depreciation rates or methods used by Horan Industries. Without this information, it is not possible to calculate the exact amount of amortization and depreciation expense for 2019.

Quogue Sporting Goods purchased a new screen-printing machine for $50,000, and additional costs of $1,000 for delivery and $5,000 for installation were incurred. The machine has a useful life of 8 years and an estimated salvage value of $8,000. The question asks for the depreciation expense for the first year using the double declining method.

Know more about amount of amortization and depreciation:

https://brainly.com/question/32776171

#SPJ11

Listen All of the following are among the ways in which an organization applies the differentiation strategy to provide the customer with something that is unique and distinctive from its competition except: O create a higher quality product design a technically superior product develop a special appeal for the product undercut competitor's prices for comparable products
Listen Starbucks coffee uses a__design. networking focused differentiation O geographic

Answers

Answer:

Explanation:

Among the given options, the exception is:

Undercut competitor's prices for comparable products.

The other options mentioned—creating a higher quality product, designing a technically superior product, and developing a special appeal for the product—are ways in which an organization applies the differentiation strategy to provide the customer with something unique and distinctive from its competition. These strategies aim to differentiate the organization's products or services in a way that sets them apart from competitors and creates value for customers. However, undercutting competitor's prices does not typically align with the differentiation strategy, as it primarily focuses on offering products or services at a lower cost rather than providing unique and distinctive features or qualities.

Learn more about differentiation strategy:

brainly.com/question/32822488

#SPJ11

What is the best way to audit existence of credit purchases?

a.select a sample of purchase invoices and verify that there are approved purchase orders

b.select a sample of receiving reports and ensure that there is a corresponding purchase invoice

c.verify that the invoice is from supplier on a pre-approved supplier listing

d.trace the invoice to the payment made to the supplier

Answers

The best way to audit the existence of credit purchases is to select a sample of purchase invoices and verify that there are approved purchase orders. This helps ensure that the purchases were authorized and supported by proper documentation.

To elaborate, auditors can examine a representative sample of purchase invoices and cross-reference them with the corresponding approved purchase orders. This process ensures that the purchases were requested and authorized by the appropriate individuals within the organization. By verifying the presence of approved purchase orders, auditors can confirm that the credit purchases are legitimate and align with the company's procurement procedures. This step helps mitigate the risk of unauthorized or fraudulent transactions.

Other options listed (b, c, d) can also be part of the audit process, but selecting a sample of purchase invoices and verifying approved purchase orders remains the most effective and crucial step to confirm the existence of credit purchases during an audit.

To know more about audit  visit:

https://brainly.com/question/14652228

#SPJ11

Other Questions
Find the derivative of the function.f(t)=21(7t2+t)3f(t)=___ A $17,200 debt will accumulate for six years at 11.6% compounded semi-annually. For how much will the debt sell four years (starting point) after it was incurred if the buyer of the debt charges 9% compounded quarterly? 32,752.67 27,816.92 28,317.17 33,838,24 The recurring patterns of behavior that people create through their interactions, their exchange of information, and their relationships. Cornerstone Exercise 7-24 (Algorithmic)Analyze Fixed AssetsAt December 31, 2019, Clark Corporation reported beginning net fixed assets of $84,365, ending net fixed assets of $103,548, accumulated depreciation of $48,753, net sales of $212,722, and depreciation expense of $12,415.Required:Compute Clark Corporation fixed asset turnover ratio and the average age of its fixed assets. (Note: Round answers to two decimal places.)Fixed asset turnover ratioAverage age of fixed assets the two medicaid eligibility classifications are the______ needy group and the ____needy class. MSMQ Create a program which allows customers to order coffee and collect it instore. The system should alert the customer when their coffee is ready The coffee order details should be written to and read from a queue (MSMQ using a private message queue) Include code to handle delivery errors Submission details: In a pdf document, submit screenshots of: The order in the message queue The empty message queue after the order has been collected by the customer (i.e. after the consumer application has read the message from the queue) The order in the dead letter queue after it has not been collected after a specified period of time Andy has two samples of liquids. Sample A has a pH of 4, and sample B has a pH of 6. What can Andy conclude about these two samples?Sample A is , and sample B is . What do we know about forecasts? a. They are almost always right b. They are always right c. They are almost always wrong d. They are always wrong Differentiate. do not simplify. y=cos2(5x)y=x21exy=[sin(2x)+e1x2]y=ex25x+6) what is a key difference between the cause of death between emerging adults and middle-aged and older adults? death is my son-in-law. death is my heir; / my daughter he hath wedded meaning which country considers giant, 8,000 lb stones as currency? A sinusoidal signal having frequency of 1MHz and amplitude 100 V is amplitude modulated by a sinusoidal signal of frequency of 5KHz and amplitude 1 V. a) Identify the carrier frequency. b) Identify the modulating signal frequency. c) Find out the lower and upper sideband frequencies of the DSB SC modulated signal. Write one-paragraph summaries of three recent news articles that have RF, microwaves or millimeter-waves as main topics. Each article should be on a different general topic as it relates to society an Which of the following statements are false? Select one or more: a. A direct mapped cache will have the fastest access time, but has more conflict misses than fully or set associative caches. b. In a computer system with a three-level memory hierarchy (e. cache, main memory and disk) a TLB (translation look-aside buffer) miss always implies that the requested data is not available in the cache. c. A victim cache can be used to attain the benefit of the fast hit time of a direct mapped cache without incurring all the conflict misses of a direct mapped cache. d. All of the above Question 4 Not yet answered Points out of 10.00 Flag question Find the relative maximum and minimum values.f(x,y)=x3+y315xySelect the correct choice below and, if necessary, fill in the answer boxes to complete your choice. A. The function has a relative maximum value off(x,y)=at(x,y)=(Simplify your answers. Type exact answers. Type an ordered pair in the second answer box.) B. The function has no relative maximum value. Select the correct choice below and, if necessary, fill in the answer boxes to complete your choice. A. The function has a relative minimum value off(x,y)=at(x,y)=(Simplify your answers. Type exact answers. Type an ordered pair in the second answer box.) B. The function has no relative minimum value. A baseball is hit from a height of 3 feet above the ground with an initial speed of 105 feet per second and at an angle of 45o above the horizontal. (Assume the model of projectile motion with no air resistance and g=32 feet per second per second.) (a) Find the maximum height reached by the baseball. (b) Determine whether it will clear an 8-foot-high fence located 360 feet from home plate. Renata Corporation purchased equipment in 2019 for $180,000 and has taken $83,000 of regular MACRS depreciation. Renata Corporation sells the equipment in 2021 for $110,000. What is the amount and character of Renata's gain or loss? Renata Corporation has a gain of $____of which is $____treated as ordinary income due to____ what did john cabot and henry hudson have in common? Unemployed workers who meet certain qualifications can receive unemployment benefits for up to _____6 months.