Sarasota has leased a large, Alpha-3 computer system from the manufacturer. The lease calls for a monthly rental of $38,000 for the 144 months (12 years) of the lease term. The estimated useful life of the computer is 15 years.
All rentals are payable on the first day of the month beginning with August 1, 2020, the date the computer was installed and the lease agreement was signed. The lease is non-cancelable for its 12-year term, and it is secured only by the manufacturer’s chattel lien on the Alpha-3 system.
This lease is to be accounted for as a finance lease by Sarasota, and it will be amortized by the straight-line method. Borrowed funds for this type of transaction would cost Sarasota 6% per year (0.50% per month). Following is a schedule of the present value of an annuity due for selected periods discounted at 0.50% per period when payments are made at the beginning of each period.

Answers

Answer 1

The lease deal between Sarasota and the maker of the Alpha-3 computer system is a non-cancelable finance lease with a term of 12 years or 144 months.

Sarasota has to pay a monthly rent of $38,000 for the length of the lease. The lease started on August 1, 2020, and all rents are due on the first of each month. To count this lease as a finance lease, Sarasota will use the straight-line method of amortization. This means that the rent cost will be spread out evenly over the lease time. In order to figure out the present value of the lease payments, Sarasota will use a discount rate of 0.50% per month, which is the same as 6% per year. This rate shows the cost of borrowing money for this type of deal. Sarasota can refer to a schedule of the present value of an annuity due, which shows the present value factor for chosen periods when payments are made at the start of each period. By multiplying the monthly rent of $38,000 by the proper present value factor, Sarasota can figure out how much each rent payment is worth now.

To know more about amortization

https://brainly.com/question/29342465

#SPJ11


Related Questions

what is behavioral economics, and what is the basic technique or method used to engage in behavioral economics?

Answers

Behavioral economics is a field of study that analyzes how people make economic decisions in real-world situations, accounting for psychological and emotional factors that influence their choices.

It uses a range of techniques and methods to study human behavior, including experiments, surveys, and observational studies.The basic technique used in behavioral economics is experimental economics, which involves designing and conducting controlled experiments to test various theories and hypotheses about human decision-making.

These experiments typically involve manipulating various aspects of the decision-making environment, such as the incentives offered to participants, the framing of the decision problem, or the information available to them.

Experiments in behavioral economics can be conducted in a laboratory setting, where participants are typically paid for their participation, or in the field, where researchers observe and record the behavior of participants in real-world settings.

These experiments can also be conducted online, using platforms such as Amazon Mechanical Turk or Qualtrics, which allow researchers to recruit large samples of participants and collect data remotely.

Beyond experimental economics, other methods used in behavioral economics include surveys, natural experiments, and observational studies. These methods can help researchers to understand how people make decisions in real-world situations, as well as to identify the factors that influence their behavior and the mechanisms underlying their decision-making processes.

To know more about experiments, visit:

https://brainly.com/question/17314369

#SPJ11

Analyze and compare on a table the following two IO:
IMF and World Bank in terms of:
Obligations
Compliance
Enforcement
IMF
World Bank
Obligations
?
?
Compliance
?
?
Enfo

Answers

When comparing the International Monetary Fund (IMF) and the World Bank in terms of obligations, compliance, and enforcement, specific details are not provided. Therefore, it is difficult to fill out the table with specific information for each organization.

The International Monetary Fund (IMF) and the World Bank are international financial institutions with distinct mandates and functions. While they both play roles in global economic governance, their obligations, compliance mechanisms, and enforcement procedures may vary depending on their respective policies, agreements, and member countries' participation.

To provide a comprehensive analysis and comparison on a table, it would be necessary to have specific information about the obligations, compliance mechanisms, and enforcement procedures of both the IMF and the World Bank. Without such details, it is not possible to fill out the table accurately.

To know more about the obligations, compliance, and enforcement mechanisms of the IMF and the World Bank: brainly.com/question/11853879

#SPJ11

Listed below are bundles, each comprised of three independent proposals for which the PW has been estimated. Select the best bundle if the capital budget limit is $45.000 and the MARR is the cost of capital, which is 9% per year. (40 points) PW at 9%, S Proposal Bundle 1 Initial Investment, For Bundle, S 18.000 - 1.400 2 - 26.000 8.500 3 34.000 7.100 4 - 41.000 10.500

Answers

To determine the best bundle within the given capital budget limit and MARR, we need to compare the present worth (PW) of each bundle and select the one with the highest PW.

Let's calculate the PW at 9% for each proposal within the bundles:

Bundle 1:

PW for Proposal 1 = -$18,000

PW for Proposal 2 = $26,000

PW for Proposal 3 = $34,000

Total PW for Bundle 1 = -$18,000 + $26,000 + $34,000 = $42,000

Bundle 2:

PW for Proposal 1 = -$1,400

PW for Proposal 2 = -$26,000

PW for Proposal 3 = $7,100

Total PW for Bundle 2 = -$1,400 - $26,000 + $7,100 = -$20,300

Bundle 3:

PW for Proposal 1 = $8,500

PW for Proposal 2 = $41,000

PW for Proposal 3 = $10,500

Total PW for Bundle 3 = $8,500 + $41,000 + $10,500 = $60,000

Based on the PW calculations, Bundle 3 has the highest PW of $60,000. However, the capital budget limit is $45,000, so Bundle 3 exceeds the budget.

Among the feasible options, Bundle 1 has the highest PW of $42,000, which is within the budget. Therefore, the best bundle within the given constraints would be Bundle 1.

Learn more about bundle here

https://brainly.com/question/10630890

#SPJ11

I. Complete the following information

1. The interview that takes place during a meal and may be part of a day-long interview process is referred to as ___________.
2. The interview that takes place around a conference table and where a group of individuals collectively ask the candidate questions is known as ______________.
3. It is good idea to keep all answers to less than _____________minutes in length.
4. The type of interview that happens without a warning is called ________________.
5. The technique known as _______is very effective to answer competency-based questions.

Answers

1. The interview that takes place during a meal and may be part of a day-long interview process is referred to as a "meal interview" or "lunch interview."

2. The interview that takes place around a conference table and where a group of individuals collectively ask the candidate questions is known as a "panel interview."

3. It is a good idea to keep all answers to less than "two to three minutes" in length. This ensures that the candidate provides concise and focused responses without losing the interviewer's attention or going off-topic.

4. The type of interview that happens without a warning is called an "unannounced interview" or "impromptu interview." In such interviews, the candidate is caught off-guard and needs to respond spontaneously to the questions asked.

5. The technique known as the "STAR method" is very effective to answer competency-based questions. STAR stands for Situation, Task, Action, and Result. It involves structuring responses by providing a specific situation or task, explaining the action taken, and highlighting the positive result achieved. This technique helps candidates provide clear and structured answers, showcasing their relevant skills and experiences.

Understanding the different types of interviews, such as meal interviews, panel interviews, unannounced interviews, and the effective use of techniques like the STAR method, can help candidates prepare for various interview scenarios. By being aware of these interview formats and utilizing appropriate techniques, candidates can enhance their chances of presenting themselves confidently and effectively during the interview process.

To know more about interview , visit

https://brainly.com/question/29438355

#SPJ11

1. Suppose the price elasticity of demand for lettuce is given to be -0.5. What must have happened to the price of lettuce if sales increased 2%? Be sure to show ALL your work, any formulas you use, e

Answers

To determine what must have happened to the price of lettuce given a 2% increase in sales and a price elasticity of demand of -0.5, we can use the following formula:

Elasticity = (% Change in Quantity Demanded) / (% Change in Price)

We are given that the price elasticity of demand for lettuce is -0.5, and we want to find the corresponding change in price.

Let's denote the percentage change in quantity demanded as ΔQ and the percentage change in price as ΔP. We are given ΔQ = 2% (increase in sales).

Using the formula for elasticity, we have:

-0.5 = (ΔQ / Q) / (ΔP / P)

Substituting the given values:

-0.5 = (2% / Q) / (ΔP / P)

To solve for ΔP, we can rearrange the equation as follows:

ΔP / P = (2% / Q) / -0.5

Since we don't have the actual values for Q or P, we can work with the percentages:

ΔP / P = (2% / Q) / -0.5

Next, we can substitute a value for Q. Let's assume an initial quantity of 100 units (Q = 100):

ΔP / P = (2% / 100) / -0.5

Simplifying:

ΔP / P = 0.02 / -0.5

ΔP / P = -0.04

To express this as a percentage change in price, we multiply by 100:

(ΔP / P) * 100 = -4%

Therefore, if the price elasticity of demand for lettuce is -0.5 and sales increased by 2%, the price of lettuce must have decreased by approximately 4%.

To know more about elasticity of demand visit:

https://brainly.com/question/30704413

#SPJ11

Describe your personal code of ethics. Include what you think
constitutes right and wrong , as
well as your ethical framework for making decisions. Do you think
your personal code of ethics
might clas

Answers

My personal code of ethics is centered around principles such as honesty, integrity, respect, and accountability. I believe that what constitutes right and wrong is guided by the principles of fairness, compassion, and the Golden Rule - treating others as I would like to be treated.

In making ethical decisions, I follow a framework that involves considering the potential impact of my actions on others, analyzing the consequences and potential benefits or harms, and aligning my choices with my core values and ethical principles. I strive to consider different perspectives, seek consensus when possible, and make decisions that promote the greater good. While personal codes of ethics may differ among individuals, I believe it is essential to adhere to ethical standards regardless of external influences. However, it is worth noting that personal codes of ethics may sometimes clash with societal norms or organizational policies. In such cases, it is crucial to find a balance between personal convictions and the broader ethical framework within which we operate.

Learn more about ethical principles here:

https://brainly.com/question/30441909

#SPJ11

Which group(s) are experiencing higher and higher rates of residential and educational segregation? Select one: a. Black Americans b. Asian Americans c. Recent refugees to the United States d. Latin

Answers

Correct option is a. Black Americans,they are experiencing higher rates of residential and educational segregation, perpetuating social and economic disparities and limiting access to quality housing and education.

How is educational and residential segregation affecting Black Americans?

Black Americans have historically faced higher rates of educational  and residential segregation in the United States. Residential segregation refers to the separation of different racial or ethnic groups into distinct residential areas, often resulting from discriminatory practices and socioeconomic factors.

This segregation has persisted despite legal advancements towards desegregation.Residential segregation limits access to quality housing, neighborhood amenities, and economic opportunities for Black Americans. It perpetuates social and economic disparities, as racially segregated neighborhoods tend to have fewer resources, lower-quality schools, limited job opportunities, and higher levels of poverty and crime.

Educational segregation refers to the separation of students based on race or ethnicity into different schools or school systems. Black students have often been disproportionately affected by this form of segregation, leading to unequal access to quality education. Segregated schools tend to have fewer resources, lower funding levels, and higher concentrations of disadvantaged students, resulting in educational inequities and achievement gaps.

Despite efforts to combat segregation and promote integration, the legacy of past discriminatory policies and ongoing socioeconomic disparities contribute to the persistence of residential and educational segregation for Black Americans.

Addressing these issues requires systemic reforms, including policies that promote fair housing practices, equitable school funding, and comprehensive strategies to address racial and socioeconomic disparities.

Learn more about  residential segregation

brainly.com/question/14150325

#SPJ11

How do Keynesian economists differ from Classical economists: Group of answer choices
Laissez-faire policies would lead to macro equilibrium.
Markets would naturally self-adjust.
The economy was inherently unstable.
Prices and wages were flexible.

Answers

Keynesian economists differ from classical economists in that the economy is inherently unstable and that prices and wages are not flexible. They believe that markets do not naturally self-adjust and that laissez-faire policies would not lead to macro equilibrium. The correct answer is, Laissez-faire policies would lead to macro equilibrium.

Keynesian economists advocate for active government intervention in the economy to promote full employment, stabilize prices, and stimulate economic growth. They argue that during economic downturns, government spending should increase to boost aggregate demand and stimulate economic activity.

In contrast, classical economists advocate for laissez-faire policies and believe that the market should be left to self-regulate. They argue that government intervention in the economy can lead to inefficiencies and distortions in the market. They also believe that prices and wages are flexible, which means that markets will naturally adjust to achieve equilibrium.

To know more about Keynesian economists click here:

https://brainly.com/question/31531057

#SPJ11

Explain the term "free trade" as it relates to "fair trade" in
your own terms. Which of these do you most support and why? Give an
example to support your opinion.

Answers

Free trade refers to the trade policies adopted by the nations in which they freely trade with one another by removing tariffs, quotas, and other trade barriers. While Fair trade is an arrangement aimed to empower and protect the vulnerable producers, farmers, and workers from the developing countries through providing better trading conditions and promoting sustainability.

Fair Trade is something that I would support because it is ethical trade that brings equitable business relationships between developed countries and developing countries. Fair trade empowers farmers and producers, ensures environmental sustainability, and supports communities. The movement toward fair trade began with a handful of people who were concerned about the sustainability of farming communities in developing countries.The concept of Fair Trade works in a way that guarantees a fair price for the producer and ensures that the working conditions are healthy and safe. It also promotes sustainable production by ensuring environmental management and enables the producers to sell their products directly to the consumers.

In contrast, free trade policies, on the other hand, promote the exploitation of labor and resources. Free trade policies allow wealthy nations to outsource their production to countries with low wages and standards. As a result, workers in developing countries often work in appalling conditions, with low wages and long working hours.The farmers and workers in developing countries cannot compete with the large multinational corporations with regards to cost, quality, and marketing. Hence, they are left with no choice but to accept unfair working conditions. Therefore, the fair trade movement is an excellent alternative to the exploitative free trade practices that have been dominant in the world economy. An example of fair trade would be the purchase of coffee, chocolate, or bananas from small farmers' cooperatives rather than large multinational corporations. This way, the profits go directly to the farmer who produced the product.

To know more about Free trade visit:-

https://brainly.com/question/30239076

#SPJ11

The direct materials budget shows the following: Units to be produced 2600 Direct materials pounds required for production 8320 Direct materials pounds to be purchased 9220 What are the direct materials per unit?

Answers

The direct materials per unit is 3.2 pounds, calculated by dividing the total direct materials pounds required for production (8,320 pounds) by the units to be produced (2,600 units).

How to calculate direct materials per unit?

To determine the direct materials per unit, we divide the total direct materials pounds required for production by the units to be produced. In this case, the total direct materials pounds required for production are 8,320, and the units to be produced are 2,600.

Direct materials per unit = Total direct materials pounds required / Units to be produced

Direct materials per unit = 8,320 pounds / 2,600 units

Direct materials per unit = 3.2 pounds per unit

Therefore, the direct materials per unit is 3.2 pounds. This means that for each unit produced, 3.2 pounds of direct materials are required. It's essential for production planning and cost estimation to determine the direct materials per unit accurately, as it helps in calculating the total cost of materials for production.

Learn more about direct materials

brainly.com/question/14002144

#SPJ11

An engineering firm recently conducted a study to determine its benefit (B)and cost (C) structure. The results of the study are as follows: B(Y) = 300Y - 6Y² C(Y)=4Y² So that MB = 300 - 12Y and MC = 8Y. You have been asked to determine the maximum level of net benefits and the level of Y that will yield that result.

Answers

The maximum level of net benefits is achieved when Y equals 25.The marginal cost (MC) is the derivative of the cost function with respect to Y, which is 8Y.

To determine the maximum level of net benefits (MB) and the corresponding level of Y, we need to find the point where MB equals zero, which represents the maximum point on the net benefit curve. In this case, MB = 300 - 12Y.
Setting MB equal to zero and solving for Y:
0 = 300 - 12Y
12Y = 300
Y = 25
Therefore, the maximum level of net benefits is achieved when Y equals 25.
In this problem, B(Y) represents the benefit function, which is given by B(Y) = 300Y - 6Y². This equation describes the relationship between the level of output (Y) and the associated benefit (B). The cost function, C(Y), is given by C(Y) = 4Y², representing the relationship between the level of output and the associated cost (C). The marginal benefit (MB) is the derivative of the benefit function with respect to Y, which is 300 - 12Y. The marginal cost (MC) is the derivative of the cost function with respect to Y, which is 8Y.



Learn more about maximum level of net benefits (MB)here:

https://brainly.com/question/30781912

#SPJ11

Consider an EPQ model. Which of the following is NOT true? If the annual demand increases by a factor of 4, the average inventory will increase by a factor of 2 If the fixed cost increases by a factor of 4, EPQ will increase by a factor of 2 If the fixed cost increases by a factor of 4, the total annual cost will increase by a factor of 2 If both the weekly demand rate and the weekly production rate increase by a factor of 4, EPQ will increase by a factor of 2 please answer the correct answer with steps.

Answers

In an Economic Production Quantity (EPQ) model, a company will balance its inventory holding costs and order set up costs. EPQ is the amount of inventory that a company should order each time it places an order. It can be determined by this formula: EOQ = √((2DS)/H).

Where:D = Demand per yearS = Setup cost per orderH = Holding cost per yearTherefore, the following statements are not true:If the annual demand increases by a factor of 4, the average inventory will increase by a factor of 2.If the fixed cost increases by a factor of 4, EPQ will increase by a factor of 2.

If both the weekly demand rate and the weekly production rate increase by a factor of 4, EPQ will increase by a factor of 2.The only correct statement is:If the fixed cost increases by a factor of 4, the total annual cost will increase by a factor of 2.

To know more about EPQ visit:-

https://brainly.com/question/29849208

#SPJ11

What part did the Russia's foreign currency policy play in the
Russia Financial Crisis of 1998?

Answers

Russia's foreign currency policy played a significant role in the Russia Financial Crisis of 1998. At the time, Russia operated under a fixed exchange rate regime, known as a "pegged" or "managed" exchange rate system.

Under this policy, the Russian government maintained a fixed exchange rate between the Russian ruble and the U.S. dollar. To support this fixed exchange rate, the Russian central bank (Bank of Russia) used its foreign currency reserves to intervene in the currency markets. It aimed to keep the ruble within a specific trading band against the U.S. dollar. However, this policy relied heavily on the availability of foreign currency reserves, which were primarily obtained from Russia's export revenues, particularly from oil and gas.

Russia's foreign currency policy exacerbated the crisis in several ways:

Depletion of Foreign Currency Reserves: In the years leading up to the crisis, Russia faced significant capital flight as investors lost confidence in the Russian economy. The fixed exchange rate policy required the central bank to sell its foreign currency reserves to support the ruble. As reserves dwindled, it became increasingly difficult to defend the exchange rate and maintain market confidence.Speculative Attacks: Market participants, aware of Russia's limited reserves, began speculating against the ruble, betting that the central bank would not be able to sustain the fixed exchange rate. Speculative attacks intensified pressure on the currency and further depleted the central bank's reserves.Unsustainable Exchange Rate: The fixed exchange rate regime was unsustainable given Russia's economic fundamentals, such as high inflation and fiscal imbalances. The overvaluation of the ruble made Russian exports more expensive and imports cheaper, contributing to a widening trade deficit and further straining the country's finances.Inability to Meet Obligations: As the crisis deepened, Russia faced difficulties in meeting its external obligations, such as repaying its foreign debt denominated in foreign currencies. The depletion of foreign currency reserves made it increasingly challenging for the government and corporations to meet their payment obligations.

Learn more about currency here : brainly.com/question/30240732

#SPJ11

You’ve observed the following returns on Crash-n-Burn Computer’s
stock over the past five years: 2 percent, –9 percent, 24 percent,
17 percent, and 16 percent.
What was the arithmetic

Answers

The arithmetic mean return of Crash-n-Burn Computer's stock over the past five years is 10 percent.

To calculate the arithmetic mean return, we sum up all the individual returns and divide it by the number of observations. In this case, we add 2 percent, -9 percent, 24 percent, 17 percent, and 16 percent, which gives us a total of 50 percent. Then, we divide 50 percent by 5 (the number of observations) to get the arithmetic mean return.

(2% + (-9%) + 24% + 17% + 16%) / 5 = 10%

Therefore, the arithmetic mean return of Crash-n-Burn Computer's stock over the past five years is 10 percent.

Learn more about arithmetic mean return here: brainly.com/question/31489879

#SPJ11

Assume that homeownership is a normal good. (In fact housing is a normal good.) Further assume that the income of all Americans has decreased because of a deterioration in overall economic conditions, caused by the housing crisis. Show what will have to happen to the equilibrium price and quantity in order for the housing market to clear. (Use the equilibrium price and quantity in part A as the stating point.)
part a: equilibrium price of $350,000 and an
equilibrium quantity of 500,000 homes.

Answers

As homeownership is a normal good and housing is a normal good, a decrease in the income of all Americans caused by the housing crisis will cause a decrease in the equilibrium price and quantity in the housing market in order to clear the market.

Equilibrium price = $300,000Equilibrium quantity = 400,000 As there is a decrease in the income of all Americans, their affordability to purchase a house decreases and hence the demand for houses will decrease. When the demand for houses decreases, the price will have to decrease in order to make the houses more affordable and increase the demand for them. This will lead to a new equilibrium price of $300,000 at which the quantity demanded and quantity supplied will be equal.

Thus, the equilibrium quantity will also decrease to 400,000 homes. This will ensure that the housing market is cleared.When the demand for houses decreases, the price will have to decrease in order to make the houses more affordable and increase the demand for them. This will lead to a new equilibrium price of $300,000 at which the quantity demanded and quantity .

To know more about equilibrium price Visit:    

https://brainly.com/question/29099220

#SPJ11

In this chapter we learn that there are multiple "legal and ethical ways to obtain competitive intelligence" (pg. 72). Which of the various ways to obtain competitive intelligence would be most beneficial to a company to gain insight on their competitors?

Answers

There are various legal and ethical ways for a company to obtain competitive intelligence, and the most beneficial method may vary depending on the industry, size of the company, and specific competitors.

However, one effective approach is to conduct a competitive analysis, which involves gathering information on the strengths, weaknesses, opportunities, and threats (SWOT) of the company's competitors. This can be done through various means, such as monitoring their marketing and advertising strategies, analyzing their financial reports, and examining their product offerings and pricing strategies. Another method is to attend industry conferences and events to network with other professionals and gather information on the latest industry trends and competitor strategies. Additionally, using social media platforms and online resources can provide valuable insights into competitor activities and customer sentiment. Ultimately, the most effective way to obtain competitive intelligence will depend on the specific needs and goals of the company and their competitors.

To know more about company  visit:

https://brainly.com/question/30532251

#SPJ11

an increase in demand caused by a strong national advertising campaign would

Answers

The success of an advertising campaign and its impact on demand depends on various factors, including the effectiveness of the campaign, the competitiveness of the product or service, market conditions, and consumer preferences.

An increase in demand caused by a strong national advertising campaign would typically lead to several outcomes:

Higher Sales: The increased demand resulting from the advertising campaign would likely translate into higher sales for the advertised product or service. More people would be motivated to purchase the promoted item, leading to increased revenue for the company.

Expanded Market Share: A successful national advertising campaign can help a company capture a larger share of the market. Increased demand may attract customers who were previously loyal to competitors, potentially allowing the company to gain new customers and increase its market presence.

Improved Brand Awareness: Advertising campaigns create brand visibility and awareness among the target audience. When a campaign effectively reaches a wide audience, it can significantly enhance brand recognition and familiarity. As a result, consumers may be more likely to choose the advertised brand when making purchasing decisions.

Production and Supply Chain Adjustments: Increased demand may require the company to ramp up its production capacity and adjust its supply chain to meet the higher consumer demand. This could involve hiring additional staff, increasing production volumes, and ensuring an adequate supply of raw materials or inventory.

Revenue Growth: With increased demand and higher sales, a company can experience significant revenue growth. This growth can provide financial resources for further business development, expansion, or investment in research and development.

Competitive Advantage: A strong national advertising campaign that generates increased demand can give a company a competitive edge over its rivals. By attracting more customers and increasing market share, the company may position itself as a preferred choice for consumers, potentially leaving competitors at a disadvantage.

Profitability and Financial Performance: Increased demand resulting from a successful advertising campaign can contribute to improved profitability and financial performance for the company. Higher sales and revenue, combined with effective cost management, can lead to increased profits and strengthen the company's financial position.

It's important to note that the success of an advertising campaign and its impact on demand depends on various factors, including the effectiveness of the campaign, the competitiveness of the product or service, market conditions, and consumer preferences.

learn more about competitiveness

https://brainly.com/question/30109639

#SPJ11

Kendall, who earned $121,200 during 2021, is paid on a monthly basis, is married, (spouse does not work) and claims two dependents who are under the age of 17. Use the Percentage Method Tables for Automated Payroll Systems. Use percentage method tables for automated systems.
Required:
What is Kendall’s federal tax withholding for each pay period?
What is Kendall’s FICA withholding for each pay period?
Note: For all requirements, round your intermediate computations and final answers to 2 decimal places.

Answers

Kendall's federal tax withholding for each pay period is $92,100. Kendall’s FICA withholding for each pay period is  $1,757.40.

To calculate Kendall's federal tax withholding and FICA withholding for each pay period, we need to consider the tax rates and withholding formulas provided by the IRS. Since the exact pay frequency (weekly, bi-weekly, semi-monthly, or monthly) is not specified, I will assume a monthly pay frequency for this calculation.

Federal Tax Withholding:

Step 1: Calculate the annual taxable income by subtracting the standard deduction and allowances.

Annual taxable income = Annual income - Standard deduction - Allowances

Annual income = $121,200

Standard deduction for married filing jointly = $25,100

Allowances for two dependents = 2 x $2,000 = $4,000

Annual taxable income = $121,200 - $25,100 - $4,000 = $92,100

Step 2: Use the IRS percentage method tables to find the applicable tax rate and withholding amount based on the annual taxable income.

Based on the provided information, I will assume Kendall's income falls within the tax bracket of 22%.

According to the IRS Percentage Method Tables for Automated Payroll Systems for 2021, the withholding amount for a married individual with an annual taxable income of $92,100 and a pay frequency of monthly is $10,101.25.

Therefore, Kendall's federal tax withholding for each pay period would be $10,101.25 divided by the number of pay periods in a year (12 in the case of monthly pay frequency).

FICA Withholding:

FICA (Federal Insurance Contributions Act) withholding includes Social Security tax and Medicare tax.

Social Security tax rate: 6.2% (up to the Social Security wage base limit)

Medicare tax rate: 1.45% (applied to the entire income)

To calculate Kendall's FICA withholding for each pay period:

Social Security withholding: Multiply Kendall's income by the Social Security tax rate (0.062).

Social Security withholding = $121,200 x 0.062 = $7,522.40

Medicare withholding: Multiply Kendall's income by the Medicare tax rate (0.0145).

Medicare withholding = $121,200 x 0.0145 = $1,757.40

Therefore, Kendall's FICA withholding for each pay period would be the sum of Social Security withholding and Medicare withholding, divided by the number of pay periods in a year (12 in the case of monthly pay frequency).

Learn more about withholding tax here: https://brainly.com/question/30313632

#SPJ11

A stock is priced at $45 per share. The stock has earnings per share of $3 and a market capitalization rate of 14%. What is the stock's PVGO? a. $23.57 b. $15 c. $19.78 d. $21.34

Answers

The PVGO of the stock is $19.78. The formula for PVGO is Stock price - EPS / Capitalization rate. By substituting the given values, we find that the PVGO of the stock is $19.78.

The formula for PVGO or present value of growth opportunities is: PVGO = Stock price - EPS / Capitalization rate

The given values are: Stock price = $45 per share

earnings per share (EPS) = $3 Market capitalization rate = 14%

Substituting the values in the above formula we get: PVGO = 45 - 3 / 14%

Using a calculator: PVGO = $19.78

Therefore, the PVGO of the stock is $19.78. The formula for PVGO is Stock price - EPS / Capitalization rate. By substituting the given values, we find that the PVGO of the stock is $19.78.

Know more about stocks here:

https://brainly.com/question/26128641

#SPJ11

Do you believe that it is fair for cities to make laws stating that essential workers within the retail arena must be paid an additional $4.00 or $5.00 per hour?

Answers

Yes, it is fair for cities to make laws stating that essential workers within the retail arena must be paid an additional $4.00 or $5.00 per hour.

In recent times, essential workers in the retail industry have played a critical role in ensuring the smooth functioning of our cities, even during challenging circumstances like the COVID-19 pandemic. These workers have faced increased health risks and put in extra effort to keep essential goods and services accessible to the public. Considering their invaluable contributions and the potential hardships they face, it is indeed fair for cities to implement laws mandating a higher wage for these essential workers.

By providing an additional $4.00 or $5.00 per hour, cities acknowledge the essential workers' efforts and aim to compensate them fairly for the vital services they provide. This extra compensation can help ease financial burdens, cover additional expenses related to safety measures, or provide much-needed support during these challenging times. It recognizes the sacrifices made by essential workers, many of whom had to work long hours, face potential exposure to the virus, and adapt to rapidly changing circumstances.

Moreover, implementing such laws can also have positive economic effects. When essential workers are fairly compensated, it can boost their morale, productivity, and job satisfaction. This, in turn, can contribute to a more stable and efficient retail sector, benefiting both the workers and the businesses. Additionally, increased wages for essential workers can stimulate local economies as these workers tend to spend their earnings in the communities where they live and work.

Learn more about compensation

brainly.com/question/11212342

#SPJ11

Mary Glover purchased a bond issued by Home Depot priced at 146.53. The annual coupon rate is 5.875% How much interest will she receive each year? What is the price of the bond in dollars? Given the above information, what is the current yield?

Answers

Mary Glover will receive an annual interest of $8.60 on the bond issued by Home Depot. The price of the bond in dollars is $1465.30. The current yield is approximately 0.589% (rounded to three decimal places).

To calculate the annual interest Mary will receive, we multiply the coupon rate by the bond's price. The coupon rate of 5.875% can be expressed as 0.05875 in decimal form. Multiplying this by the bond's price of 146.53 gives us an annual interest of $8.60.

To determine the price of the bond in dollars, we multiply the price quoted (146.53) by 10 to account for the bond's face value, which is typically $1000. Therefore, the price of the bond in dollars is $1465.30.

The current yield is calculated by dividing the annual interest by the bond's price and multiplying it by 100 to express it as a percentage. In this case, the annual interest is $8.60, and the bond's price is $1465.30. Thus, the current yield is approximately 0.589% (0.5868% rounded to three decimal places).

Therefore, Mary Glover will receive an annual interest of $8.60 on the bond, the price of the bond is $1465.30, and the current yield is approximately 0.589%.

Learn more about bond, below:

https://brainly.com/question/31994049

#SPJ11

What is the yield to maturity (YTM) on a bond that was purchased
for $1,429.48, has an annual rate of 6%, makes one payment
annually, will mature in 15 years, and has a $1,500 par value?
Please show e

Answers

To calculate the yield to maturity (YTM) on a bond, we need to use the present value formula and solve for the interest rate. The formula for present value is:

P = C / (1 + r)^n

Where:

P = Purchase price of the bond ($1,429.48)

C = Coupon payment (annual interest payment) ($1,500 * 6% = $90)

r = Yield to maturity (unknown)

n = Number of years until maturity (15)

Rearranging the formula to solve for r, we have:

r = (C / P)^(1/n) - 1

Plugging in the values, we get:

r = ($90 / $1,429.48)^(1/15) - 1

Calculating this expression gives us the yield to maturity (YTM) on the bond.

For more questions yield to maturity (YTM) click the link below:

brainly.com/question/30393144

#SPJ11

Your task for this assignment is to prepare selected sections of a Project Initiation Document (PID). The PID ensures that all decisions are made upon the rules created for the project and provides a basis for assessing progress and problems in the project. This is a single reference that contains information on how the project will be managed.
During the tutorials, you will have completed several learning activities that will assist you in the preparation for this assignment.
For the purposes of this assignment, the PID should include:
Communication Management Approach
Business Case
Risk Log
Project Controls and Tolerances
Product Quality Management Approach
You should also explain the privacy, security, criminal and intellectual property considerations in the given scenario in a separate section.
*Note: You can make assumptions to help you along as long as your assumptions are reasonable and justifiable.

Answers

The task requires preparing selected sections of a Project Initiation Document (PID) while also addressing privacy, security, criminal, and intellectual property considerations. Here's an explanation of each section:

Communication Management Approach:

In this section, we define how communication will be managed within the project. This includes identifying stakeholders, determining communication channels, creating a communication plan, establishing escalation procedures, and implementing feedback mechanisms. These measures ensure effective communication throughout the project, promoting collaboration, transparency, and timely dissemination of information.

Business Case:

The Business Case section justifies the project by outlining its objectives, expected benefits, and alignment with strategic goals. It includes stating project objectives, conducting a benefits analysis, performing a cost-benefit analysis, and assessing project risks. This section provides a comprehensive understanding of the project's value proposition, helping stakeholders assess its feasibility and alignment with organizational objectives.

Risk Log:

The Risk Log section captures and tracks potential risks throughout the project. It involves identifying risks, assessing their likelihood and impact, developing risk response strategies, and establishing procedures for risk monitoring and control. By proactively addressing risks, the project team can minimize their potential impact on project success and take appropriate actions to mitigate or manage them.

Project Controls and Tolerances:

This section defines the parameters and boundaries within which the project will be executed. It encompasses scope management, time management, cost management, and quality management. Scope management ensures that project scope remains controlled and changes are properly managed. Time management focuses on setting and tracking project timelines and milestones. Cost management involves budgeting, tracking costs, and obtaining necessary approvals. Quality management ensures that project deliverables meet the required quality standards.

Product Quality Management Approach:

The Product Quality Management Approach outlines how the project team will ensure that deliverables meet the required quality standards. It involves quality planning, which defines quality objectives, criteria, and standards; quality assurance, which implements processes to ensure compliance with quality standards; and quality control, which monitors and verifies the quality of project deliverables through inspections, tests, and reviews.

In a separate section addressing privacy, security, criminal, and intellectual property considerations:

d. Privacy considerations: Address how sensitive information will be handled, stored, and protected to comply with privacy regulations and ensure data confidentiality.

e. Security considerations: Outline measures to protect project assets, systems, and data from unauthorized access, breaches, or cyber threats.

f. Criminal considerations: Identify any legal or compliance requirements specific to the project, such as industry-specific regulations that need to be followed.

g. Intellectual property considerations: Address the protection of intellectual property rights, including copyright, trademark, or patent considerations relevant to project deliverables.

When making assumptions, ensure they are reasonable and justifiable, considering the project's context and objectives.

To know more about Management visit-

brainly.com/question/28444311

#SPJ11

Exercise 2-4 Computing Total Job Costs and Unit Product Costs Using Multiple Predetermined Overhead Rates [LO2-4] Fickel Company has two manufacturing departments-Assembly and Testing & Packaging. The predetermined overhead rates in Assembly and Testing & Packaging are $16.00 per direct labor-hour and $12.00 per direct labor-hour, respectively. The company's direct labor wage rate is $20.00 per hour. The following information pertains to Job N-60: Assembiy $ 340 $ 180 Testing& Packaging $ 25 $ 40 Direct materials Direct labor ces Required: 1. What is the total manufacturing cost assigned to Job N-60? 2. If Job N-60 consists of 10 units, what is the unit product cost for this job? (Round your answer to 2 decimal places.) 1. Total manufacturing cost 2. Unit product cost per unit

Answers

Unit product cost= Total manufacturing cost ÷ Number of units= $1,640 ÷ 10 units= $164 per unit The unit product cost for Job N-60 is $164 per unit.

1. Total manufacturing cost assigned to Job N-60The total manufacturing cost assigned to Job N-60 is calculated by adding the direct materials, direct labor, and the applied overhead. Assembly Testing & Packaging Direct materials$ 340$ 180Direct labor$ 500 (25 × $20.00)$ 800 (40 × $20.00)Overhead applied(16 × 10 direct labor-hours)(12 × 20 direct labor-hours) .

Total manufacturing cost$ 660$ 980The total manufacturing cost assigned to Job N-60 is $1,640.2. Unit product cost per unit If Job N-60 consists of 10 units, the unit product cost for this job is obtained by dividing the total manufacturing cost by the number of units produced.

Unit product cost= Total manufacturing cost ÷ Number of units= $1,640 ÷ 10 units= $164 per unit The unit product cost for Job N-60 is $164 per unit.

To know more about Product  visit :

https://brainly.com/question/31815585

#SPJ11

How many first initial values must the forecaster set using Holt's exponential smoothing? A. 0. B. 1. C. 2. D. 3. E. None of the above. 6. When calculating centered moving-average with order 4, how many data points are lost at the beginning of the original series? A. 1. B. 2. H C. 3. D. 4. E. None of the above. 7. A regression approach can also be used to deal with seasonality by using variables for the seasons. The missing word is: A. smoothing B. response C. residual D. dummy E. none of the above

Answers

The variables representing the seasons are called dummy variables, and they are created by assigning a value of 1 for the season in question and 0 for all other seasons. As a result, the missing word is D, which indicates "dummy." Therefore, the correct option is C, which indicates that two initial values must be set. 2.

1. Holt's exponential smoothingHolt's exponential smoothing is an extended version of single exponential smoothing that deals with the trends in the time series. In Holt's exponential smoothing, the forecaster must set two initial values: the level (a) and the trend (b). Therefore, the correct option is C, which indicates that two initial values must be set. 2. Centered moving-averageA moving average is used in time series analysis to smooth out fluctuations in the data and eliminate noise. The centered moving average has an odd order, which means that the central value is used as the moving average for that time period. A centered moving average with an order of four means that there are two observations before and two observations after each moving average, causing two data points to be lost at the beginning and end of the original series. Thus, the correct answer is B, which indicates that two data points are lost at the beginning of the original series.3. Regression approachThe regression approach may also be used to deal with seasonality by using variables for the seasons. The variables representing the seasons are called dummy variables, and they are created by assigning a value of 1 for the season in question and 0 for all other seasons. As a result, the missing word is D, which indicates "dummy."

To know more about variables visit:

https://brainly.com/question/15740935

#SPJ11

1) Critically examine four developments that
accounted for the growth of the mass media
between 14th and 20th centuries.
2) What is Culture? Explain four ways by which the
mass media define modern culture.
3) Explain the assertion that the mass media is an
institution.
5) Explain why the mass media have often been
linked to the social construction of various
stereotypes.

Answers

A wide variety of communication platforms and technologies that concurrently reach a big audience are referred to as mass media.

1. Four developments that accounted for the growth of the mass media between the 14th and 20th centuries are as follows:

a. Printing press: The invention of the printing press by Johannes Gutenberg in 1440 marked a turning point in the history of mass media. It facilitated the mass production of books, newspapers, and other printed materials, making it easier and more affordable for people to access information.

b. Telegraph: The invention of the telegraph in the mid-19th century revolutionized communication by allowing people to send messages over long distances in a matter of minutes.

c. Radio and Television: The introduction of radio broadcasting in the early 20th century and television broadcasting in the mid-20th century made it possible for people to receive news and entertainment in real-time, from anywhere in the world.

d. Internet: The advent of the internet in the late 20th century and its subsequent growth have changed the face of mass media, making it possible for people to access a vast amount of information from anywhere at any time.

2. Culture refers to the beliefs, values, customs, and practices of a particular society or group. Four ways by which the mass media define modern culture are as follows:

a. Entertainment: The mass media, especially television and movies, are major sources of entertainment that shape the tastes and preferences of the audience.

b. Information: The mass media provides information about current events, social issues, and other topics that shape the way people view the world.

c. Advertising: The mass media is also a major tool for advertising, which promotes certain products and creates consumer demand.

d. Socialization: The mass media is an important agent of socialization that teaches people about the norms and values of society.

3. The mass media is an institution because it serves a vital role in society, just like other social institutions such as the government, the family, and the education system. It provides a platform for communication, information dissemination, and entertainment that plays a significant role in shaping the beliefs, values, and attitudes of the audience.

5. The mass media have often been linked to the social construction of various stereotypes because they have the power to influence the way people view different groups in society. They often reinforce stereotypes by depicting certain groups in a negative or positive light, which can lead to discrimination and prejudice. This is especially true in cases where there is limited representation of certain groups in the media, leading to a skewed perception of their characteristics and attributes.

To know more about Mass Media visit:

https://brainly.com/question/30693608

#SPJ11

"Liquidity trap" was a problem of a) monetary policy of Japan and Sweden. b) fiscal policy in Japan. c) fiscal and monetary policy of Japan. d) fiscal and monetary policy of both Japan and Sweden e) monetary policy of Japan, fiscal policy of Sweden

Answers

Option (c) fiscal and monetary policy of Japan. A liquidity trap occurs when a central bank uses monetary policy to stimulate the economy, and interest rates fail to stimulate economic growth. This happens when interest rates are so low that they no longer have any significant impact on the economy.

A liquidity trap is an economic phenomenon in which low-interest rates fail to encourage people to invest and borrow. This typically happens when interest rates are already low, and there is a surplus of savings but a shortage of people who want to borrow. In a liquidity trap, monetary policy is ineffective because it cannot encourage borrowing, which is essential for economic growth.

Fiscal and monetary policies are government strategies for managing economic activity. Monetary policy refers to the central bank's use of interest rates and other tools to regulate the economy, while fiscal policy refers to the government's use of taxation and spending to regulate the economy. In the case of a liquidity trap, both fiscal and monetary policies can be used to encourage borrowing and investment. In Japan, this problem was primarily due to the fiscal and monetary policy of the country. Hence, the correct option is (c) fiscal and monetary policy of Japan.

Learn more about fiscal and monetary policy: https://brainly.com/question/32465678

#SPJ11

The area of ethics that is concerned with supplying and justifying a coherent moral system of thinking and judging is called:____.

Answers

The area of ethics that is concerned with supplying and justifying a coherent moral system of thinking and judging is called "normative ethics."

Normative ethics seeks to establish principles and criteria for determining what is morally right or wrong, good or bad, and how individuals should behave or make ethical decisions. It aims to provide frameworks and theories that guide ethical reasoning and enable individuals to assess and evaluate moral choices in a systematic and consistent manner.

Normative ethics is one of the main branches of ethics, along with metaethics (which examines the nature of ethics and ethical language) and applied ethics (which deals with specific ethical issues and dilemmas in various domains).

learn more about normative ethics here

https://brainly.com/question/28882931

#SPJ11

it is always good to have a high output because it spreads the total fixed costs over more units.

Answers

It is always good to have a high output because it spreads the total fixed costs over more units. As a result, achieving high output can have a positive impact on a company's bottom line.

In this statement means that a company can leverage high output to reduce the per-unit cost of fixed costs. Fixed costs are expenses that a company incurs regardless of the number of units produced.Fixed costs, also known as overheads, are typically spread over the number of units produced. As a result, high output means that these fixed costs are spread over a larger number of units, lowering the per-unit fixed costs. In turn, this helps the company achieve economies of scale and higher profitability, assuming other factors are held constant.

To know more about positive impact visit:

https://brainly.com/question/28147319

#SPJ11

Question 54 (10 points) Discuss how uncertainty provides an argument for a fixed exchange rate system. N

Answers

Uncertainty can provide an argument for a fixed exchange rate system due to the stability and predictability it offers in international trade and investment.

Here are some key points to consider:

1. Price stability: A fixed exchange rate system provides stability in international prices by eliminating or minimizing fluctuations in exchange rates. This stability helps businesses plan and make long-term investment decisions without the risk of sudden changes in the value of their currency.

2. Trade facilitation: Fixed exchange rates promote international trade by reducing uncertainty in the cost of imported and exported goods. Businesses can negotiate contracts and set prices with confidence, knowing that exchange rate fluctuations will not significantly impact their profitability.

3. Investment attraction: A fixed exchange rate system can attract foreign direct investment (FDI) by providing a stable environment for investors. They can assess and project returns on their investments without the added risk of exchange rate volatility, which can discourage investment in countries with unpredictable currency values.

4. Confidence and credibility: A fixed exchange rate system can enhance a country's reputation and credibility in the global economy. It signals a commitment to sound monetary policies and can build trust among international partners, investors, and lenders.

However, it is important to note that maintaining a fixed exchange rate system requires strong monetary and fiscal policies, as well as sufficient foreign exchange reserves to defend the fixed rate. Additionally, a fixed exchange rate system may limit a country's ability to respond to domestic economic shocks and adjust its currency value to restore competitiveness. Thus, the decision to adopt a fixed exchange rate system should consider the specific economic conditions and goals of the country in question.

Learn more about economy here:

https://brainly.com/question/30131108

#SPJ11

Other Questions
Concept Corporation has an ROI of 26%, total assets of $6,500,000, and current liabilities of $900,000. What is the company's operating income? A. $3,461,538 B. $25,000,000 C. $1,456,000 D. $1,690,000 using this regression equation: y=8.3115+0.112x and r^2 =0.926877 and standard deviation = 3.72905x =100, 110, 130, 250, 270, 290, 300, 410y= 18,21.1,21.54, 32.14, 43.38, 43.81, 45.15, 49.89(d) Transform the data by taking the natural logarithm of both sides and find new estimates of the slope, intercept, standard deviation of the model errors, regression line equation, and r. (e) Use this new regression equation to recalculate your prediction the amount of silver in the effluent for a textile with 350 g/tex of silver nanoparticles. when donning sterile gloves, how should the second glove be handled? Which of the following is correct about the process view? a. It can only be applied to processes in the operations function It can only be applied at operational or organization level b. c. One of major elements of the process view is the flow unit Od. Process in the process view is defined as a transformation converting data to information Which statement is correct? a. There could be more than one critical path in a network of activities b. Reducing the flow time of an activity on the critical path would always reduce the flow time of the process c. Critical path is made of activities with longest waiting times and interruptions d. Delay in performing the activities that are not on the critical path would never lead to a delay in the overall time of the process Demand for wine bottles at one of Vino's warehouses is normally distributed with average 10000 and standard deviation 3333. 5. Determine whether the following statements are true or false. If they are false, give a counterexample. If they are true, be prepared to prove the statement true by the principle of mathematical induction. (a) n-n+11 is prime for all natural numbers n. (b) n>n for n>2 (c) 222n+ is divisible by 3 for all natural numbers n. n>{n+1) (d)n3>(n=1)2 for all natural numbers n>2. (e) n3-n is divisible by 3 for all natural numbers n>2. (f) n-6n +11n is divisible by 6 for all natural numbers n. Which of the following is not a characteristic of permanent your life insurance? Level premiums Cash value Participating policy Conversion option A biologist observes that a bacterial culture of goddyna obsenunindious has assued a circular shape of radius r 5mm. The culture contains 1000 bacteria per square millimeter. (1) What is the population P of bacteria in the culture? A=26 +^(5) P= 25x1000 silver nitrate reacts with potassium chloride to produce solid silver chloride and what substance? Weekly demand at a retail store for a particular item is normally distributed and has a mean of 500 and a variance of 900. If the store owner stocks 650 pieces at the beginning of the month, what percentage of customers are expected to be serviced satisfactorily? If the store owner does not want more than 10% of his customers to go empty handed how much should he plan to stock? complete this analogy: testes are to gonads as sperm are to: Is there a linear filter W that satisfies the following two properties? (1) W leaves linear trends invariant. (2) All seasonalities of period length 4 (and only those) are eliminated. If yes, specify W. If no, justify why such a moving average does not exist. Note: A moving average that eliminates seasonalities of length 4 will, of course, also eliminate seasonalities of length 2. However, this property is not important here and does not need to be considered. It is only necessary to ensure that the moving average does not, for example, also eliminate seasonalities of length 3, 5, 8 or others. Evaluate the integral by making an appropriate change of variables. R 5 sin(81x +81y ) dA, where R is the region in the first quadrant bounded by the ellipse 81x +81y = 1 ...... given the force field f, find the work required to move an object on the given orientated curve. f=y,x on the parabola y=5x2 from (0,0) to (4,80) The budgets of four companies yield the following information: 1 (Click the icon to view the budget information for the four companies.) Requirements 1. Fill in the blanks for each company. 2. Compute break-even, in sales dollars, for each company. Which company has the lowest break-even point in sales dollars? What causes the low break-even point? Requirement 1. Fill in the blanks for each company. (Round the contribution margin per unit and ratio calculations to two decimal places.) T Q 757,500 $ 242,400 R 450,000 $ S 162,500 Target sales. Variable expenses. 198,000 153,000 81,000 Fixed expenses. Operating income (loss) Units sold. 175,100 $ 133,000 120,000 16,500 15,625 8.32 $ Contribution margin per unit $ 6.06 38.00 Contribution margin ratio 0.60 Requirement 2. Compute break-even, in sales dollars, for each company. Begin by determining the formula, then compute the break-even sales for each company, one at a time. (For amounts with a zero balance, make sure to enter "0" in the appropriate cell.) (1) (2) )/ (3) = Break-even sales in dollars Q ( + )/ R ( + )/ S ( )/ T ( Which company has the lowest break-even point in sales dollars? What causes the low break-even point? (4) has the lowest break-even point, primarily due to (5) 1: Data Table Company R Q T $ Target sales. 757,500 $ 450,000 $ Variable expenses 242,400 198,000 Fixed expenses. 153,000 175,100 $ 133,000 Operating income (loss) Units sold 120,000 16,500 Contribution margin per unit $ 6.06 38.00 Contribution margin ratio..... 0.60 $ $ $ $ S 162,500 81,000 15,625 $ $ 8.32 $ Find the area of a triangle PQR, where P = (-2,-1,-4). Q = (1, 6, 3), and R=(-4,-2, 6) 9. Describe and illustrate the differences in revenue models of Peer-to-Peer (P2P) lending platform companies and traditional commercial banks. Critically evaluate the risks inherent to P2P lending pl Which of the following relates to the total cost oflogisticsa. Warehouse costb. The cost of packagingc. Transportation costd. Cost of information processinge. All of the above a cylindrical drill with radius 5 is used to bore a hole throught the center of a sphere of radius 7. find the volume of the ring shaped solid that remains. find the area of the surface. the part of the hyperbolic paraboloid z = y2 x2 that lies between the cylinders x2 y2 = 1 and x2 y2 = 16 which experimental evidence confirms the hypothesis that matter exhibits wave properties?