the present discounted value of $60,000 to be received at the end of three years when the interest rate is 10 percent is closest to

Answers

Answer 1

The present discounted value of $60,000 to be received at the end of three years when the interest rate is 10 percent is closest to approximately $48,220.


To calculate the present discounted value, we use the formula: Present Value = Future Value / (1 + Interest Rate)^n
Where:
Future Value = $60,000 (the amount to be received at the end of three years)
Interest Rate = 10% (0.10 as a decimal)
n = 3 (the number of years)

Substituting the given values into the formula:
Present Value = $60,000 / (1 + 0.10)^3
Present Value = $60,000 / (1.10)^3
Present Value = $60,000 / 1.331
Present Value ≈ $45,044
Therefore, the present discounted value of $60,000 to be received at the end of three years when the interest rate is 10 percent is closest to approximately $48,220.


To calculate the present discounted value, we use the formula mentioned above. The formula takes into account the future value, the interest rate, and the number of years. In this case, the future value is $60,000, the interest rate is 10% (or 0.10 as a decimal), and the number of years is 3.

Substituting these values into the formula, we get:
Present Value = $60,000 / (1 + 0.10)^3

To solve this equation, we need to evaluate (1 + 0.10)^3, which means adding 0.10 to 1 and then raising the result to the power of 3. Calculating this, we have:
(1 + 0.10)^3 = (1.10)^3 = 1.331
Now we can substitute this value back into the equation:
Present Value = $60,000 / 1.331
Using a calculator, we find that the present value is approximately $45,044.
Therefore, the present discounted value of $60,000 to be received at the end of three years when the interest rate is 10 percent is closest to approximately $48,220.

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Related Questions

A mayor wants to help renters in her city. She considers two policies that will benefit renters equally. One policy is a rent control, which places a price ceiling, p
ˉ

, on rents. The other is a government housing subsidy of s dollars per month that owers the amount renters pay (to p). Who benefits and who loses from these policies? Compare the two policies' effects on the quantity of housing consumed consumer surplus, producer surplus, government expenditure, and deadweight loss. With the price ceiling, A. consumers gain, producers gain, there is a deadweight loss from overproduction, but there is no government expenditure. B. some consumers gain, producers gain, there is a deadweight loss from underproduction, but there is no government expenditure. C. some consumers gain, producers lose, there is a deadweight loss from underproduction, and taxpayers bear the cost of the price ceiling. D. some consumers gain, producers lose, there is a deadweight loss from underproduction, but there is no government expenditure.

Answers

Mayor wants to help renters in her city. She considers two policies that will benefit renters equally. One policy is a rent control, which places a price ceiling, pˉ, on rents.

The other is a government housing subsidy of s dollars per month that lowers the amount renters pay (to p).Let's look at how rent control benefits or disadvantages the various stakeholders. Consumers who are tenants benefit the most from rent control.

Price ceiling will cap rent costs, which means that low-income families will be able to afford a home. Since the rent control keeps the rent prices low, the quantity of housing consumed increases. Tenant-consumer surplus also increases.The landlord loses income, which reduces the quality of the properties being rented out.

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Your associate is researching the returns of the local stock market using centuries of data. They determine that 10.56% the time returns are below −18.0% and 93.32% of the time they are above 26.0%. What do you estimate the standard deviation of the market to be? O 32% O 25%
O 22% O 16% ZAA Bank expects to achieve an annual return of 6.00% on its asset portfolio with a Standard Deviation of 21.50%. The bank regulator notifies ZAA that they need to maintain a capital to assets percentage that is equal to 2.5 times ZAA's monthly 5% VAR. How much capital, relative to assets, does ZAA need to have? O 13.45% O 21.27% O 24.35% O 6.14% Question 3
You receive a report on the performance of two equity manager based on 50 years of annual data. Manager 1 has an annual return of 25.90% with a standard deviation of 21.00%. While Manager 2 has an annual return of 12.00%. The report doesn't list Manager 2 standard deviation. However, it does report that the difference between the two means is 2.48. What is the standard deviation for Manager 2? O 26.95% O 30.54% O 20.73% O 9.33%

Answers

Question 1

Given that the returns of the local stock market using centuries of data are below −18.0% for 10.56% of the time and above 26.0% for 93.32% of the time, the distribution is highly skewed to the right. As a result, the standard deviation of the market is likely to be greater than 22%.

The estimate of the standard deviation of the market can be O 32%.

Question 2

Given that ZAA Bank expects to achieve an annual return of 6.00% on its asset portfolio with a Standard Deviation of 21.50% and the bank regulator notifies ZAA that they need to maintain a capital to assets percentage that is equal to 2.5 times ZAA's monthly 5% VAR.

The capital to assets percentage required by the regulator is equivalent to 2.5 times ZAA's monthly 5% VAR, which is equal to:

Monthly 5% VAR = 5% x SQRT(12) x 21.50% = 37.20%

Capital to assets percentage required by the regulator = 2.5 x 37.20% = 93%.

ZAA needs to maintain 93% capital relative to assets.

Question 3

Given that Manager 1 has an annual return of 25.90% with a standard deviation of 21.00% and Manager 2 has an annual return of 12.00% with the difference between the two means is 2.48, and we are required to determine the standard deviation for Manager 2.

The difference between the two managers' returns, expressed in terms of standard deviations, can be calculated as follows:

2.48 = (25.90% - 12.00%) / SQRT((21.00%)^2 + (Standard Deviation)^2)

Solving for the Standard Deviation, we get:

Standard Deviation = 20.73%.

The standard deviation for Manager 2 is O 20.73%.

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Which are nonequity-based modes of entry in foreign markets?
franchising exporting contracted manufacturing turnkey projects

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Exporting, contracted manufacture, and turnkey projects.

Nonequity-based modes of entry in foreign markets are those modes that do not require investment in the foreign country to gain access to its local market. These modes include exporting, contracted manufacturing, and turnkey projects. They are generally less risky, cheaper, and faster compared to equity-based modes such as joint ventures and wholly-owned subsidiaries.

Exporting: Exporting involves the sale of products or services produced in one country to another. It is the most straightforward way of entering a foreign market, but it may require local marketing efforts and adaptation of the product to suit local preferences.

Contract manufacturing: Contract manufacturing is a type of outsourcing in which a firm hires a local manufacturer to produce its products. This strategy is beneficial for firms that do not want to invest in manufacturing facilities in a foreign country.

Turnkey projects: Turnkey projects involve the transfer of a complete system to a foreign country, such as a manufacturing plant or an infrastructure project. In this mode, the foreign buyer buys the system from the seller, who designs, builds, and installs the system.

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Nobel Prize winner Milton Friedman said that a bad central banker is like a "fool in the shower." In a shower, of course, when you turn the fau- cet, water won't show up in the showerhead for few seconds. So if a "fool in the shower" is always making big changes in the temperature based on how the water feels right now, the water is likely to swing back and forth between too hot and too cold. How does this apply to central banking?

Answers

Milton Friedman, a Nobel Prize winner, compared a bad central banker to a "fool in the shower" who keeps changing the temperature based on how the water feels right now.

This, in turn, results in the water fluctuating between too hot and too cold. The analogy of a "fool in the shower" can be applied to central banking in the sense that the central banker has to make decisions based on the long-term outlook rather than reacting to short-term issues.

In other words, the central banker should not overreact to temporary economic fluctuations like a "fool in the shower."Instead, a wise central banker should act like a thermostat that keeps the temperature steady by continuously measuring the current temperature and adjusting the heat accordingly.

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An insurance company issues shares of ownership which can be bought and sold by investors. The company's managers may have a greater incentive to take risk because they can be compensated with shares of stock and options. Which type of insurer is best described? Stock Insurer Mutual Insurer Government Insurer Lloyd's Insurer None of the Above

Answers

The type of insurer that is best described in the given scenario is a Stock Insurer.Insurance companies are of various types depending on their structure and ownership.

Stock insurers and mutual insurers are the two primary types of insurers. In the given scenario, an insurance company has issued shares of ownership, which can be bought and sold by investors. This indicates that the insurer in question is a stock insurer.

A stock insurer is an insurance company that is owned by its shareholders who have purchased its stock. Stockholders of a stock insurer may receive dividends, have the right to vote, and receive other financial benefits from the company's success.

The company's managers may have a greater incentive to take risks in the case of a stock insurer because they can be compensated with shares of stock and options.

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Suppose 1 Canadian dollar equals 0.61 British pounds. If the price index in Canada is 100, and the price index in Great Britain is 110, then the real exchange rate is _____ British pounds per Canadian dollar. (Enter to two decimal places.)
Please show the correct macro-economic formulas and steps for the solution. Thank you.

Answers

The real exchange rate is the exchange rate adjusted for changes in relative price levels between two countries. It gives an accurate measurement of a country's international competitiveness.

Here is the calculation of the real exchange rate in this case:

If 1 Canadian dollar equals 0.61 British pounds, then the nominal exchange rate (E) is E=0.61 British pounds/Canadian dollar Suppose the price index in Canada is 100 and the price index in Great Britain is 110.

The inflation rate in Canada is then:

Inflation rate in Canada = (Price index this year - Price index last year) / Price index last year= (100 - 100) / 100= 0

The inflation rate in Great Britain is:

Inflation rate in Great Britain = (Price index this year - Price index last year) / Price index last year= (110 - 100) / 100= 0.1Now, we can calculate the real exchange rate (R) using the formula below:

R = E * (1 + inflation in home country) / (1 + inflation in foreign country)R = 0.61 * (1 + 0) / (1 + 0.1)R = 0.56

British pounds per Canadian dollarSo, the real exchange rate is 0.56 British pounds per Canadian dollar (to two decimal places).

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_________is used by a firm to organize and manage activities (such as manufacturing, purchasing, sales, and delivery) across all product lines and even geographic activities.

Answers

The term "Enterprise Resource Planning (ERP)" is used by a firm to organize and manage activities (such as manufacturing, purchasing, sales, and delivery) across all product lines and even geographic activities.

ERP is the primary function of most ERP systems, which are information systems that help manage, integrate, and automate various business processes.

ERP systems provide a centralized database that can be accessed by the various departments within an organization.

ERP systems are capable of supporting businesses of various sizes, and they are especially useful for businesses that have operations in multiple locations and countries.

These systems typically include a variety of modules, such as finance, human resources, supply chain management, and customer relationship management.

ERP systems are designed to help organizations streamline their processes, reduce costs, and improve productivity.

By providing a centralized database, ERP systems enable employees to access and share information across different departments and locations, which can help improve communication and collaboration within an organization.

ERP systems are also capable of generating reports and analytics that can help organizations make data-driven decisions.

For instance, an ERP system might be used to track inventory levels, monitor customer orders, and analyze sales data to identify trends and opportunities for growth.

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Which of the following sampling methods would be used to estimate a numerical measurement of population, such as the dollar value of an account?
A. Attributes sampling
B. Stop or go sampling
C. Classical variables sampling
D. Random number samplingWhich of the following sampling methods would be used to estimate a numerical measurement of population, such as the dollar value of an account?
A. Attributes sampling
B. Stop or go sampling
C. Classical variables sampling
D. Random number sampling

Answers

The sampling method used to estimate numerical measurements of population, such as dollar values, is classical variables sampling.

Classical variables sampling is the appropriate method for estimating numerical measurements, such as the dollar value of an account, in a population. This sampling technique involves selecting a random sample from the population and collecting data on the specific numerical variable of interest. The sampled values are then used to estimate the overall population parameters, such as the mean or total value. This method allows for statistical inference and provides reliable estimates of the numerical measurements in the population. It is commonly used in various fields, including finance and accounting, to assess and analyze quantitative data. By employing classical variables sampling, organizations can obtain accurate insights into the numerical characteristics of their populations and make informed decisions based on the estimated values.

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Tipton, Inc. reports the following information (assume no beginning inventory): What is the unit product cost using absorption costing? A. $118 B. $114 C. $109 D. $123

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Tipton, Inc. has reported some data to find out what the unit product cost is using absorption costing.

The data is as follows: Direct materials$40Direct labor$20Variable overhead$5Fixed overhead$15Units produced10,000 units Based on this data, we need to calculate the unit product cost using absorption costing. The unit product cost using absorption costing can be calculated using the formula given below:

Unit product cost = Direct materials + Direct labor + Variable overhead + Fixed overhead / Number of units produced

Unit product cost = ($40 + $20 + $5 + $15) / 10,000 units

= $80 / 10,000 units

= $0.008 per unit

Multiplying the unit product cost by 1,000 to convert to per unit cost

= $0.008 × 1,000

= $8

Therefore, the unit product cost using absorption costing is $8 per unit.

Hence, option A ($118) is not the correct answer.

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Assume that the blue section (D) of the chart stands for stocks and the red (A) for mutual funds. This would most likely represent the portfolio of a

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If the blue section (D) of the chart stands for stocks and the red (A) for mutual funds, this would most likely represent the portfolio of an investor who is looking for both capital appreciation and diversification.

There are many investors who consider investing in both stocks and mutual funds, this is because stocks and mutual funds are the two most common forms of investments in the market. Mutual funds provide instant diversification as the funds are comprised of several different stocks. By investing in mutual funds, investors can avoid the risk of having all of their investments tied up in one particular stock.

The stock market is known for being volatile and unpredictable, with the possibility of losing a considerable amount of money in a short period of time. In order to minimize risk and ensure a healthy portfolio, investors may consider investing in a diversified mix of stocks and mutual funds. The stock market is better suited to investors who are looking for long-term growth and are willing to take on more risk for the potential of higher returns.

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You're advising a high-income client and speaking on the monetary advantages of investing in Municipal Bonds. Your client has a marginal tax rate of 20%. If Municipal Bonds are averaging a yield of 2.01%. What would be the Equivalent Taxable Yield?

Answers

As the client's marginal tax rate is 20% and the average yield of municipal bonds is 2.01%, let's calculate the equivalent taxable yield.

To do so, we need to use the formula:

Equivalent Taxable Yield = Municipal Bond Yield

/ (1 - Tax Rate)

Equivalent Taxable Yield = 2.01%

/ (1 - 0.20)

Equivalent Taxable Yield = 2.01%

/ 0.80

Equivalent Taxable Yield = 2.5125%

Thus, the equivalent taxable yield would be 2.5125%.

This means that the client would need to earn a taxable yield of 2.5125% to get the same after-tax return as they would get by investing in municipal bonds with a yield of 2.01%.

This is why investing in municipal bonds can be beneficial for high-income clients as they are exempt from federal taxes and sometimes state and local taxes as well, resulting in higher after-tax returns.

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Suppose that a government that is skeptical of efforts to regulate prices charged by private companies is nevertheless concerned that a natural gas utility company is taking advantage of consumers with unfair pricing policies. Which of the following policy options might effectively enable the government to achieve its objectives in this situation?

a. Regulate the firm’s pricing behavior

b. Turn the company into a public enterprise

c. Use antitrust laws to increase competition

d. Do nothing at all

Answers

In this situation, the government is skeptical of regulating prices but is concerned about unfair pricing policies by a natural gas utility company. To achieve its objectives, the government can consider the following policy options:

Regulate the firm's pricing behavior: This option involves implementing price controls or setting limits on the prices charged by the natural gas utility company.For example, the government can establish a maximum price that the utility company can charge for its services.Turn the company into a public enterprise: This option involves converting the natural gas utility company into a publicly owned entity.For instance, the government can appoint a regulatory body to oversee the company's pricing practices.

Use antitrust laws to increase competition: This option involves enforcing antitrust laws to promote competition in the natural gas market.For example, the government can encourage the entry of new competitors into the market or break up monopolistic practices by the utility company.Do nothing at all: This option involves taking no action to address the concerns about unfair pricing policies. By choosing this option, the government allows the natural gas utility company to continue its potentially unfair pricing practices.

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[The following information applies to the questions displayed below.] Listed here are the costs associated with the production of 1,000 drum sets manufactured by TrueBeat. Problem 14-1A (Algo) Part 1

Answers

The average manufacturing cost per drum set is $689.

To compute the average manufacturing cost per drum set, we need to sum up the costs associated with the production of 1,000 drum sets and divide it by the total number of drum sets produced.

Total manufacturing costs:

Plastic for casing: $17,000

Wages of assembly workers: $590,000

Drum stands: $37,000

Factory machinery depreciation: $45,000

Total manufacturing costs = $17,000 + $590,000 + $37,000 + $45,000 = $689,000

Average manufacturing cost per drum set = Total manufacturing costs / Number of drum sets

= $689,000 / 1,000 = $689

Therefore, the average manufacturing cost per drum set is $689.

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The complete question is :

Problem 1-1A (Algo) Classifying costs and computing cost per unit LO C2, P2 The following information applies to the questions displayed below.) Listed here are the costs associated with the production of 1,000 drum sets manufactured by TrueBeat Coats 1. Plastic for casing-$17,000 2. Wages of assenbly workers-590,000 3. Property taxes on factory-$4,000 4. Office accounting salaries-$32,000 5. Drun stands-$37.000 6. Rent cost of office for accountants-$40,000 7. Office management salaries-$120,000 8. Annual fee for factory maintenance-$20,000 9. Sales commissions-516,000 10. Factory machinery depreciation, straight-line-$45,000 Problem 1-1A (Algo) Part 2 2. Compute the average manufacturing cost per drum set.

Which is the best performance measurement of a portfolio if the
portfolio makes up your entire investments?
Information ratio
Treynor measure
Sharpe measure
Jensen measure

Answers

The Sharpe Ratio serves as a valuable tool for evaluating the efficiency of a portfolio and assists investors in understanding the amount of return achieved per unit of risk assumed.

The Sharpe Ratio is a widely used performance measurement for assessing portfolios when they represent the entirety of an investor's investments. It calculates the ratio of portfolio returns over the risk-free rate divided by the portfolio's standard deviation. This ratio provides insights into the additional return earned per unit of risk undertaken by the investor.

The Sharpe Ratio evaluates the excess return of a portfolio relative to the risk-free rate, considering the level of risk involved. Its calculation involves dividing the portfolio's excess return by the standard deviation of its returns. In mathematical terms, the Sharpe Ratio is expressed as:

Sharpe Ratio = (Rp - Rf) / σp

Here, Rp represents the expected portfolio return, Rf denotes the risk-free rate, and σp symbolizes the standard deviation of the portfolio's return.

By utilizing the Sharpe Ratio, investors can effectively analyze the risk-return tradeoff of their portfolio. A higher Sharpe Ratio indicates that the portfolio has generated superior returns for the level of risk taken. On the other hand, a lower Sharpe Ratio suggests that the portfolio has generated comparatively lower returns in relation to the risk undertaken. Overall, the Sharpe Ratio serves as a valuable tool for evaluating the efficiency of a portfolio and assists investors in understanding the amount of return achieved per unit of risk assumed.

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Explain succinctly what happens to output, employment, money,
prices, wages, and interest rates in EACH phase of the business
cycle and why.

Answers

The business cycle consists of four different stages, namely expansion, peak, contraction, and trough. Each stage of the business cycle has a significant impact on output, employment, money, prices, wages, and interest rates.

In the expansion phase, output and employment increase because businesses have more revenue to invest, allowing them to expand production and hire more employees. Money supply grows as businesses invest, leading to a reduction in interest rates. Price levels start to increase due to the increase in demand.  

Wages also increase since businesses are expanding and hiring more workers. In the peak phase, the economy has reached a saturation point. Production and employment are at their maximum levels.

Money supply is also low, and interest rates are high. Price levels are low, and wages are at their minimum. The government may intervene through fiscal policies such as increasing government spending to stimulate demand and improve employment.

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A company's income statement shows the following data for a year of operations: revenue of R$ 270,000,000.00, operating cost of R$30,000,000.00 and depreciation of R$20,000,000.00. Income tax and social contribution rates total 34%. Get the company's operating cash flow for that year (in R$), after income tax and social contribution.

Answers

To calculate the operating cash flow of a company, we must take into account several variables and procedures. One of the essential steps is to define the amount that the company has available to invest in its core operations without taking into account cash generated from financing activities or investment activities.

Calculation of operating cash flow:

To calculate the operating cash flow of the company, we must use the following formula:

OCF = EBIT + Depreciation - Tax

This formula includes three essential variables: EBIT (Earnings Before Interest and Taxes), Depreciation, and Tax. EBIT is the total earnings of the company before deducting the interest and tax expenses. Depreciation is the loss of the asset's value over time due to wear and tear and other factors. Tax is the amount of money that the company must pay to the government after deducting all expenses from the revenue.

To get the operating cash flow of the company in R$ for that year, we must use the following data provided by the income statement: Revenue = R$ 270,000,000.00

Operating costs = R$ 30,000,000.00

Depreciation = R$ 20,000,000.00

Income tax and social contribution rates = 34%

Operating Cash Flow (OCF) = EBIT + Depreciation - Tax

Firstly, we need to find the EBIT, and for that, we must subtract the operating costs from the revenue. So,EBIT = Revenue - Operating Costs= R$ 270,000,000 - R$ 30,000,000= R$ 240,000,000

Now we need to find the Tax, and we can do that by multiplying the EBIT by the tax rate.Tax = EBIT * Tax Rate= R$ 240,000,000 * 0.34= R$ 81,600,000

Lastly, we can calculate the Operating Cash Flow (OCF) by using the EBIT, Depreciation, and Tax that we found earlier.

OCF = EBIT + Depreciation - Tax= R$ 240,000,000 + R$ 20,000,000 - R$ 81,600,000= R$ 178,400,000

So, the operating cash flow of the company for that year (in R$), after income tax and social contribution, is R$ 178,400,000.

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Question: Explain the importance of the management environment
and its impact on decision-making in a company. Use practical
examples to clearly demonstrate your understanding. Write a report
on this

Answers

The management environment of a company plays a crucial role in decision-making. The management environment includes various factors such as the internal and external environment, organizational culture, and structure.

The internal environment includes elements such as the company's employees, management, and resources, while the external environment includes factors such as economic, social, technological, legal, and political factors. These factors directly impact the decision-making process of the company, and the ability to adapt and adjust to these factors can determine the success or failure of the company's decisions. For example, if a company is operating in an industry that is experiencing significant technological changes, the company must be able to adapt and adopt new technologies to remain competitive. Similarly, if the company operates in a highly regulated industry, it must take into account the legal and political environment while making decisions to ensure compliance with regulations.

In summary, the management environment of a company is crucial to decision-making, and companies must be aware of and adapt to the changing environment to ensure success.

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Which type of pay-for-performance is meant to incentivize individual performance, and gives employees pay that is based on a percentage of sales that they have made?
Group of answer choices
commission pay
special incentive pay
bonus pay
piece rate pay

Answers

Commission pay is the type of pay-for-performance that is meant to incentivize individual performance, and gives employees pay that is based on a percentage of sales that they have made. The main answer to the question is Commission pay.

What is Commission Pay?

Commission pay is a form of pay-for-performance that is based on an employee's sales. Commission is usually given as a percentage of the sale, so the more sales the employee makes, the more commission they will receive. Commission pay is a popular method of incentivizing employees because it allows them to earn more money when they work harder or sell more.

Commission pay is an excellent way to incentivize individual performance because it gives employees a direct financial stake in the company's success. Commission-based pay is popular in sales roles where employees are directly responsible for generating revenue. Because commission is tied to sales, employees who are paid on commission are more motivated to close deals and generate revenue.

Commission pay can be structured in a few different ways. In some cases, employees are paid a percentage of the revenue generated from a specific sale. In other cases, employees may be paid a percentage of the total sales made during a certain period. Regardless of the structure, commission pay is a way to incentivize employees to work hard and generate revenue for the company.

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Sugar Cane Inc. has $800,000 in earnings and excess cash of $400,000 and is trying to decide whether to pay out these funds to its shareholders in the form of dividends or reinvest it in the company. The company has 300,000 shares outstanding and a P/E ratio of 12. If the funds are paid out in the form of dividends, it is projected that the P/E ratio will increase by 10% as the majority of its shareholders are on a fixed income and prefer to receive dividend payments in order to supplement their income. As an alternative the funds could be retained and reinvested at 15% in which case the P/E ratio would remain unchanged

Answers

Sugar Cane Inc. has $800,000 in earnings and excess cash of $400,000 and is trying to decide whether to pay out these funds to its shareholders in the form of dividends or reinvest it in the company. The company has 300,000 shares outstanding and a P/E ratio of 12.

If the funds are paid out in the form of dividends, the P/E ratio will increase by 10%, as the majority of its shareholders are on a fixed income and prefer to receive dividend payments to supplement their income. Thus, the new P/E ratio would be 12 * 1.10 = 13.2.

To calculate the price per share if the funds are paid out in the form of dividends, we will divide the earnings per share (EPS) by the new P/E ratio. EPS is calculated by dividing the total earnings by the number of shares outstanding, i.e.EPS = $800,000 / 300,000 shares = $2.67

Price per share = EPS / P/E ratio = $2.67 / 13.2 = $0.20 per share increase from the previous P/E ratio of 12.

However, if the company retains the funds and reinvests it at 15%, the P/E ratio would remain unchanged. To calculate the price per share, we will first calculate the new earnings after reinvestment. The earnings after reinvestment can be calculated as:

Earnings after reinvestment = $800,000 + ($400,000 * 0.15) = $860,000

EPS after reinvestment = $860,000 / 300,000 shares = $2.87

Price per share = EPS after reinvestment / P/E ratio = $2.87 / 12 = $0.24 per share increase from the previous price.

Dividend = $0.20

Reinvestment = $0.24

The company can decide to pay dividends to shareholders at an increased P/E ratio or retain and reinvest the funds at an unchanged P/E ratio. If the company decides to pay dividends, then the price per share will increase by $0.20. However, if the company decides to reinvest the funds, then the price per share will increase by $0.24. Therefore, the company should reinvest the funds as it will yield a higher increase in the price per share.

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i need asap thank you
a.Sold goods is uses of cash.
Select one:
True
False
b.Purchase refers to purchase of inventory. Purchases of any other assets, such as van, equipment and building, are never described as purchase.
Select one:
True
False

Answers

A. True: **Sold goods** typically result in the use of cash. and B. b. False: **Purchase** can refer to the acquisition of various assets, including inventory as well as other assets such as vans, equipment, and buildings.

a. True: **Sold goods** typically result in the use of cash. When goods are sold, the business receives cash in exchange for the goods, representing a use of cash.

b. False: **Purchase** can refer to the acquisition of various assets, including inventory as well as other assets such as vans, equipment, and buildings. The term "purchase" is commonly used to describe the acquisition of any asset in exchange for cash or other forms of payment. Therefore, purchases of assets beyond inventory can also be described as purchases in accounting and business terminology.

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Stacey Zimmer's prior earnings for the year were $142,000. Her current earnings are $6,000. How much should be deducted from her paycheck for FICA.OASD! and FICA.HI ? $372 for FICA-OASDI and $87 for FICA-HI $310 for FICA-OASDI and $72.50 for FICA-HI $310 for FICA-OASDI and $87 for FICA-HI $0 for FICA-OASDI and $87 for FICA-HI

Answers

FICA (Federal Insurance Contributions Act) taxes are paid by employees and employers to fund Social Security and Medicare programs. The FICA OASDI tax funds Social Security, while the FICA HI tax funds Medicare.

These taxes are calculated as a percentage of an employee's earnings. For the year, Social Security is taxed on the first $142,800 of earnings while Medicare is taxed on all earnings.

Therefore, in order to calculate the deduction for FICA-OASDI (Social Security), we'll need to subtract the $142,800 from the prior earnings ($142,000). The result of $0 indicates that Stacey has already paid the maximum amount of FICA-OASDI tax for the year. Therefore, we can move on to calculate the deduction for FICA-HI (Medicare).FICA-HI is calculated at a rate of 1.45% of all earnings, without any maximum limit.

Therefore, we can calculate the FICA-HI deduction as follows:Current earnings × FICA-HI rate= $6,000 × 0.0145= $87Therefore, Stacey's paycheck should be deducted by $87 for FICA-HI.

The answer is option C: $310 for FICA-OASDI and $87 for FICA-HI.

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An investor takes the pay floating side of a plain-vanilla interest rate swap and makes payments at the rate of LIBOR-90 plus a quoted margin of 200 basis points. The swap fixed rate equals 5% (based on a 360 day year). The notional principal of the swap is $10 million and each settlement period is three months long.
16. If LIBOR-90 at the end of the second quarter equals 3%:
A. There is no settlement payment at the end of the third quarter.
B. The settlement payment at the end of the second quarter equals $200,000 C. The settlement payment at the end of the third quarter equals $50,000
17. If LIBOR-90 at the expiration date of the swap rises to 3% (compared to the previous reset date):
A. The pay-floating side will make a payment.
B. The pay-fixed side will make a payment.
C. There will be no payment at expiration of the swap

Answers

16.  Payment at the end of the first quarter

= Notional principal × (LIBOR-90 + Quoted margin - Fixed rate) × (Actual days in quarter / 360) = $10,000,000 × (3.0% + 2.0% - 5.0%) × (90 / 360) = $50,000

Payment at the end of the second quarter

= Notional principal × (LIBOR-90 + Quoted margin - Fixed rate) × (Actual days in quarter / 360) = $10,000,000 × (3.0% + 2.0% - 5.0%) × (91 / 360) = $50,000

Thus, there is no settlement payment at the end of the third quarter.

Hence, option A is correct.

17. The pay-floating side makes payments based on the prevailing rate of LIBOR-90, so if the LIBOR-90 at the expiration date of the swap rises to 3% (compared to the previous reset date), the pay-floating side will make a payment.

Therefore, option A is correct.

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osemite Bike Corp. manufactures mountain bikes and distributes them through retail outlets in California, Oregon, and Washington. Yosemite Bike Corp. has declared the following annual dividends over a six-year period ended December 31 of each year: 2009, $24,000; 2010, $10,000; 2011, $126,000; 2012, $100,000; 2013, $125,000; and 2014, $125,000. During the entire period, the outstanding stock of the company was composed of 25,000 shares of cumulative preferred 2% stock, $90 par, and 100,000 shares of common stock, $4 par.

Required:

1. Determine the total dividends and the per-share dividends declared on each class of stock for each of the six years. There were no dividends in arrears on January 1, 2009. Summarize the data in tabular form. If required, round your answers to two decimal places. If the amount is zero, please enter "0".

Preferred Dividends Common Dividends

Year Total

Dividends Total Per Share Total Per Share

2009 $24,000 $

$

$

$

2010 10,000 2011 126,000 2012 100,000 2013 125,000 2014 125,000 $

$

2. Determine the average annual dividend per share for each class of stock for the six year period. Round your answers to two decimal places.

Average annual dividend for preferred stock $

per share

Average annual dividend for common stock $

per share

3. Assuming a market price of $100 for the preferred stock and $5 for the common stock, calculate the average annual percentage return on initial shareholders' investment, based on the average annual dividend per share (a) for preferred stock and (b) for common stock. Round your answers to one decimal place.

Preferred stock %

Common stock %

Answers

The average annual percentage return on the initial shareholders' investment for the preferred stock is 10.8%, and for the common stock, it is 102%.

1. To determine the total dividends and the per-share dividends declared on each class of stock for each of the six years, we need to calculate the dividends for both the preferred stock and the common stock.

Let's start with the preferred stock. The preferred stock has a 2% dividend rate and a par value of $90. We have 25,000 shares of preferred stock outstanding.

For the year 2009, the total dividends declared on the preferred stock would be:
Total dividends = Number of shares * Dividend rate * Par value
Total dividends = 25,000 * 0.02 * $90 = $45,000

Now let's calculate the per-share dividends:
Per-share dividends = Total dividends / Number of shares
Per-share dividends = $45,000 / 25,000 = $1.80

Following the same steps for the remaining years, we get the following results:

Preferred Dividends          Common Dividends
Year   Total Dividends     Total  Per Share       Total     Per Share
2009    $45,000                      -                    $24,000              $0.24
2010    $45,000                      -                    $10,000              $0.10
2011    $45,000                      -                   $126,000           $1.26
2012    $45,000                      -                   $100,000           $1.00
2013    $45,000                      -                   $125,000           $1.25
2014    $45,000                      -                   $125,000           $1.25

2. To determine the average annual dividend per share for each class of stock for the six-year period, we need to sum up the total dividends for each class of stock over the six years and divide by the total number of shares for that class.

For the preferred stock:
Total dividends for the six-year period = $45,000 * 6 = $270,000
Average annual dividend per share for preferred stock = Total dividends for the six-year period / Number of preferred shares
Average annual dividend per share for preferred stock = $270,000 / 25,000 = $10.80

For the common stock:
Total dividends for the six-year period = $24,000 + $10,000 + $126,000 + $100,000 + $125,000 + $125,000 = $510,000
Average annual dividend per share for common stock = Total dividends for the six-year period / Number of common shares
Average annual dividend per share for common stock = $510,000 / 100,000 = $5.10

Therefore, the average annual dividend per share for the preferred stock is $10.80, and for the common stock, it is $5.10.

3. To calculate the average annual percentage return on the initial shareholders' investment for both the preferred stock and the common stock, we need to divide the average annual dividend per share by the market price per share and then multiply by 100 to get the percentage.

For the preferred stock:
Market price = $100
Average annual percentage return on preferred stock = (Average annual dividend per share for preferred stock / Market price) * 100
Average annual percentage return on preferred stock = ($10.80 / $100) * 100 = 10.8%

For the common stock:
Market price = $5
Average annual percentage return on common stock = (Average annual dividend per share for common stock / Market price) * 100
Average annual percentage return on common stock = ($5.10 / $5) * 100 = 102%

Therefore, the average annual percentage return on the initial shareholders' investment for the preferred stock is 10.8%, and for the common stock, it is 102%.

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in a system of fractional reserve banking, if all money is held in the form of deposits, the simplest expression of the value of the money multiplier is

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In a system of fractional reserve banking, if all money is held in the form of deposits, the simplest expression of the value of the money multiplier is as follows.

Money Multiplier = 1/Reserve RatioFirstly, a fractional reserve system is a banking system in which commercial banks are required to hold a fraction of their deposits as reserves. The fraction of total deposits that a bank is legally required to hold is referred to as the reserve requirement.

In such a scenario, the bank can lend the remaining portion of its deposit base to borrowers as loans. Thus, the reserve ratio, which is the fraction of total deposits that banks are required to hold, is the inverse of the money multiplier. It represents the proportion of total deposits that a bank cannot loan out.

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7. In 2021 , Citradoria Corporation is a regular corporation that contributes $35,000 cash to qualified charitable organizations during the current tax year. The corporation has net operating income of $91,000, before deducting the contributions, and adding dividends received from domestic corporations (ownership in all corporations is less than 20 percent) in the amount of $25,000. a. What is the amount of Citradoria Corporation's allowable deduction for charitable contributions for 2021 ? b. In 2022, Citradoria contributes $14,000 to charitable organizations. The corporation has net operating income of $150,000 before deducting the contributions, and no dividend income. What is the amount of Citradoria's allowable deduction for charitable contributions for 2022? $ c. If there is any carryover of the charitable contribution deduction from 2022, what year will it expire?

Answers

a. The amount of Citradoria Corporation's allowable deduction for charitable contributions for 2021 is $26,000.

Firstly, we need to determine Citradoria Corporation's net operating income before applying the charitable contribution deduction and dividend received from domestic corporations.

Net operating income of Citradoria Corporation = $91,000

Dividend received from domestic corporations (ownership in all corporations is less than 20 percent) = $25,000

Now, we have all the information that we need to calculate the corporation's allowable deduction for charitable contributions for 2021. This will be calculated as:

Allowable deduction for charitable contributions for 2021= 10% x $91,000= $9,100

Maximum allowable deduction based on the contribution of $35,000= $26,000

Thus, the amount of Citradoria Corporation's allowable deduction for charitable contributions for 2021 is $26,000.

b. The amount of Citradoria's allowable deduction for charitable contributions for 2022 is $25,500.

Again, we need to determine Citradoria Corporation's net operating income before applying the charitable contribution deduction. Since there is no dividend income, we can go ahead and calculate the allowable deduction for 2022 as follows:

Allowable deduction for charitable contributions for 2022= 10% x $150,000= $15,000

Maximum allowable deduction based on the contribution of $14,000= $14,000

Thus, the amount of Citradoria's allowable deduction for charitable contributions for 2022 is $14,000. However, since there is no limit for the carryover of the charitable contribution deduction, we can add the unused charitable contribution deduction from 2022 to the allowable deduction for 2023.

c. The unused charitable contribution deduction will carry forward indefinitely.

There is no limit on the carryover of the unused charitable contribution deduction. Hence, the unused charitable contribution deduction from 2022 can be carried forward indefinitely until it is fully utilized.

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Suppose that during 2022, Cypress Semiconductor Corporation reported net cash provided by operating activities of $93,476,000, cash used in investing of $39,406,000, and cash used in financing of $7,807,000. In addition, cash spent for plant assets during the period was $27,768,000. No dividends were paid. Calculate free cash flow. (Enter negative amount using either a negative sign preceding the number e.g. -45 or parentheses e.g. (45).) Suppose Shaw Communications reported net cash used by operating activities of $106,183,000 and sales revenue of $2,996,835,000 during 2022. Cash spent on plant asset additions during the year was $83,354,000. Calculate free cash flow. (Enter negative amount using either a negative sign preceding the number e.g. -45 or parentheses e.g. (45).) Bramble Corporation reports operating expenses of $90,100 excluding depreciation expense of $15,700, for 2022. During the year, prepaid expenses decreased $6,700 and accrued expenses payable increased $4,900. Compute the cash payments for operating expenses in 2022.

Answers

Free cash flow refers to the amount of cash generated by a business after it has covered all of its operating and capital expenses. To calculate free cash flow, we will first determine the net cash flow from operating activities, then subtract capital expenditures.

The formula for free cash flow is :Free Cash Flow = Net Cash Flow from Operating Activities - Capital Expenditures (CAPEX)Calculation of free cash flow for Cypress Semiconductor Corporation Net Cash Flow from Operating Activities = $93,476,000 Cash Used in Investing = $39,406,000.

Cash Used in Financing = $7,807,000Cash spent for plant assets during the period = $27,768,000No dividends were paid. Free Cash Flow = $93,476,000 - $27,768,000Free Cash Flow = $65,708,000Calculation of free cash flow for Shaw Communications.

Net Cash Used in Operating Activities = $106,183,000Sales Revenue = $2,996,835,000Cash spent on plant asset additions during the year = $83,354,000Free Cash Flow = $2,996,835,000 - $106,183,000 - $83,354,000Free Cash Flow = $2,807,298,000 - $189,537,000 Free Cash Flow = $2,617,761,000.

Calculation of cash payments for operating expenses in 2022Operating Expenses = $90,100Depreciation Expense = $15,700Prepaid Expenses Decrease = $6,700Accrued Expenses Payable Increase = $4,900Cash Payments for Operating Expenses.

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The average monthly rent of a one bedroom apartment in San Diego in 2021 was 1500 dollars.
You're interested in knowing if the rents have increased in the subsequent year. To do so, you collect a random sample of 50 apartment listings on craigslist.
Which of the following are possible ways to conduct a more robust statistical analysis?
Drop any outliers from the sample.
Collect more data. Instead of 50 apartment listings, collect 100.
When conducting the hypothesis test, use a larger significance level.
Conduct the hypothesis in Excel instead of manually.

Answers

Possible ways to conduct a more robust statistical analysis are:

1. Dropping outliers from the sample: Removing extreme values that may significantly affect the results and distort the analysis.

2. Collecting more data: Increasing the sample size to obtain a larger and more representative dataset.

3. Using a larger significance level: Adjusting the threshold for determining statistical significance to be more lenient, increasing the chance of finding significant results.

4. Conducting the hypothesis test in Excel: Utilizing statistical software like Excel for automated calculations and streamlined analysis.

To conduct a more robust statistical analysis, researchers can consider various strategies. Dropping outliers can help eliminate extreme values that might skew the results and lead to inaccurate conclusions. Collecting more data by increasing the sample size improves the reliability of the analysis and provides a more comprehensive representation of the population. Using a larger significance level allows for a more relaxed criterion for rejecting the null hypothesis, increasing the chances of identifying significant effects. Finally, conducting the hypothesis test in Excel or other statistical software helps automate the calculations, ensuring accuracy and efficiency in the analysis process. By implementing these approaches, researchers can enhance the validity and strength of their statistical analysis.

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You are a contestant on Who Wants to be a Millionaire. You have already answered the $250,000 question, and now must decide if you would like to answer the $500,000 question. You can choose to walk away at this point with $250,000 in winnings, or you may decide to answer the $500,000 question. If you answer the $500,000 question correctly, you can then choose to walk away with $500,000 in winnings or go on and try to answer the $1,000,000 question. If you answer the $1,000,000 question correctly the game is over, and you win $1,000,000. If you answer either the $500,000 or the $1,000,000 question incorrectly, the game is over immediately, and you take home "only" $32,000.

A feature of the game Who Wants to be a Millionaire is that you have three lifelines―namely 50-50, ask the audience, and phone a friend. At this point (after answering the $250,000 question), you have already used two of them, but you have the phone a friend lifeline remaining. With this option, you may phone a friend to get their advice on the correct answer to a question before answering it. You may use this option only once (i.e., you can use it on either the $500,000 question or the $1,000,000 question, but not both). Since your friends are all smarter than you are, phone a friend improves your odds for answering a question correctly. Without phone a friend, if you choose to answer the $500,000 question you have a 65% chance of answering correctly, and if you choose to answer the $1,000,000 question you have a 45% chance of answering correctly (the questions get progressively harder). With phone a friend, you have an 70% chance of answering the $500,000 question correctly, and a 55% chance of answering the $1,000,000 question correctly.

Use TreePlan to construct and solve a decision tree to decide what to do. State (in words below the tree) what is the best course of action, assuming your goal is to maximize your expected winnings.

Copy the worksheet from part a (hold down control (PC) or option (Mac) and drag the tab for 1a to create a copy of that tab, and then relabel the new tab 1b. Using the exponential utility function to account for your level of risk aversion, re-solve the decision tree. Include on the spreadsheet a brief description of how you determined the RT value that was appropriate for you to use for the exponential utility function (i.e., describe the process and specific gamble that you considered)*. Does the best course of action change?

* There is a "bug" associated with the exponential utility function and RT value with TreePlan:

Having an RT value that is way lower than the payoffs in the tree (over 1000 times lower) can lead to numerical issues (with #NUM displayed for some of the results). Some of the payoffs in the question at hand are up to $1 million. If you use an RT value of less than $1 thousand or so, the payoffs are all so much larger than the RT value that it leads to the exponential function it uses to calculate utility to have issues calculating properly. So, even if your true RT value is less than $1 thousand, you will need to use a value of at least $1 thousand in order to get results from your model.

Answers

The best course of action, considering the goal of maximizing expected winnings, is to use the phone a friend lifeline and answer the $500,000 question.  

This decision is based on calculating the expected values for each option and taking into account the increased probabilities provided by the lifeline. The expected value for answering the $500,000 question with phone a friend (70% chance) is higher than the expected value for answering the $1,000,000 question without the lifeline (45% chance). Therefore, using the lifeline and going for the $500,000 question offers the highest expected winnings.

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Make a new comment to address three questions:
How is Amazon a good example of a business growing using the idea of economies of scale?
If you were a growing business, how could you hope to compete with Amazon effectively?
Should governments get involved to regulate how businesses choose to do business? Why or why not

Answers

Amazon is a great example of a company that has expanded using economies of scale. When a company becomes larger, it can often produce products at a lower cost per unit.

The reason behind this is that it can spread the high fixed costs of developing the product and operating the factory across more units of the product.

As the company grows, it can also purchase supplies in bulk, which lowers the per-unit cost. By creating goods in larger quantities, a firm may also negotiate better deals on raw materials and manufacturing equipment.

As a small business, there are numerous techniques to compete with Amazon. Some strategies may entail providing superior customer service, creating a unique product, having a loyal customer base, and offering a personal touch.

Amazon is well-known for its online and telephone customer support, which assists it in standing out. Creating a new and unique product is another way to differentiate oneself from the competition.

A business owner can also establish a personal relationship with customers by providing customized advice and product recommendations. Word-of-mouth referrals from satisfied customers can be a potent marketing tool.

Furthermore, providing quick shipping and delivery options can help a business stay competitive. A growing company can provide its customers with a loyalty scheme that rewards repeat purchases with discounts or other incentives.

There is no need for the government to get involved in regulating how businesses operate. A company's activities should be monitored and regulated by the market. If customers disapprove of a company's procedures, they may vote with their wallets and take their money elsewhere.

Excessive regulation may stifle competition, prevent market entry, and reduce innovation. As a result, it's critical to rely on the market's feedback loop to regulate how businesses choose to conduct their operations.

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Which of the following are transactions when a promissory note is issued by the payee
O when credit customers need additional time to make payments on accounts receivable when inventory is sold to customers who do not have an established line of credit when cash is loaned
all of the above are situations when a promissory note is issued by the payee

Answers

All of the following are situations when a promissory note is issued by the payee. In accounting, a promissory note is an unconditional guarantee in writing by one party to another, promising to pay on demand or at a particular time, a certain sum of money or to order or to bearer.

A promissory note is a written commitment that one party makes to pay money to another party in the future. The entity to which the money is payable is the payee. The following are situations when a promissory note is issued by the payee:

When credit customers need additional time to make payments on accounts receivable, a promissory note is issued by the payee. When inventory is sold to customers who do not have an established line of credit, a promissory note is issued by the payee.

When cash is loaned, a promissory note is issued by the payee. Therefore, "All of the above are situations when a promissory note is issued by the payee" is the correct answer. The question is a multiple choice question and the correct option is given.

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