to determine if a firm can pay its bills using cash from operations, which ratios are best to use?

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Answer 1

To determine if a firm can pay its bills using cash from operations, several ratios can be useful such as operating cash flow ratio, current ratio, quick ratio etc.

The key ratios to consider are:

1. Operating Cash Flow Ratio: This ratio compares a firm's operating cash flow to its current liabilities. It measures the company's ability to generate sufficient cash from its operations to cover its short-term obligations. A higher ratio indicates a better ability to pay bills using cash from operations.

2. Current Ratio: The current ratio compares a firm's current assets to its current liabilities. While it does not specifically focus on cash from operations, it provides a general indication of a company's short-term liquidity. A current ratio above 1 suggests that the firm can potentially meet its short-term obligations, including bills.

3. Quick Ratio (or Acid-Test Ratio): Similar to the current ratio, the quick ratio assesses a firm's ability to pay its short-term liabilities. However, it excludes inventory from current assets since inventory may not be easily convertible to cash. By focusing on more liquid assets, such as cash, marketable securities, and accounts receivable, the quick ratio provides a more conservative measure of a company's ability to meet its bills using readily available assets.

These ratios collectively offer insights into a firm's liquidity position and its capacity to pay bills using cash generated from operations. It's essential to consider these ratios alongside other financial metrics and qualitative factors to get a comprehensive understanding of a company's financial health.

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Michael's, Inc. just paid $2.15 to its shareholders as the annual dividend. Simultaneously, the company announced that future dividends will be increasing by 4.70 percent. If you require a rate of return of 8.9 percent, how much are you willing to pay today to purchase one share of Michael's stock?

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The amount which you willing to pay today to purchase one share of Michael's stock is $53.60.

Over the long term, stocks have the most potential for growth (capital appreciation) for investors. Investors who have chosen to hold onto equities for an extended length of time—let's say 15 years—have often been rewarded with robust, profitable returns.

However, stock values can also go downward. You might lose money if you buy in stocks since there is no assurance that the firm in whose stock you now own will prosper and develop.

Common investors are the last to get a payout if a firm declares bankruptcy and liquidates its assets. Priority will be given to bondholders of the corporation before preferred stockholders. Common stockholders receive whatever is left over, which might be nothing.

P0 = [$2.15 × (1 + 0.047)] / (0.089 - 0.047)

= $53.60.

Companies' stock prices can change even when they are not in risk of collapsing. For instance, large firm stocks have often seen a loss around once every three years. You will experience a loss on the sale of your shares if you have to sell them on a day when the stock price is lower than what you bought for them.

For some investors, market volatility might be unsettling. The price of a stock may be impacted by internal corporate problems, such as a defective product, or external variables, such as market or political developments.

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entrepreneurs experience stress, but they also have high job satisfaction. they tend to be

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Yes, entrepreneurs do experience stress, but they also have high job satisfaction. This is because they have the freedom to pursue their own ideas and create something meaningful.

Being an entrepreneur is not an easy job as they often face financial, operational, and personal challenges. However, they are driven by the passion to create something new, solve problems and innovate, which ultimately leads to high job satisfaction. Additionally, entrepreneurs have control over their work-life balance and can create a lifestyle that suits them, which adds to their job satisfaction.

Entrepreneurs experience stress due to the numerous challenges they face in running their businesses, such as financial risks, managing employees, and navigating market conditions. However, they also have high job satisfaction because they are highly motivated individuals who are passionate about their work, and they enjoy the autonomy and control they have over their business decisions.

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how long will it take $50,000 placed in a savings account at 10% interest to grow into $75,000?

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It will take approximately 4.08 years for $50,000 placed in a savings account at a 10% interest rate to grow into $75,000, assuming annual compounding.

To answer your question, we will use the future value formula in the context of compound interest.

The formula is FV = PV[tex](1 + r/n)^{(nt)}[/tex]

where FV is the future value, PV is the present value or initial deposit, r is the annual interest rate, n is the number of times interest is compounded per year, and t is the number of years.

In this case, you have $50,000 (PV) placed in a savings account at a 10% annual interest rate (r = 0.10) and you want it to grow into $75,000 (FV).

Let's assume the interest is compounded annually (n = 1). We need to find the time (t) it takes to reach the desired amount.

First, we can rearrange the formula to solve for t:

t = (ln(FV/PV)) / (n * ln(1 + r/n))

Now, plug in the values:

t = (ln(75000/50000)) / (1 * ln(1 + 0.10/1))

t ≈ 4.08

It will take approximately 4.08 years for $50,000 placed in a savings account at a 10% interest rate to grow into $75,000, assuming annual compounding.

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in his presentation to his banker when he applies for a business loan to purchase additional equipment, alan should emphasize: a. how he will be able to repay the principal of the loan. b. how much profit the new equipment will, generate. c. how much income he will generate for the bank. d. how energy-efficient the new equipment is.

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The statement a is correct. When Alan applies for a business loan to purchase additional equipment, it is important for him to emphasize how he will be able to repay the principal of the loan.

This is a crucial factor that lenders consider when reviewing loan applications. Alan should present a detailed plan that outlines how he intends to use the equipment to generate more revenue, which would help him to repay the loan. However, it is also important for him to mention the benefits of the new equipment, such as how energy-efficient it is. This can help to reduce operating costs and increase profitability. While it is tempting to focus on how much profit the new equipment will generate, lenders are primarily concerned with the borrower's ability to repay the loan. Therefore, Alan should emphasize this factor in his presentation.

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msft and gm are the only two stocks you own. you download historical data to compute standard deviation of msft's return to be 28% and the standard deviation of gm's return to be 20%. you compute the correlation between their returns and find it is positive 0.20. if you wish to rebalance the two stocks weights to achieve the lowest risk, what are the weights you need to have and what would be the overall risk (in form of standard deviation) of your portfolio?

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To calculate the optimal weights for a portfolio of two assets, we need to use the formula the overall risk (standard deviation) of the portfolio is approximately 22.2%.

The correlation coefficient, denoted by r, is a statistical measure that describes the strength and direction of the linear relationship between two variables.It takes values between -1 and +1, where -1 indicates a perfect negative correlation (i.e., when one variable increases, the other variable decreases), +1 indicates a perfect positive correlation (i.e., when one variable increases, the other variable also increases), and 0 indicates no correlation (i.e., the two variables are independent of each other).The sign of the correlation coefficient indicates the direction of the relationship (positive or negative), while the absolute value indicates the strength of the relationship (closer to 1 indicates a stronger relationship).

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What is the long-run effect of immigration on capital use in the receiving country? a) Capital will move to the labor-intensive industry. b) The return to capital (rental) will fall.
c) Capital will move to the capital-intensive industry. d) There will be no change because the remaining capital is not mobile.

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Option c. Capital will move to the capital-intensive industry is the long-run effect of immigration on capital use in the receiving country.

Immigration can affect capital use in the receiving country in the long run by altering the relative prices of labor and capital. In general, an increase in the supply of labor (such as through immigration) will reduce the relative wage rate and increase the relative rental rate of capital. As a result, firms will shift their production towards more capital-intensive techniques, which require relatively less labor and more capital. This leads to an increase in the demand for capital and a decrease in the demand for labor in the long run. This adjustment process can take time to occur, but in the long run, the result is a reallocation of resources towards more capital-intensive industries and a reduction in the return to labor.

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which of the following was enacted for the purpose of identifying and cleaning up abandoned hazardous waste sites? the resource conservation and recovery act (rcra) the toxic substances control act (tsca) the comprehensive environmental response, compensation, and liability act (cercla) the basel act

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The Comprehensive Environmental Response, Compensation, and Liability Act (CERCLA), also known as Superfund, was enacted for the purpose of identifying and cleaning up abandoned hazardous waste sites. This law was passed by the US Congress in 1980 to address the growing problem of abandoned hazardous waste sites across the country.

CERCLA gives the US Environmental Protection Agency (EPA) the authority to investigate and clean up these sites and hold responsible parties accountable for the costs of cleanup. The law also established a trust fund to pay for cleanup at sites where responsible parties cannot be identified or located.

The goal of CERCLA is to protect public health and the environment by ensuring that hazardous waste sites are properly cleaned up and the costs are borne by those responsible for creating the problem. In conclusion, CERCLA is the law enacted for identifying and cleaning up abandoned hazardous waste sites in the US.

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applicant flow is the number and type of applicants coming from each recruiting source.
T/F

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True.

Applicant flow refers to the number and type of applicants that come from each recruitment source. This information is important for organizations to track as it helps them understand which sources are providing the best candidates and which ones may need to be improved or discontinued. By analyzing applicant flow data, companies can make informed decisions about where to allocate their recruitment resources and how to improve their overall hiring process. It can also help them identify any potential biases in their recruitment practices and make efforts to address them. Overall, tracking applicant flow is an important aspect of effective talent acquisition and management.

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improvements to systems include all the following except: a. increasing redundant output. b. combining processes. c. streamlining a process through the elimination of unnecessary or duplicated steps. d. speeding up a process.

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increasing redundant output. Improvements to systems are typically aimed at making processes more efficient and effective.  a. increasing redundant output.

This can be achieved through combining processes, streamlining processes by eliminating unnecessary or duplicated steps, and speeding up processes. However, increasing redundant output is not an improvement to a system as it leads to wastage and inefficiency.
The options are: a. increasing redundant output, b. combining processes, c. streamlining a process through the elimination of unnecessary or duplicated steps, and d. speeding up a process.
Improvements to systems include all the following except increasing redundant output (option a). Combining processes (option b), streamlining a process through the elimination of unnecessary or duplicated steps (option c), and speeding up a process (option d) are all considered improvements to systems.

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from the persepctive of control, the direct mateirals price vairance should be isolated at time of slaes. a. true b. false

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False, From the perspective of control, the direct materials price variance should be isolated at the time of purchase, not at the time of sales.

This is because the variance is a result of the difference between the actual price paid for materials and the standard price that was set for those materials. By isolating the variance at the time of purchase, the company can identify any issues with the purchasing process and take corrective action. Isolating the variance at the time of sales would not allow for the same level of control and corrective action.

The direct materials price variance should be isolated at the time of purchase, not at the time of sales. This is because the price variance is the difference between the actual cost of direct materials and the standard cost. Isolating the variance at the time of purchase allows the company to identify any discrepancies and take corrective action to control material costs more effectively.

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a party to a licensing agreement generally agrees to pay royalties on some basis.
T/F

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True. A licensing agreement is a legal contract between two parties that allows one party (the licensee) to use the intellectual property of the other party (the licensor) in exchange for compensation.

The compensation can come in various forms, but one common method is through royalties. Royalties are payments made by the licensee to the licensor based on a percentage of the revenue generated from the use of the licensed intellectual property. This revenue could come from the sale of products or services that use the licensed intellectual property, or from any other means of generating income related to the use of the licensed intellectual property. Therefore, a party to a licensing agreement generally agrees to pay royalties on some basis.

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A total product curve indicates the relationship between_____when all other inputs are fixed. a) a variable input and output. b) output and price. c) a variable input and price. d) a variable input and variable cost.

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A total product curve indicates the relationship between variable input and output when all other inputs are fixed. Hence, option B is appropriate.

Product curves place the quantity of the component on the horizontal axis because they illustrate the link between output and that factor's quantity. Cost curves, which place output on the horizontal axis, demonstrate how costs change with output.

The total product curve's shape depends on specialization, collaboration, and combining variable and fixed inputs. The total output (final result) that a business can produce with the workforce that is available is shown by the TP (total product) curve.

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roxanne's monopolistic competitive glass shop is trying to figure out the price to charge for a new collection of stemware. below is a graph of the the demand schedule, marginal revenue and both marginal and average cost curves of these glasses. what should she charge for this product and how many should she sell?

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Based on the graph of Roxanne's demand schedule and marginal revenue, it looks like the price of the new collection of stemware should be set at around $10 per unit.

At this price, Roxanne's shop should aim to sell approximately 150 units of the stemware. This is because at the $10 price point, the marginal revenue equals the marginal cost, which is the profit-maximizing point for a monopolistic competitive firm. It's important to note that the average cost curve in the graph suggests that Roxanne's shop may be experiencing some economies of scale, as the average cost decreases as the number of units produced and sold increases. However, this shouldn't necessarily impact the pricing decision, as it's still important to focus on the profit-maximizing point for the product.

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product testing is a fraud: a. where consumers respond to an advertisement that promises income simply for stuffing envelopes. b. that promise victims a job that involves strolling through stores, enjoying the displays, shopping for merchandise, and then filing reports on the experiences they have had. c. where perpetrators promise high pay for working on different projects. d. that request the consumers to review the products presented in the brochures and send their commentaries to the supplier for review.

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Product testing is not inherently a fraud. However, scams exist that exploit the concept, making false promises and taking advantage of consumers.

Genuine product testing is a legitimate practice, wherein companies seek feedback on their products from consumers to improve their offerings. However, there are scams that exploit the idea of product testing for fraudulent purposes. Scammers may promise income for simple tasks like envelope stuffing or high pay for working on various projects. They might also offer victims a job that involves casually shopping and providing feedback on their experiences.

Another fraudulent tactic involves requesting consumers to review products from brochures and send their commentaries to the supplier. It is essential for consumers to be cautious and vigilant when considering product testing opportunities, as not all of them are genuine. To avoid scams, research the company and verify its legitimacy before participating in any product testing activities.

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Which of the following is likely the best option when a Product Owner is overworked?
A. Free the Product Owner from other responsibilities.
B. Split the Product Owner role and distribute the duties among more people.
C. Limit the amount of the time the Product Owner spends with the Scrum Team.
D. Ask, the Project Manager to pick up some of the Product Owner’s responsibilities.

Answers

When a Product Owner is overworked, the best option would likely be to free them from other responsibilities.(option.a)

This allows the Product Owner to focus solely on their role, ensuring that they are able to effectively prioritize the product backlog and communicate with the Scrum Team.

Splitting the Product Owner role and distributing the duties among more people may lead to confusion and a lack of clear direction, while limiting the amount of time the Product Owner spends with the Scrum Team may negatively impact communication and collaboration.

Asking the Project Manager to pick up some of the Product Owner's responsibilities may be a temporary solution, but ultimately the Product Owner should be the one responsible for their role.

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The long-run effects of rent controls are a good illustration of the principle that a. society faces a short-run tradeoff between unemployment and inflation. b. the cost of something is what you give up to get it. c. people respond to incentives. d. government can sometimes improve on market outcomes. At a minimum wage that exceeds the equilibrium wage, a. the quantity demanded of labor will exceed the quantity supplied. b. the quantity supplied of labor will exceed the quantity demanded. c. the minimum wage will not be binding. d. the market for skilled workers is affected, but the market for unskilled workers remains unaffected.

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While rent controls may seem like a good idea in the short run, they can have negative long-term effects on the market. The long-run effects of rent controls are a good illustration of the principle that government can sometimes improve on market outcomes.

Rent controls are typically put in place to protect tenants from high rents, but in the long run, they can actually decrease the supply and quality of rental housing. Landlords may not have the incentive to maintain or improve their properties, leading to a decrease in the quality of housing available.

Additionally, landlords may choose to convert rental units to other uses, such as condominiums or commercial space, further decreasing the supply of rental housing. This ultimately results in a shortage of affordable rental housing, which can have negative effects on both tenants and the overall housing market.

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the sum of the fed's monetary liabilities and the u.s. treasury's monetary liabilities is called

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The sum of the Fed's monetary liabilities and the U.S. Treasury's monetary liabilities is called the monetary base. The monetary base is an important concept in monetary policy as it is the foundation upon which the money supply is built.

It consists of currency in circulation and reserves held by banks at the Federal Reserve. The Federal Reserve controls the monetary base through open market operations, adjusting the supply of reserves in the banking system. Changes in the monetary base can affect interest rates and inflation, making it a key tool in monetary policy.

The U.S. Treasury's monetary liabilities include Treasury bonds, bills, and notes which are used to finance the government's debt. By combining the monetary liabilities of the Fed and the Treasury, the monetary base provides a comprehensive view of the monetary system in the United States.

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The sum of the Fed's monetary liabilities and the U.S. Treasury's monetary liabilities is called the "monetary base".

The monetary base, also known as the "high-powered money" or "base money", represents the total amount of money in circulation in the economy that is backed by the government. It includes the sum of the Federal Reserve's monetary liabilities, such as currency in circulation and bank reserves held at the Fed, and the U.S. Treasury's monetary liabilities, such as coins in circulation and outstanding Treasury bills, notes, and bonds.

The monetary base is a key determinant of the overall money supply in the economy, as banks use it to create loans and deposits. The Fed can also influence the money supply by adjusting the monetary base through open market operations, such as buying or selling government securities.

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due-on-sale clauses are included in commercial mortgages primarily to protect lenders from:

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Due-on-sale clauses are included in commercial mortgages primarily to protect lenders from default risk.  So, the correct option is "default risk. "

A due-on-sale clause, also known as an acceleration clause, is a provision in a mortgage that requires the full payment of the outstanding loan balance upon the sale or transfer of the property. This clause is included to ensure that the lender is paid in full if the borrower sells or transfers the property to another party.

Default risk is a significant concern for lenders, especially in the commercial mortgage market. If the borrower defaults on the loan, the lender may not be able to recover the full amount of the outstanding balance. Therefore, the due-on-sale clause is included in the mortgage to protect the lender's interests in the event of default.

In addition to protecting lenders from default risk, due-on-sale clauses also serve to deter prepayment risk and reinvestment risk. These risks occur when the borrower repays the loan early or refinances the mortgage, potentially causing the lender to lose out on future interest payments. By enforcing the due-on-sale clause, lenders can mitigate these risks and ensure that they are compensated for the full term of the loan.

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Complete Question:  

Due-on-sale clauses are included in commercial mortgages primarily to protect lenders from:

Interest rate risk.

Default risk.

Reinvestment risk.

Prepayment risk.

which of the following are aspects of setting up the logic of a business message? (choose all that apply.) multiple select question. a defining a call to action b describing the ideas of the message c arranging message logic d identifying supporting points

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All options (A, B, C, and D) are aspects of setting up the logic of a business message.

a) Defining a call to action
b) Describing the ideas of the message
c) Arranging message logic
d) Identifying supporting points

Step 1: Start by describing the ideas of the message (Option B) to clarify the purpose of your communication.
Step 2: Identify the supporting points (Option D) to back up your ideas and provide the necessary information for your audience.
Step 3: Arrange the message logic (Option C) by organizing your ideas and supporting points in a coherent and logical order.
Step 4: Finally, define a call to action (Option A) to guide your audience on what you want them to do after receiving your message.

Therefore, all options (A, B, C, and D) are aspects of setting up the logic of a business message.

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privately owned banks and thrift institutions that accept deposits from and make loans directly to the public are known as part 2 a. credit unions. b. money makers. c. monetary commencers. d. depository institutions.

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Privately owned banks and thrift institutions that accept deposits from and make loans directly to the public are known as depository institutions.

Depository institutions are financial institutions that obtain funds primarily by accepting deposits from the public. They make loans and investments, and their main source of income is the difference between the interest they earn on their assets and the interest they pay on their liabilities. Examples of depository institutions include commercial banks, savings and loan associations, and mutual savings banks. These institutions are regulated by government agencies to ensure their safety and soundness, and to protect the depositors' funds. In the United States, the Federal Reserve System is responsible for supervising and regulating depository institutions.

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fine framings, a small framing shop, uses markup pricing to arrive at a final selling price. the firm sells its frames at a price of $25, given a $15 unit cost. fine framings' markup on the selling price is , and its markup on cost is . a. 250%, 100% b. 66-2/3%, 40% c. 167%, 67% d. 40%, 66-2/3%

Answers

Fine Framings, a small framing shop, uses markup pricing to determine the final selling price of their frames. Given a $15 unit cost and a selling price of $25, we can calculate the markup on the selling price by subtracting the cost from the selling price and dividing the result by the selling price.

($25 - $15) / $25 = 0.4 or 40% markup on the selling price.

To calculate the markup on the cost, we divide the difference between the selling price and the cost by the cost.

($25 - $15) / $15 = 0.67 or 66-2/3% markup on the cost.

Therefore, the correct answer is d. 40%, 66-2/3%.

It is important to note that markup pricing is a common method used by businesses to determine their pricing strategy. By understanding their costs and desired profit margins, businesses can set prices that allow them to generate revenue and stay competitive in the market. However, it is crucial for businesses to regularly review and adjust their pricing strategies to ensure they remain profitable and relevant in the marketplace.

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the income gap between the richest and the poorest 20 percent of the world population _____

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The income gap between the richest and the poorest 20 percent of the world population is a significant global issue. The wealthiest individuals and countries have the highest income levels and the greatest access to resources, while the poorest face extreme poverty and limited opportunities.

This gap continues to widen, with the richest 1 percent of the global population now owning over 45 percent of the world's wealth. Addressing the income gap requires policies that prioritize the needs of marginalized communities, promote economic equality, and support sustainable development. Without action, the income gap will continue to perpetuate inequality and hinder progress towards a more just and equitable world.
The income gap between the richest and the poorest 20 percent of the world population has widened over the years. This disparity highlights the significant difference in wealth and resources between the richest individuals and those in the lowest income bracket. As a result, the income gap exacerbates issues like inequality, poverty, and limited access to opportunities for the poorest 20 percent. Governments and international organizations need to implement policies and programs to address this issue and work towards reducing the income gap for a more equitable and sustainable global economy.

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the distinction between operating and nonoperating income relates to: group of answer choices continuity of income. primary activities of the reporting entity. consistency of income stream. reliability of measurements.

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The distinction between operating and non-operating income relates to the primary activities of the reporting entity.

Operating income refers to income that is generated from the primary activities of the business, such as sales revenue, cost of goods sold, and other expenses that are directly related to the production and sale of goods or services. Non-operating income, on the other hand, refers to income that is generated from activities that are not directly related to the primary operations of the business, such as investment income, gains or losses from the sale of assets, and other similar items.

The distinction between operating and non-operating income is important because it helps to provide a clear picture of the financial performance of the business. By separating out operating income from non-operating income, investors and other stakeholders can better understand how much money the business is generating from its core operations versus other sources.

Additionally, the distinction between operating and non-operating income can also impact the way that financial ratios and other performance metrics are calculated. For example, metrics such as the operating margin and return on assets typically focus on operating income, as this provides a more accurate measure of the business's underlying profitability.

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michael received $8,700 today and will receive another $6,200 three years from today. if he invests these funds immediately at 7.5 percent, what will his investments be worth seven years from now? group of answer choices $22,713.64 $23,624.64 $19,856.13 $18,476.39 $18,047.69

Answers

Michael's investments will be worth $23,624.64 seven years from now. Option 2 is Correct.

Let's calculate Michael's investments seven years from now using the present value formula:

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

here PV is the present value, FV is the future value, r is the interest rate, and n is the number of years.

First, let's find the present value of the two investments:

PV1 = $8,700 PV2

= $6,200 / [tex](1 + 0.075)^3[/tex]

= $4,985.34

Next, let's add the present values together to get the total present value:

PV = PV1 + PV2

= $8,700 + $4,985.34

= $13,685.34

Finally, we can use the present value formula to find the future value seven years from now:

[tex]FV = PV * (1 + r)^n \\= $13,685.34 * (1 + 0.075)^7[/tex]

= $23,624.64

Therefore, Michael's investments will be worth $23,624.64 seven years from now. Option 2 is Correct.

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Correct Question:

Michael received $8,700 today and will receive another $6,200 three years from today. if he invests these funds immediately at 7.5 percent, what will his investments be worth seven years from now? group of answer choices

1. $22,713.64

2. $23,624.64

3. $19,856.13

4. $18,476.39

5. $18,047.69

In most cases, students who are signing up for their first credit card

Answers

Signing up for a credit card for the first time can be an exciting but daunting experience for many students. While credit cards can provide financial freedom and flexibility, they also come with responsibilities that require careful consideration and planning.

One of the first things students need to understand is how credit cards work. A credit card is a loan that allows users to borrow money to make purchases, which must be repaid with interest. The interest rates can vary depending on the card and the user's credit score. It's crucial to read the terms and conditions of the credit card before signing up to know the interest rates, annual fees, and any rewards programs that are available.Another important factor for students to consider is their ability to pay off their balance every month. A credit card can be a great tool for building credit, but it's also easy to fall into debt if the balance isn't paid off in full. Late payments can result in high fees and damage to the user's credit score. Students should only use their credit cards for necessary purchases and always make payments on time to avoid unnecessary fees and charges.Additionally, students should choose a credit card that fits their needs and financial situation. Some cards offer rewards programs that provide cashback, points, or travel miles, while others offer lower interest rates. Students should choose a card that aligns with their spending habits and financial goals.

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which icon does not appear in the vendors section for service companies that do not sell inventory?

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The inventory icon does not appear in the vendors section for service companies that do not sell inventory.

In accounting software or systems, the vendors section typically includes icons or categories that represent different types of expenses or accounts payable. For service companies that do not sell inventory, there is no need to track or account for inventory-related transactions. Therefore, the inventory icon or category is not relevant and does not appear in the vendors section for these companies.

Service companies primarily offer intangible services rather than physical goods. Their expenses are typically related to labor, overhead costs, and other service-specific expenses. The vendors section may include icons or categories such as labor costs, utilities, professional services, rent, and other non-inventory-related expenses that are common in service-based businesses.

Since service companies do not engage in buying or selling inventory, the inventory icon is not applicable to their operations. The absence of the inventory icon in the vendors section reflects the nature of their business and the type of expenses they incur.

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assume a firm's debt is selling at face value. what is the firm's cost of debt if the debt has a coupon rate of 7.5% and the tax rate is 21%?

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To calculate the firm's cost of debt, we need to take into account the tax benefits of debt. The after-tax cost of debt can be calculated as follows:

After-Tax Cost of Debt = Coupon Rate x (1 - Tax Rate)

In this case, the coupon rate is 7.5% and the tax rate is 21%. So the after-tax cost of debt would be:

After-Tax Cost of Debt = 7.5% x (1 - 21%) = 5.925%

Therefore, the firm's cost of debt is 5.925%. This means that for every dollar of debt the firm has, it is paying 5.925 cents in interest expenses.

It is important to note that this calculation assumes that the debt is selling at face value, meaning that it is neither trading at a premium nor a discount. If the debt is trading at a premium, the after-tax cost of debt will be lower, and if it is trading at a discount, the after-tax cost of debt will be higher.

In conclusion, the firm's cost of debt is 5.925%, which takes into account the tax benefits of debt. This calculation is important for companies to determine their overall cost of capital and make decisions about financing their operations.

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Collection of point-of-sale (POS) information is most useful for which bullwhip effect remedy?
a) Allocate units based on past demand
b) Price stabilization
c) Fill orders based on a set percentage
d) Eliminate order batching
e) Information sharing

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The collection of point-of-sale (POS) information is most useful for the bullwhip effect remedy of information sharing.  So, the correct answer is e) Information sharing.

The bullwhip effect is a phenomenon in supply chain management where small fluctuations in demand at the consumer level can result in amplified fluctuations in inventory levels, production, and distribution throughout the supply chain. POS information collection helps to mitigate the bullwhip effect by providing real-time data on consumer demand.

This data can be shared among supply chain partners, enabling them to make informed decisions about production and inventory levels. By sharing information, supply chain partners can work together to optimize production schedules, reduce inventory costs, and improve order fulfillment rates.

Ultimately, the goal is to improve supply chain responsiveness and reduce the bullwhip effect. Therefore, information sharing through POS data collection is an effective remedy to mitigate the bullwhip effect in supply chain management.

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Which of the following is false regarding how the Japanese tend to view contracts? A. The Japanese tend to view contracts as ongoing relationships.
B. The Japanese tend to view contracts as relationships in which parties work with each other to smooth out any problems that arise in performance.
C. The Japanese tend to be suspicious of long, detailed contracts.
D. The Japanese have a preference for flexible contracts.
E. The Japanese do not desire that any terms be left to be decided later.

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The statement E, "The Japanese do not desire that any terms be left to be decided later," is false regarding how the Japanese tend to view contracts.

The Japanese do not desire that any terms be left to be decided later.

This statement is incorrect because the Japanese tend to leave certain terms open for future negotiation and discussion. This approach is known as "mibunsei" and involves leaving room for flexibility and adjustments based on the changing circumstances of the business relationship. In Japan, contracts are viewed as ongoing relationships that require mutual trust and cooperation between parties. The Japanese tend to value relationships more than contracts and emphasize the importance of building long-term partnerships. Therefore, they tend to view contracts as living documents that can be amended and adjusted over time. Furthermore, the Japanese tend to be suspicious of long, detailed contracts that attempt to cover every possible scenario. Instead, they prefer contracts that are simple, clear, and concise, with a focus on mutual understanding and trust. Overall, the Japanese approach to contracts is more relationship-oriented and flexible compared to the Western approach, which tends to be more rule-based and rigid.

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a firm has a debt-to-equity ratio of 0.63. its cost of debt is 5.1 percent. its overall cost of capital is 13.7 percent. what is its cost of equity if there are no taxes?(hint: use mmii )

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To calculate the cost of equity, we need to use the Modigliani-Miller II (MMII) formula, which states that the cost of equity is equal to the overall cost of capital minus the product of the debt-to-equity ratio and the cost of debt.

Using the given information, we can plug in the numbers into the formula as follows:

Cost of equity = 13.7% - (0.63 x 5.1%)

Cost of equity = 13.7% - 3.213%

Cost of equity = 10.487%

Therefore, the cost of equity for the firm with a debt-to-equity ratio of 0.63, a cost of debt of 5.1 percent, and an overall cost of capital of 13.7 percent is 10.487 percent if there are no taxes.

In conclusion, the cost of equity is an important factor to consider for companies when raising capital. By using the MMII formula and taking into account the debt-to-equity ratio and the cost of debt, we can determine the cost of equity, which ultimately helps the firm make informed financial decisions.

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