Assume that the future value of an ordinary annuity is $3,246, the annual payment is $1,000, and the interest rate is 8 percent. How many years will it take the $1,000 annual payments to grow to $3,246?

a. 1 year
b. 3 years
c. 5 years
d. 7 years

Answers

Answer 1

Answer: b. 3 years

Explanation:

Based on the future value of $3,246 and the annual payment of $1,000, one can guess that the number of payments (years) till the future value is reached will be 3 years.

Plug 3 years in to find out if you are right;

= Annuity * (( (1 + r)^n - 1) / r)

= 1,000 * (( ( 1 + 8%)³ - 1) / 8%)

= $3,246

Answer is proven to be 3 years.


Related Questions

Assume you are about to graduate. How would you apply marketing principles to your job search? In what ways would you be able to create, communicate, and deliver value as a potential employee, and what would that value be, exactly? How would you prove that you can deliver that value? Explain your answers.​

Answers

Answer:

Are try my best if I can able are do when are graduate are happy

What is the price of a three-year coupon bond with a coupon rate of 1%, face value equal to $100, and a current interest rate of 0.75%? Do not include any symbols in your answer.

Answers

Answer: 100.74

Explanation:

Face value= $100

Coupon payment = $100 × 1% = $100 × 1/100 = $100 × 0.1 = $1

Interest rate = 0.75% = 0.75/100 = 0.0075

The price of the bond will be:

= 1/(1 + 0.0075) + 1/(1 + 0.0075)^2 + 1/(1 + 0.0075)^3

= 100.74

Given the vast resources available to mutual fund managers, these managers on average have generally: Multiple Choice outperformed the overall market on a risk-adjusted basis. eliminated excess profits for arbitrageurs. beat broad-based indexes. proved the market to be strong form efficient. underperformed the market on a risk-adjusted basis.

Answers

Answer: underperformed the market on a risk-adjusted basis.

Explanation:

A mutual fund manager is someone who implements a investment strategy for a fund and helps.in the management of the trading activities as well. They simply help in overseeing the mutual funds and also help in making vital decisions regarding such investments.

Given the vast resources available to mutual fund managers, these managers on average have generally underperformed the market on a risk-adjusted basis. They've not been able to beat the market while some have even run at a loss as they made bad investment decisions.

How may hedging increase value of a company through: Reducing agency costs; Reducing costs of financial distress; Tax optimization.

Answers

Answer:

Hedging increases value of a company through:

Reducing costs of financial distress.

Explanation:

Hedging is a risk reduction and management strategy, which a company employs to offset or reduce its losses in investments by assuming opposite positions in some related assets. The reduction in risks through hedging results in some reduction in the profitability of the investments, based on the basic understanding of risk-return trade-off.  Hedging strategies are done with derivatives, such as options and futures contracts.

Rearden Metal has earnings per share of $2. It has 10 million shares outstanding and is trading at $20 per share. Rearden Metal is thinking of buying Associated Steel, which has earnings per share of $1.25, 4 million shares outstanding, and a price per share of $15. Rearden Metal will pay for Associated Steel by issuing new shares. There are no expected synergies from the transaction. Assume Rearden offers an exchange ratio such that, at current pre-announcement share prices for both firms, the offer represents a 20% premium to buy Associated Steel.How many new shares Rearden needs to issue to pay for this deal?What is the exchange ratio?What will be the price per share of the combined corporation after the merger?What will be the price per share of the Rearden immediately after the announcement?What will be the price per share of the Associated Steel immediately after the announcement?

Answers

Answer and Explanation:

The computation is shown below

Current price = $15

Premium = $15 × 20% = $3

Offer price = $15 + $3 = $18

The value of associated steel = $18 × 4 million shares = $72

a. The number of new shares would be

= $72 ÷ $20

= 3.6

b. The exchange ratio is

= $18 ÷ $20

= 0.9

c. Price per share after the merger is

= ((20 × 10) +  (15 × 4)) ÷ (10 + 3.6)

= $19.12

d. Price per share after the annoucement is $19.12

e. Price of associated steel is

= 19.12 × 0.90

= $17.21

Which of the following parties to an option contract on a company's shares is obligated to buy shares at the option exercise price if the option is exercised? A. Call buyerB. Put sellerC. Put buyerD. Call seller

Answers

Answer:

Option B (Put seller) is the appropriate alternative.

Explanation:

Put seller relates to the practice including its opportunity to then be implemented. That whenever a put application is approved, this same writer typically takes the equality of opportunity at either the strike amount from the lengthy put grabber. Writing possibilities seems to be an opportunity for investors. That being said, the earnings from composing the given opportunity would be constrained to either the premium, although the put buyer could keep going to create revenue or gains until another inventory would be zero.

Some other three situations do not relate to either the type of situation in question. So there is one that is the appropriate one.

The parties that an option contract on a company's shares is obligated to buy shares at the option exercise price if the option is exercised include option B: Put Seller.

What is the term Put Seller about?

Put seller is defined as the seller relates to the practice including the equality of opportunity at either the strike amount from the lengthy put grabber.

Writing possibilities seems to be an opportunity for investors. The earnings from composing the given opportunity would be constrained to either the premium.

Therefore, correct option is B.

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On January 1, 2020, Sandhill Co., a calendar-year company, issued $1044000 of notes payable, of which $261000 is due on January 1 for each of the next four years. The proper balance sheet presentation on December 31, 2020, is:

Answers

Answer:

Current liabilities, $261,000; Long-term Debt $783,000

Explanation:

Based on the information given we were told that the company issued the amount of $1044000 of notes payable in which the amount of $261000 was due on January 1 for each of the next 4 years based on this the proper balance sheet presentation on December 31, 2020 will be:

Current liabilities $261,000

Long-term Debt $783,000

($1044000-$261000)

Therefore The proper balance sheet presentation on December 31, 2020, is:Current liabilities, $261,000; Long-term Debt $783,000

While preparing its year 3 financial statements, Dek Corp. discovered computational errors in its year 2 and year 1 depreciation expense. These errors resulted in overstatement of each year’s income by $25,000, net of income taxes. The following amounts were reported in the previously issued financial statements:

Year 2 Year 1
Retained earnings, 1/1 $700,000 $500,000
Net income 150,000 200,000
Retained earnings, 12/31 $850,000 $700,000

Dek’s year 3 income is correctly reported at $180,000. Which of the following amounts should be adjusted to retained earnings and presented for net income in Dek’s year 3 and year 2 comparative financial statements?

Year Retained earnings Net income
year 2 --    150,000
year 3    ($50,000)      180,000
year 2 ($50,000) $150,000
year 3    --      180,000
year 2 ($50,000) $125,000
year 3    --      180,000
year 2 -- $125,000
year 3    --      180,000

Answers

Answer:

Dek Corp.

The amounts should be adjusted to retained earnings and presented for net income in Dek’s year 3 and year 2 comparative financial statements are:

Year    Retained earnings  Net income

year 2       ($50,000)          $150,000

year 3           --                       180,000

Explanation:

a) Data and Calculations:

Years 1 and 2 net income overstated by $25,000 each.

                                              Year 2      Year 1

Retained earnings, 1/1      $700,000  $500,000

Net income                          150,000    200,000

Retained earnings, 12/31 $850,000  $700,000

b) With the above amounts, the retained earnings of Year 2 are adjusted by a negative $50,000 value, representing the overstated net income for years 1 and 2.  This will reduce Year 2's ending retained earnings to $800,000 ($850,000 - $50,000).  The second amount will simply state the net income for year 3 as it is.

Which organization most fully protects owners from personal liabilities and is taxed separately?

a. Partnership
b. S Corp
c. LLC
d. C Corp

Answers

Answer:

d. C Corp

Explanation:

A C Corp refers to a C corporation which refers to a legal structure for a corporation in which in the entity is taxed separately from the shareholders who are the owners of the corporation.

In a C Corp, the income, assets and liabilities of the owners are legally separated from that of the corporation, and the personal liability of the shareholders is limited to their amount of their shareholding or investment in the corporation.

Therefore, organization that most fully protects owners from personal liabilities and is taxed separately is C Corp.

For bonds issued 2019, the taxpayer must amortize bond premium using which of the following methods?

a. Straight-Line Method
b. Constant Yield Method
c. Activity Depreciation Method
d. Double Declining Balance

Answers

Answer:

For bonds issued 2019, the taxpayer must amortize bond premium using  the following method:

a. Straight-Line Method.

Explanation:

The premium paid by the taxpayer for a bond represents part of the cost basis of the bond.  The bond premium can be tax-deductible at a rate spread out (amortized) over the bond's lifespan.  The straight-line method for bond premium amortization is considered to be a simpler method than the effective interest amortization method.  While the straight-line amortization divides the bond's total premium over the remaining payment periods, the effective interest, which is more complicated, computes some unique values at all points during the amortization process.

Alan's employer maintains a long-term disability income plan on which it pays all premiums. Last year, Alan received $40,000 in benefits under the plan during his period of disability. How much of the benefits received, if any, must Alan include in his income

Answers

Answer:

$40,000

Explanation:

If Alan had paid the disability insurance himself, then disability income would not be taxable. But since Alan's employer paid the disability insurance premiums, then any disability payments that Alan received must be included in his gross income and are taxable.

The amount of the benefit received if any must Alan include in his income should be $40,000.

The following information should be considered:

In the case when Alan had paid the disability insurance himself, then disability income would not be taxable. But since Alan's employer paid the disability insurance premiums, then any disability payments that Alan received must be included in his gross income and are taxable.

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A contact center manager is looking for ways to overall cost per case.
What Salesforce metrics should the contact center manager evaluate? (Choose 2)

A. Average number of activities per case
B. Average number of articles attached to a case
C. Total number of cases by origin
D. Average customer satisfaction score by case

Answers

The correct answer is A and C

An average number of activities per case and a Total number of cases by origin  Salesforce metrics should the contact center manager evaluate. Therefore option A and C is correct.


What is the cost?

A cost is a sum of money that was used during the production or delivery of a service or item that is therefore no longer accessible for use. In the case of an asset value, the money spent on the acquisition is considered the cost. In this instance,

Money is the input used to obtain the item. This acquisition cost may include both additional transaction expenses incurred by the acquirer over and beyond the price given to the producer, as well as the manufacturing costs as borne by the original producer. Typically, there is a profit margin added to the price over the cost of manufacturing.

Cost is a measure that adds up as a result of a procedure or as a difference in the outcome of a decision, to put it more broadly in the context of economics.  Cost is hence the metric employed in the common modeling paradigm for economic processes.

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Milhouse is a franchisee of Krusty Burger, LLC Their contract gives Krusty Burger the right to control virtually all aspects of Milhouse’s op­eration, including the hiring of employees. One of the employees, Nelson commits a tort against Ralph, one of Milhouse’s customers. Ralph files a suit against Krusty Burger. Krusty Burger is most likely

Answers

Answer:

risks liability under the doctrine of respondeat superior.

Explanation:

A franchise is a seperate business that uses the parent business brand.

The parent company can give in addition to the brand support in training, provision of some inventory, hiring, and so on.

According to the contract signed between them Krusty burger controls all aspects of the Milhouse operations, so they are a respondeat superior.

This means they are responsible for the actions of Milhouse because of their level of involvement in the franchise operations.

In the given scenario Nelson commits a tort against Ralph, one of Milhouse’s customers. Ralph files a suit against Krusty Burger.

Krusty burger will be liable because they are a respondeat superior

Given the following information, analyze XYZ Company's liquidity. Year 2013 Total quick assets $30,000 Total current assets $40,000Total current liabilities $22,000 Acid-test ratio 1.36 Current ratio 1.82 Industry acid-test ratio 70 Industry current ratio 1.65 A. They are more liquid than others in their industry. B. They are less liquid than others in their industry. C. They have sufficient quick assets to pay off short-term debt if needed. D. They don't have sufficient liquid assets to pay off short-term debt if needed.

Answers

Answer:

A. They are more liquid than others in their industry. C. They have sufficient quick assets to pay off short-term debt if needed.

Explanation:

The Acid-test and current ratios are used to measure the liquidity of a company with higher figures meaning more liquidity. XYZ Company has a both a higher acid-test and current ratio so they are more liquid than others in their industry.

The Acid-test and current ratio also enable one to find out if a company is able to pay off its current obligations/ liabilities using current assets. With the acid-test ratio being above one, XYZ is able to pay off short-term debt using quick assets.

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Malaki ang naitutulong ng ICT
Napakaraming uri ng impormasyon ang maaaring makuha sa internet, gaya ng​

Answers

Answer:

seriously what is this?

On January 2, 2005 Garr Company acquired machinery at a cost of $320,000. This machinery was being depreciated by the double-declining-balance method over an estimated useful life of eight years, with no residual value. At the beginning of 2007 it was decided to change to the straight-line method of depreciation. Ignoring income tax considerations, the retrospective effect of this accounting change is:__________.

Answers

Answer:

The depreciation charge will be lower in 2007 using straight line method compared to the one produced by double-declining-balance method

Explanation:

Double-declining-balance method

Depreciation Expense = 2 × SLDP × BVSLDP

Therefore,

SLDP = 100 ÷ number of useful life

         = 100 ÷ 8

         = 12.5 %

Calculation of Depreciation Expenses (DE)

2005

DE = 2 × 12.5 % × $320,000

     = $80,000

2006

DE = 2 × 12.5 % × ($320,000 - $80,000)

     = $60,000

2007

DE = 2 × 12.5% × ($320,000 - $80,000 - $60,000)

     = $45,000

Using Straight line Method for 2007 Depreciation Expense

Accumulated Depreciation (2005 to 2006) = $80,000 + $60,000

                                                                         = $ 140,000

Depreciable Amount = Cost - Accumulated Depreciation

                                   = $320,000 - $140,000

                                   = $180,000

DE = (Cost - Residual Value) ÷ Remaining Useful Life

     = $180,000 ÷ 6

     = $30,000

Conclusion :

Comparing 2007 Depreciation Expense using double-declining-balance method against straight-line method of depreciation we can see that straight-line method of depreciation produces lower results.

Interest Rates) Well-known financial writer Andrew Tobias argues that he can earn 177 percent per year buying wine by the case. Specifically, he assumes that he will consume one $10 bottle of fine Bordeaux per week for the next twelve weeks. He can either pay $10 per week or buy a case of 12 bottles today. If he buys the case, he receives a 10 percent discount, and, by doing so, earns the 177 percent. Assume he buys the wine and consumes the first bottle today. Do you agree with his analysis? Do you see a problem with his numbers?

Answers

Answer:

I disagree and his numbers are clearly wrong.

Explanation:

there are 52 weeks in a year, so the you should consume 52 bottles of wine per year. By the way, $10 per bottle doesn't buy any fine wine, but lets follow the question.

If you buy each wine individually, you will spend $10 x 52 = $520.

If you buy the wine by cases, you will spend $520 x 90% = $468

the difference is clearly not 177%, it only represents $52 or 10%.

Even if you decided to invest your savings per case of wine = $12 x $10 x 10% = $12

his total savings per year = $52 are spread over the year, so you could consider them an annuity of 4 $12 payments and 1 $4 payment. In order for this annuity to represent a 177% gain, which is equivalent to $468 x 177% = $828.36, the interest rate should be extremely high.

FV of an annuity due = payment x FV annuity due factor

$828.36 = $12 x FV annuity due factor

FV annuity due factor = $828.36 / $12 = 69.03

the % earned in 4.3 periods that results in 69.03 is close to 150% per every 12 weeks. This is not a reasonable interest rate.

You write one IBM July 120 call contract for a premium of $10. You hold the option until the expiration date when IBM stock is at $123 per share. How much profit or loss you will realize on the investment

Answers

Answer:

The answer is loss of $7

Explanation:

For the buyer of call profit (long) =

Max[0,(St -Sx)] - P

where St is the underlying price of the security

Sx is the excercise price

P is the premium price paid

Max [0, ($123 - $120)] - $10 =

$3 - $10

Loss of $7

What term refers to people who are trendy and fashionable in order to impress others and are often impulse buyers?

a. stretchers
b. stunners
c. survivors
d. strivers

Answers

Answer: Strivers

Explanation:

The term that refers to people who are trendy and fashionable in order to impress others and are often impulse buyers is Strivers.

It should be noted that Strivers are usually consumers that are from low income families but they so much believe in style and fashion and really wants to impress and emulate celebrities or high income earners who use lastest trends or fashion.

A collaborative selling environment makes the sales pitch more challenging for salespeople.
O True
O False

Answers

Answer: True

Explanation:

Collaborative selling simply refers to a sales approach whereby both the buyer and seller collaborate that is, work together in order to get a convenient and suitable purchase.

It should be noted that a collaborative selling environment makes the sales pitch more challenging for salespeople. Therefore, the answer is true.

You should use a(n) _____________ to track the mean diameter of the pipe for a manufacturing process producing copper pipes.

Answers

Answer: String

Explanation:

How the measurement is done with a string;

•Wrap a string around the pipe.

•Mark the point where the string touches together.

•Use a ruler or measuring tape to find the length between the tip of the string and the mark you made (circumference)

•Divide the circumference by 3.14159.

How would the following transactions affect U.S. exports, imports, and net exports?

a. An American art professor spends the summer touring museums in Europe.
b. Students in Paris flock to see the latest movie from Hollywood.
c. Your uncle buys a new Volvo.
d. The student bookstore at Oxford University in England sells a copy of this textbook.
e. A Canadian citizen shops at a store in northern Vermont to avoid Canadian sales taxes.

Answers

Answer:

A. As a result of the professors activities, import would increase while export remains unchanged. Net export would reduce.

B. Export would increase while import remains unchanged. Net import would increase

C. Volvos are made in Sweden. So, the Volvo would be imported. This increases import and  export remains unchanged. Net export would reduce.

D. The sales takes place in England, so US export, import and net export would remain unchanged.

E.  Export would increase while import remains unchanged. Net import would increase

Explanation:

Net export = Export - Import

If the dividend yield for year 1 is expected to be 5% based on a stock price of $25, what will the year 4 dividend be if dividends grow annually at a constant rate of 6%

Answers

Answer:

$1.33

Explanation:

Calculation for what will the year 4 dividend be

Using this formula

Year 4 dividend=[(Expected dividend yield×Stock price)×(1+Constant rate )]

Let plug in the formula

Year 4 dividend = [(.05 × $25) × (1+0.06)]

Year 4 dividend=(.05 × $25) × 1.06

Year 4 dividend=1.25×1.06

Year 4 dividend= $1.33

Therefore what will the year 4 dividend be if dividends grow annually at a constant rate of 6% is $1.33

Juan bought 14 chicken wings for $22.40. If Juan spent $12.80, how many chicken wings did he buy?

Answers

Answer: 8

Explanation:

Short Corporation acquired Hathaway, Inc., for $53,350,000. The fair value of all Hathaway's identifiable tangible and intangible assets was $50,000,000. Short will amortize any goodwill over the maximum number of years allowed. What is the annual amortization of goodwill for this acquisition

Answers

Answer:

$0

Explanation:

Based on the information given No annual amortization of goodwill for this acquisition based on the fact that GOODWILL as an asset will remain forever because they won't dilapidate or worn out which is why GOODWILL are not amortized and Secondly we cannot see or touch GOODWILL which is why they are called intangible asset .

Therefore the annual amortization of goodwill for this acquisition will be $0.

A change in location with respect to a reference point is ___
PLEASE HELP!!!

Answers

Answer:

Motion.

Explanation:

Motion can be defined as a change in location with respect to a reference point.

This ultimately implies that, motion would occur as a result of a change in location (position) of an object with respect to a reference point or frame of reference i.e where it was standing before the effect of an external force.

Mathematically, the motion of an object is described in terms of acceleration, time, distance, speed, velocity, displacement etc.

You own Bond B and are concerned about interest rates increasing soon. You have chosen Bond H to hedge your B risk. The greater H's dv01:__________.a) the more of it you need to buyb) the more of it you need to sell shortc) the less of it you need to buyd) the less of it you need to sell short

Answers

Answer:

The greater H's dv01:__________

c) the less of it you need to buy.

Explanation:

The dollar (or money) duration or DV01 is the dollar value per 01 (100 basis points) of a bond.  It measures a bond’s interest rate risk in nominal or dollar-amount terms.  Dollar (money) duration assumes that bonds have fixed rates with fixed interval payments.   It is a linear approximation of how a bond's value will change in response to changes in interest rates.

In an effort to create a healthcare safety net, the government requires employers to provide healthcare coverage to all employees. What impact will this increased coverage have on the demand for doctors in the short run?

a. It will increase the demand.
b. It will decrease the demand.
c. It will not affect the demand.

Answers

Answer:

a. It will increase the demand.

Explanation:

In the short-run, the increased healthcare coverage will increase the demand for doctors.  However, in the long-run the demand will stabilize relatively.  Then, it will the increased coverage of healthcare required from employers will no longer affect the demand for the services of doctors.  Demand in the short-run is always increasing until an equilibrium is reached where the market forces of demand and supply become equal.

Negative word-of-mouth communication is more likely to occur when consumers: Group of answer choices repeatedly purchase products of a single brand. perceive that the problem is severe. face problems that are unstable. make purchase decisions that are not credible. are satisfied with the company's responsiveness.

Answers

Answer:

perceive that the problem is severe.

Explanation:

The negative worth of mouth communication arise when the problem is very serious. As the firm product would be more famous by the worth of mouth only but if there is a negative worth of mouth communication so it seems that the problem is very serious

Therefore the second option is correct

Hence, all the other options are incorrect

A collaborative selling environment makes the sales pitch more challenging for salespeople.
O True
O False

Answers

Answer:

O True

Explanation:

In the case when the selling environment is collaborative so it would make the sales pitch more challenging for the sales people

Here collaborative selling means the collaboration that does not between the sales team members but it would be done between the sales people and the customers

So the given statement is true

Hence, it is not false

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