Derek borrows $308,710.00 to buy a house. He has a 30-year mortgage with a rate of 5.13%. After making 150.00 payments, how much does he owe on the mortgage

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Answer 1

After making 150 payments, Derek owes $55,925.50 on his mortgage.

Derek borrowed $308,710.00 to buy a house and has a 30-year mortgage with a rate of 5.13%. To find out how much he owes on the mortgage after making 150 payments, we need to calculate the remaining balance.

First, we need to determine the monthly interest rate by dividing the annual interest rate by 12. So, the monthly interest rate is 5.13% / 12 = 0.004275.

Next, we calculate the monthly payment using the formula for a fixed-rate mortgage:

[tex]M = P [i(1 + i)^n] / [(1 + i)^n - 1],[/tex]

where M is the monthly payment, P is the principal loan amount, i is the monthly interest rate, and n is the total number of payments.

Plugging in the given values, we have:

M = 308,710.00 [0.004275(1 + 0.004275)^360] / [(1 + 0.004275)^360 - 1].

Calculating this gives us the monthly payment, which is $1,685.23.

To find the remaining balance after 150 payments, we need to subtract the amount already paid from the original loan amount. The amount paid is 150 payments x $1,685.23 = $252,784.50.

Therefore, Derek owes $308,710.00 - $252,784.50 = $55,925.50 on the mortgage after making 150 payments.

In summary, after making 150 payments, Derek owes $55,925.50 on his mortgage.

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Answer 2

Derek borrows $308,710.00 to buy a house. He has a 30-year mortgage with a rate of 5.13%. After making 150.00 payments, $55,925.50 he owed on the mortgage.

Monthly interest rate is 5.13% ÷ 12

Monthly interest rate = 0.004275.

M = 308,710.00 [0.004275 [tex](1 + 0.004275)^{360}[/tex] ÷ [[tex](1 + 0.004275)^{360}[/tex] - 1].

The monthly payment = $1,685.23.

The amount paid is 150 payments x $1,685.23

The amount paid is = $252,784.50.

Derek owes = $308,710.00 - $252,784.50

Derek owes = $55,925.50

Therefore, the owed on the mortgage is $55,925.50.

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Related Questions

______ personas are profiles or representations of the ideal customer based upon information and market research.

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"Buyer personas" are profiles or representations of the ideal customer based on information and market research.

Buyer personas are fictional characters that represent different segments of a target audience or customer base. They are created by gathering data and insights from market research, customer surveys, interviews, and other sources of information. Buyer personas help businesses better understand their customers by identifying their demographics, behaviors, needs, goals, motivations, challenges, and preferences.

Creating buyer personas enables businesses to tailor their marketing strategies, products, and services to effectively meet the needs and preferences of their target customers. By understanding the characteristics and motivations of different buyer personas, businesses can craft more targeted and personalized marketing messages, develop products that resonate with specific customer segments, and improve overall customer experience.

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A type of production that yields customized products or services for each customer is called: Multiple Choice Job order production. Customer orientation production. Standard production. Process production. Just-in-time production.

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Job order production is a production method that delivers customized products or services by tailoring the production process to meet the specific requirements of individual customers. Option a is correct .

It emphasizes flexibility, customization, and customer satisfaction.

Job order production is a production method that caters to the customization of products or services for individual customers. It is specifically designed to meet the unique requirements and preferences of each customer. Industries such as custom furniture, made-to-order clothing, and personalized services often utilize this type of production.

In job order production, the production process is tailored to fulfill the specific needs of each customer. It involves several steps, including understanding the customer's requirements, designing and planning the product or service, procuring the necessary materials, and executing the production process accordingly. This approach allows for flexibility and customization, treating each order as a separate project.

Unlike standard production methods that involve producing large quantities of standardized products with minimal variation, job order production is customer-oriented.

It focuses on meeting individual customer needs and preferences, ensuring that each product or service is customized to their exact specifications. This customer-centric approach enhances customer satisfaction and provides a personalized experience.

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an article in the print edition of a magazine is an example of . a. small group communication b. mass communication c. public communication d. organizational communication

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Mass communication.  because it utilizes the medium of a magazine to disseminate information or messages to a large audience.

The answer to the question is: b.

An article in the print edition of a magazine is an example of mass communication. Mass communication refers to the dissemination of information or messages to a large audience through various media channels. In this case, the magazine acts as a medium to reach a wide range of readers.Mass communication involves the use of mass media platforms such as print, television, radio, and the internet to convey information or messages to a large and diverse audience. It is characterized by a one-to-many communication model, where a single message is transmitted to many individuals simultaneously.

the article in the print edition of a magazine is designed to reach a large number of readers who have access to the publication. The magazine is distributed widely, allowing the information or message in the article to be shared with a large audience. This is an example of mass communication because the article is intended to reach and engage a broad range of readers.

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todd, eric, and sam have decided to open up a mobile computer repair business. they have decided they want to test out their business idea before forming a more formal business and having to deal with annual meetings and other documentation. what type of business structure should they start? group of answer choices

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Based on the information provided, Todd, Eric, and Sam want to test their mobile computer repair business idea before committing to a more formal structure with annual meetings and documentation. In this case, a suitable business structure for them to start would be a partnership.

A partnership is a type of business structure where two or more individuals come together to run a business and share profits, losses, and responsibilities. It is a flexible and simple structure that allows for shared decision-making and resources. Starting a partnership would allow Todd, Eric, and Sam to pool their skills, expertise, and financial resources to test their business idea without the need for complex legal formalities.

They can divide tasks and responsibilities amongst themselves and share the profits and losses based on their agreed-upon partnership agreement. It is important for Todd, Eric, and Sam to draft a partnership agreement that outlines the terms and conditions of their partnership,  and dispute resolution mechanisms. This structure allows them to share responsibilities, resources, and profits, while providing flexibility for future decision-making.

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increasing the money supply and the availability of credit is blank2 - word answer monetary policy, also called easy money policy; this type of policy is likely to be implemented when there is a(n) blank3 - word answer gap. the fed reducing bank reserves and loanable funds is blank4 - word answer monetary policy, also called tight money policy; this type of policy is likely to be implemented when there is a(n) blank5 - word answer please type your answer to submit gap.

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The monetary policy, also known as easy money policy, aims at increasing the money supply and the availability of credit. This policy is likely to be implemented when there is an expansionary gap.

The monetary policy, also known as tight money policy, is the process of the Fed reducing bank reserves and loanable funds. This policy is likely to be implemented when there is an inflationary gap.Expansionary Gap:An expansionary gap is a condition in which the level of real GDP exceeds its potential output.

It occurs when the aggregate demand in an economy outstrips its productive capacity. In such a case, the government or the central bank may apply expansionary monetary policy to increase money supply and credit availability, resulting in increased economic activities.

This policy is designed to bridge the gap between the actual and potential output.Inflationary Gap:An inflationary gap is a condition in which the economy's actual output level surpasses its potential output level, leading to a higher price level.

The tight monetary policy, also known as the contractionary monetary policy, is implemented to reduce inflationary pressure. It reduces bank reserves, which restricts the money supply, and curbs credit availability to limit the demand for goods and services.

As a result, economic activities decrease, reducing the demand-pull inflation and causing prices to fall.

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In terms of global financial services, which two major benefits do developing countries offer?

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The 2-major benefits of developing countries offer are : (d) tax-breaks and privacy.

Developing countries often provide tax incentives and breaks to attract foreign investments and encourage the establishment of financial institutions.

These "tax-breaks" include reduced corporate tax rates, exemptions on certain types of income, or tax holidays. Also, developing countries may offer privacy advantages by implementing strict banking and financial regulations that protect the confidentiality of client information.

These privacy measures can be appealing to individuals and corporations seeking to safeguard their financial-services from disclosure.

Therefore, the correct option is (d).

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The given question is incomplete, the complete question is

In terms of global financial services, which two major benefits do developing countries offer?

(a) privacy and low wages

(b) command and control centers and low wages

(c) command and control centers and dependent centers

(d) tax breaks and privacy

grocery inc. (grocery or the "company"), an sec registrant, is a wholesale grocery distributor and retailer in the united states. one of the company’s core businesses is distributing grocery products to restaurants. fresh express inc. (fei) operates a chain of restaurants throughout the world and contracts with manufacturers to obtain grocery and related products for the chain. manufacturers either deliver the products to fei’s restaurants directly or, more commonly, contract with distributors such as grocery to deliver the products.

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Grocery Inc. acts as a distributor, delivering grocery products to restaurants, including Fresh Express Inc. (FEI), a chain of restaurants worldwide that contracts with manufacturers for its supplies.

Grocery Inc. serves as a crucial intermediary in the supply chain between manufacturers and restaurants. Manufacturers have the option to directly deliver products to FEI's restaurants, but it is more common for them to partner with distributors like Grocery Inc. for product delivery. This arrangement allows manufacturers to leverage the expertise and distribution capabilities of distributors to efficiently deliver their products to multiple restaurant locations. By relying on distributors, manufacturers can focus on production while ensuring that their products reach FEI's restaurants in a timely and organized manner.

For FEI, working with distributors like Grocery Inc. offers several benefits. Distributors have established networks and infrastructure to handle the complexities of sourcing, storing, and transporting products. This allows FEI to concentrate on its core business of running restaurants without the logistical challenges associated with sourcing and delivery. By contracting with distributors, FEI can rely on their expertise in supply chain management to ensure a consistent and reliable supply of grocery products for its restaurant chain, maintaining high-quality standards and meeting the demands of its customers.

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The institution-based view concerning the effectiveness of the csr approach focuses on the strategic responses of the firms.

a) true

b) false

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The institution-based view concerning the effectiveness of the csr approach focuses on the strategic responses of the firms.The statement is :b) false

The institution-based view concerning the effectiveness of the CSR (Corporate Social Responsibility) approach focuses on the broader institutional environment in which firms operate. It emphasizes the influence of formal and informal institutions, such as laws, regulations, norms, and societal expectations, on the adoption and impact of CSR practices by firms. It considers how these institutional factors shape the strategic responses of firms regarding CSR.

Therefore, the statement that the institution-based view concerning the effectiveness of the CSR approach focuses on the strategic responses of the firms is false. The institution-based view takes a broader perspective and considers the role of institutions in shaping CSR practices and outcomes.

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U.S. oil production ________. will peak out in 2100, requiring for the first time imports to meet growing demand is sufficient to meet national needs thanks to major conservation efforts has to fit the quotas imposed by OPEC is now high enough for us to export nearly 50% falls far short of U.S. oil consumption

Answers

U.S. oil production falls far short of U.S. oil consumption. This could be due to various factors such as increasing population, industrial growth, and transportation

Based on the options provided, the main answer is that U.S. oil production falls far short of U.S. oil consumption. This means that the amount of oil being produced within the United States is not enough to meet the country's demand for oil. As a result, the United States has to rely on imports to meet the growing demand for oil.

This situation highlights the fact that the United States is consuming more oil than it is producing. This could be due to various factors such as increasing population, industrial growth, and transportation needshis could be due to various factors such as increasing population, industrial growth, and transportation needs. To ensure that the demand for oil is met, the United States has to import oil from other countries.It's important to note that this answer is based on the given options and the assumption that all the options are mutually exclusive. In reality, the U.S. oil production and consumption dynamics are more complex and can vary over time.

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Dr. Blackacre sets out to practice medicine without filing any articles of incorporation. He rents an office for himself and begins transacting business immediately. His operation will be classified as a

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Dr. Blackacre sets out to practice medicine without filing any articles of incorporation. He rents an office for himself and begins transacting business immediately.

His operation will be classified as a sole proprietorship.The statement "Dr. Blackacre sets out to practice medicine without filing any articles of incorporation. He rents an office for himself and begins transacting business immediately" refers to a sole proprietorship as the type of business classification for the operation.

As a result, the individual will be held solely accountable for any business-related obligations, such as debt and legal penalties, as well as retain sole ownership of the company. In this sense, a sole proprietorship is a business model in which a single owner is responsible for all aspects of a company's management, as well as any profits or losses.

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Many monopolistic competitors defend _______________ expenditures as being economically viable to the market because these expenditures increase sales resulting in economies of scale and thus reduce actual consumer costs.

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Many monopolistic competitors defend advertising expenditures as economically viable to the market because these expenditures can increase sales and lead to economies of scale, ultimately reducing actual consumer costs.

Advertising helps firms differentiate their products and create brand loyalty, enabling them to charge higher prices. When firms spend more on advertising, they can attract more customers, increase market share, and benefit from economies of scale. Economies of scale occur when the average cost of producing a product decreases as the quantity produced increases.

This allows firms to lower their per-unit costs, resulting in lower prices for consumers. Additionally, advertising can create informational advantages for consumers, helping them make more informed purchasing decisions and potentially leading to better overall outcomes. While advertising expenditures may seem costly, they can contribute to long-term market growth and efficiency by fostering competition and reducing consumer costs.

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True or false: cross-promotion is when a sponsor combines a team-based sponsorship with a league sponsorship, thereby crossing-over from a team to a league.

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This strategy allows sponsors to extend their reach to a larger audience by associating themselves with both the team and the league.

True. Cross-promotion in sponsorship refers to the practice of combining a team-based sponsorship with a league sponsorship, thereby crossing over from a team to a league.

It involves leveraging the association between a specific team and a broader league to enhance brand visibility and reach.

This strategy allows sponsors to extend their reach to a larger audience by associating themselves with both the team and the league.

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cross-promotion in sponsorship involves combining team-based and league-based sponsorships to expand brand reach and increase exposure. By leveraging the popularity of the team and the league, sponsors can effectively promote their brand to a wider audience.

Cross-promotion refers to the practice of promoting one entity through another related entity. In the context of sponsorships, it involves combining different sponsorship opportunities to reach a wider audience and enhance brand visibility.

The statement "cross-promotion is when a sponsor combines a team-based sponsorship with a league sponsorship, thereby crossing-over from a team to a league" is true. For example, a sponsor may choose to sponsor both a specific sports team and the league in which that team competes. By doing so, the sponsor leverages the popularity and fan base of the team to promote its brand, while also gaining exposure at the league level.

This strategy allows sponsors to maximize their investment by targeting multiple audiences and increasing their reach. It also helps to create a mutually beneficial relationship between the team and the league, as the team benefits from the sponsor's support, while the league benefits from the increased visibility and financial support brought by the sponsor.

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The use of a combination of two or more indirect channels and possibly a direct channel to reach target markets is called?

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The use of a combination of two or more indirect channels and possibly a direct channel to reach target markets is called "multichannel distribution" or "multichannel marketing."

It refers to the strategic approach of utilizing various channels, such as wholesalers, retailers, distributors, e-commerce platforms, and direct sales, to reach and engage with the desired customer segments.

By employing multiple channels, companies can enhance their market coverage, improve customer accessibility, and cater to diverse consumer preferences.

This approach allows businesses to leverage the strengths and advantages of each channel while providing customers with convenient options for purchasing products or accessing services.

Multichannel distribution aims to create a seamless and integrated customer experience across various touchpoints, fostering customer satisfaction and maximizing reach and sales potential.

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What is the change in operating profits if the one-time-only special order for 1,030 units is accepted for $550 a unit by price?

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The change in operating profits if the one-time-only special order for 1,030 units is accepted for $550 a unit by price $164,800 decrease in operating profits.

Option C is correct .

To determine the change in operating profits if the one-time-only special order for 1,030 units is accepted for $550 a unit by Crandle, we need to calculate the incremental revenue and incremental costs.

Incremental revenue = Units sold * Selling price

                        = 1,030 units * $550

                           = $566,500

Incremental costs include variable costs and any additional fixed costs incurred for this special order.

Variable costs = Units sold * Variable cost per unit

Variable costs = 1,030 units * ($130 + $60 + $105)

                                      = $296,850

Fixed costs remain the same as they are not affected by this special order.

Total costs = Variable costs + Fixed costs

Total costs = $296,850 + ($175 + $65)

                                    = $297,090

Operating profits for the special order = Incremental revenue - Total costs

Operating profits = $566,500 - $297,090

                                 = $269,410

Change in operating profits = Operating profits for special order - Operating profits for regular customers

Change in operating profits = $269,410 - ($630 * 1,000)

                    = $269,410 - $630,000

                                        = -$360,590

Therefore, the correct answer is C) $164,800 decrease in operating profits.

Incomplete question :

Crandle Manufacturers Inc. is approached by a potential customer to fulfill a one-time-only 35) special order for a product similar to one offered to domestic customers. The company has excess capacity. The following per unit data apply for sales to regular customers Variable costs: Direct materials Direct labor Manufacturing support Marketing costs $130 60 105 95 Fixed costs: Manufacturing support Marketing costs Total costs Markup (50%) Targeted selling price 175 65 630 315 5945 What is the change in operating profits if the one-time-only special order for 1,030 units is accepted for $550 a unit by Crandle? A) $164,800 increase in operating profits C) $164,800 decrease in operating profits B) $164,170 increase in operating profits D) $164,170 decrease in operating profits

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The citizens of Seattle notice that their friends and families in the neighboring city of Tacoma are earning higher wages. We would expect the labor supply in Seattle to ________ and the labor supply in Tacoma to ________. Group of answer choices shift right; shift right shift left; shift left remain unchanged; shift right shift left; shift right shift right; shift left

Answers

The citizens of Seattle notice that their friends and families in the neighboring city of Tacoma are earning higher wages. We would expect the labor supply in Seattle to shift left and the labor supply in Tacoma to shift right.

The labor supply is the amount of labor that is supplied by workers at different wage rates.

In economics, labor supply refers to the amount of labor that is supplied at different wage rates. The labor supply curve shows the quantity of labor that workers are willing to offer at different wage rates. There are a few factors that can affect the labor supply, which includes education, training, experience, and the availability of other job opportunities.

In the given scenario, since Tacoma offers higher wages than Seattle, the workers in Seattle would want to work in Tacoma. This implies that the labor supply in Seattle would shift leftward because the supply of labor would decrease.

On the other hand, the higher wages in Tacoma would encourage more workers to move to Tacoma, which implies that the labor supply in Tacoma would shift rightward because the supply of labor would increase.

Hence, the labor supply in Seattle would shift left and the labor supply in Tacoma would shift right.

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Delayed gastric emptying following pancreatoduodenectomy: a Roux-en-Y gastrojejunostomy vs Billroth II gastrojejunostomy randomized study

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The study titled "Delayed gastric emptying following pancreatoduodenectomy: a Roux-en-Y gastrojejunostomy vs Billroth II gastrojejunostomy randomized study" aims to compare the incidence of delayed gastric emptying (DGE) in patients who undergo pancreatoduodenectomy with either a Roux-en-Y gastrojejunostomy or a Billroth II gastrojejunostomy.

The study aims to compare the incidence of delayed gastric emptying (DGE) in patients undergoing pancreatoduodenectomy with a Roux-en-Y gastrojejunostomy versus those with a Billroth II gastrojejunostomy.

The study is designed as a randomized study, meaning that participants will be randomly assigned to receive either a Roux-en-Y gastrojejunostomy or a Billroth II gastrojejunostomy. The main objective is to investigate the occurrence of delayed gastric emptying following the surgery.

Delayed gastric emptying is a common complication after pancreatoduodenectomy, which is a surgical procedure involving the removal of the pancreas and part of the small intestine. It refers to a delay in the emptying of stomach contents into the small intestine, leading to symptoms such as nausea, vomiting, bloating, and abdominal discomfort.

The two types of gastrojejunostomy being compared in the study, Roux-en-Y and Billroth II, are different techniques for reconstructing the gastrointestinal tract after the pancreatoduodenectomy. The Roux-en-Y technique involves creating a new connection between the stomach and the jejunum, whereas the Billroth II technique involves connecting the stomach directly to the jejunum.

The purpose of this randomized study is to determine whether the choice of gastrojejunostomy technique (Roux-en-Y or Billroth II) has an impact on the incidence of delayed gastric emptying in patients who have undergone pancreatoduodenectomy. The findings of the study will contribute to our understanding of postoperative outcomes and may help guide surgical decisions to optimize patient outcomes and minimize complications.

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A financial manager is evaluating a project which is expected to generate profits of $100,000 per year for the next 10 years. the project should be accepted if:_______

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The financial manager should accept the project if the present value of the project's expected profits exceeds the initial investment or if the project's net present value (NPV) is positive.

To determine whether the project should be accepted, the financial manager needs to calculate the NPV of the project. The NPV takes into account the time value of money by discounting future cash flows back to their present value. The formula for calculating NPV is:

NPV = CF₁ / (1 + r)¹ + CF₂ / (1 + r)² + ... + CFₙ / (1 + r)ⁿ - Initial Investment

Where:

CF₁, CF₂, ..., CFₙ represents the expected cash flows in each year (profits in this case).

r is the discount rate, which reflects the risk and opportunity cost of the investment.

Initial Investment represents the upfront cost or investment required for the project.

If the NPV is positive, it means that the present value of the project's expected profits exceeds the initial investment, indicating that the project is expected to generate a positive return and create value for the company. Therefore, the project should be accepted. Conversely, if the NPV is negative, it indicates that the project is not expected to generate sufficient returns to cover the initial investment and may result in a loss, making it less desirable to pursue.

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Park Corporation is planning to issue bonds with a face value of $ 2,000,000 and a coupon rate of 10 percent. The bonds mature in 10 years and pay interest semiannually every June 30 and December 31. All of the bonds were sold on January 1 of this year. Park uses the effective-interest amortization method and also uses a premium account. Assume an annual market rate of interest of 8.5 percent.

Required:

(c) What bonds payable amount will Park report on its June 30 balance sheet?

Answers

Park Corporation will report approximately $1,996,142.68 as the bonds payable amount on its June 30 balance sheet.

To determine the bonds payable amount that Park Corporation will report on its June 30 balance sheet, we need to calculate the amortization of the bond premium for the period from January 1 to June 30.

1: Calculate the semiannual interest payment:

The semiannual coupon payment is calculated as (Coupon Rate * Face Value) / 2:

Coupon payment = (10% * $2,000,000) / 2

                                 = $100,000

2: Determine the bond premium:

The bond premium is the excess of the bond's issue price over its face value. In this case, the bond's issue price is not given, so we need to calculate it. To do so, we can use the present value of the bond's cash flows formula.

PV = C × (1 - (1 + r)⁻ⁿ)) / r + F / (1 + r)ⁿ

Where:

PV = Present value of the bond's cash flows

C = Coupon payment

r = Semi annual market interest rate

n = Number of periods (in this case, 20 semiannual periods - 10 years)

Using the given values:

C = $100,000

r = 8.5% / 2 = 4.25%

n = 20

Calculating PV:

PV = $100,000 × (1 - (1 + 0.0425)⁻²⁰) / 0.0425 + $2,000,000 / (1 + 0.0425)²⁰

PV ≈ $1,922,853.55

Bond premium = Bond issue price - Face value

Bond premium = $1,922,853.55 - $2,000,000

Bond premium ≈ $77,146.45

3: Calculate the amortization of bond premium for the period:

Amortization = Bond premium / Number of periods

Amortization = $77,146.45 / 20

Amortization ≈ $3,857.32

4: Calculate the bonds payable amount on June 30:

Bonds payable = Face value - Amortization

Bonds payable = $2,000,000 - $3,857.32

Bonds payable ≈ $1,996,142.68

Therefore, Park Corporation will report approximately $1,996,142.68 as the bonds payable amount on its June 30 balance sheet.

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If firm d is expected to pay a dividend of $1. 35 per share in one year, and if those dividends are expected to grow at 4% per year indefinitely, then what should be the price today of the stock for firm d?.

Answers

The price of a stock today can be determined using the dividend discount model (DDM), which calculates the present value of future dividends. In this case, firm D is expected to pay a dividend of $1.35 per share in one year, and these dividends are expected to grow at a rate of 4% per year indefinitely.

To calculate the price of the stock today, we can use the formula:
Price = Dividend / (Discount Rate - Growth Rate)
The discount rate represents the required rate of return for investors. Let's assume it is 10%.
Using the formula, we can calculate the price:
Price = $1.35 / (0.10 - 0.04)
Price = $1.35 / 0.06
Price = $22.50

Therefore, the price today for the stock of firm D should be $22.50 per share.
It's important to note that the DDM assumes a constant growth rate and may not accurately reflect market conditions. Additionally, other factors, such as the company's financial health and industry trends, should also be considered when determining the stock's price.

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The following balances were taken from the books of Blue Corp. on December 31, 2020. Interest revenue $88,050 Accumulated depreciation—equipment $42,050 Cash 53,050 Accumulated depreciation—buildings 30,050 Sales revenue 1,382,050 Notes receivable 157,050 Accounts receivable 152,050 Selling expenses 196,050 Prepaid insurance 22,050 Accounts payable 172,050 Sales returns and allowances 152,050 Bonds payable 102,050 Allowance for doubtful accounts 9,050 Administrative and general expenses 99,050 Sales discounts 47,050 Accrued liabilities 34,050 Land 102,050 Interest expense 62,050 Equipment 202,050 Notes payable 102,050 Buildings 142,050 Loss from earthquake damage 152,050 Cost of goods sold 623,050 Common stock 502,050 Retained earnings 23,050 Assume the total effective tax rate on all items is 20%. Prepare a multiple-step income statement; 100,000 shares of common stock were outstanding during the year.

Answers

The effective tax rate on all items is 20%, so the provision for income taxes is calculated by multiplying the income before taxes by 20%.

The multiple-step income statement shows the net profit of a company in a particular financial year. It contains multiple levels of details and calculations which help investors and stakeholders to evaluate a company's performance.

It is called a multiple-step income statement because it presents a detailed report of a company's operations that usually involves the preparation of various subtotals of revenue, cost of goods sold, and expense categories.

A given income statement shows the following: Net sales COGS Gross margin Operating expenses, which are further divided into selling expenses and general and administrative expenses Operating income Non-operating items (such as interest income or gains and losses on the sale of assets) Income before taxes Provision for income taxes Net income or loss A multiple-step income statement for Blue Corp for the year 2020 is shown below: Blue Corp Multiple-Step Income Statement For the Year Ended December 31, 2020 Sales Revenue $1,382,050 Less: Sales Returns and Allowances ($152,050) Sales Discounts ($47,050)Net Sales $1,183,950Cost of Goods Sold Beginning Inventory $0Add: Purchases $623,050Goods Available for Sale $623,050 Less: Ending Inventory ($0)Cost of Goods Sold $623,050Gross Profit $560,900Operating Expenses: Selling Expenses $196,050General and Administrative Expenses $99,050 Total Operating Expenses $295,100Operating Income $265,800Non-operating Items: Interest Revenue $88,050Interest Expense ($62,050) Total Non-operating Items $26,000Income Before Taxes $291,800Provision for Income Taxes ($58,360) Net Income $233,440 Earnings per Share $2.33 ($233,440 ÷ 100,000 shares)Note: The effective tax rate on all items is 20%, so the provision for income taxes is calculated by multiplying the income before taxes by 20%.

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Case study situation: los angeles, new york, philadelphia, dallas, chicago, and many other communities have banned soda, candy, and high-sugar snacks from school vending machines. st. louis has proposed to do the same for its schools. moreover, a midwestern recreational sports district wants to take it a step further. it has asked all guardians to stop brining snacks to the recreational sponsored athletics events. it seems that too many adults are bringing chips, soda, juice, candy, and cookies to the games. it was a unanimous vote by the seven-person recreation sports board and applies to about 5,000 children who play basketball, baseball, football, soccer, softball, and volleyball. the recreational sport district is trying to change the mindset of the youth who are taught from an early age to associate sport activity with caloric intake. the district would like to change the mindset of the parents related to junk food. the district would like the parents and student-athletes to start thinking healthier. there will be an attempt to enforce the rule at a recreational sport district events, but, parents and guardians worry about depriving their children and youth of a snack after so much running and jumping. one parent indicated the district has worked really hard, and does not see a problem giving kids snacks after a hard fought game. the parent thinks the kids deserve a little reward. questions: as the recreational sport director, you are responsible for developing the procedures for this new policy. how would you go about developing these procedures? who would go about developing these procedures? who would you include in this process? how do you intend to enforce this new policy? what if parents and guardians strongly oppose this new policy and the enrollment drops in these sporting events? what are the pros and cons of this new policy? do you fear for your job if the parents complain too much? how will you persuade the community that this is a good policy? due by sunday, july 11th at 11:59 p.m. est.

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The developing procedures for this new policy would involve forming a committee, including key stakeholders, and considering nutritional guidelines and concerns.

As the recreational sport director responsible for developing the procedures for this new policy, I would start by forming a committee to collaborate on the development process. This committee would consist of key stakeholders, including representatives from the recreational sports board, parents, coaches, and nutritionists. By involving various perspectives, we can ensure that the procedures are comprehensive and address the concerns of all parties involved.
To develop the procedures, the committee would need to consider several factors. We would need to establish clear guidelines on what types of snacks are allowed and prohibited, taking into account nutritional value and potential allergens. It would be important to consult with nutritionists to ensure that the selected snacks align with healthy eating habits for young athletes.
Enforcing the new policy would require a multi-faceted approach. We could start by educating parents and guardians about the benefits of healthier snacks and the impact on their child's performance. This could be done through informational sessions, pamphlets, or online resources. Additionally, coaches could play a role in encouraging compliance and serving as role models by providing healthier snacks during team events.
If parents and guardians strongly oppose the new policy and enrollment drops in sporting events, it would be crucial to engage in open and transparent communication. We could organize town hall meetings or surveys to understand their concerns and explore potential compromises that align with the overall goal of promoting healthier habits. However, it's important to prioritize the long-term health and well-being of the children over short-term convenience or preferences.
The pros of this new policy are numerous. It promotes healthier eating habits among young athletes, which can improve their performance, reduce the risk of chronic diseases, and instill lifelong habits of healthy eating. By reducing the availability of sugary snacks, it also helps combat the issue of childhood obesity. However, it's important to acknowledge the concerns of parents and guardians who worry about depriving their children of post-game snacks. Balancing these concerns and the health benefits is a challenge that must be addressed through open dialogue and education.
I do not fear for my job if parents complain too much, as my role as the recreational sport director is to prioritize the well-being and development of the young athletes. However, it is important to address the concerns of parents and guardians and find a middle ground that accommodates their concerns while still promoting healthy habits.
To persuade the community that this is a good policy, we would need to emphasize the long-term benefits to the children's health and performance. We could organize informational campaigns, share success stories of other communities that have implemented similar policies, and involve nutritionists and health professionals to provide expert opinions and advice. Ultimately, by providing evidence-based information and fostering open dialogue, we can work towards gaining community support for this policy.
In conclusion, developing procedures for this new policy would involve forming a committee, including key stakeholders, and considering nutritional guidelines and concerns. Enforcing the policy would require education, involvement of coaches, and open communication with parents. The pros of the policy include promoting healthier habits and reducing childhood obesity, but concerns of parents and guardians should be addressed through dialogue and education. By emphasizing the long-term benefits and involving experts, we can persuade the community of the importance of this policy.

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What are noncash investing and financing activities? Give two examples. How are they reported on the statement of cash flows?

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Noncash investing and financing activities refer to transactions that do not involve the exchange of cash but still have a significant impact on a company's financial position. Here are two examples of noncash investing and financing activities: 1. Noncash Investing Activity and 2. Noncash Financing Activity

These activities are reported on the statement of cash flows to provide a comprehensive view of a company's cash inflows and outflows.

Here are two examples of noncash investing and financing activities

1. Noncash Investing Activity: Purchase of Assets Using Notes Payable - When a company acquires an asset, such as equipment or property, by using a note payable instead of cash, it is considered a noncash investing activity. For example, if a company purchases a new piece of machinery by issuing a note payable, this transaction would be a noncash investing activity

2. Noncash Financing Activity: Issuance of Common Stock for Land - When a company issues common stock as payment for an asset, it is considered a noncash financing activity. For instance, if a company acquires land by issuing shares of common stock to the seller, this transaction would be a noncash financing activity.

On the statement of cash flows, noncash investing and financing activities are typically disclosed in a separate section called "Supplemental Disclosures." This section provides additional details about these noncash transactions, including the nature and amount of the noncash activities.

By reporting these noncash activities separately, the statement of cash flows provides a more accurate representation of a company's cash flow from operating, investing, and financing activities, enabling users of financial statements to better understand the sources and uses of cash.

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The journal entries made at the end of the accounting cycle to create zero balances in the temporary accounts are called _____________, fill in the blank, entries.

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The journal entries made at the end of the accounting cycle to create zero balances in the temporary accounts are called closing entries.

Closing entries are the journal entries that are made at the end of an accounting period to shift the balances of the temporary accounts (revenue, expense, and dividends accounts) to the permanent account (retained earnings). Closing entries are critical because they aid in the completion of the accounting cycle. They are used to zero out the balances in the temporary accounts to ensure that they begin with a zero balance in the next accounting period. The closing entries include transferring the credit and debit balances of the temporary accounts into the Retained Earnings account, a permanent account, thereby increasing or decreasing the balance in the account. This entry completes the income statement accounts and transfers their balances to the Retained Earnings account.

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The menu is the first step in planning the food and beverages you want to sell in your food service operation. Three major areas impact the menu decisions, they are; the restaurant layout, product consistency and availability and ________________.

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Given: The menu is the first step in planning the food and beverages you want to sell in your food service operation.

Three major areas impact the menu decisions, they are:

The restaurant layout, product consistency and availability and consumer preferences.

The menu is the first step in planning the food and beverages you want to sell in your food service operation.

Three major areas impact the menu decisions, they are:

The restaurant layout, product consistency and availability and consumer preferences.

The menu planning process is a very important step in the food service operation. It determines what dishes you will serve, and their composition, style and presentation.

The menu is the main element of food service operations since it is the list of dishes, desserts, and drinks that the restaurant offers to its customers.

The food service operation will always have to pay attention to the details of the menu, because it can dictate whether or not customers will return.

It is important to consider that the menu should be easy to read, visually appealing, and functional, which can increase sales of certain items on the menu, and prevent losing customers due to any issues with the menu that may arise.

Additionally, it is critical to ensure that the prices on the menu are appropriately set according to the type and quality of the food offered.

A properly planned menu can make a big difference in the profitability of a restaurant.

The menu planning process requires a creative process as well as careful planning, execution, and monitoring. In conclusion, the menu is the first step in planning the food and beverages you want to sell in your food service operation, and it is essential to take care of the details of menu development.

The menu plays a very important role in the food service operation and the overall success of the business.

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Roberto Designers was organized on January 1, 2021. The firm was authorized to issue 130,000 shares of $7 par value common stock. During 2021, Roberto had the following transactions relating to stockholders' equity: Issued 13,000 shares of common stock at $9 per share. Issued 26,000 shares of common stock at $10 per share. Reported a net income of $130,000. Paid dividends of $65,000. Purchased 3,000 shares of treasury stock at $12 (part of the 26,000 shares issued at $10). What is total stockholders' equity at the end of 2021

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The total stockholders' equity at the end of 2021 for Roberto Designers is $406,000. This includes common stock, paid-in capital in excess of par value, retained earnings, and treasury stock.

To calculate the total stockholders' equity at the end of 2021, we need to consider the various transactions and events that occurred during the year. Let's break down each transaction and calculate the effect on stockholders' equity:

13,000 shares of common stock, priced at $9 each, were issued:

This transaction increases the common stock account and the paid-in capital in excess of par value. Since the par value is $7 per share, the increase in common stock is 13,000 shares * $7 = $91,000. The excess of the issue price over the par value is 13,000 shares * ($9 - $7) = $26,000.

Common Stock: $91,000

Paid-in Capital in Excess of Par Value: $26,000

26,000 shares of common stock, priced at $10 each, were issued:

Similar to the previous transaction, this increases the common stock and paid-in capital in excess of par value. The increase in common stock is 26,000 shares * $7 = $182,000, and the excess of the issue price over the par value is 26,000 shares * ($10 - $7) = $78,000.

Common Stock: $182,000

Excess of paid-in capital over par value: $78,000

Reported a net income of $130,000:

Retained earnings, which are a part of stockholders' equity, rise as a result of net income.

Retained Earnings: $130,000

Paid dividends of $65,000:

Dividends decrease retained earnings.

Retained Earnings: -$65,000

3,000 shares of treasury stock, out of the 26,000 issued at $10, were bought for $12:

A contra-equity account, such as Treasury stock, lowers stockholders' equity. The cost of the treasury stock is 3,000 shares * $12 = $36,000.

Treasury Stock: -$36,000

Now, let's calculate the total stockholders' equity by summing up the individual components:

Common Stock: $91,000 + $182,000 = $273,000

Paid-in Capital in Excess of Par Value: $26,000 + $78,000 = $104,000

Retained Earnings: $130,000 - $65,000 = $65,000

Treasury Stock: -$36,000

Total Stockholders' Equity: $273,000 + $104,000 + $65,000 - $36,000 = $406,000

Therefore, the total stockholders' equity at the end of 2021 is $406,000.

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A law firm received $2080 cash for legal services to be rendered in the future. The full amount was credited to the liability account Unearned Service Revenue. If the legal services have been rendered at the end of the accounting period and no adjusting entry is made, this would cause: revenues to be understated. liabilities to be understated. expenses to be overstated. net income to be overstated.

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If the law firm received $2080 cash for legal services to be rendered in the future but did not make an adjusting entry after rendering the services, this would cause revenues to be understated in the accounting period. The correct opyion is that revenues would be understated.

If the law firm received $2080 cash for legal services to be rendered in the future and credited the full amount to the liability account Unearned Service Revenue, it means that they have received advance payment for services that have not yet been provided.

If no adjusting entry is made to recognize the revenue earned at the end of the accounting period, it would cause revenues to be understated.
Since the services have already been rendered, the law firm should recognize the revenue earned in the current accounting period by debiting the liability account Unearned Service Revenue and crediting the revenue account (e.g., Service Revenue).

Failure to make this adjusting entry would result in the revenue not being properly recognized, leading to an understatement of revenues.
Liabilities would not be understated because the amount has already been credited to the liability account. Expenses would not be overstated because the cash received is not related to any expenses incurred.

Net income would not be overstated because the revenue earned from the services has not been properly recognized. Therefore, the correct answer is that revenues would be understated.

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Your friend Taylor works producing dress shirts and dress pants. Currently Taylor can work a maximum of 8 hours per day. With the equipment Taylor has, and the current level of expertise, Taylor can finish either 10 shirts or 20 pairs of pants in an hour. This is true when Taylor is performing at full capacity. Meaning doing the best possible work.

3. What is the opportunity cost of making one pair pants (in terms of the amount of shirts Taylor won't be able to make)? As an example, when you give up $20 dollars in exchange for 40 pencils, you can say that the "cost" per pencil was $0.50, because $20/40 = $0.50.

4. What is the opportunity cost of making one shirt (in terms of the amount of pants Taylor won't be able to make)?

5. Taylor’s friend Alexis, can make 10 shirts or 30 pairs of pants in an hour. Who has a lower opportunity cost of making shirts? In other words, who has a comparative advantage in the production of shirts? Explain your rationale.

Answers

The opportunity cost of making one pair of pants for Taylor is 0.4 shirts, while the opportunity cost of making one shirt for Taylor is 0.8 pants.

Alexis has a lower opportunity cost of making shirts and has a comparative advantage in the production of shirts.

3. The opportunity cost of making one pair of pants for Taylor is the number of shirts he won't be able to make.

To calculate this, we can determine how many shirts Taylor could make in the same amount of time it takes him to make one pair of pants.

Taylor can finish 20 pairs of pants in an hour, so the amount of time it takes to make one pair of pants is 1/20th of an hour.

Since Taylor can work a maximum of 8 hours per day, the number of shirts he won't be able to make when making one pair of pants can be calculated as follows:

Number of shirts = (1/20) * 8 = 0.4 shirts

Therefore, the opportunity cost of making one pair of pants for Taylor is 0.4 shirts.

4. The opportunity cost of making one shirt for Taylor is the number of pants he won't be able to make.

To calculate this, we can determine how many pants Taylor could make in the same amount of time it takes him to make one shirt.

Taylor can finish 10 shirts in an hour, so the amount of time it takes to make one shirt is 1/10th of an hour.

Using the same calculation as before, we can determine the number of pants Taylor won't be able to make when making one shirt:

Number of pants = (1/10) * 8 = 0.8 pants

Therefore, the opportunity cost of making one shirt for Taylor is 0.8 pants.

5. To determine who has a lower opportunity cost of making shirts, we can compare Taylor and Alexis.

Alexis can make 10 shirts in an hour, while Taylor can make 10 shirts in 2 hours (since Taylor can make 10 shirts in an hour, and can work a maximum of 8 hours per day).

Therefore, Alexis has a lower opportunity cost of making shirts because she can produce 10 shirts in less time compared to Taylor.

Alexis has a comparative advantage in the production of shirts.

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As a real estate​ speculator, you are planning and able to buy a house that costs​ $200,000, borrowing the full amount with no money down with the goal of selling this same property in exactly one year. Mortgage interest rates are​ 5%, and the expected increase in housing prices is​ 2%.​ (All rates and percentages are annual​ values.)

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The investment would result in a net cost of $6,000, considering the mortgage interest expense and expected increase in housing prices. Other factors and risks should be considered in real estate investments.

As a real estate speculator, your plan is to buy a house for $200,000, borrowing the full amount with no money down, and sell it in exactly one year. The mortgage interest rate is 5%, and the expected increase in housing prices is 2% (all rates and percentages are annual values).

Parameters, let's calculate the potential outcomes of your investment:

1. Mortgage Interest Expense: With a loan amount of $200,000 and an interest rate of 5%, your annual interest expense would be $200,000 * 0.05 = $10,000.

2. Expected Increase in Housing Prices: The expected increase in housing prices is 2%, which means the value of the house is anticipated to rise by $200,000 * 0.02 = $4,000.

Considering these calculations, the total cost of your investment would be the interest expense ($10,000), while the potential gain would be the expected increase in housing prices ($4,000). Therefore, the net result of this investment strategy would be a cost of $10,000 - $4,000 = $6,000.

It's important to note that this analysis only considers the financial aspects and does not take into account other factors such as transaction costs, taxes, maintenance expenses, and market uncertainties. Real estate investments involve risks, and it's advisable to conduct a thorough evaluation and consult with professionals before making investment decisions.

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A ______ strategy aims to create higher value for customers by offering products with unique features but a similar level of costs to those of competing products. Multiple choice question. competitive industry

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A differentiation strategy aims to create higher value for customers by offering products with unique features but a similar level of costs to those of competing products.

In a competitive industry, businesses have various strategic options to differentiate themselves from their competitors. One such strategy is differentiation. A differentiation strategy focuses on creating unique features, attributes, or benefits in a product or service that sets it apart from competitors' offerings. This differentiation is intended to make the product or service more appealing to customers, ultimately leading to a competitive advantage.

By offering products with unique features, a company employing a differentiation strategy aims to provide customers with a higher value proposition. This value can be derived from factors such as superior quality, innovative design, exceptional customer service, advanced technology, or exclusive features. The goal is to attract customers who are willing to pay a premium for these unique attributes, resulting in higher profit margins.

Importantly, while differentiation emphasizes uniqueness and added value, it does not necessarily imply higher costs. A successful differentiation strategy seeks to provide these unique features while maintaining similar cost levels to competitors. This ensures that customers perceive the enhanced value without incurring significant price premiums.

Employing a differentiation strategy in a competitive industry can be a viable approach to create a competitive advantage and capture market share. By offering unique features and benefits, companies can differentiate their products or services, attract customers, and potentially command higher prices. It is essential, however, to balance the added value with cost efficiency to ensure profitability and sustainability in the market.

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An estimation technique characterized by schedule and cost estimates of how long something should take or should cost. Group of answer choices Top-Down Estimating Time Boxing Delphi Technique Bottom-Up Estimating Guesstimating

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The estimation technique characterized by schedule and cost estimates of how long something should take or should cost is called Bottom-Up Estimating.

Bottom-Up Estimating is a technique where the estimation is done by breaking down a project or task into smaller components or work packages. Each work package is then estimated individually, considering the time and cost required to complete it. These individual estimates are then aggregated to determine the overall schedule and cost estimate for the entire project or task.

Other estimation techniques mentioned in the options:

Top-Down Estimating: This approach involves making high-level estimates based on broad assumptions or historical data without breaking down the project into smaller components.

Time Boxing: Time Boxing is a technique where a fixed time duration is allocated to complete a specific task or activity, regardless of the effort required.

Delphi Technique: Delphi Technique is a method of estimation that involves gathering expert opinions and input from a group of individuals to reach a consensus estimate.

Guesstimating: Guesstimating is an informal or rough estimation technique that relies on personal judgment or approximation rather than a systematic approach.

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