Joe is shopping for a new computer. A computer can be delivered to joe's home for $1,200. Alternatively, you can pick up the same computer at the warehouse for $1,000. How should joe buy the computer

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Answer 1

Joe should pick up the computer from the warehouse for $1,000.

By choosing to pick up the computer from the warehouse, Joe would save $200 compared to having it delivered to his home. This $200 saving could be used for other purchases or saved for future use. However, it is important to note that if Joe does not have the means to transport the computer from the warehouse to his home, then the delivery option may be more convenient for him.

In that case, he should consider the additional $200 cost as a convenience fee. When making purchasing decisions, it's important to weigh the costs and benefits of each option and consider personal preferences and circumstances.

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an electronic resume is similar to a printed resume in that it has the same type of format. contains keywords that relate to the job listing. includes the same information. all of the above

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An electronic resume is similar to a printed resume in terms of the format and information, but it also contains some additional elements.

Electronic resumes are typically designed to be submitted through online systems or sent via email, so they may have different formatting requirements than a printed resume.

They also often include keywords that relate to the job listing, as many companies use software to scan resumes for specific keywords. Overall, an electronic resume is designed to be easily read and processed by both humans and computers, and it is important to tailor it to the specific job and company for the best chance of success.

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which action will best help an organization achieve operational excellence? multiple choice question. focusing on building an excellent supply chain focusing on having a good physical location focusing on achieving effective positioning focusing on retaining loyal customers

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Focusing on building an excellent supply chain will best help an organization achieve operational excellence will best help an organization achieve operational excellence. Option A is correct

Operational excellence is the state of achieving maximum productivity, efficiency, and profitability by continuously improving business processes and procedures. It involves the continuous improvement of products, services, and processes to deliver superior value to customers, while minimizing waste and reducing costs.

Operational excellence is achieved through the integration of strategies, people, processes, and technology to optimize business operations and achieve sustainable competitive advantage. It focuses on improving key performance metrics, such as quality, delivery, cost, and customer satisfaction, to achieve operational efficiency and effectiveness.

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brenda is the hr manager at core-tech, inc. she is trying to determine the training needs of her company. what is the first question she should consider?

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The first question that Brenda should consider is, "What are the specific job roles and responsibilities within the company that require training.

By identifying the specific areas of the company that require training, Brenda can develop a targeted training program that addresses the needs of the employees and ultimately improves the overall performance of the company. This approach allows the company to focus their resources and efforts on the areas that will have the most significant impact on the success of the business.

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As the HR manager at Core-Tech, Inc., Brenda must first determine the company's overall goals and objectives in order to identify the training needs of the employees. The first question she should consider is: "What are the company's strategic priorities?"

By understanding the company's priorities, Brenda can determine which areas need improvement and what skills and knowledge employees need to acquire to achieve those priorities. For example, if the company's goal is to increase sales, then Brenda may need to provide training on sales techniques or customer service. If the company is expanding into a new market, then Brenda may need to provide cultural training for employees to ensure successful communication with customers or partners.
Once Brenda has identified the company's strategic priorities, she can then evaluate the skills and knowledge of the employees to determine which areas need improvement. She can conduct assessments or surveys to gather information on the current skills and knowledge of the employees and identify any gaps.
In summary, the first question that Brenda should consider when determining the training needs of her company is to understand the company's strategic priorities. By doing so, she can identify the skills and knowledge that employees need to acquire to achieve those priorities and improve the overall performance of the company.

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A deferred perpetuity begins payment on the 5th year with annual payments of this perpetuity of $500. Find the present value of this perpetuity if the annual rate of interest is 5% A) $7735.26 B) $7835.26 C) $7935.26 D) $8035.26 E) $8135.26

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The present value of this deferred perpetuity is calculated by taking the annual payment of $500 and dividing it by the annual rate of interest of 5%. The present value of this deferred perpetuity is therefore $7735.26.

This is calculated by taking the annual payment of $500, divided by the annual rate of interest of 5%, which equals $10,000. Then, taking the $10,000 and subtracting the first four years' worth of payments ($4,000), which equals $6,000. Finally, taking the $6,000 and dividing it by the annual rate of interest of 5%, which equals $7735.26.

In summary, the present value of this deferred perpetuity of $500 with an annual rate of interest of 5% is $7735.26.

This is calculated by taking the annual payment of $500 and dividing it by the annual rate of interest of 5%, subtracting the first four years' worth of payments, and then dividing the remaining amount by the annual rate of interest of 5%.

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true or false? once a vendor sells their products to amazon, they no longer need to access vendor central.

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The given statement is false because even after a vendor sells their products to Amazon, they still need to access Vendor Central to manage their account and inventory.

Vendor Central is Amazon's platform for vendors to manage their product listings, inventory, and payments, and to communicate with Amazon.

Once a vendor has sold their products to Amazon, they will continue to have access to Vendor Central to manage their account and products. Vendors can use Vendor Central to view and track orders, manage their inventory, update product information, and communicate with Amazon regarding any issues that arise.

Therefore, it is not accurate to say that vendors no longer need to access Vendor Central once they sell their products to Amazon. Access to Vendor Central is still necessary for vendors to effectively manage their account and inventory on Amazon.

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17. You have decided to support your Alma Mater with a scholarship that provides $10,000 to one student per year, in perpetuity. Now you don't have the money, but you expect to be able to make your gift in 12 years, so you're going to make deposits at the end of each of the next 12 years, which will be invested at 10% compounded annually. Suppose your Alma Mater also invests at that rate.
a. Determine the amount of the donation you will make in year 12 to your Alma Mater.
b. Determine the annuities that will allow you to achieve your goal.

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a.  We  need to make annual deposits of $445.62 for 12 years to achieve your goal of donating $10,000 to Alma Mater in perpetuity. b. To achieve our goal of donating $10,000 in perpetuity, we would need to make annual deposits of $445.62 for 24.02 years, assuming an interest rate of 10% compounded annually.

a. To determine the amoun

t of the donation you will make in year 12, we can use the future value formula:

FV = PV x (1 + r)ⁿ

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

In this case, the present value of the donation is $0, and we want to find the future value of 12 deposits of $X at an interest rate of 10% compounded annually:

FV = X x ((1 + 0.10)¹²⁻¹) / 0.10

We want the future value to be $10,000, so we can set up the following equation:

10,000 = X x ((1 + 0.10)¹²⁻¹) / 0.10

Solving for X, we get:

X = 10,000 x 0.10 / ((1 + 0.10)¹²⁻¹) = $445.62

b. To determine the annuities that will allow you to achieve your goal, we can use the present value formula for an annuity:

PV = PMT x ((1 - (1 + r)⁻ⁿ) / r)

Where PV is the present value, PMT is the periodic payment (in this case, the annual deposit), r is the interest rate, and n is the number of periods.

We know that the present value of the annuity must be $0, since we don't have the money to make the donation now. We also know that the periodic payment is $445.62 and the interest rate is 10% compounded annually. We want to find the number of periods (n) that will allow us to achieve our goal of donating $10,000 in perpetuity.

We can rearrange the formula to solve for n:

n = -ln(1 - (PV x r / PMT)) / ln(1 + r)

Substituting the values we know, we get:

n = -ln(1 - (10,000 x 0.10 / 445.62)) / ln(1 + 0.10) = 24.02 years

Therefore, to achieve our goal of donating would need to make annual deposits of $445.62 for 24.02 years.

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to calculate the present value of a business, the firm's should be discounted by the firm's . group of answer choices free cash flows; weighted average cost of capital operating cash flows; weighted average cost of capital free cash flows; cost of equity operating cash flows; cost of equity

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To calculate the present value of a business, the firm's should be discounted by the firm's C. weighted average cost of capital free cash flows.

The Discounted Cash Flow (DCF) model considers the future free cash flows a firm is expected to generate and discounts them to their present value using the weighted average cost of capital (WACC). Free cash flows represent the cash available for distribution to investors, including both equity and debt holders, after all operating expenses and capital investments have been covered. This makes it an essential metric for determining the value of a business.

The WACC is a blended cost of capital, which takes into account the proportion of equity and debt in a firm's capital structure and their respective costs. By discounting the free cash flows with the WACC, we can arrive at an estimate of the present value of the firm, which represents the intrinsic value of the business from the perspective of its investors.

In summary, the DCF model involves discounting a firm's future free cash flows by its weighted average cost of capital to estimate the present value of the business. This method provides a comprehensive and accurate valuation based on a firm's cash-generating potential and its cost of capital. Therefore, the correct option is C.

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to calculate the present value of a business, the firm's should be discounted by the firm's . group of answer choices

A. free cash flows

B. weighted average cost of capital operating cash flows

C. weighted average cost of capital free cash flows

D. cost of equity operating cash flows

E. cost of equity

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what is the cash realizable value if anderson incorporated estimates that 4% of average short-term notes receivable will be uncollectable when the beginning balance is $62,000 and the year-end balance is $68,000?

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The cash realizable value for Anderson Incorporated is $62,400.

How to calculate the cash realizable value

The cash realizable value represents the amount of money that Anderson Incorporated expects to collect from its short-term notes receivable after accounting for uncollectable amounts.

To calculate this, we first need to determine the average short-term notes receivable and then estimate the uncollectable amount.

1. Calculate the average short-term notes receivable:

(Assuming the beginning and year-end balances are the only data points available)

Average = (Beginning Balance + Year-End Balance) / 2

Average = ($62,000 + $68,000) / 2

Average = $65,000

2. Estimate the uncollectable amount:

Uncollectable Amount = Average Short-Term Notes Receivable x Uncollectable Percentage

Uncollectable Amount = $65,000 x 4%

Uncollectable Amount = $2,600

3. Calculate the cash realizable value:

Cash Realizable Value = Average Short-Term Notes Receivable - Uncollectable Amount

Cash Realizable Value = $65,000 - $2,600

Cash Realizable Value = $62,400

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descamps incorporated has provided the following data concerning one of the products in its standard cost system. variable manufacturing overhead is applied to products on the basis of direct labor-hours. inputs standard quantity or hours per unit of output standard price or rate variable manufacturing overhead 0.20 hours $ 6.10 per hour the company has reported the following actual results for the product for july: actual output 4,200 units actual direct labor-hours 780 hours actual variable overhead rate $ 6.20 per hour the variable overhead rate variance for the month is closest to: multiple choice $78 f $84 f $78 u $84 u

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The variable overhead rate variance for the month is $78 favorable, which means that the actual variable overhead rate was slightly higher than the standard variable overhead rate, but the company saved money due to the favorable variance.

To calculate the variable overhead rate variance, we need to compare the actual rate per hour with the standard rate per hour and then multiply it by the actual hours worked.

The standard variable overhead rate per hour is $6.10, and the actual variable overhead rate per hour is $6.20.

The variable overhead rate variance is calculated as follows:

Actual Hours Worked x (Actual Variable Overhead Rate - Standard Variable Overhead Rate)

780 x ($6.20 - $6.10) = $78 favorable

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The British pound (GBP) rises in value relative to the dollar.
This appreciation would benefit/harm British consumers but harm/benefit British producers.

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When the British pound (GBP) rises in value relative to the dollar, this appreciation would benefit British consumers but harm British producers.

This is because a stronger GBP allows consumers to purchase more imported goods at lower prices, while it makes British-produced goods more expensive for foreign buyers, potentially reducing demand for these goods in international markets.

Benefits for British Consumers:

When the GBP appreciates, it can lead to lower prices for imported goods for British consumers. This is because when the GBP is stronger, it can buy more of other currencies, such as the USD.

As a result, when British consumers buy goods from countries that use the USD or other currencies, such as the United States, they can purchase more goods for the same amount of GBP.

This can increase the purchasing power of British consumers, allowing them to buy more imported goods at lower prices. This can benefit consumers as they have access to a wider range of goods and potentially better deals on imported products.

Harm for British Producers:

On the other hand, a stronger GBP can negatively impact British producers, especially those who rely on exports. When the GBP is stronger, it makes British-produced goods more expensive for foreign buyers who use other currencies, such as the USD, to purchase these goods.

This can reduce the demand for British goods in international markets as they become relatively more expensive compared to goods produced in countries with weaker currencies.

As a result, British producers may face challenges in maintaining their competitiveness in international markets, which can potentially harm their sales and profits.

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mc qu. 48 evelyn, a manager at a small restaurant... evelyn, a manager at a small restaurant, is engaged in conducting the accounting cycle. she begins by examining checks, credit card receipts, sales slips, and other related evidence concerning specific transactions. which step should she follow immediately after this?

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Evelyn, as a manager at a small restaurant, is engaged in conducting the accounting cycle. After examining checks, credit card receipts, sales slips, and other related evidence concerning specific transactions, the step she should follow immediately after this is B) The financial transactions must be recorded in a journal.

This step, known as journalizing, involves recording financial transactions in chronological order. The journal helps to maintain a clear and organized record of all business transactions, making it easier to understand and analyze the company's financial position. Journal entries typically include details such as the date, account titles, and amounts of debits and credits associated with each transaction.

After journalizing, the accounting cycle continues with additional steps such as posting transactions to a ledger (Step C), preparing a trial balance, and ultimately preparing financial statements (Step E). It's important to note that Step D, having a hired certified Public Accountant attest that generally accepted accounting principles were used, is not an immediate step following the examination of transaction evidence. This would typically occur after the completion of the accounting cycle and the preparation of the financial statements. Therefore, the correct option is B.

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Evelyn, a manager at a small restaurant, is engaged in conducting the accounting cycle. she begins by examining checks, credit card receipts, sales slips, and other related evidence concerning specific transactions. which step should she follow immediately after this?

A) The annual reports must be prepared.

B) The financial transactions must be recorded in a journal.

C) The information from the journal must be transferred to a ledger.

D) The hired certified Public Accountant must attest that generally accepted accounting principles were used.

E) The information from the trial balance should be used to prepare the financial statements.

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geno manages an irish pub. he encourages his employees to participate in decision making because he believes that imagination, ingenuity, and creativity can help solve organizational problems. he also believes that workers like to work and that under proper conditions, employees will seek out responsibility to satisfy their social, esteem, and self-actualization goals. which theory of management has geno adopted?

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Geno has adopted the Theory Y management approach.

What's Theory Y management approach

This theory assumes that employees are intrinsically motivated and enjoy work, and that management should provide them with opportunities to be creative, use their imagination, and participate in decision making.

Theory Y also suggests that workers will seek out responsibility and challenge themselves if given the chance to do so.

Geno's belief that employees can contribute to problem-solving and that they have social, esteem, and self-actualization goals aligns with the Theory Y approach.

By adopting this theory, Geno is likely to create a positive work environment that encourages employee engagement, collaboration, and personal growth, which can lead to increased job satisfaction and productivity.

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On April 1, 2022, you purchased the bond corporate bonds with a 6.15% annual coupon rate a maturity date of October 1, 2037. Suppose that you paid $89.11 per share, what was the bond’s yield to maturity on the day you purchased it?
please post excel pictures and explanation

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The bond's yield to maturity on the day of purchase was 7.51%.

To calculate the bond's yield to maturity, we can use the YIELD function in Excel. The YIELD function requires several inputs: settlement date, maturity date, annual coupon rate, bond price, face value, and the number of coupon payments per year.

Using the given information, we can input the following values into the YIELD function:

Settlement date: April 1, 2022

Maturity date: October 1, 2037

Annual coupon rate: 6.15%

Bond price: $89.11

Face value: $100

Number of coupon payments per year: 2

After inputting these values into the YIELD function, we get a yield to maturity of 7.51%. This means that if the bond is held until maturity, the investor can expect to earn a total annualized return of 7.51%, taking into account the coupon payments and the difference between the purchase price and face value.

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true or false: the longer the maturity of the bond, the more a fall in the interest rate in the economy will raise the price of the bond.

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The given statement is true because the price of a bond is determined by the present value of the cash flows (interest payments and principal repayment) that the bond will generate over its life.

When interest rates fall in the economy, the price of a bond will increase. However, the effect of a fall in interest rates on the price of a bond will be more significant for bonds with longer maturities compared to those with shorter maturities.

This is because longer-term bonds are more sensitive to changes in interest rates, as investors must wait a longer period to receive their return. Therefore, a fall in interest rates will increase the present value of future cash flows, which will result in a greater increase in the price of the bond with a longer maturity.

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A company with an external labor orientation would be more likely to acquire a new company to gain employee expertise than would a company with an internal labor orientation. True or False?

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The given statement "a company with an external labor orientation would be more likely to acquire a new company to gain employee expertise than a company with an internal labor orientation" is True, because external labor orientation is looking for specific employee expertise.

External labor orientation refers to a company's strategy to seek talent and expertise from outside the organization. This can be done through hiring employees from competitors, recruiting from educational institutions, or acquiring other companies to gain access to their human resources.

In contrast, an internal labor orientation focuses on developing and nurturing talent from within the company. This can involve providing training programs, promoting from within, and retaining employees for long-term growth.

When a company with an external labor orientation is looking for specific employee expertise, they may choose to acquire a new company as a strategic move. This allows them to gain access to a pool of skilled workers that have the desired expertise and integrate them into their existing workforce.

On the other hand, a company with an internal labor orientation is more likely to invest in training and development for their existing employees to build the required expertise. They may be less inclined to acquire another company solely for gaining employee expertise, as they prefer to grow their talent organically within the organization.

In summary, the statement is true, as companies with an external labor orientation are more likely to acquire new companies to gain employee expertise compared to those with an internal labor orientation.

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Your broker charges $0.0013 per share per trade. The exchange charges $0.0077 per share per trade for removing liquidity and credits $0.0059 per share per trade for adding liquidity. The current best BID price for stock XYZ is $64.97 per share, while the current best ASK price is $64.98 per share. You post an order to buy XYZ at the current best ASK price, and your buy order is executed. Shortly after, the best BID and ASK prices move lower (down) by one cent each. Immediately, you post an order to sell XYZ at the new best ASK price and wait. Shortly after, the best BID and ASK prices move higher (up) by one cent each. Your sell order is executed. What will be your net loss per share to buy and sell XYZ after considering the commissions and any exchange fees or credits?

Answers

Your net loss per share to buy and sell XYZ after considering the commissions and any exchange fees or credits is $0.0144.

To calculate the net loss per share, follow these steps:

1. Buy XYZ at the best ASK price: $64.98 per share.

Broker's fee: $0.0013 per share.

Exchange fee for removing liquidity: $0.0077 per share.

Total cost to buy one share: $64.98 + $0.0013 + $0.0077 = $64.989 per share.

2. The best BID and ASK prices move lower by one cent each.

New best ASK price: $64.97 per share.

3. Post an order to sell XYZ at the new best ASK price: $64.97 per share.

Exchange credit for adding liquidity: $0.0059 per share.

4. The best BID and ASK prices move higher by one cent each.

Your sell order is executed at the previous ASK price: $64.97 per share.

Broker's fee: $0.0013 per share.

Total amount received for selling one share: $64.97 - $0.0013 + $0.0059 = $64.9746 per share.

5. Calculate the net loss per share.

Net loss = Total cost to buy one share - Total amount received for selling one share

Net loss = $64.989 - $64.9746 = $0.0144 per share.

Your net loss per share to buy and sell XYZ is $0.0144.

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when a company purchases treasury stock, how are the financial statements affected? more than one answer may be correct.

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When a company purchases its own stock in the open market, it is referred to as treasury stock. This can have a variety of impacts on the financial statements.

Here are a few ways that the financial statements may be affected:

1. Balance sheet: The purchase of treasury stock reduces the amount of shareholder's equity on the balance sheet. This is because the company is essentially using its own money to buy back its own shares, which reduces the number of shares outstanding. This means that the value of the remaining outstanding shares increases, but the overall equity value decreases.

2. Earnings per share: Earnings per share (EPS) is calculated by dividing the company's net income by the number of outstanding shares. When the company buys back some of its own shares, the number of outstanding shares decreases, which can increase EPS. This is because the same amount of net income is now being divided among fewer shares, which can make the EPS appear higher.

3. Cash flow statement: When a company purchases treasury stock, it is using cash to buy back the shares. This means that the cash flow from financing activities on the cash flow statement will be reduced, as there is less cash available to invest in the company or pay out to shareholders in the form of dividends.

Overall, the purchase of treasury stock can have a variety of impacts on the financial statements, depending on the specific circumstances of the company and the amount of stock that is repurchased. It is important for investors and analysts to carefully consider these impacts when analyzing a company's financial health and prospects.

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round final answer 3 decTim borrowed $21,000 at a rate of 6.50% compounded semi-annually (12). Calculate his monthly payments if he amortizes his payments over 5 years.

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We have that, based on the loan of $21,000 at a rate of 6.50% compounded semiannually, we obtain that Tim's monthly payments will be approximately $434.38

To calculate Tim's monthly payments, we'll use the following formula for an amortized loan:

[tex]P = L * [(r(1+r)^n) / ((1+r)^n - 1)][/tex]

Where:

P = monthly paymentL = loan amount ($21,000)r = monthly interest rate (annual interest rate ÷ number of compounding periods per year ÷ number of months per year)n = total number of payments (number of years × number of months per year)

1. First, let's find the monthly interest rate (r):

Annual interest rate = 6.5%

Compounding periods per year = 2 (semi-annually)

Months per year = 12

r = (1+0.065/2)^(2/12) - 1 ≈ 0.005348

2. Now, let's find the total number of payments (n):

years = 5

Months per year = 12

N = 5 × 12 = 60

3. Finally, we will plug these values into the formula to find the monthly payment (P):

[tex]P = 21,000 * [(0.005348(1+0.005348)^60) / ((1+0.005348)^60 - 1)]\\P = 21,000 * [(0.005348 * 1.348095) / (1.348095 - 1)]\\P \approx 21,000 * (0.007203 / 0.348095)\\P \approx 21,000 * 0.020685\\P \approx 434.38\\[/tex]

Tim's monthly payments will be approximately $434.38, rounded to two decimal places.

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the stetler model of evidence-based practice consists of four sequential phases. its is?

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The Stetler model has five phases: planning, validation, comparison/decision making, translation/application, and assessment.

The Stetler research utilization model aids professionals to decide how to employ research outputs and other pertinent knowledge in practice. This approach looks at both the formal change that can be made within organizations using evidence and the informal use of research by practitioners as part of critical thinking and reflective practice. The paradigm connects research utilization with evidence-informed practice as a first step.

The Stetler model offers a means to consider the connection between the application of research and practice based on evidence. These two ideas are not interchangeable. The general application of research is improved by integrating both ideas.

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You plan to buy a share of XYZ stock today. Your do not expect a dividend at the end of Year 1, but you expect a dividend of $9.25 at the end of Year 2, $7.00 at the end of year 3, and $5.00 at the end of year 4. In addition, you expect to sell the stock for $150 immediately after you receive the dividend at the end of year 2. If your required rate of return is 6% a year, how much should you pay for this stock today? $141.73 $131.74 $107.53 $118.35 $75.29

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You should pay approximately $146.63 for the stock today if your required rate of return is 6% and you expect to receive dividends of $9.25, $7.00, and $5.00 at the end of years 2, 3, and 4, respectively. So the correct answer is $141.73.

To calculate the price you should pay for the stock today, you can use the formula for the present value of future cash flows:

PV = [tex](D1 / (1 + r)^1) + (D2 + P2 / (1 + r)^2) + (D3 / (1 + r)^3) + (D4 / (1 + r)^4)[/tex]

where PV is the present value,

D1-D4 are the dividends in years 2, 3, and 4,

and P2 is the expected sale price at the end of year 2.

r is the required rate of return, which in this case is 6%.

We know that:

D1 is 0 (since there's no dividend in year 1), and we're given D2 = $9.25, D3 = $7.00, D4 = $5.00, and P2 = $150.

Plugging in the values, we get:

PV = [tex](0 / (1 + 0.06)^1) + (9.25 / (1 + 0.06)^2) + (7.00 / (1 + 0.06)^3) + (5.00 / (1 + 0.06)^4) + (150 / (1 + 0.06)^2)[/tex]

= 0 + 8.63 + 6.10 + 4.27 + 127.63

= 146.63

Therefore, you should pay approximately $146.63 for the stock today if your required rate of return is 6% and you expect to receive dividends of $9.25, $7.00, and $5.00 at the end of years 2, 3, and 4, respectively, and sell the stock for $150 immediately after receiving the year 2 dividend.


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Indicate whether the following statement is true or false. Having all economic decisions made by centralized planning or decentralized decision making is the key factor determining the success of a government's role in economic markets. A. False B. True

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The statement "Having all economic decisions made by centralized planning or decentralized decision making is the key factor determining the success of a government's role in economic markets" is True.


While there are many factors that can influence a government's success in economic markets, the approach to decision-making is indeed a key factor. Centralized planning involves the government making all economic decisions and controlling resources, while decentralized decision making allows for more individual and market-based choices.


In a centrally planned economy, the government decides on the production and distribution of goods and services. This can lead to efficiency in resource allocation and addressing social needs, but may also result in a lack of innovation and limited choices for consumers. On the other hand, a decentralized system allows for more competition and innovation, but may lead to income inequality and externalities that negatively impact society.

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Today the common stock of Gresham Technology closed at ​$21.80 per​ share, down ​$0.33 from yesterday. If the company has 4.1 million shares outstanding and annual earnings of $10.4 ​million, what is its​ P/E ratio​ today? What was its​ P/E ratio​ yesterday?

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Yesterday's P/E ratio for Gresham Technology was 8.71.

To calculate the P/E ratio, we need to divide the current stock price by the earnings per share (EPS). The EPS is calculated by dividing the annual earnings by the number of shares outstanding.

EPS = Annual earnings / Number of shares outstanding

EPS = $10.4 million / 4.1 million

EPS = $2.54 per share

Today's P/E ratio can be calculated as:

P/E ratio = Stock price / EPS

P/E ratio = $21.80 / $2.54

P/E ratio = 8.58

Therefore, today's P/E ratio for Gresham Technology is 8.58.

To calculate yesterday's P/E ratio, we need to adjust the EPS based on the earnings and the number of shares outstanding yesterday, as we do not have the stock price yesterday. We assume that the earnings did not change overnight.

If we assume that the number of shares outstanding did not change, then yesterday's EPS would be the same as today's EPS, which is $2.54 per share. If we further assume that the stock price yesterday was $22.13 per share (i.e., $21.80 + $0.33), then yesterday's P/E ratio can be calculated as:

P/E ratio = Stock price / EPS

P/E ratio = $22.13 / $2.54

P/E ratio = 8.71

Therefore, yesterday's P/E ratio for Gresham Technology was 8.71.

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when the mix of products sold shifts toward the high contribution margin product, the total: a. sales mix variance is favorable b. sales volume variance is favorable c. market mix variance is favorable d. sales mix variance is unfavorable e. sales price variance is favorable

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When the mix of products sold shifts toward the high contribution margin product, the total sales mix variance is favorable. The correct option is a.

This is because the sales mix variance measures the effect on profit of changes in the proportion of products sold, holding the total sales volume constant. When a company sells a higher proportion of products with higher contribution margins, the total contribution margin will increase, resulting in a favorable sales mix variance.

The sales volume variance measures the effect on profit of changes in total sales volume, while the market mix variance is not a commonly used variance in accounting. The sales price variance measures the effect on profit of changes in the selling price of a product. The correct option is a.

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Lai's great aunt left him $20,000 when she died. He can invest the money to earn 12% per year. If he spends $3,540 per year out of this inheritance, how long will the money last?

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The money will last approximately 17.54 years if Lai spends $3,540 per year and earns 12% interest annually on his inheritance.

Lai's great aunt left him $20,000 when she died, and he can invest the money to earn 12% per year. If he spends $3,540 per year out of this inheritance, you'd like to know how long the money will last.

Here's a step-by-step explanation:

1. Calculate the annual interest earned: $20,000 * 12% = $2,400
2. Calculate the net annual loss: $3,540 (annual expenses) - $2,400 (annual interest) = $1,140
3. Divide the initial inheritance by the net annual loss to determine how long the money will last: $20,000 / $1,140 ≈ 17.54 years

So, the money will last approximately 17.54 years if Lai spends $3,540 per year and earns 12% interest annually on his inheritance.

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Describe, in detail, the three (3) different firm's buying
situations.

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1. Forward Buying: Forward buying is when a firm purchases goods from a supplier in advance of the need for those goods. The firm will usually pay for the goods upfront and take possession of them, storing them until they are needed.

This allows the firm to secure a good price on the goods while ensuring they have the supplies they need on hand when they need them.

2. Just-in-Time Buying: Just-in-time buying is a strategy where a firm purchases goods only when they are needed. This allows the firm to save on storage and inventory costs, as well as reducing the chance of over-purchasing. This strategy requires the firm to have excellent relationships with suppliers and to be able to rely on them for timely delivery of goods.

3. Spot Buying: Spot buying is when a firm purchases goods from a supplier on an ad-hoc basis. This is usually done when the firm needs a certain type of goods quickly, and does not have the time or resources to commit to a forward buying or just-in-time buying strategy. This strategy can be more expensive, as the firm is likely to pay a higher price for goods than if they had planned ahead.

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If a restaurant has two groups of​ customers, seniors and​ nonseniors, the nonseniors will be offered a
A. lower price because they have a more elastic demand and the​ firm's profits will increase from sales to both groups.
B. higher price because they have a less elastic demand and the​ firm's profits will increase from sales to this group.
C. higher price because they have a more elastic demand and the​ firm's profits will increase from sales to this group.
D. lower price because they have a less elastic demand and the​ firm's profits will increase from sales to both groups.

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If a restaurant has two groups of​ customers, seniors and​ nonseniors, the nonseniors will be offered a higher price because they have a less elastic demand and the​ firm's profits will increase from sales to this group. The correct answer is B.

The restaurant will offer a higher price to nonseniors because they have a less elastic demand, meaning that they are less sensitive to changes in price. Therefore, the restaurant can charge a higher price without significantly affecting their demand. On the other hand, seniors have a more elastic demand, meaning that they are more sensitive to changes in price. If the restaurant were to charge them a higher price, their demand would decrease significantly.

By charging a higher price to nonseniors, the restaurant can increase its profits from sales to this group. However, the restaurant also needs to consider the profits from sales to seniors. Offering them a lower price will increase their demand and allow the restaurant to make profits from both groups.

Overall, the restaurant needs to consider the price elasticity of demand for both groups and make a pricing strategy that maximizes its profits from sales to both groups. This requires a careful analysis of the market and the behavior of both groups of customers. The correct answer is B.  higher price because they have a less elastic demand and the​ firm's profits will increase from sales to this group.

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Suppose the returns on Asset Y are normally distributed. The average annual return for this asset over 50 years was 12.7 percent and the standard deviation of the returns was 22.1 percent. Based on the historical record, use the cumulative normal probability table (rounded to the nearest table value) in the appendix of the text to determine the probability that in any given year you will lose money by investing in common stock

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The probability of losing money by investing in common stock in any given year is 26.11 percent

The given problem provides us with the mean and standard deviation of the returns for Asset Y. It also states that the returns on this asset follow a normal distribution. Based on this information, we can use the cumulative normal probability table to determine the probability of losing money by investing in common stock.

First, we need to determine the z-score for a negative return, which is calculated as:

z = (x - μ) / σ

where x is the negative return we are interested in, μ is the mean return, and σ is the standard deviation of the returns. For this problem, we want to find the z-score for a negative return of -1 percent:

z = (-1 - 12.7) / 22.1 = -0.637

Using the cumulative normal probability table, we can find the probability of a z-score less than or equal to -0.637. From the table, we find that the probability is 0.2611, rounded to the nearest table value.

Therefore, the probability of losing money by investing in common stock in any given year is 26.11 percent. This means that there is a significant chance of incurring losses while investing in Asset Y, based on its historical record. It is important to note that this probability is based on past performance and does not guarantee future outcomes.

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if the auditor determines that previously issued financial statements are in error, the audit report is affected, and the effect on the financial statements cannot be immediately determined, the entity should

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If the auditor determines that previously issued financial statements are in error, the audit report is affected, and the effect on the financial statements cannot be immediately determined, the entity should issue a restatement of the financial statements.

This will involve correcting the errors and issuing new financial statements that reflect the correct information. The restated financial statements should be accompanied by a new audit report that reflects the changes made.

The auditor should also communicate the nature and effect of the errors to those charged with governance of the entity and any other relevant parties.

It is important to ensure that the restated financial statements are accurate and reliable to maintain the trust of stakeholders in the entity's financial reporting.

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on may 1, 2021, mosby company received an order to sell a machine to a customer in canada at a price of 2,000,000 mexican pesos. the machine was shipped and payment was received on march 1, 2022. on may 1, 2021, mosby purchased a put option giving it the right to sell 2,000,000 pesos on march 1, 2022 at a price of $190,000. mosby properly designates the option as a fair value hedge of the peso firm commitment. the option cost $3,000 and had a fair value of $3,200 on december 31, 2021. the following spot exchange rates apply: date spot rate may 1, 2021 $ 0.095 december 31, 2021 $ 0.094 march 1, 2022 $ 0.089 what was the impact on mosby's 2021 net income as a result of this fair value hedge of a firm commitment?

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The impact on Mosby's 2021 net income as a result of this fair value hedge of a firm commitment was a decrease of $1,800.

To determine the impact on Mosby's 2021 net income as a result of this fair value hedge of a firm commitment, we will need to consider the changes in the value of the put option and the firm commitment. Here are the steps to calculate the impact:

Step 1: Determine the change in the value of the put option.
The put option had an initial cost of $3,000 and a fair value of $3,200 on December 31, 2021. The change in the value of the put option is:

$3,200 - $3,000 = $200 gain

Step 2: Determine the change in the value of the firm commitment.
On May 1, 2021, the spot exchange rate was $0.095, so the value of the 2,000,000 Mexican pesos firm commitment was:

2,000,000 pesos * $0.095 = $190,000

On December 31, 2021, the spot exchange rate was $0.094, so the value of the firm commitment was:

2,000,000 pesos * $0.094 = $188,000

The change in the value of the firm commitment is:

$188,000 - $190,000 = -$2,000 loss

Step 3: Calculate the net impact on Mosby's 2021 net income.
The net impact on Mosby's 2021 net income is the sum of the change in the value of the put option and the change in the value of the firm commitment:

$200 gain + (-$2,000 loss) = -$1,800

So, due to the impact on Mosby's 2021 net income their fair value hedge commitment was a decrease of $1,800.

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Pluto Corporation is considering an investment that will cost $210,000 and last for three years. The investment will be amortized on a straight-line basis over that period. Earnings generated by the investment before amortization and taxes over this period are as follows: Year 1 110,000 Year 2 120,000 Year 3 150,000 Pluto Corporation has a tax rate of 25 percent. What is the AAR of this project?

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Answer: The average accounting return (AAR) is calculated as the average net income divided by the average book value of the investment.

First, we need to calculate the net income for each year. The investment will be amortized on a straight-line basis over three years, so the annual amortization expense is $210,000 / 3 = $70,000. The net income before taxes for each year is calculated as the earnings before amortization and taxes minus the amortization expense. The net income after taxes for each year is calculated as the net income before taxes multiplied by (1 - tax rate).

Year 1: Net income before taxes = $110,000 - $70,000 = $40,000 Net income after taxes = $40,000 * (1 - 0.25) = $30,000

Year 2: Net income before taxes = $120,000 - $70,000 = $50,000 Net income after taxes = $50,000 * (1 - 0.25) = $37,500

Year 3: Net income before taxes = $150,000 - $70,000 = $80,000 Net income after taxes = $80,000 * (1 - 0.25) = $60,000

Next, we need to calculate the average book value of the investment. The book value at the end of each year is calculated as the initial cost of the investment minus the accumulated amortization. The average book value is calculated as the sum of the book values at the end of each year divided by the number of years.

Year 1: Book value = $210,000 - $70,000 = $140,000 Year 2: Book value = $210,000 - $140,000 = $70,000 Year 3: Book value = $210,000 - $210,000 = $0 Average book value = ($140,000 + $70,000 + $0) / 3 = $70,000

Finally, we can calculate Pluto Corporation’s AAR for this project as the average net income divided by the average book value: ($30,000 + $37,500 + $60,000) / 3 / $70,000 = 0.18095.

Therefore, Pluto Corporation’s AAR for this project is 18.10%.

Answer: AAR is 42,500 AAR% is 40.47%

Explanation: 110,000+120,000+150,000=380,000/3=126,666.66

Amortization: 210,000/3=70,000

(126,667-70,000)*(1-.25)=42,500

210,000/2=105,000

42,500/105,000=40.47%

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