FV is the future value function will calculate the final value of an investment of $100 a month that earns 4% interest over 5 years.
Investment is the commitment of funds toward the acquisition of an asset with the goal of achieving an increase in value over time. A current asset, like time, money, or effort, must be sacrificed in order to invest. In the world of finance, investing is done to get a return on the asset put up for investment. An asset or item acquired with the intention of generating income or recognition is referred to as an investment. An economic investment is the acquisition of goods that are not consumed right away but are used to create wealth down the road. An asset that is purchased with the hope of earning money, making a profit, or seeing a price increase is called an investment. Return refers to the benefit received from the investment. Returns and risk are inversely correlated. The returns are higher the higher the risk.
Learn more about Investment here:
https://brainly.com/question/15105766
#SPJ4
what is the difference between margarine and butter? why is there special concern regarding the regulations of these products and who raised these concerns?
The difference is that margarine is made from vegetable oils, so contains no cholesterol and higher in good fats. Butter made from animal fat, which contains cholesterol and high levels of saturated fat. The consumer raised these concerns because of their health.
Margarine generally tops butter with regards to heart fitness. Margarine is made from vegetable oils, so it incorporates unsaturated "appropriate" fats — polyunsaturated and monounsaturated fat. these forms of fat help lessen low-density lipoprotein (LDL), or "terrible," ldl cholesterol while substituted for saturated fat.
Margarine is a selection used for flavoring, baking, and cooking. it is most usually used rather for butter. although initially crafted from animal fats, maximum margarine fed on nowadays is made from vegetable oil.
The unfold become initially named oleomargarine from Latin for oleum and Greek margarite.
Learn more about margarine here : https://brainly.com/question/8242038
#SPJ4
would you consider setting new goals about the number of online positive reviews attributed to your customer service?
Examples of customer service goals include: improving how you measure customer service, speeding up response times, making it easy for customers to get in touch, and creating a customer-centric culture.
In sales, trade, and economics, a purchaser (every now and then known as a client, consumer, or patron) is the recipient of a great, carrier, product or idea - acquired from a vendor, seller, or dealer via an economic transaction or alternate for money or a few different valuable attention. Early societies relied on a present economic system based totally on favors. Later, as commerce evolved, much less permanent human family members had been fashioned, relying extra on transitory wishes instead of enduring social goals on. Clients are normally stated to be the clients of goods and services, whilst customers are folks that get hold of customized recommendations and answers.
Learn more about customers here
https://brainly.com/question/26313265
#SPJ4
which of the following does not belong to the authors' list of least developed strategic thinking competencies? select one: a. scanning b. visioning c. reframing d. paying attention to detail e. making common sense f. systems thinking clear my choice check
Making common sense does not belong to the authors' list of least developed strategic thinking competencies.
What is the focus of strategic thinking ?
Finding and developing special opportunities to add value for your organisation is the focus of strategic thinking. The phrase has historically been abused and misused, and too frequently, strategic planning exercises are ineffective.
Understanding your place in the market is one of the five characteristics of strategic thinkers, along with focusing on the goal, comprehending past, present, and future events, asking the right questions, and spotting opportunities. These abilities foster creative thinking and foster the expansion of businesses.
To know more about strategic thinking refer to:
https://brainly.com/question/8224611
#SPJ4
44. jerry was in a big hurry to get to school because he had a group project presentation that day. he was driving north on temple avenue approaching university avenue in pomona. he saw the light turn from yellow to red and he drove faster since he honestly thought he could reach the intersection before any pedestrians began to cross the road. however, as jerry drove through the intersection he struck a pedestrian, peter, who was legally crossing the street. due to this incident, peter was seriously injured. peter sued jerry for damages. what would be the best category of tort for jerry's actions? a. intentional tort, because jerry knew that the light was red when he crossed the intersection. b. product liability, because jerry was using a mass-produced product (a car) when peter was injured. c. negligence, because car accidents are usually caused by carelessness. d. strict liability, because jerry ran the red light which is a violation of the california vehicle code.
The best category of tort for jerry's actions is negligence, because car accidents are usually caused by carelessness.
A tort is a civil wrong that causes a claimant to suffer loss or harm, resulting in legal liability for the tortious act's perpetrator. Tort law differs from criminal law in that it deals with criminal wrongs that are punishable by the state.
Tort law's primary goals are to provide relief to injured parties for harm caused by others, to hold parties responsible for the harm accountable, and to deter others from committing harmful acts.
Hence, the correct answer is "C"
To know more about tort, click here.
https://brainly.com/question/14614720
#SPJ4
using revenue as an allocation base, the amount of costs allocated to the lower school is calculated to be:
Using revenue as an allocation base, the amount of costs allocated to the lower school is calculated to be Amount allocated to upper school = 1000000/2500*900 i.e 360000.
Revenue, which is determined by multiplying the average sales price by the quantity of units sold, is the money made through regular business activities. The top line (or gross income) figure is what is used to calculate net income by deducting costs. Sales are another name for revenue in the income statement.
Revenue is the cash that a firm generates via its operations. Depending on the accounting technique used, there are several ways to compute revenue. Sales made on credit will be included as revenue for products or services provided to the client under accrual accounting. Revenue may be recognized in accordance with certain standards even though payment has not yet been made.
To know more about revenue visit:
https://brainly.com/question/8645356
#SPJ4
the time between when a recession begins and when the central bank lowers interest rates to stimulate aggregate demand is an example of an:
The time between when a recession begins and when the central bank lowers interest rates to stimulate aggregate demand is an example of an inside lag of monetary policy. (Option D)
What is inside lag?The time it takes for a government or central bank to react to an economic shock is known as the inside lag (or inside recognition and decision lag) in economics. It is the postponement of the execution of a monetary or fiscal policy.
In conclusion, internal lags cause delays in the execution of a policy since it takes time to pinpoint the issue and more time to put monetary measures into place. The central bank's or the government's delay in responding to the country's economic shock is referred to as the outer lag, in comparison.
Learn more about inside lag here: https://brainly.com/question/10576646
#SPJ1
The complete question can be found below:
The time between when a recession begins and when the central bank lowers interest rates to stimulate aggregate demand is an example of an:
A. inside lag of fiscal policy.
B. outside lag of fiscal policy.
C. outside lag of monetary policy.
D. inside lag of monetary policy.
Answer: Option D
the estradas are planning to buy a house 4 years from now. housing experts in their area have estimated that the cost of a home will increase at a rate of 3%/year during that 4-year period. if this economic prediction holds true, how much can the estradas expect to pay for a house that currently costs $400,000? (round your answer the the nearest dollar.)
The cost of the house after 4 years will be $450204
In mathematics, the difference between two numbers represents the percent increase between them. A percentage of the first number is always used to express percentage increases.
Cost of house = $400000
Time in years = 4 years
rate of increase per year= 3%
Using the formula, we get the following:
Cost of the house after 4 years = Cost of the house*(1+r/100)^t
where r = rate of increase
and t = time in years
Substituting the values in the formula we get:
Cost of the house after 4 years = 400000*(1+3/100)^4
= 400000*(1.03)^4
= 400000*1.125 = $450203.52 or $450204
Learn more about rate of increase:
https://brainly.com/question/23776775
#SPJ4
a client has a job as a tenured professor of finance at a successful university. tenure implies that the professor can only lose the job in extreme cases of misconduct or closing of the program. in addition, this professor is in good health, has a healthy spouse, both of whom have life expectancies into their 90s, and expects to work another 15 years, but can work longer if retirement needs require it. the salary, although sufficient for a comfortable lifestyle, will not make the couple wealthy, in and of itself. what kind of investment portfolio is appropriate for this client?
A retirement savings plan that employees participate in by putting a portion of their pay into an account that earns interest. This plan is established by an employer.
What is typically a person's most valuable asset?Individual Assets' Median Worth. The most valuable asset that households own is real estate, which they can use for their own use or rent out. The portfolio also includes financial assets like stocks, mutual funds, bonds, and retirement accounts.
How are investments affected by inflation?Due to the fact that when savings money is repaid, it may be worth much less than when it was lent, and the real rate of interest may be low, inflation may dry up funds for investment.
Learn more about valuable asset here:
https://brainly.com/question/25746199
#SPJ4
Describe one downside to borrowing the maximum allowed amount of federal student loans.
The one downside to borrowing the maximum allowed amount of federal student loans is: you must repay back the loan.
What is federal student loans?Federal student loans can be defined as the loan given to college students so as to enables them pay for their tuition fees among others.
One of the disadvantage of downside of collecting this loan is that the student must repay back the loan amount given to them even if the student did not graduate from the college.
Therefore the downside of borrowing huge sum is that you must pay it back.
Learn more about federal student loan here:https://brainly.com/question/28199470
#SPJ1
a shift to the left of a supply curve is caused by: question 8 options: a) a technological improvement in production. b) an increase in the number of buyers. c) an increase in the cost of an input. d) an increase in the number of sellers.
The correct answer is option C. A shift to the left of a supply curve is caused by an increase in the cost of an input.
The cost of manufacturing any particular amount of the good or service will change if the price of labor or another production element changes. The quantity that suppliers are willing to supply at any price will alter as a result of this change in the cost of manufacturing. The quantity suppliers will offer at any price should decrease as factor prices rise, moving the supply curve to the left. The quantity suppliers will offer at any price rises with a decrease in factor prices, moving the supply curve to the right.
Imagine that coffee farmers must pay their harvesters a higher wage or must spend more on fertilizer.
Learn more about supply curve at
https://brainly.com/question/6075885?referrer=searchResults
#SPJ4
a stock has a beta of 1.1, the expected return on the market is 10.4 percent, and the risk-free rate is 4.75 percent. what must the expected return on this stock be?
The expected return on stock with beta 1.1, return on the market as 10.4 percent and risk-free rate as 4.75 percent will be 10.97 %.
Write a short note on CAPM.The relationship between expected return for assets, particularly stocks, and systematic risk, or the general dangers of investing, is described by the Capital Asset Pricing Model (CAPM).
The needed return on an investment and risk are connected linearly under this financial model. The equity risk premium, or the expected return on the market less the risk-free rate, is the foundation of the concept. It is based on the link between an asset's beta, the risk-free rate (usually the rate on Treasury bills), and these two variables.
To quantify this systematic risk, the CAPM was created. Given the risk involved with the assets and the cost of capital, it is frequently used in finance to value hazardous securities and calculate expected returns.
To solve the question :
Converting all the values to decimal y multiplying by 100
Risk free rate = 4.75/100
= 0.475
Return on market = 10.4/100
= 0.104
The expected return on stock :
[tex]r_{i} = r_{f} + (r_{m} -r_{f} )\beta _{i}[/tex]
Where,
[tex]r_{i}[/tex] = expected return on stock
[tex]r_{f}[/tex] = risk-free rate
[tex]r_{m}[/tex] = return on the market
[tex]\beta_ {i}[/tex] = beta
Then,
[tex]r_{i}[/tex] = .0475 + (.1040 - .0475)(1.10)
[tex]r_{i}[/tex] = .1097, or 10.97%
Therefore, the expected return on this stock is 10.97 %
To know more about, Capital Asset Pricing Model, visit :
https://brainly.com/question/28139160
#SPJ4
what is an elevator doing when it sells cash grain and buys futures? establishing a speculative position establishing a buy basis setting a spread establishing a sell basis
The elevator sets the spread when it sells grain for cash and buys futures markets. as per the given statement in question.
What is the futures market?
A futures market is an auction market where participants trade futures and commodity contracts for delivery on predetermined dates in the future. Futures are exchange-traded derivative contracts that guarantee the delivery of a commodity or asset at a price set today, regardless of when it is delivered.
Commodity producers and suppliers use futures contracts to try to reduce market volatility. With an investor willing to accept both the risk and the reward of a volatile market, these manufacturers and suppliers negotiate contracts.
Futures markets are not only used for agricultural contracts; they are also used to buy, sell and hedge financial products including interest rate futures.
To know more about Future market refer:
https://brainly.com/question/13414268
#SPJ4
on june 1, the board of directors declares a cash dividend to be paid on june 30 to shareholders of record on june 15. on which date would the company record a credit to the dividends payable account?
The company will post a credit for any dividends due on that day.
What is a journal entry in accounting?The date, credit and debit amounts, a brief description of the transaction, and associated ledger are included in each journal along with other information about each individual transaction.
A simple accounting entry only debits and credits one account. As a best practice, we recommend using simple journal entries that are easy to understand.
June 1 journal entry explains dividend credit payable account. The following is the journal entry made for the declared on:
Date Accounts Debit
1 - June dividends xxx
payable dividends
declared dividends
To know more about dividend visit:
https://brainly.com/question/28044310
#SPJ4
assume that the price of big mac in japan is yen750 while that in the united states is $5.50. if the yen-dollar exchange rate is 125yen/dollar, what is the valuation of japanese yen?
The valuation of Japanese yen is 9.1% when the yen-dollar exchange rate is 125 yen/dollar.
Exchange rate:
Exchange rate defines the cost of exchanging one currency for another. And the rates are generally fluctuating due to economic and political factors.
Given,
Assume that the price of big mac in japan is yen 750 while that in the united states is $5.50.
Here we need to find the valuation of Japanese yen when the yen-dollar exchange rate is 125 yen/dollar.
First, we have to identify the rate of one yen in dollars.
In order to find that, we have to divide the dollar rate by the yen value, then we get,
=> 1 yen = 1/125
=> 1 yen = 0.008 dollar
Now, to find the valuation we have to divide the product price by the yen equivalent value, then we get,
=> 5.50/0.008
=> 9.1%
Therefore, the valuation of Japanese yen is 9.1%.
To know more about Exchange rate here.
https://brainly.com/question/14930716
#SPJ4
a company that has a lot of resources (that is, capital or money), expertise, and market experience, is more likely than smaller, less well-endowed firms to practice which target marketing strategy?
A corporation using differentiated marketing creates marketing strategies that appeal to at least two different target audience segments.
A differentiated target marketing strategy: what is it?A differentiated targeting strategy, which is frequently referred to as segmented marketing, is created to identify and concentrate on major target categories that have the greatest potential value for your company. The objective then becomes creating unique market targeting methods for each of your primary objectives. A "different" market that is interested in purchasing a certain kind of goods is the focus of differentiated marketing. For instance, a company selling organic dog food is trying to attract a certain demographic, one that is environmentally sensitive, animal-loving, and health conscious. Marketing, packaging, pricing, and product design are examples of differentiating factors.
To learn more about differentiated refer to
https://brainly.com/question/29216609
#SPJ4
dennis understands the importance of using an analytics solution for his app, but he doesn't know which one to use. which solution is 's best-in-class app analytics solution?
Fire-base Analytics solution is 's best-in-class app analytics solution. We can see that they both employ the same data model, which port-rays user interactions as events.
As a result, both platforms have the identical implementation approach – the only difference between Fire-base Analytics and Goo-gle Analytics in this regard is where you set up your Android and iOS data streams solution initially. Analytics displays data about user activity in your iOS and Android apps, allowing you to make better product and marketing decisions. View cra-sh statistics, notification efficacy, deep-link performance, in-app purchase statistics, and other information. Goo-gle Analytics, a free unlimited analytics tool, sits at the heart of Fire-base.
To learn more about Analytics, click here.
https://brainly.com/question/28191959
#SPJ4
a team whose members are geographically dispersed but are linked through information technologies to work interdependently toward common goals is known as a(n) team.
A team whose members are geographically dispersed but are linked through information technologies to work interdependently toward common goals is known as a virtual team.
A virtual team is also referred to as distributed team or geographically dispersed team, or remote team. It refers to a group of personnel or individuals who work together from varying or different geographic locations and rely/linked by information and communication technologies.
However, two types of virtual team had been described, which are Global Virtual Team and Local Virtual Team.
Global Virtual Team are located in different countries/cities all over the world. This team may comprise employees of different companies, joining their efforts and resources, towards a shared project and achieving a common goal. Whereas, members of Local Virtual Team usually belong to the same company, which is either big or small, having adequate resources to establish and maintain virtual team workplaces.
To know more about Virtual Team refer:
https://brainly.com/question/28498553
#SPJ4
mcpherson company must purchase a new milling machine. the purchase price is $50,000, including installation. the machine has a tax life of 5 years, and it can be depreciated according to the following rates. the firm expects to operate the machine for 4 years and then to sell it for $12,500. if the marginal tax rate is 40%, what will the after-tax salvage value be when the machine is sold at the end of year 4? year depreciation rate 1 0.20 2 0.32 3 0.19 4 0.12 5 0.11 6 0.06
The after-tax salvage value be when the machine is sold at the end of year 4 $10,900
Is the value of salvage always subject to tax?The price at which an asset was sold after being liquidated is referred to as the "before tax salvage value. This sum is recorded as income and is taxable on the balance sheet. The amount you have left over after subtracting tax from that sum is referred to as the "after-tax salvage value.
How is after-tax salvage determined?Asset sales price less tax paid on the difference between sales price and book value is the asset's after-tax salvage value.
How does depreciation work?to reduce a product's cost or assessed worth. Deducting from taxable income over a period of years a portion of the initial cost of (a business asset) as the asset's value declines. verb intransitive: to decrease in value.
To Know more about tax salvage
https://brainly.com/question/28387066
#SPJ4
which of the following are some details used to evaluate the general economic environment? (choose every correct answer.)
The trade deficit or surplus of The GDP is some details used to evaluate the general economic environment.
A few details used to evaluate the overall monetary environment encompass the GDP and the exchange deficit or surplus.
Economic factors include factors consisting as interest fees, inflation fees, gross domestic product, unemployment prices, stages of disposable earnings, and the overall growth or decline of the financial system.
Learn more about economies here: https://brainly.com/question/1106682
#SPJ4
managers untangle issues that come up around professional roles and responsibilities which is particularly noticeable in the area of staff hiring and training, where who can make the difference between a successful operation and a disastrous day?
In order to accomplish specified goals, business management entails the monitoring, organization, and coordination of business resources and processes.
What is the introduction to business management?A business manager is responsible for carrying out a variety of daily tasks to maintain the overall health of the company, its projects, cash flow, and team members. This article fully examines the introduction to business management.The planning, organizing, directing, leading, and controlling functions—commonly regarded as the core components of company management—need to be examined. Simply put, a business manager's responsibility is to make sure that resources and personnel are efficiently coordinated so that necessary tasks can be completed and business goals can be met. Here, we provide a brief introduction to business management, outlining the competencies required and the duties of a business manager on a daily basis.To Learn more About business management refer to :
https://brainly.com/question/1276995
#SPJ4
kimball corporation issued $90,000 in bonds for $87,000. the bonds had a stated rate of 8% and pay interest quarterly. what is the journal entry to record the sale of the bonds?.
The journal entry to record the transaction is: -
Interest expense A/c.......Dr. $2,175
Discount on bonds payable A/c.......Cr. $375
Cash A/c.................Cr 1,800
Bonds are classified as debt instruments that are typically offered to lenders by the entity that is borrowing money. They are issued for a predetermined time period and at a predetermined interest rate. The interest on the bonds is fixed for the bondholders, and the bonds are repaid on the maturity date.
Face value of bonds = $90,000
Issue price of the bonds = $87,000
Discount on bonds payable is calculated as follows:
Discount on bonds payable:
Face value−issue price=$90,000−$87,000=$3,000
The journal entry to record the first interest payment is prepared as follows:
Interest expense ($1,800 + $375) A/c.......Dr. $2,175
Discount on bonds payable ($3,000/8) A/c.......Cr. $375
Cash ($90,000 × 8% × (3/12)) A/c.................Cr 1,800
(to record the interest payment to bondholders)
It is assumed that the bond is issued for two years. There will be eight quarterly payments and therefore, the discount will be amortized over 8 periods.
Learn more about bonds:
https://brainly.com/question/23266047
#SPJ4
non est factum is based not only on the principle of placing loss on the person guilty of carelessness, but also upon recognition of the need for certainty and security in commerce. for these reasons, the application of the principle d) needs to be decided by a jury. b) must always result in the unenforceability of the contract. a) must always result in the enforcement of the contract. c) must depend on the circumstances of each case. e) because of its equitable nature, needs to be decided by a judge alone.
Non est factum is based not only on the principle of placing loss on the person guilty of carelessness but also upon recognition of the need for certainty and security in commerce. for these reasons, the application of the principle needs to be decided by a jury.
A jury is a sworn frame of people convened to hear evidence and render an impartial verdict (a locating of fact on a question) formally submitted to them via way of means of a court, or to set a penalty or judgment.
Juries evolved in England for the duration of the Middle Ages and are an indicator of the English not-unusual place law system. As such, they may be utilized by the United Kingdom, the United States, Canada, Ireland, Australia, and different international locations whose felony structures had been derived from the British Empire. But maximum different international locations use versions of the European civil law or Islamic law structures, wherein juries aren't usually used.
Learn more about jury here
https://brainly.com/question/29303951
#SPJ4
the person most likely to conduct an interview with the client to obtain feedback on the projects team's performance is a(n) . senior manager accountant vendor staff person laborer
A senior manager is the most likely to hold an interview with the customer to seek feedback on the project team's performance. Thus, the right option is the senior manager.
What are the senior manager's responsibilities?Senior managers plan and direct a group of people inside a company or department. A senior manager's responsibility is to supervise that person in order to guarantee that business operations operate smoothly and that each individual's performance satisfies corporate and industry standards.
Responsibilities of a senior manager:
Managers must be guided, mentored, and managed. Approve requests for employment and dismissal.Establish organizational goals.Make difficult choices.Budgets for departments are managed.Improve staff performance.To learn more about management, click
https://brainly.com/question/28017308
#SPJ4
starting from short-run equilibrium, the following occurs: the u.s. dollar depreciates and wage rates rise. moreover, the effect on the economy from the dollar depreciating is stronger than the effect on the economy from rising wage rates.what is the effect on the price level and real gdp in the short run? a. the price level falls and real gdp falls. b. the price level rises and real gdp falls. c. the price level falls and real gdp rises. d. the price level rises and real gdp rises.
The effect on the price level and Real GDP in the short run is that the the price level rises and real GDP rises.
There is a close relationship between GDP and prices. When GDP is high, price is usually high as well. This is because when the economy is doing well, people have more money to spend, and businesses can wage more for their goods and services.
When GDP is low, prices are usually low as well. This is because when the economy is struggling, people have less money to spend, and businesses have to charge less to attract customers. The GDP growth rate is a key indicator of the health of an economy.
Hence, the correct option is "D".
To know more about GDP, click here.
https://brainly.com/question/15682765
#SPJ4
An FHA loan made last year may be assumed:
-only by a buyer who intends to occupy the property
-only by a buyer who intends to occupy the property as a primary residence
-only by a buyer who has had an FHA loan before
-by any buyer, regardless of whether he intends to occupy the property
Loans after that date may also be assumed, but the Federal Housing Administration requires a" creditworthiness supposition process". Simple hypotheticals may not bear FHA blessing, but the borrower and lender must work out the details together.
What happens to the property?For all loans after the 1986 cut off date, FHA blessing and borrower credit verification are needed. The" new" FHA rules governing loan supposition requires the borrower to qualify important in the same way he or she'd qualify for any other FHA home loan.
A loan supposition credit check is done in the same way as the procedure for any FHA loan operation. Loan hypotheticals can not offer more lenient credit check programs or more strict bones
According to the FHA, under the" Determining if an Assumptor is Creditworthy" rule," The lender who's the holder or servicer of the mortgage determines the creditworthiness of the assumptor, in agreement with standard mortgage credit analysis conditions. The Direct Countersign( DE) lender may also use an approved authorized agent to reuse hypotheticals."
To know more about Federal Housing Administration (FHA) visit:
brainly.com/question/14365664
#SPJ4
a firm has the following order history over the last 6 months (see appended information). what would be a 4-month weighted moving average forecast for july using weights of 30% for the most recent month, 50% for the month preceding the most recent month and 40% for the month preceding that one and 20% for the last month? is the actual demand over the last four months indicative of a trend (i.e. time series trend characteristic) according to company forecasters?
A : 137.5
June is the most recent month.
May is the month preceding the most recent month.
April is the preceding month.
March was the previous month.
Actual Demand over the last four months = (Demand- June * 0.3) + (Demand - May * 0.5) + (Demand-April *0.4) + (Demand - March *0.2)
Actual Demand over the last four months = (25* 0·3)+ (200*0.5) + (25*0₁4) + (100 * 0.2)
Actual Demand over the last four months = 7.5 +100+10+20
Actual Demand over the last four months = 137.5
Therefore, A = 137.5
Furthermore, we can see a pattern in which the odd months have a high interest while the even months have low interest; thus, keeping the pattern in mind, the interest for July is very high. As a result, the correct option is A = 137.5, the Actual Demand over the last four months
To learn more about Actual Demand, please refer:
https://brainly.com/question/14931348
#SPJ4
The complete question is:
A firm has the following order history over the last 6 months (see appended information). what would be a 4-month weighted moving average forecast for July using weights of 30% for the most recent month, 50% for the month preceding the most recent month and 40% for the month preceding that one and 20% for the last month? is the actual demand over the last four months indicative of a trend (i.e. time series trend characteristic) according to company forecasters?
Month Actual Demand
January 120
February 95
March 100
April 25
May 200
June 25
Answer options:
A. 137.5
B. 137.5
C. 40
D. 42.5
E. 40
a corporate bond has a face value of $1,000 and a coupon rate of 9%. the bond matures in 14 years and has a current market price of $946. if the corporation sells more bonds, it will incur flotation costs of $26 per bond. if the corporate tax rate is 35%, what is the after-tax cost of debt capital? group of answer choices 8.18% 6.56% 7.31% 5.57%
If the corporation sells more bonds, it will suffer flotation fees of $26 per bond. If the company tax rate is 35%, [Cost of debt = 1000*9/100 = 90] Add: Floatation Cost=26. Total Cost per bond After tax= 116(1-0.35)=75.4.
A company is a legal entity that exists apart from its owners. Corporations have many of the same rights and obligations as persons under the law. They can enter into contracts, lend and borrow money, sue and be sued, hire people, possess assets, and pay taxes. A corporation is legally distinct from its owners. Corporations have many of the same legal rights and obligations as individuals.
A key feature of a corporation is limited liability, which means that its shareholders are not personally liable for the company's debts. A company can be formed by an individual or by a group of people who share a same aim. This may not always imply making a profit.
Learn more about tax rate here
https://brainly.com/question/12395856
#SPJ4
suppose a timing element is added to the game, and that jordan buys a ticket first. while lee did not see which ticket jordan bought, lee does know the values in the payoff matrix and that jordan has purchased first. assuming that jordan and lee are both self-interested, lee can infer select one: a. that jordan bought a ticket for the documentary. b. that jordan did not exploit the first-mover advantage. c. that jordan bought a ticket for the comedy. d. that jordan's threat to buy a ticket for the comedy is not credible.
Let's say there is a timing component introduced to the sport, and Jordan purchases a ticket first. Lee then purchases a ticket after witnessing Jordan's selection. There will be two Nash equilibria as a result.
What characteristics define a successful outcome?Realistic, measurable, and detailed outcome statements are good. Consider carefully what you can actually accomplish in light of the target demographics and the extent of your available resources. Develop the following results: • Your outcomes should specify what you hope will occur once your action is finished.
Which four outcomes are there?To offer you a bit more context, I figured I'd speak about those effects. Consequences fall within one of four quadrants. There are four types of punishment: positive punishment, negative punishment, and positive reinforcement.
To know more about outcome visit :
https://brainly.com/question/17238771
#SPJ4
a core country company moves fabric production to a periphery nation where labor costs are lower, and there is less governmental oversight of working conditions. which term best defines this model?
Flexible accumulation is the term that defines If a company relocates to a less developed country where labour expenses are cheaper.
what is Flexible accumulation ?In response to competition from newly industrialising and less developed countries as well as the saturation and fragmentation of markets within more economically developed countries, innovative industrial technologies, adaptable inter-firm relations, variable organisational structures, and flexible consumption have been used.
In the middle of the 1980s, most Western nations experienced an economic boom thanks to the emergence of flexible accumulation. This economic boom had the effect of paving the way for the inclusion of environmental issues on the political agenda.
Harvey claims that the shift to flexible accumulation has involved two key changes. The first is the evolution of knowledge. The second, however, is the expansion of global finance's influence.
To learn more about Flexible accumulation refer :
https://brainly.com/question/15694235
#SPJ4
find the agi and taxable income: responses $12,400 and $11,270 $12,400 and $11,270 $23,670 and $11,270 $23,670 and $11,270 $23,670 and $12,400 $23,670 and $12,400 $11,270 and $23,670 $11,270 and $23,670
The AGI and taxable income is $23,670 and $11,270.
AGI calculation can be done as follows:
It is determined by subtracting certain deductions or "adjustments" that can be claimed from gross income subject to income tax, such as employment, dividends and interest from bank accounts.
AGI is calculated before any standard or specific deductions recorded in later sections of the tax return.
We have given that,
Gross income = $23670
1 Exemption = $12400
Adjustment = 0
Deduction = 0
Find AGI and Taxable income
AGI = Adjusted gross income
we know,
AGI = Total income - Any deduction or any adjustment
AGI = ($23,670 + $12400) - (0 + 0)
AGI = $36070
Now, Calculate taxable income
Taxable income = Gross income - 1 Exemption
= $23670 - $12400
= $11,270
Hence, the AGI and taxable income is $36,070 and $11,270
Learn more about taxable income https://brainly.com/question/1160723
#SPJ4