An Aribraska resident who earns $32,000 would owe how much in taxes? a. $1,300 b. $1,600 c. $1,740

Answers

Answer 1

They would owe $1,920 x 6% = $1,300 in taxes. Answer: a.)  $1,300

An Aribraska resident who earns $32,000 would owe $1,300 in taxes. Explanation:To determine how much an Aribraska resident who earns $32,000 would owe in taxes, we need to consider the tax brackets for Aribraska, which are as follows:

2% on the first $4,999 of taxable income 3% on taxable income between $5,000 and $9,999 .

4% on taxable income between $10,000 and $19,999 5% on taxable income between $20,000 and $29,999 6% on taxable income between $30,000 and $39,999 7% on taxable income between $40,000 and $49,999 8% on taxable income between $50,000 and $74,999 9% on taxable income between $75,000 and $99,999 10% on taxable income over $100,000..
If an Aribraska resident earns $32,000, they fall into the 6% tax bracket, which means they owe 6% of their taxable income in taxes. To determine their taxable income, we need to subtract any applicable deductions from their gross income.Gross income - deductions = taxable income.

Assuming no deductions, the taxable income for someone who earns $32,000 would be $32,000.Substituting into the formula:

Taxes owed = tax rate x taxable income

Taxes owed = 0.06 x $32,000

Taxes owed = $1,920

The taxes owed is $1,920, but we need to remember that only a portion of their income is taxable.

So, we need to subtract any applicable deductions before calculating the taxes owed.

If there are no deductions, then the Aribraska resident who earns $32,000 would owe 6% of their taxable income in taxes.

Therefore, they would owe $1,920 x 6% = $1,300 in taxes. Answer: a.)  $1,300

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Related Questions

You currently have $179,000 in a bond account. You plan to add $6,100 per year at the end of each of the next 10 years to your bond account. The bond account will earn a return of 7.75 percent in each of the next 10 years. How much will you have when you retire? Do not round intermediate calculations and round your final answers to 2 decimal places. Enter values as 32.16, no dollar sign, no comma separator.

Answers

After 10 years, you will have approximately $329,948.57 in your bond account when you retire.

To calculate the final amount in your bond account when you retire, we can use the future value of an ordinary annuity formula. The initial amount in your account is $179,000, and you will add $6,100 per year for 10 years. The annual interest rate is 7.75 percent.

Using the future value of an ordinary annuity formula, the calculation is as follows:

FV = P * ((1 + r)^n - 1) / r

Where FV is the future value, P is the annual payment, r is the interest rate, and n is the number of years.

Plugging in the values, we get:

FV = $6,100 * ((1 + 0.0775)^10 - 1) / 0.0775

FV ≈ $329,948.57

Therefore, when you retire, you can expect to have approximately $329,948.57 in your bond account.

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You are currently estimating tasks on a new project and you are able to estimate the near-term tasks more accurately than those further out in the future. This is an example of which of the following factors that can influence estimate quality?
Group of answer choices
A. People
B. Planning horizon
C. Padding Estimates
D. Inflation
E. Age

Which of the following is a hierarchical breakdown of all the work to be completed on a project?

Group of answer choices
A. Gantt Chart

B. Work Breakdown Structure

C. Project Network

D. Organizational Breakdown Structure

E.Responsibility Assignment Matrix

Answers

The given scenario in which the estimation of near-term tasks is more accurate than future tasks, is an example of which of the following factors that can influence estimate quality is the planning horizon.

According to the Project Management Institute, the planning horizon is one of the factors that can affect the quality of an estimate. The term refers to the duration of time in which a project can be effectively planned with reasonable certainty, and it is generally broken down into three categories: short-term, medium-term, and long-term. For example, if a project's planning horizon is one year, estimates for tasks that must be completed within the first six months will be more reliable than those for tasks that are scheduled for the final six months.As per the given options, "Planning horizon" is the correct answer.The hierarchical breakdown of all the work to be completed on a project is known as the work breakdown structure. Hence, the correct option is B. Work Breakdown Structure. A work breakdown structure is a detailed and comprehensive project management tool that is used to identify and divide a project's activities into smaller, more manageable pieces.

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Broker Marco was showing a tract of land with irregular boundaries. When asked about a boundary, Marco indicated that it ran from the edge of the stone wall to the creek. He knew that this was not exactly accurate, but it was pretty close to the actual line. After the buyer entered into contract, she was shown a survey which reflected the true boundary. Was Marco guilty of misrepresentation?

Select one:
A. No, verbal statements are not binding
B. No, the buyer was responsible for having the property surveyed
C. Yes, the broker was responsible for verifying the official records
D. Yes, because he knew his statement was not completely accurate.

Answers

Yes, Marco was guilty of misrepresentation. An agent has a responsibility to provide accurate information regarding the property they are selling.

The correct option is D

In this scenario, Marco provided an incorrect statement of the boundary line, knowing it was not entirely accurate.Broker Marco's conduct can be considered a misrepresentation. He knew that the boundary line ran differently than he had indicated to the buyer, but he provided inaccurate information to make the sale. Therefore, Marco is guilty of misrepresentation. Verbal statements, in general, are binding in real estate.

However, there are situations in which they can be used as evidence in a court of law. In addition, it is the agent's responsibility to be aware of the property's actual boundaries. Finally, it is not the buyer's responsibility to have the property surveyed. They have the right to rely on the agent's statement, which is provided in good faith.The correct option is D.

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thank you!
Red River Bakery purchases land, building, and equipment for a single purchase price of $480,000. However, the estimated fair values of the land, building, and equipment are $145,000, $377,000, and $5

Answers

The amounts Red Rock should record in the separate accounts for the land is $119,138, the building is $311,517, and the equipment is $49,345.

The values that Red Rock Bakery should record in the separate accounts for land, the building, and the equipment can be calculated as follows:

1. Land = Cost / Total Fair Value × Fair Value

Land = $480,000 / $580,000 × $145,000

Land = $119,138

2. Building = Cost / Total Fair Value × Fair Value

Building = $480,000 / $580,000 × $377,000

Building = $311,517

3. Equipment = Cost / Total Fair Value × Fair Value

Equipment = $480,000 / $580,000 × $58,000

Equipment = $49,345

Therefore, the amounts that Red Rock Bakery should record in the separate accounts for the land, the building, and the equipment are: $119,138 for the land, $311,517 for the building, $49,345 for the equipment

Note: The question is incomplete. The complete question probably is: Red Rock Bakery purchases land, building, and equipment for a single purchase price of $480,000. However, the estimated fair values of the land, building, and equipment are $145,000, $377,000, and $58,000, respectively, for a total estimated fair value of $580,000 Required: Determine the amounts Red Rock should record in the separate accounts for the land, the building, and the equipment.

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Examples of promoting the general welfare of society include all of the following except ________.
A) making charitable contributions
B) supporting public radio stations
C) becoming involved in local schools
D) using appropriate accounting procedures

Answers

Examples of promoting the general welfare of society include making charitable contributions, supporting public radio stations, and becoming involved in local schools. However, using appropriate accounting procedures is not an example of promoting the general welfare of society.

Using appropriate accounting procedures is not directly related to promoting the general welfare of society. While it is important for businesses and organizations to maintain accurate and ethical accounting practices, it is not a specific action that directly contributes to the well-being or betterment of society as a whole.

On the other hand, making charitable contributions involves donating resources or funds to support causes and initiatives that address social issues and improve the lives of individuals or communities. Supporting public radio stations helps ensure access to quality educational and informational content for the public. Becoming involved in local schools allows individuals or organizations to contribute to the education and development of future generations.

In summary, using appropriate accounting procedures is not an example of promoting the general welfare of society. Instead, actions such as making charitable contributions, supporting public radio stations, and becoming involved in local schools have a more direct impact on enhancing the well-being and welfare of society.

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Discuss the challenges of career planning given the statistic that college graduates will ""face five to seven career changes"".

Answers

The fact that college graduates will "face five to seven career changes" presents significant challenges for career planning. This means that it is increasingly important for individuals to have a well-defined plan for their career path in order to navigate through this reality.

First, career planning can be challenging due to the constant shifts and changes in the job market. The demand for certain skills may change, and new jobs may emerge while others may disappear. This creates a need for continuous learning and adaptation to remain competitive. Secondly, the traditional linear career path has been replaced by a more fluid and flexible career model.

Many graduates may work in jobs that do not align with their degree or education background. Therefore, the focus of career planning should be on acquiring transferable skills that can be applied in multiple industries rather than solely on specific job titles. Thirdly, career planning must be a dynamic process that evolves with the individual. It is important to be open to new opportunities, to continually assess and evaluate one's skills, and to take proactive steps to enhance those skills. As a result, career planning is not a one-time event, but an ongoing process that requires effort and time. In conclusion, the challenges of career planning arise due to the fact that individuals must navigate through a constantly changing job market and career landscape. By focusing on acquiring transferable skills, remaining flexible, and being proactive, graduates can be better equipped to manage the challenges and changes that come with multiple career transitions.

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Compare the differences in accounting treatment for goodwill between U.S. GAAP and IFRS.

Answers

Under both U.S. GAAP and IFRS, goodwill is an intangible asset that arises when a company acquires another company at a cost greater than the fair value of the identifiable net assets obtained.

In the US, the Financial Accounting Standards Board (FASB) sets Generally Accepted Accounting Principles (GAAP), while the International Accounting Standards Board (IASB) sets International Financial Reporting Standards (IFRS). There are several significant differences between U.S. GAAP and IFRS regarding the accounting treatment for goodwill. The following are some of the differences:- Goodwill is tested for impairment annually at a minimum under both U.S. GAAP and IFRS. U.S. GAAP uses a two-step process to test goodwill for impairment, while IFRS requires a one-step process. Furthermore, IFRS allows for a reversal of the impairment charge, while U.S. GAAP does not.- Under U.S. GAAP, goodwill is tested for impairment at the reporting unit level, while under IFRS, goodwill is tested at the cash-generating unit level.- Under U.S. GAAP, goodwill is amortized over its useful life, which is not to exceed 40 years, while under IFRS, goodwill is not amortized, but tested for impairment at least annually.- Under U.S. GAAP, the impairment charge is based on the fair value of the reporting unit or the fair value of the goodwill, while under IFRS, the impairment charge is based on the recoverable amount, which is the higher of the asset's fair value less costs to sell and its value in use. These are some of the differences between the accounting treatment for goodwill under U.S. GAAP and IFRS.

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A speculator has bought a 5-year single-name Credit Default Swap (CDS) on a reference entity in which the speculator is the party paying the periodic spread. Since buying the CDS, the creditworthiness of the reference entity has improved, and the likelihood of default by the reference entity has decreased. The speculator will therefore make a mark-to-market gain on the CDS.

Answers

The speculator will therefore make a mark-to-market gain on the CDS is true. A Credit Default Swap (CDS) is a form of credit derivative. It offers an insurance-like service that allows investors to hedge against credit risks and the possibility of default.

A Credit Default Swap (CDS) is a type of swap contract in which the protection seller guarantees the buyer of the CDS protection against credit risk. Credit risk refers to the probability of default or the probability of not receiving payment on an obligation on time. A speculator has bought a 5-year single-name Credit Default Swap (CDS) on a reference entity in which the speculator is the party paying the periodic spread. Since buying the CDS, the creditworthiness of the reference entity has improved, and the likelihood of default by the reference entity has decreased. The speculator will therefore make a mark-to-market gain on the CDS.

The price of the CDS will increase as a result of the improvement in creditworthiness. The speculator's mark-to-market profit is determined by the amount that the CDS price has increased from the time of purchase to the present day. The speculator would have profited from the decrease in the credit risk of the reference entity. As a result, the speculator will receive a higher price if he sells the CDS on the secondary market.

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During the Trump Administration, the EPA announced that it was revoking California's waiver that allowed the State to set stricter vehicle emission standards than those contained in federal law. This is a Commerce Clause issue in that individual states may not enact laws that burden interstate commerce. California was granted a waiver in the 1960's in order to address their unique problems with air pollution. The EPA sued California and several automakers who supported retaining the stricter standards. The EPA lost the case in federal court so the California standards will remain in effect for now. The EPA has also relaxed standards for industry related to methane gas emissions for certain industries and rules related to protection of waterways and wetlands. Deregulation of various industries has been a priority when the Republican party has been in power, dating back to the Reagan Administration. The positive effect is, in theory, less governmental oversight and regulation allows businesses to grow and become more profitable. The fundamental idea is that business and the markets do a better job regulating industry than the government does. The downside is that less control of business and industry relies heavily on their being good corporate citizens and policing themselves. This concerns many people as it relates to health, the environment and issues associated with climate change. Do you feel less government regulation has a positive effect on the economy? Do you think that business and industry will make decisions based on maximizing profits or will they consider their responsibilities to society as a whole? Can you cite some examples of businesses that recognize their duty to society and some that do not?

Answers

Less government regulation may have a positive effect on the economy, but it also has some negative effects on the environment and public health. Businesses will likely prioritize maximizing profits over their social responsibilities, and some have failed to recognize the need to be good corporate citizens.

Less government regulation in the United States may have a positive effect on the economy as it reduces governmental oversight and regulation that permits businesses to develop and become more profitable. As a result, businesses will be able to spend more on research and development, leading to the creation of new products and services that can increase economic growth and create employment. However, it is important to remember that reducing regulation may also have a negative effect on the environment and public health. Industries may be less attentive to the ecological impact of their activities and the effect on public health due to lower regulatory controls. Therefore, it is essential to maintain a balance between economic growth and the environment/business regulations.Businesses and industry leaders prioritize maximizing profits, which is their primary goal. Many firms pursue methods that do not take into account their social responsibilities, even if they may have an adverse effect on society. As a result, it is the responsibility of the government to establish guidelines that encourage businesses to conduct themselves as responsible corporate citizens. For example, after the 2008 global economic crisis, many banks were heavily fined for their irresponsible practices in the United States.

By recognizing the need to be good corporate citizens, businesses can assist in maintaining a healthy environment while also contributing to the welfare of the society as a whole. Examples of businesses that recognize their duty to society are, Ben and Jerry’s Ice Cream Company is an example of a firm that places a high value on social responsibility. The business invests in charitable initiatives, particularly those that target environmental conservation and food justice. Tom’s Shoes is a business that donates a portion of its revenue to children in need. For every pair of shoes they sell, they donate one pair to a child in need. Patagonia is a business that makes outdoor clothing that is environmentally friendly. The company is committed to corporate social responsibility and donates at least 1% of its revenue to support environmental causes. Examples of businesses that do not recognize their duty to society are, In 2007, Mattel had to recall 19 million toys that were produced in China. The company later admitted to using lead paint to make the toys, In 2010, the BP oil spill caused widespread ecological damage in the Gulf of Mexico. BP's disregard for the safety of the environment was apparent, and the company was criticized for putting profits over safety.

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The self parameter is required in every method of a class.
T
A class can be thought of as a blueprint that can be used to create an object.
T
The self parameter need not be named self but it is strongly recommended to do so, to conform with standard practice.

Answers

True. The self parameter is required in every method of a class. Therefore, it is a best practice to use self instead of any other name.

A class is a code template for creating objects. Objects have member variables and have behavior associated with them. In python, a class is created by the keyword class. The basic syntax of class creation is shown below:class ClassName:    #statement-blockThe self-parameter is a mandatory parameter to be added in each method of a class. Self is a reference parameter that refers to the instance of the class.

Whenever an object is created for a class, the self parameter gets passed implicitly to each method defined in the class and it points to the object created. If you try to call a class method without the self parameter, it will throw an error. Therefore, it is mandatory to include the self parameter in every method of the class.The self parameter need not be named self but it is strongly recommended to do so, to conform with standard practice. This helps other programmers to understand the code better and will be able to give constructive feedback. The self keyword is not a reserved keyword in Python, but it is a widely used convention among Python developers to use self to represent an instance of a class.

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Q55
Which of the following are the components in the risk management framework?
Setting the mandate and commitment to the framework
Designing the framework
Evaluating the framework
Setting out the risk management process of the framework
Monitoring the framework
Choose the correct combination:
Select one:
a.
a,b,c
b.
a,b,e
c.
a,b,c,e
d.
a,b,c,d,e
Q56
Information technology tools include …
Select one:
a.
network systems.
b.
telematics.
c.
broadband.
d.
operational research.
Q58
Which of the following are typical key performance indicators (KPI’s) used in a business?
a Credit management
b Control risk indicators
c Employee performance
d Model risk factors
Choose the correct combination:
Select one:
a.
a,c
b.
a,b,d
c.
a,b,c
d.
a,b,c,d
Q58
Which one of the following factors are considered to be part of PEST analysis?
Select one:
a.
Economics
b.
Ergonomics
c.
Environment
d.
Ecology
59
The … is the discount rate that makes net present value equal to 0.
Select one:
a.
payback period
b.
net present value
c.
average rate of return
d.
internal rate of return
Q60
Which one of the following is a typical output of the risk identification stage?
Select one:
a.
Risk register
b.
Lessons learnt
c.
Industry betas
d.
Profit and loss account

Answers

The correct answers are Q55: c. a,b,c, Q56: a. network systems, Q58: c. a,b,c, Q59: a. Economics, Q60: a. Risk register

Q55: To determine the correct combination, we need to identify which components are part of the risk management framework mentioned in the question.

The components mentioned in the question are

Setting the mandate and commitment to the framework

Designing the framework

Evaluating the framework

Setting out the risk management process of the framework

Monitoring the framework

Looking at the options

Option a includes components a, b, and c, but does not include component e. So, it is not the correct combination.

Option b includes components a and b, but does not include component e. So, it is not the correct combination.

Option c includes components a, b, c, and e. It includes all the components mentioned in the question, so it is a possible correct combination.

Option d includes all the components mentioned in the question, as well as an additional component d. Since component d is not mentioned in the question, this option is not the correct combination.

Therefore, the correct combination for the components of the risk management framework is c. a, b, c, e.

Q56: we need to identify the information technology tools among the options provided. Option a: Network systems are a type of information technology tool that facilitates communication and data transfer between different devices and systems. This is a valid option.

Q58: The question asks for the typical key performance indicators (KPIs) used in a business. Options a, b, and c (credit management, control risk indicators, and employee performance) are commonly used KPIs in businesses. Option d (model risk factors) is not typically considered a KPI. Therefore, the correct combination is a, b, c.

Q59: PEST analysis refers to the analysis of the external factors that affect a business. The acronym PEST stands for Political, Economic, Social, and Technological factors. Among the options provided, option a (Economics) is one of the factors considered in PEST analysis. Options b (Ergonomics), c (Environment), and d (Ecology) are not directly related to PEST analysis. Therefore, the correct answer is a. Economics.

Q60: The risk identification stage in risk management involves identifying and documenting potential risks. The typical output of this stage is a risk register, which is a comprehensive list of identified risks. Options b (Lessons learnt), c (Industry betas), and d (Profit and loss account) are not directly related to the output of the risk identification stage. So, the correct answer is A).

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TRUE / FALSE. Question 2. PART B (10 points) (1) According to purchasing power parity, high inflation countries tend to experience nominal appreciations. True or False? Explain in no more than two or three sentence

Answers

True. According to purchasing power parity, high inflation countries tend to experience nominal appreciations.

According to the purchasing power parity (PPP), the nominal exchange rate between two currencies should be equal to the ratio of the general price level of the two countries. In other words, the exchange rate should adjust to reflect differences in inflation rates between countries. If a country has higher inflation, then its goods will become relatively more expensive compared to other countries. Therefore, the currency of that country should depreciate in order to compensate for the higher prices. Conversely, if a country has lower inflation, then its goods will become relatively cheaper compared to other countries. Therefore, the currency of that country should appreciate to reflect the cheaper prices.So, it is true that high inflation countries tend to experience nominal appreciations under PPP, as their currencies will need to appreciate to reflect the higher prices in order to maintain the same level of purchasing power. Conversely, low inflation countries tend to experience nominal depreciations under PPP, as their currencies will need to depreciate to reflect the lower prices in order to maintain the same level of purchasing power.

Therefore, it is true that high inflation countries tend to experience nominal appreciations according to purchasing power parity.

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An online advertising agency charges its clients based on the number of people clicking on the advertisement for a fixed period. this is an example of which funding methods?

Answers

The online advertising agency charging its clients on the basis of the number of people clicking on their ads  of a "pay-per-click" funding method. "Pay-per-click" is a type of online advertising pricing model where advertisers pay each time a user clicks on their ad.

 the advertisers are charged only when users click on their ads. Pay-per-click (PPC) is an advertising pricing model that allows businesses to pay for each click on their advertisements. It's a cost-effective way to get new clients because the advertiser is charged only when users click on the ad. The online advertising agency charges clients for a set period of time based on the number of people clicking on the advertisement is an example of "pay-per-click" funding methods.

It’s a more efficient way to pay for advertising than the traditional advertising models like TV or Radio where businesses must pay for the ad to be broadcasted for a set period of time, regardless of the number of people who see it. With pay-per-click, the businesses only pay when their ad is clicked on by a user.  it's a more effective way to get the desired results from the advertising campaign. Hence, the main answer is that the online advertising agency charging its clients based on the number of people clicking on their advertisement for a fixed period is an example of the "pay-per-click" funding method.

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Direct marketing is better than conventional marketing for testing because of the awarded tight control which direct marketers have over the campaign elements. by lecturer Analyze reasons why testing is better suited in direct marketing compared to conventional marketing.

Answers

Direct marketing is better suited for testing compared to conventional marketing due to the tight control that direct marketers have over campaign elements.

Direct marketing refers to marketing strategies that involve direct communication with individual customers or target segments. It allows marketers to have greater control over various campaign elements, including audience targeting, message customization, timing, and measurement. This tight control enables direct marketers to conduct effective testing and experimentation to optimize their campaigns.

In direct marketing, marketers can easily segment their audience and target specific customer groups with tailored messages and offers. This allows for more accurate testing of different variables, such as different offers, pricing strategies, creative elements, or communication channels. Direct marketers can conduct A/B testing or multivariate testing to measure the impact of these variables and make data-driven decisions.

Furthermore, direct marketing often relies on measurable response metrics, such as click-through rates, conversion rates, or sales attribution. This data-driven approach provides direct marketers with valuable insights into the performance of their campaigns, allowing them to make informed adjustments and improvements based on the test results.

In contrast, conventional marketing, such as mass advertising or broadcast media, may have limited control over audience targeting and less precise measurement of campaign effectiveness. This makes it more challenging to conduct meaningful tests and evaluate the impact of specific campaign elements.

Overall, the tight control and measurable nature of direct marketing make it a preferred approach for testing and optimization compared to conventional marketing.

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The growth in dividends of Torque, Inc. is expected to be 9.2% per year for the next two years, followed by a growth rate of 4.6% per year for two years. After this four-year period, the growth in dividends is expected to be 3.6% per year, indefinitely. The required rate of return on Torque, Inc. is 11%. Last year's dividends per share were $3.05. What should the stock sell for today? Choose the closest answer.

a.
$44.01

b.
$46.78

c.
$45.43

d.
$48.05

Answers

The growth in dividends of Torque, Inc. is expected to be 9.2% per year for the next two years, followed by a growth rate of 4.6% per year for two years. After this four-year period, the growth in dividends is expected to be 3.6% per year, indefinitely.

The correct option is C.

The required rate of return on Torque, Inc. is 11%. Last year's dividends per share were $3.05. What should the stock sell for today? The stock should sell for $45.43 today. We are given the following information: Growth in dividends for the next two years: 9.2% per year Growth rate for the following two years: 4.6% per year After this four-year period, growth rate: 3.6% per year Last year's dividends per share: $3.05Required rate of return on Torque, Inc.: 11%Since the company is expected to have different dividend growth rates for the first four years and a constant growth rate thereafter, we can use the Gordon Growth Model to find the current price of the stock.

P = (D1) / (r-g)D1 = Dividend expected in year 1r = Required rate of return on the stock g = Growth rate of dividends in perpetuity Year 1 dividend = (1+ growth rate for first two years) x Last year’s dividend= (1 + 9.2% + 9.2%) x $3.05= $3.05 x 1.1844= $3.62Year 2 dividend = (1 + growth rate for first two years) ^2 x Last year’s dividend= (1 + 9.2% + 9.2%)^2 x $3.05= $3.05 x 1.3968= $4.27Year 3 dividend = Year 2 dividend x (1 + growth rate for next two years)= $4.27 x (1 + 4.6% + 4.6%)= $4.98Year 4 dividend = Year 3 dividend x (1 + growth rate for next two years)= $4.98 x (1 + 4.6% + 4.6%)= $5.81.

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In at least 150 words describe the mission of the
Securities and Exchange Commission (SEC).

Answers

The mission of the Securities and Exchange Commission (SEC) is to protect investors, maintain fair and efficient markets, and facilitate capital formation in the United States.

The SEC's primary goal is to protect investors by enforcing federal securities laws and promoting transparency and disclosure in the financial markets. It works to ensure that investors have access to accurate and complete information about investment opportunities, and that companies follow rules designed to prevent fraud and misconduct. Additionally, the SEC aims to maintain fair and efficient markets by regulating securities exchanges, brokers, and other market participants to promote fair competition and prevent market manipulation. Finally, the SEC plays a crucial role in facilitating capital formation by creating and enforcing regulations that enable companies to raise capital through public offerings and other means, thereby supporting economic growth and job creation.

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Other than aggregate amounts (e.g., total current assets, total assets, etc., which are must the sum of appropriate individual accounts), the data in the table on the left below represents ALL of the accounts listed on the Saywer, Inc. December 31, 2021 balance sheet and the table on the right below shows some of the accounts (i.e., selected accounts) from the Saywer, Inc. income statement for the year that ends December 31, 2021. Saywer, Inc. Saywer, Inc. All Accounts on 2021 Balance Sheet Selected Accounts from 2021 Income Statement (All figures in dollars) (All figures in dollars) Accounts payable 11,700 Sales 1,138,700 Accounts receivable 35,700 COGS 538,200 Accruals 3,800 Depreciation 18,900 87,600 Accumulated depreciation 109,800 Net income Capital surplus 276,500 Cash 15,200 Common stock 83,000 Current portion of LT debt 4,400 Gross fixed assets 675,600 Inventory 86,100 Land 187,200 Long-term debt 387,100 Notes payable 8,600 Retained earnings 114,900 Using the data in these tables, find the following ratio: Saywer, Inc.'s Accounts Payable Days (assume a 360 day year) for 2021 =

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To calculate Saywer, Inc.'s Accounts Payable Days for 2021, we need to use the formula: Accounts Payable Days = (Accounts Payable / COGS) * 360. Given the data provided, Saywer, Inc.'s Accounts Payable Days for 2021 is approximately 77.1 days.

To calculate the Accounts Payable Days ratio, we need two pieces of information: Accounts Payable and Cost of Goods Sold (COGS). According to the table, Accounts Payable is $11,700 and COGS is $538,200.

The formula for calculating Accounts Payable Days is:

Accounts Payable Days = (Accounts Payable / COGS) * 360

Plugging in the values, we get:

Accounts Payable Days = ($11,700 / $538,200) * 360

                     = 0.0217 * 360

                     ≈ 7.81 * 360

                     ≈ 77.1 days

Therefore, Saywer, Inc.'s Accounts Payable Days for 2021 is approximately 77.1 days. This ratio represents the average number of days it takes for Saywer, Inc. to pay its accounts payable based on its cost of goods sold. It indicates the company's ability to manage its short-term liabilities and reflects its payment practices with suppliers.

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According to principles of behavioral economics, we as human beings tend to put undue weight on recent events and too little weight on far off events (or benefits). As an example, we as human skipping our daily exercise routine to watch TV NOW is more compelling than NOT skipping your daily exercise routine and watching TV LATER. O True O False

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True. According to principles of behavioral economics, we as human beings tend to put undue weight on recent events and too little weight on far off events (or benefits).

According to principles of behavioral economics, humans tend to exhibit a cognitive bias known as "present bias" or "hyperbolic discounting." This bias refers to our tendency to prioritize immediate rewards or benefits over larger, delayed rewards or benefits.

In the given example, choosing to watch TV now and skipping the exercise routine is more compelling because the immediate pleasure of watching TV outweighs the long-term benefits of maintaining a healthy exercise routine.

This bias can have significant implications in decision-making, as it often leads to choices that prioritize short-term gratification over long-term goals. It can hinder our ability to make rational and optimal decisions that align with our long-term well-being or objectives.

The statement is true. The human tendency to place greater importance on immediate events and rewards, while undervaluing future events and benefits, is a well-documented phenomenon in behavioral economics.

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Rizal figures that the two largest expenses down the road would be those related to the wedding and down payment on a house. He estimates that the wedding, which will take place in twelve months, should cost about RM15,000 in today's value. Furthermore, he plans to move into a RM250,000 house (in today's terms) after 5 years, and would need 20% for a down payment. Rizal is aware that his cost estimates are in current terms and would need to be adjusted for 4 percent annual inflation rate. If Rizal starts saving immediately for the 20% down payment on his house, which he plans to pay the developer five years from today, how much additional money will he need to save in his bank account each month?

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Rizal will have to save an additional RM999.38 each month in his bank account for 5 years to be able to pay 20% of the RM312,415 house's price (with 4% annual inflation) in the future.

According to the given data, Rizal plans to move into a house worth RM250,000, and he plans to pay 20% of the price, which amounts to RM50,000. But, he would be paying the price five years from today, so he must account for inflation. Rizal considers the rate of inflation to be 4%.

Thus, the cost of the house in 5 years will be RM250,000 * (1 + 4%)^5 = RM312,415 (rounded off to the nearest ringgit). Rizal needs to save 20% of this price, which is RM62,483, five years from today. He will save for five years. The value of money is decreasing due to inflation, so he will need to save additional money every month to account for inflation.

He must divide the total amount by the number of months in 5 years, which is 60, to determine the amount he must save every month.

Rizal will need to save RM62,483 / 60 = RM1,041.38 every month for 5 years.

Thus, the extra amount that he will need to save after adjusting for inflation will be:

RM1,041.38 - RM42 = RM999.38.

Therefore, Rizal must save an additional RM999.38 each month in his bank account for 5 years to be able to pay 20% of the RM312,415 house's price (with 4% annual inflation) in the future.

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Do you think that investors should take a deeper look at their portfolios and perhaps change their mix based on the ethics and how socially responsible some of the corporations are in which they have invested? Why or why not?

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Ultimately, the decision to incorporate ethics and social responsibility into investment decisions is a personal one. Investors should carefully evaluate their own values, objectives, risk tolerance, and available investment options when making investment choices. Seeking guidance from financial advisors or professionals specializing in socially responsible investing can also provide valuable insights.

As an AI language model, I don't have personal opinions or beliefs. However, I can provide you with some information on the topic.

The decision of whether investors should consider the ethics and social responsibility of the corporations in their portfolios is subjective and depends on individual beliefs, values, and investment goals. Here are a few points to consider:

Alignment with personal values: Some investors may prioritize investing in companies that align with their personal values and have a positive social and environmental impact. They may choose to support companies that demonstrate good corporate governance, environmental sustainability, social justice, and ethical business practices.

Risk and return trade-off: Investing solely based on ethical considerations may limit investment options and potentially impact the overall portfolio performance. It is important for investors to evaluate the potential impact on their risk and return objectives when making socially responsible investment choices.

Financial performance: There is ongoing debate about the relationship between socially responsible investing and financial performance. Some studies suggest that companies with strong environmental and social performance can outperform financially over the long term, while others argue that the impact on financial returns may vary depending on various factors.

ESG integration: Environmental, Social, and Governance (ESG) factors are increasingly being integrated into investment analysis. Many investors and financial institutions now consider ESG criteria alongside traditional financial metrics to assess the overall risk and long-term sustainability of investments.

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Consider a company whose long run total cost function isTC = 200g - 20q² + q³ and whose marginal cost function is MC = 200- 40q+3q². Find the quantity for which the ATC is minimum O 5 O 10 O 20 O 50 For the above problem, find the minimum ATC O 100 200 20 O 50

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To find the quantity for which the average total cost (ATC) is minimum, we need to find the quantity where the ATC is equal to the minimum value of the ATC:

ATC = TC/q

= (200g/q) - 20q + q^2

ATC = 200/q - 20q + q^2

To find the minimum value of ATC, we need to take the first derivative of ATC with respect to q and set it equal to zero:

d(ATC)/dq = -200/q^2 - 20 + 2q

= 0

-200/q^2 - 20 + 2q = 0

2q = 200/q^2 + 20

2q^3 = 200 + 20q^2

q^3 - 10q^2 + 100 = 0

(q - 10)^2(q + 10) = 0

Therefore, the critical point of minimum ATC occurs at q = 10.

To find the minimum value of ATC at q = 10, we substitute q =10 into the ATC equation:

ATC = 200/10 - 20(10) + 10^2

= 20

Therefore, the minimum ATC is 20, and it occurs at a quantity of 10.

The quantity for which the ATC is minimum is 10, and the minimum value of ATC is 20.

To find the quantity for which the ATC is minimum, we use the first derivative, and to find the minimum value of ATC, we substitute the critical point into the ATC equation. The critical point of minimum ATC is q = 10, and the minimum value of ATC is 20.

The minimum ATC and the quantity for which ATC is minimum can be found by taking the first derivative and substituting the critical point into the ATC equation.

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(The Wall Street Journal, 6/10/22) Prices at the pump rose 4.1% in May from the previous month.[…] Russia’s invasion of Ukraine in February and the resulting sanctions on Russia caused prices to rise significantly. Russia is a major energy exporter and the sanctions are decreasing the quantity of gas available.
What type of change must have happened in the gas market? (hint: start with a market in equilibrium and shift one curve to get to the situation described)

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The situation described suggests a decrease in the supply of gas in the market due to the sanctions imposed on Russia as a result of their invasion of Ukraine. This change in the gas market has led to an increase in prices at the pump.

In a market in equilibrium, the quantity of gas supplied equals the quantity of gas demanded, resulting in a stable price. However, with the invasion of Ukraine and the subsequent sanctions on Russia, the supply of gas has decreased. As Russia is a major energy exporter, the sanctions have limited the availability of gas in the market.

This shift in the supply curve, indicating a decrease in supply, leads to an imbalance between supply and demand. With a reduced quantity of gas available, the price at the pump increases as consumers compete for the limited supply. Therefore, the change in the gas market is characterized by a decrease in supply, resulting in higher prices.

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Consider an economy in long-run equilibrium at P₁,Y*. Real exchange rate increases. What will be the new long-run equilibrium? a Price will be higher than P₁ and output will be higher than the natural output. b Price will be higher than P₁ and output will be smaller than the natural output. c Price will be higher than P₁ and output will be equal to the natural output. d Price will be lower than P₁ and output will be equal to the natural output.

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In an economy in long-run equilibrium at P₁ and Y* (natural output), if the real exchange rate increases, the new long-run equilibrium will be characterized by a higher price level (Price) and output (Y) that is smaller than the natural output.

The increase in the real exchange rate implies that the country's currency has appreciated relative to other currencies, making its exports more expensive and imports cheaper. As a result, exports will become less competitive, leading to a decrease in net exports and aggregate demand.

With a decrease in aggregate demand, the economy will experience a contractionary effect, leading to a decrease in output (Y) below the natural output level. At the same time, the decrease in net exports will put downward pressure on prices, resulting in a lower price level relative to the initial equilibrium.

Therefore, the correct answer is b) Price will be higher than P₁, and output will be smaller than the natural output. This scenario reflects the adjustment process in the long run following an increase in the real exchange rate in an economy in long-run equilibrium.

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When estimating the cost of equity using the Gordon dividend growth model the single most difficult part is:
a. Estimating all future dividend payments.
b. Figuring out what the firm’s next-period expected dividend yield will be.
c. Determining the terminal (sale) value of the firm in the future.
d. Estimating the constant growth rate, g, of dividends.

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The single most difficult part when estimating the cost of equity using the Gordon dividend growth model is determining the terminal (sale) value of the firm in the future. This is represented by option c.

Estimating the terminal value involves making assumptions about the future performance and valuation of the company beyond the explicit forecast period. It requires predicting the company's cash flows and growth potential in the long run. This can be challenging due to the inherent uncertainty and complexity involved in projecting a company's performance over a long-term horizon.

The terminal value is a critical component of the Gordon dividend growth model as it accounts for a significant portion of the stock's value. A small change in the terminal value assumption can have a substantial impact on the estimated cost of equity. Therefore, accurately determining the terminal value is crucial for obtaining reliable estimates of the cost of equity using this model.

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When a competitive firm sells 15 units its total revenue is $200. The marginal cost of the 16th unit is $15. What should the firm do? a Produce and sell the 16th unit b Not produce the 16th unit c It would be indifferent to producing and selling another unit. d Not enough information is given to make a decision.

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The firm should produce and sell the 16th unit.

The firm's total revenue from selling 15 units is $200. In a competitive market, the firm's marginal revenue is equal to the price, so the price per unit is $200/15 = $13.33.

The marginal cost of the 16th unit is given as $15, which is greater than the price per unit. In this case, the firm's marginal cost exceeds its marginal revenue, indicating that producing and selling the 16th unit would result in a loss. Therefore, the firm should not produce and sell the 16th unit.

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The value of a previously purchased building used by a proposed project is an example of a(n): Multiple Choice sunk cost. op rtunity cost. erosion. fixed cost.

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The value of a previously purchased building used by a proposed project is an example of a sunk cost.Sunk cost is a cost that has already been paid and cannot be recovered. Sunk cost is not relevant to the decision-making process because it is a past cost that has already been spent.The answer is A.

The focus is on future costs and revenues when making decisions. A sunk cost is the opposite of a future cost, which is a cost that has yet to be incurred. The decision-maker has no control over a sunk cost. Sunk costs should not be considered in making decisions because they cannot be recovered.

A sunk cost is a fixed cost, which is a cost that does not change regardless of the level of activity.Therefore the answer is A.

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The Statement of Changes in Shareholders' Equity for Creative Minds Inc. for the year ended December 31, 2020, was as follows: Creative Minds Inc. Statement of Changes in Shareholders' Equity For the Year Ended December 31, 2020 Total Common Retained Shareholders' Shares Earnings Equity Balance, December 31, 2019 $225,000 $140,000 $365,000 Net loss ($60,000) ($60,000) Cash dividends ($25,000) ($25,000) Issuance of shares 40,000 $40,000 Stock dividends 50,000 ($50,000) $0 Balance, December 31, 2020 $315,000 $5,000 $320,000 Required: 1. The opening balance of total shareholders' equity was $ 2. Common shares increased during the year by $ 3. In total, how much cash did the owners of Creative Minds Inc. receive during 2020 as a return on their investment? 4. What dollar impact did the stock dividends have on total shareholders' equity? $ 5. At the end of 2020, how much income has Creative Minds Inc. retained in the business (that is, not given back to its shareholders) since its inception? $

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1. The opening balance of total shareholders' equity was $365,000. (Taken from the balance on December 31, 2019.)

2. Common shares increased during the year by $40,000. (Taken from the issuance of shares.)

3. To calculate the total cash received by the owners of Creative Minds Inc. during 2020 as a return on their investment, we need to consider the cash dividends. According to the statement, cash dividends were $25,000.

Therefore, the owners of Creative Minds Inc. received $25,000 in cash during 2020 as a return on their investment.

4. Stock dividends have no impact on total shareholders' equity since they represent a distribution of additional shares to existing shareholders without changing the total value of equity. So, the dollar impact of the stock dividends on total shareholders' equity is $0.

5. To determine the amount of income retained in the business since its inception, we need to calculate the retained earnings balance at the end of 2020.

Retained earnings at the end of 2020 = Retained earnings from the previous year + Net income - Cash dividends

Retained earnings at the end of 2020 = $140,000 + ($0 - $25,000)

Retained earnings at the end of 2020 = $115,000

Therefore, at the end of 2020, Creative Minds Inc. has retained $115,000 in income in the business since its inception.

1.The opening balance of total shareholders' equity was $365,000.

2. Common shares increased during the year by $40,000.

3. The owners of Creative Minds Inc. received $25,000 in cash during 2020 as a return on their investment.

4. The stock dividends had no dollar impact on total shareholders' equity.

5. At the end of 2020, Creative Minds Inc. had retained $115,000 in income in the business since its inception.

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Project A requires an initial outlay at t = 0 of $2,000, and its cash flows are the same in Years 1 through 10. Its IRR is 15%, and its WACC is 9%. What is the project's MIRR? Do not round intermediate calculations. Round your answer to two decimal places.

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To calculate the Modified Internal Rate of Return (MIRR) for Project A, we need to determine the present value of the cash inflows and outflows at the project's cost of capital (WACC). Then we calculate the rate of return that equates the present value of cash inflows with the terminal value of cash outflows.

Given:

Initial outlay (t=0) = $2,000

IRR = 15%

WACC = 9%

Cash flows are the same for Years 1 through 10.

First, we calculate the present value of the cash inflows at the WACC:

PV inflows = Cash inflows / (1 + WACC)^t

PV inflows = Cash inflows / (1 + 0.09)^t

PV inflows = Cash inflows / 1.09^t

Since the cash flows are the same for Years 1 through 10, we can simplify the calculation by summing the cash inflows:

PV inflows = Cash inflow * [1 - (1 + WACC)^(-t)] / WACC

PV inflows = Cash inflow * [1 - (1 + 0.09)^(-10)] / 0.09

Next, we calculate the terminal value of the cash outflows (t=0):

Terminal value = Cash outflow * (1 + WACC)^t

Terminal value = Cash outflow * (1 + 0.09)^10

Now, we calculate the MIRR by finding the rate of return that equates the present value of inflows to the terminal value of outflows:

MIRR = [(Terminal value / PV inflows)^(1/n) - 1] * 100

MIRR = [(Terminal value / PV inflows)^(1/10) - 1] * 100

Now we can substitute the given values into the formula and calculate the MIRR:

PV inflows = $2,000 * [1 - (1 + 0.09)^(-10)] / 0.09

PV inflows = $2,000 * (1 - 0.4233) / 0.09

PV inflows = $1,107.41

Terminal value = $2,000 * (1 + 0.09)^10

Terminal value = $5,184.41

MIRR = [($5,184.41 / $1,107.41)^(1/10) - 1] * 100

MIRR = (4.6786^(0.1) - 1) * 100

MIRR = (1.1488 - 1) * 100

MIRR = 0.1488 * 100

MIRR = 14.88%

Therefore, the MIRR for Project A is approximately 14.88%.

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What are the types of arbitration Centres around the world and give
examples.

Answers

Arbitration centers are the organizations that provide facilities and administrative support to parties who have chosen to resolve their disputes through arbitration.

Some of the types of arbitration centers around the world are as follows:

Ad hoc Arbitration: This type of arbitration arises when the parties to a dispute agree to resolve their dispute through arbitration, but they do not specify any established arbitration institution to administer the arbitration proceedings.

In ad hoc arbitration, the parties have more freedom to select their arbitrator(s), the applicable procedural rules, and the place of arbitration.

Institutional Arbitration: In institutional arbitration, the parties agree to resolve their disputes through an established arbitration institution, which administers the arbitration proceedings in accordance with its own set of rules.

The institution generally provides a framework for the arbitration, which includes the appointment of arbitrators, the administration of proceedings, and other procedural issues.

Examples of arbitration centers around the world are:

The International Chamber of Commerce (ICC) in Paris

The London Court of International Arbitration (LCIA)

The Singapore International Arbitration Centre (SIAC)

The International Centre for Settlement of Investment Disputes (ICSID)

The American Arbitration Association (AAA)

The Hong Kong International Arbitration Centre (HKIAC)

The Dubai International Arbitration Centre (DIAC)

The Arbitration Institute of the Stockholm Chamber of Commerce (SCC)

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My brother just charged his friend $800 for offering a bet: if the temperature of tomorrow is above 75, my brother will pay 1.5 times $800 to his friend; if the temperature is below 75 tomorrow, my brother will pay 0.5 times $800 to his friend. I do not want my brother to lose money when tomorrow's temperature is above 75 and decide to buy an insurance that will make my brother break even when tomorrow's temperature is above 75 (in other words, the insurance policy will pay my brother 0.5 times $800 when tomorrow's temperature is above 75). If risk free rate is zero, how much should I pay for this insurance (keep two decimal places)?

Answers

To calculate the cost of the insurance policy that ensures your brother breaks even when tomorrow's temperature is above 75, we need to consider the potential outcomes and their probabilities.

When the temperature is above 75, your brother would have to pay 1.5 times $800 to his friend without the insurance. However, with the insurance, he will receive 0.5 times $800, resulting in a net payment of 0.5 times $800.

To determine the cost of the insurance, we need to calculate the expected value of the net payment and then discount it to the present value since the risk-free rate is zero.

The expected value is calculated by multiplying the potential outcomes by their respective probabilities. In this case, the probability of the temperature being above 75 is not given, so we assume it to be 0.5 (equally likely).

Expected value of the net payment:

(0.5 * 0.5 * $800) - (0.5 * 1.5 * $800) = -$200

Since the risk-free rate is zero, the present value of the expected net payment is equal to its expected value. Therefore, you should pay $200 for the insurance policy to ensure your brother breaks even when the temperature is above 75.

Please note that the probability of the temperature being above 75 is assumed, and the calculations are based on the information provided.

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