If you buy a computer directly from the manufacturer for $2,903 and agree to repay it in 48 equal installments at 1.73% interest per month on the unpaid balance, how much are your monthly payments?

Answers

Answer 1

Your monthly payments for repaying the computer purchase would be approximately $50.21, assuming an interest rate of 1.73% per month on the unpaid balance, with 48 equal installments.

To calculate the monthly payments for repaying the computer purchase, we can use the formula for the monthly payment of an installment loan.

The formula for the monthly payment of an installment loan is given by:

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

where:

M = monthly payment

P = principal amount (purchase price)

r = monthly interest rate

n = number of periods (number of months)

In this scenario:

P = $2,903 (purchase price)

r = 1.73% per month, which is 0.0173

n = 48 months

Substituting these values into the formula, we can calculate the monthly payment (M):

M = ($2,903 * 0.0173) / (1 - (1 + 0.0173)^(-48)).

M = $50.21.

Therefore, your monthly payments for repaying the computer purchase would be approximately $50.21, assuming an interest rate of 1.73% per month on the unpaid balance, with 48 equal installments.

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Related Questions

Which of the following is not a key industry strategic
factor
a. Nature of intra-industry competition
b. Industry value chain
c. Investment revenues
d. Existence of substitute products

Answers

The key industry strategic factor that is not part of the options is option c) Investment Revenues. The strategic factor is a term used to describe the factors which affect the strategy and decision making of businesses.

They are the internal and external elements that influence the approach used by an organization to achieve its business objectives. The term is usually applied to the analysis performed by companies when they are attempting to create their strategic plans. This factor helps determine a company's position in the industry. The industry structure, rivalry intensity, growth rate, and other variables are all part of it. The series of activities that are required to transform raw materials into a finished product and deliver it to the end customer. If a company's product has a number of substitutes, this will limit the company's ability to raise prices and increase market share. If there are no substitutes, it may be easier to raise prices and increase market share. Investment revenues: Investment revenues is not a key industry strategic factor. Investment revenues refer to the amount of money earned by an investor from investing in stocks, mutual funds, bonds, and other types of financial instruments.

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For Belize Inc. the following information is given to you from their financial statements for
2021.
2021
Sales $8,085
Depreciation 1,085
Current assets 20,447
Cost of goods sold 1,942
Other expenses 515
Interest 579
Cash 5,000
Notes payable 600
Long-term debt 15,435
Net fixed assets 33,291
Accounts payable 4,025
Inventory 9,555
Dividend 1,011
Accounts Receivables: ?? Owners Equity: ??
Construct the statement of financial position (Balance sheet) for Belize Inc. for end of 2021
using only some or all the entries provided above.

Answers

Accounts Receivables: $3,037 (Sales - Cash - Dividend = $8,085 - $5,000 - $1,011) Owners Equity: $23,732 (Current assets - Notes payable - Long-term debt - Accounts payable = $20,447 - $600 - $15,435 - $4,025)

To construct the statement of financial position (balance sheet) for Belize Inc. at the end of 2021, we need to organize the provided information into the relevant categories: assets, liabilities, and equity.

Assets:

Cash: $5,000

Accounts Receivable: ?

Inventory: $9,555

Net Fixed Assets: $33,291

Total Assets: ? (to be calculated)

Liabilities:

Notes Payable: $600

Long-term Debt: $15,435

Accounts Payable: $4,025

Total Liabilities: ? (to be calculated)

Equity:

Owners Equity: ?

Retained Earnings: ? (to be calculated)

Given the information provided, we can calculate the missing values:

1. Accounts Receivable can be calculated by subtracting the current assets and the known asset values: Accounts Receivable = Total Current Assets - (Cash + Inventory)

2. Total Assets can be calculated by summing all the known asset values.

3. Total Liabilities can be calculated by summing all the known liability values.

4. Owners Equity can be calculated by subtracting Total Liabilities from Total Assets: Owners Equity = Total Assets - Total Liabilities.

5. Retained Earnings can be calculated by subtracting the given dividend from the net income: Retained Earnings = Net Income - Dividend (net income is not provided, so we assume it is not needed).

By organizing the values obtained from these calculations, we can construct the statement of financial position (balance sheet) for Belize Inc. at the end of 2021.

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Which is a sociocultural component in the general environment of a book publisher that can indirectly influence how it does business?

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A sociocultural component in the general environment of a book publisher that can indirectly influence how it does business is social and cultural trends that influence what people read and how they consume literature.

The sociocultural component of the general environment in the book publishing industry is crucial to comprehend the market trends and the readers' demands. With the world continuously evolving, social and cultural shifts are taking place, and the book publishing industry has to adapt to these changes to keep up with its audience's needs and demands.Social and cultural trends play a significant role in shaping the book publishing industry, including reading trends, reading habits, demographics, cultural shifts, and new generations' emergence, such as millennials and Gen Z. These shifts have created new opportunities for the book publishing industry to tap into, such as the demand for e-books, audiobooks, and graphic novels. Additionally, the industry has had to keep up with the new age of diversity, equity, and inclusivity, creating more opportunities for underrepresented voices and highlighting diverse cultures and experiences.In conclusion, a book publisher's sociocultural environment can significantly impact how it does business by shaping trends, demographics, and reading habits. Understanding and adapting to these changes are crucial for the industry to keep thriving and continue meeting its audience's needs.

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Compared to communicating with paper documents, social media offers all but which of the following: greater immediacy. greater reach. MD lower cost. No greater control.

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Compared to communicating with paper documents, social media offers all but one of the following. It offers greater immediacy, greater reach, and lower cost, but it does not offer greater control.

Social media provides businesses and brands with many benefits, including a lower cost of communication and greater immediacy. Social media has a wide reach and can connect with customers in a way that paper documents cannot. However, it does not offer greater control. There is little control over how customers will react to a company’s social media posts, and once they are posted, it is challenging to retract or modify them.Compared to communicating with paper documents, social media has many advantages. It is cheaper, has a broader reach, and is more immediate. However, it does not offer greater control, and businesses must be prepared to accept the consequences of their social media posts.

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Analyse the case study on Tesla and examine how strategy,
strategic management, and strategic planning complement each other
as part of the overall strategy of the organisation.

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In the case study on Tesla, strategy, strategic management, and strategic planning play complementary roles in shaping the overall strategy of the organization. Let's examine how these elements interact and contribute to Tesla's strategic approach:

1. Strategy: Strategy refers to the long-term direction and competitive positioning of an organization. Tesla's strategy is centered around disrupting the automotive industry by focusing on electric vehicles (EVs), renewable energy, and sustainable transportation. Their strategy includes technological innovation, vertical integration, and expanding their product portfolio to include energy storage solutions.

2. Strategic Management: Strategic management involves the formulation and implementation of strategies to achieve organizational goals. In Tesla's case, strategic management encompasses the actions taken to execute the company's strategy effectively. This includes decision-making processes, resource allocation, organizational structure, and performance evaluation.

- Formulation: Tesla's strategic management involves identifying market opportunities, assessing internal capabilities, and formulating strategies aligned with their long-term goals. This includes identifying the potential of EVs, understanding consumer demands, and leveraging their technological expertise.

- Implementation: Strategic management also involves executing the formulated strategies. Tesla implements its strategies through various initiatives, such as developing advanced battery technology, manufacturing their own components, expanding their Supercharger network, and continuously improving their vehicle software through over-the-air updates.

3. Strategic Planning: Strategic planning refers to the process of setting goals, defining strategies, and creating action plans to achieve those goals. It involves analyzing the external environment, assessing internal capabilities, and aligning resources to support the strategic objectives. Strategic planning provides a structured framework for making informed decisions and guiding organizational actions.

- Environmental Analysis: Tesla's strategic planning includes analyzing the external environment, such as market trends, competition, and regulatory factors, to identify opportunities and threats. This analysis helps shape their strategies and guides their decision-making processes.

Overall, strategy, strategic management, and strategic planning work together to create a cohesive approach for Tesla. Strategy provides the overall direction, strategic management ensures effective execution, and strategic planning provides the framework and guidelines for decision-making and resource allocation. The interplay of these elements helps Tesla navigate the dynamic automotive industry and pursue its mission of accelerating the transition to sustainable transportation.

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The only economy of scope that an unrelated diversification (a conglomerate like Berkshire Hathaway) firm can try to realize is core competencies. tax advantages. risk reduction. O multipoint competition.

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The only economy of scope that has an unrelated diversification is core competencies.

Economies of scope refer to the cost savings that can be realized by producing a range of different products or services using common inputs or resources. For unrelated diversification firms like Berkshire Hathaway, the only economy of scope that can be realized is through leveraging their core competencies.

Core competencies are a unique set of skills, technologies, and capabilities that gives a company a competitive advantage in its industry. By leveraging these core competencies across different business units, a diversified firm can create cost savings and increase efficiency.

Tax advantages, risk reduction, and multipoint competition are not examples of economies of scope that can be realized by unrelated diversification firms like Berkshire Hathaway.

In summary, the only economy of scope that an unrelated diversification firm can try to realize is by leveraging its core competencies. By doing this, the firm can create cost savings and increase efficiency across different business units.

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which of the following is not a product of fermentation? group of answer choices glycogen lactate co2 ethanol nad

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Fermentation is the process of deriving energy from the oxidation of organic compounds

Fermentation is the process of deriving energy from the oxidation of organic compounds such as carbohydrates using an electron acceptor such as pyruvate or acetaldehyde that is derived from the organic compound being oxidized. A common example of fermentation is alcohol fermentation, where glucose is converted into ethanol and carbon dioxide. Fermentation has a few products. The products of fermentation are ATP, carbon dioxide, ethanol, and lactic acid. Out of the given options, nad is not a product of fermentation.NAD+ (nicotinamide adenine dinucleotide) is a coenzyme that is vital to many of the metabolic processes of life. NAD+ accepts electrons during a variety of biological reactions, enabling the creation of energy in the form of ATP, the removal of harmful toxins from the body, and DNA repair. So, the correct answer is Nad. Hence, Nad is not a product of fermentation.

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What is the current shape of the yield curve for Treasury
securities and what does it tell you about the current view of
economic growth and inflation in the U.S.?

Answers

The current shape of the yield curve for Treasury economic growth and inflation in the U.S. is upward sloping. An upward sloping yield curve means that long-term interest rates are higher than short-term interest rates.

This generally indicates that the market expects economic growth and inflation to increase over time, as investors demand a higher return on investment in the future than they do in the present.In the case of the U.S. yield curve, this shape has been observed since mid-2020 and has persisted into 2021.

This suggests that investors believe that the U.S. economy is recovering from the impacts of the COVID-19 pandemic, and that inflation is likely to rise in the coming years due to a combination of fiscal stimulus, accommodative monetary policy, and pent-up demand from consumers.

However, it is worth noting that the yield  is subject to change based on market conditions and investor sentiment, and as such, it is important to continue monitoring the shape of the yield curve for any signs of a shift in economic expectations.

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As automatic stabilizers, transfer payments ________ and income taxes ________ in order to maintain ________ when the economy is experiencing a negative output gap.



1) increase; decrease; aggregate demand

2) increase; increase; unemployment

3) decrease; decrease; aggregate demand

4)decrease; increase; money supply

5) increase; increase; aggregate demand

Answers

As automatic stabilizers, transfer payments increase and income taxes decrease in order to maintain aggregate demand when the economy is experiencing a negative output gap.

Automatic stabilizers are economic policies and programs designed to mitigate economic fluctuations or irregularities. Transfer payments and progressive tax systems are examples of automatic stabilizers in action. These programs will immediately increase government spending and reduce taxes in order to assist consumers during a recession. They will do the opposite when an economy begins to overheat. Automatic stabilizers stabilize the economy automatically because they are built into the economic system. When the economy is running strong, automatic stabilizers raise taxes and decrease transfer payments. It will result in less money circulating throughout the economy.

This reduction will help to reduce inflationary pressures and stabilize the economy. When the economy is in decline, automatic stabilizers cut taxes and increase transfer payments. It will result in more money circulating throughout the economy. This injection of funds will help to boost aggregate demand and stabilize the economy.

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Choosing the alternative that meets maximum decision criteria is also called satisficing. O True O False

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The statement is false that Choosing the alternative that meets the maximum decision criteria is also called satisfying.

"Satisfying" refers to the decision-making process in which an individual or group chooses the first alternative that meets the minimum decision criteria. The term satisficing is a combination of two words - satisfy and suffice. It means to satisfy the minimum criteria or standards. In other words, satisficing refers to the act of choosing the first alternative that meets the minimum requirement or criteria of the decision-maker.

On the other hand, maximizing refers to the decision-making process in which an individual or group tries to find the best alternative among all the alternatives available. The decision-maker tries to optimize the outcome by selecting the best option among all the available options. Hence, the given statement is false as satisficing does not refer to choosing the alternative that meets the maximum decision criteria.

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Evaluate each communication tool (advertising, sales
promotion, personal selling, public relations and direct marketing)
using AIDA Model
To Alex clinic

Answers

The AIDA model is a widely used marketing model that stands for Attention, Interest, Desire, and Action. It is used to understand and guide the customer's journey from becoming aware of a product or service to making a purchase decision. Let's evaluate each communication tool (advertising, sales promotion, personal selling, public relations, and direct marketing) using the AIDA model:

1. Advertising:

- Attention: Advertising can capture the attention of the target audience through compelling visuals, catchy slogans, or engaging storytelling.

- Interest: Once attention is captured, advertising should generate interest by highlighting the unique selling points and benefits of the product or service.

- Desire: Advertising should create desire by presenting the product or service as a solution to the customer's needs or desires.

- Action: Finally, advertising should provide a clear call-to-action, encouraging customers to take action such as making a purchase, visiting a website, or contacting the clinic.

2. Sales Promotion:

- Attention: Sales promotions can grab attention through limited-time offers, discounts, or giveaways that create a sense of urgency.

- Interest: By offering special deals or incentives, sales promotions can generate interest in the product or service.

- Desire: Sales promotions can create desire by highlighting the added value or savings customers can obtain by taking advantage of the promotion.

- Action: Sales promotions typically include a call-to-action, urging customers to take immediate action to benefit from the promotion.

3. Personal Selling:

- Attention: Personal selling involves direct interaction with customers, allowing for personalized attention and customized messages.

- Interest: Sales representatives can engage customers in a conversation, addressing their specific needs and interests.

- Desire: Through personalized presentations and product demonstrations, personal selling can create a strong desire for the product or service.

- Action: Sales representatives can guide customers towards the desired action, such as making a purchase or scheduling an appointment at the Alex clinic.

4. Public Relations:

- Attention: Public relations efforts aim to capture attention through media coverage, press releases, or events that create positive exposure for the clinic.

- Interest: By sharing relevant and newsworthy stories or achievements, public relations can generate interest and engage the target audience.

- Desire: Public relations activities can build desire by establishing the clinic's credibility, expertise, and positive reputation.

- Action: Public relations efforts can influence actions indirectly by shaping public perception and creating a favorable environment for potential customers to take action.

5. Direct Marketing:

- Attention: Direct marketing can grab attention through targeted emails, mailers, or personalized messages that are directly delivered to the intended recipients.

- Interest: By tailoring the marketing message to the recipient's needs and preferences, direct marketing can generate interest and relevance.

- Desire: Direct marketing can create desire by showcasing the specific benefits or solutions the clinic offers to address the recipient's healthcare needs.

- Action: Direct marketing campaigns typically include a clear call-to-action, encouraging recipients to respond, inquire, or schedule an appointment at the Alex clinic.

It's important to note that the effectiveness of each communication tool in the AIDA model may vary depending on the target audience, the nature of the product or service, and the overall marketing strategy. It is recommended to use a combination of these tools in an integrated marketing campaign to maximize the impact and reach of the communication efforts.

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Phil's Diner purchased some new equipment two years ago for $109,858. Today, it is selling this equipment for $76,401. What is the after-tax cash flow from this sale (in $) if the tax rate is 34 percent? The equipment falls in 5-year MACRS class. The MACRS allowance percentages are as follows, commencing with year 1: 20.00, 32.00, 19.20, 11.52, 11.52, and 5.76 percent

Answers

The after-tax cash flow from this sale is $59,564. Given that Phil's Diner purchased some new equipment two years ago for $109,858 and is selling this equipment today for $76,401. The tax rate is 34%. The equipment falls in 5-year MACRS class.

The MACRS allowance percentages are as follows, commencing with year 1: 20.00, 32.00, 19.20, 11.52, 11.52, and 5.76 percent. For the first two years, the depreciation expense is calculated using straight-line depreciation: Depreciation Expense = (109,858 - 0) / 5Depreciation Expense = $21,972For year three, the MACRS depreciation expense is calculated as follows: Depreciation Expense = 19.20% * (109,858 - 21,972)Depreciation Expense = $17,914.24For year four, the MACRS depreciation expense is calculated as follows: Depreciation Expense = 11.52% * (109,858 - 21,972 - 17,914.24)Depreciation Expense = $9,869.14For year five, the MACRS depreciation expense is calculated as follows: Depreciation Expense = 11.52% * (109,858 - 21,972 - 17,914.24 - 9,869.14)Depreciation Expense = $9,869.14Finally, for year six, the MACRS depreciation expense is calculated as follows: Depreciation Expense = 5.76% * (109,858 - 21,972 - 17,914.24 - 9,869.14 - 9,869.14)Depreciation Expense = $4,934.57 The total depreciation expense is $64,559.71 ($21,972 + $17,914.24 + $9,869.14 + $9,869.14 + $4,934.57). The adjusted basis is the original cost of the asset minus the total depreciation expense. The adjusted basis is $45,298.29 ($109,858 - $64,559.71).The gain or loss on the sale of the equipment is the selling price minus the adjusted basis. The gain on the sale is $31,102.71 ($76,401 - $45,298.29).The tax on the gain is 34% of the gain. The tax on the gain is $10,563.95 ($31,102.71 * 0.34).The after-tax cash flow from the sale is the selling price minus the tax on the gain. The after-tax cash flow from the sale is $59,564 ($76,401 - $10,563.95). The after-tax cash flow from this sale is $59,564.

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All of the following are types of financial institutions except
_______.
A. Insurance companies
B. Pension funds
C. Thrifts
D. Federal Reserve Bank

Answers

Answer: D. Federal Reserve Bank

Explanation: The types of financial institutions mentioned above include insurance companies, pension funds, and thrifts. However, the Federal Reserve Bank is not considered a type of financial institution. Financial institutions typically refer to organizations that facilitate financial transactions, provide financial services, or manage funds on behalf of individuals, businesses, or governments. The Federal Reserve Bank, on the other hand, is the central bank of the United States responsible for monetary policy, regulating banks, and maintaining the stability of the financial system. Learn more about financial institutions and their roles here: [link to relevant resource]. #SPJ11

Nanticoke Industries had the following operating results for 2018: sales $29,800; cost of goods sold = $19,960; depreciation expense = $5,420; interest expense = $2,790; dividends paid = $1,650. At the beginning of the year, net fixed assets were $17,510, current assets were $5,900, and current liabilities were $3,425. At the end of the year, net fixed assets were $20,860, current assets were $7,146, and current liabilities were $4,030. The tax rate for 2018 was 30 %. a. What is net income for 2018? (Negative answers should be indicated by a minus sign. Omit $ sign in your response.) b. What is the operating cash flow for 2018? (Negative answers should be indicated by a minus sign. Omit $ sign in your response.) c. What is the cash flow from assets for 2018? (Negative answer should be indicated by a minus sign. Omit $ sign in your response.) d. If no new debt was issued during the year, what is the cash flow to creditors? What is the cash flow to shareholders? (Negative answers should be indicated by a minus sign. Omit $ sign in your response.)

Answers

a. Net Income for 2018 can be calculated using the formula:

Net Income = Sales - Cost of Goods Sold - Depreciation Expense - Interest Expense - Taxes - Dividends Paid

Given the values:

Sales = $29,800

Cost of Goods Sold = $19,960

Depreciation Expense = $5,420

Interest Expense = $2,790

Dividends Paid = $1,650

Tax Rate = 30%

We can substitute these values into the formula to calculate Net Income:

Net Income = $29,800 - $19,960 - $5,420 - $2,790 - ($29,800 - $19,960 - $5,420 - $2,790) * 30% - $1,650

Net Income for 2018 is $1,448.

b. Operating Cash Flow for 2018 can be calculated using the formula:

Operating Cash Flow = Net Income + Depreciation Expense

Given the values:

Net Income = $1,448

Depreciation Expense = $5,420

We can substitute these values into the formula to calculate Operating Cash Flow:

Operating Cash Flow = $1,448 + $5,420

Operating Cash Flow for 2018 is $6,868.

c. Cash Flow from Assets for 2018 can be calculated using the formula:

Cash Flow from Assets = Operating Cash Flow - Change in Net Working Capital - Net Capital Spending

Change in Net Working Capital = (Ending Current Assets - Ending Current Liabilities) - (Beginning Current Assets - Beginning Current Liabilities)

Net Capital Spending = Ending Net Fixed Assets - Beginning Net Fixed Assets + Depreciation Expense

Given the values:

Operating Cash Flow = $6,868

Beginning Current Assets = $5,900

Ending Current Assets = $7,146

Beginning Current Liabilities = $3,425

Ending Current Liabilities = $4,030

Beginning Net Fixed Assets = $17,510

Ending Net Fixed Assets = $20,860

Depreciation Expense = $5,420

We can substitute these values into the formulas to calculate Cash Flow from Assets:

Change in Net Working Capital = ($7,146 - $4,030) - ($5,900 - $3,425)

Net Capital Spending = $20,860 - $17,510 + $5,420

Cash Flow from Assets = $6,868 - Change in Net Working Capital - Net Capital Spending

c. Cash Flow from Assets for 2018 is calculated to be $6,114.

d. If no new debt was issued during the year, the Cash Flow to Creditors would be equal to the Interest Expense:

Cash Flow to Creditors = Interest Expense = $2,790

The Cash Flow to Shareholders can be calculated using the formula:

Cash Flow to Shareholders = Dividends Paid - Net Income

Given the values:

Dividends Paid = $1,650

Net Income = $1,448

Cash Flow to Shareholders = $1,650 - $1,448

d. The Cash Flow to Shareholders is $202.

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XYZ Inc issued 200 10- year bonds with face value of $1,000 paying semi-annually on January 2, 2021. The coupon rate on these bonds is 1% and Yield-to-Maturity of these bonds is 2%.
As a result, the company received $909.77 per bond at the time of issue and sale.
Q1) What is the interest payment in 2021?
Q2) What is the interest expense in 2021?
Q3) What is the book value of the bonds on December 31, 2021?

Answers

Q1) Interest Payment in 2021:The interest payment on the bonds is paid semi-annually. The coupon rate is 1%, and the face value is $1,000. Thus, the interest payment can be calculated as follows:Interest Payment = (Coupon Rate * Face Value) / 2= (1% * $1,000) / 2= $5Therefore, the interest payment for the year 2021 would be:$5 per semi-annual * 2 semi-annual payments = $10

Q2) Interest Expense in 2021:Interest expense is the interest cost that is reported in the company's income statement. The interest expense would be calculated as follows:Interest Expense = Interest Payment * No. of Payments= $10 * 2= $20Therefore, the interest expense for the year 2021 would be $20.Q3) Book Value of Bonds on December 31, 2021:The book value of the bonds at the end of the year 2021 would be calculated as the sum of the present value of all future cash flows (i.e., the principal and interest payments) discounted at the yield-to-maturity (YTM) of the bonds. The bonds would have 9 years remaining until maturity (as they were issued on January 2, 2021).The present value of principal = $1,000 / (1+2%) ^9= $789.14The present value of semi-annual interest payments = ($5 / 2) / (1+2%)^1 + ($5 / 2) / (1+2%)^2 + ($5 / 2) / (1+2%)^3 + ... + ($5 / 2) / (1+2%)^18= $87.72Total present value = Present value of principal + Present value of interest= $789.14 + $87.72= $876.86

Therefore, the book value of the bonds on December 31, 2021, would be $876.86.

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a who wants to hedge the price of coffee a coffee futures contract. coffee buyer, sells. coffee farmer, buys. coffee shop owner, should not enter into. none of the above.

Answers

A coffee buyer who wants to hedge the price of coffee should enter into a coffee futures contract. A futures contract is a standardized contract that obligates one party to buy and the other to sell an underlying asset, at a specified price, and on a specified future date.

One of the most common underlying assets in futures contracts is commodities like coffee.Therefore, a coffee buyer who wants to hedge the price of coffee should enter into a coffee futures contract. By entering into a futures contract, the coffee buyer can lock in a price for the coffee that they need to buy in the future. This protects them against price fluctuations in the market.If the price of coffee goes up in the future, the coffee buyer will still be able to buy coffee at the lower price specified in the futures contract.

If the price of coffee goes down in the future, the coffee buyer will have paid a higher price than necessary for the coffee, but they will have benefited from the lower price when they entered into the futures contract. In this way, a coffee buyer can use a futures contract to manage their price risk and protect their business from market fluctuations.A coffee farmer, on the other hand, might enter into a futures contract to protect themselves against a drop in the price of coffee. A coffee shop owner, however, should not enter into a coffee futures contract because they do not need to lock in the price of coffee. The coffee shop owner can simply buy coffee at the market price when they need it. Therefore, the correct answer is: a coffee buyer who wants to hedge the price of coffee should enter into a coffee futures contract.

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Shao Industries is considering a proposed project for its capital budget. The company estimates the project's NPV is $12 million. This estimate assumes that the economy and market conditions will be average over the next few years. The company's CFO, however, forecasts there is only a 50% chance that the economy will be average. Recognizing this uncertainty, she has also performed the following scenario analysis:

Economic Scenario Probability of Outcome NPV

Recession .05 -$70 million

Below Average .20 -25 million

Average .50 12 million

Above Average .20 20 million

Boom .05 30 million



What is the project's expected NPV, its standard deviation, and its coefficient of variation?

Answers

The project's expected NPV is $3 million with a standard deviation of approximately $14.97 million, resulting in a coefficient of variation of around 499%. These metrics reflect the average profitability, variability, and risk associated with the project.

We need to multiply each economic scenario's NPV by its corresponding probability and sum the results, to calculate the project's expected NPV:

Expected NPV = (0.05 * -$70 million) + (0.20 * -$25 million) + (0.50 * $12 million) + (0.20 * $20 million) + (0.05 * $30 million)

Expected NPV = -$3.5 million - $5 million + $6 million + $4 million + $1.5 million

Expected NPV = $3 million

The standard deviation, we first need to calculate the variance. The variance is the weighted average of the squared deviations from the expected NPV. We can use the following formula:

Variance = (0.05 * (-$70 million - $3 million)^2) + (0.20 * (-$25 million - $3 million)^2) + (0.50 * ($12 million - $3 million)^2) + (0.20 * ($20 million - $3 million)^2) + (0.05 * ($30 million - $3 million)^2)

Variance = (0.05 * $4,489 million) + (0.20 * $1,324 million) + (0.50 * $81 million) + (0.20 * $289 million) + (0.05 * $729 million)

Variance = $224.45 million

The standard deviation is the square root of the variance:

Standard Deviation = √($224.45 million)

Standard Deviation ≈ $14.97 million

Finally, the coefficient of variation is the ratio of the standard deviation to the expected NPV, expressed as a percentage:

Coefficient of Variation = (Standard Deviation / Expected NPV) * 100

Coefficient of Variation = ($14.97 million / $3 million) * 100

Coefficient of Variation ≈ 499%

Therefore, the project's expected NPV is $3 million, its standard deviation is approximately $14.97 million, and its coefficient of variation is around 499%.

These metrics provide insights into the average profitability, variability, and risk relative to the expected return of the project.

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c. Is the required return on any investments a firm makes that have a level of risk greater than that of present operations. d. For a firm represents the risk and target capital structure of the firm's existing assets as a whole.

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c. Is the required return on any investments a firm makes that have a level of risk greater than that of present operations.

This statement is false. The required return on investments made by a firm depends on the specific risk characteristics of those investments, rather than solely comparing them to the risk of present operations. The required return is typically determined by considering factors such as the investment's risk profile, market conditions, cost of capital, and desired rate of return.

d. For a firm represents the risk and target capital structure of the firm's existing assets as a whole.

This statement is false. The risk and target capital structure of a firm's existing assets are represented by its current capital structure and risk profile. The capital structure refers to the mix of debt and equity financing used by a company to fund its operations and investments. The risk profile reflects the level of risk associated with the firm's existing assets.

The target capital structure, on the other hand, represents the desired or optimal mix of debt and equity financing that a firm aims to maintain in the long term. It is determined based on factors such as the cost of capital, risk tolerance, and financial goals of the company. Therefore, the target capital structure does not directly represent the risk and capital structure of the firm's existing assets as a whole.

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Omni-channels is the first strategic approach in the course. A) What is the process of evolution from Multi-channel into Omni-channel Digital marketing Strategy? B) How is Omnichannel related to the ideas of seamless communication and user experience

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Omni-channel is the first strategic approach in the course. Below are for the  have are posted  The process are of the  evolution from Multi-channel into Omni-channel Digital marketing Strategy is as follows Multichannel Digital Marketing  are the main Strategy.

The first strategy employed was multi-channel digital marketing strategy. This strategy offered consumers the choice of purchasing through various channels such as phone, retail, or website. However, all channels operated autonomously, and there was no sharing of information between the channels. This led to poor customer experience, and companies lost customers to their competitors Cross-Channel Digital Marketing Strategy: The second approach was the cross-channel digital marketing strategy. This strategy involved the integration of different channels so that they could work together in the same way. For instance, the shopping cart would work across all channels, allowing consumers to add items to their carts on their mobile devices and then complete their purchase on their desktop computers. Omni-Channel Digital Marketing Strategy

The third and most advanced strategy was the omni-channel digital marketing strategy. This approach involved seamless integration of all the channels that businesses use to interact with customers. This approach involved the are creation of a unified customer experience across all channels. The various channels share information so that they are customers can have a consistent and positive experience no matter the channels they use. Omni-channel is related to the ideas of seamless communication and user experience as it ensures that consumers have a consistent and positive experience regardless of the channel they use to interact with a business. The concept of seamless communication involves providing consumers with a seamless experience across channels. Users want to be able to products and services using their preferred channels with ease, regardless of the device they are using. The ultimate goal of omni-channel marketing is to enhance the user experience, which is an essential part of providing a seamless customer experience. By doing so, a business can reduce churn rates, build customer loyalty, and increase the lifetime value of a customer.

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Walmart, your existing customer has 5 Dell Power Edge R200 servers for running Microsoft Net. Glassfish, WebLogic, Tomcat, and Silverstream applications separately. The Dell Power Edge R200 cost $749 with power rating of 345W. As Managed Service Provider, you want to advice the Walmart that by virtualization technology, you can run all the 5 applications on a single Dell Power Edge 2900 server. Dell Power Edge R2900 cost $1499 with power rating of 930W. Explain to Walmart expected benefits of choosing virtualization technology over physical servers in their environment. Assumption: Electricity cost 9.74 cents/kWh, and units of power consumption is 8670 per month

Answers

The expected benefits of choosing virtualization technology over physical servers in Walmart's environment are Reduced Energy Consumption,Cost Reduction, Flexibility, Security and Disaster Recovery.

Reduced Energy Consumption: With virtualization technology, all the five applications can be hosted on a single Dell Power Edge 2900 server with a power rating of 930W, compared to the previous situation where 5 Dell Power Edge R200 servers with a power rating of 345W were used.

This reduces the energy consumption by about 50% in Walmart's environment.

Cost Reduction: Walmart will save on hardware, maintenance, and electricity costs, which will translate to cost reduction. The Dell Power Edge R200 costs $749, while the Dell Power Edge R2900 costs $1499, so by using virtualization, Walmart can save on hardware costs.

Flexibility: Virtualization technology offers Walmart flexibility as resources can be easily allocated and reallocated among virtual servers, applications, and operating systems.

Security and Disaster Recovery: The virtualization technology offers security and disaster recovery by creating virtual copies of existing servers that can be replicated and transported to other locations if necessary. This provides Walmart with a disaster recovery solution at a lower cost.

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Ferrell Inc. recently reported net income of $8 million. It has 580,000 shares of common stock, which currently trades at $59 a share. Ferrell continues to expand and anticipates that 1 year from now, its net income will be $10.8 million. Over the next year, it also anticipates issuing an additional 174,000 shares of stock so that 1 year from now it will have 754,000 shares of common stock. Assuming Ferrell's price/earnings ratio remains at its current level, what will be its stock price 1 year from now? Do not round intermediate calculations. Round your answer to the nearest cent.

Answers

Based on the given information and assuming the P/E ratio remains the same, the estimated stock price of Ferrell Inc. one year from now would be approximately $122.42.

To calculate the stock price of Ferrell Inc. one year from now, we can use the price/earnings (P/E) ratio. The P/E ratio is the ratio of the stock price to the earnings per share (EPS).

First, let's calculate the EPS one year from now:

EPS = Net Income / Number of Shares

EPS = $10.8 million / 754,000 shares

EPS ≈ $14.33

Next, we can use the current P/E ratio to find the estimated stock price:

P/E ratio = Stock Price / EPS

Given that the current P/E ratio remains the same, we can rearrange the formula to solve for the future stock price:

Stock Price = P/E ratio * EPS

To find the P/E ratio, we can divide the current stock price by the current EPS:

P/E ratio = Current Stock Price / Current EPS

P/E ratio = $59 / (Net Income / Number of Shares)

P/E ratio = $59 / ($8 million / 580,000 shares)

P/E ratio ≈ 8.537

Now, we can calculate the estimated stock price one year from now:

Stock Price = P/E ratio * EPS

Stock Price = 8.537 * $14.33

Stock Price ≈ $122.42

Therefore, based on the given information and assuming the P/E ratio remains the same, the estimated stock price of Ferrell Inc. one year from now would be approximately $122.42.

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How can a ""positioning"" map be created and used? How is Trader Joe’s an example of segmentation and positioning? Any Canadian example similar to Trader Joe’s? (at least two…)

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Positioning Map is a marketing tool that allows businesses to view their brand compared to those of competitors in the marketplace. In essence, it is a graph with two or three axes that represents where a product stands in the marketplace in relation to its competitors.

In the horizontal and vertical axes of a positioning map, businesses may position themselves based on two variables or criteria, while a third variable or criterion is usually used as a color-coding feature that is not meant to be measured. Here are some of the steps on how a positioning map can be created and used:Step 1: Decide on the two variables to be plotted.Step 2: Identify the points on the map where each product belongs.Step 3: Interpret and analyze the findings.Step 4: Use the map to make decisions regarding product positioning, branding, and pricing.

Trader Joe’s is a classic example of positioning and segmentation because it caters to a specific target audience: the health-conscious, budget-conscious, and organic food-seeking consumer. Their price range is budget-friendly, and they only stock their brand, which is geared to health-conscious customers. They cater to a specific customer segment and position their brand accordingly. Trader Joe's product line offers organic and natural food products to customers, which is a great example of brand positioning and market segmentation.

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Fundraising Landscape STEM
Key Takeaways
- Historical funding data
- Funding/revenue trend

Key Takeaways
- Active Funders
- Beneficiaries

Key Takeaways
- High-potential funder
- Key points and main concerns

Key Takeaways
- Fundraising strategies
- Best practices

Answers

The fundraising landscape in STEM (Science, Technology, Engineering, and Mathematics) can be summarized into key takeaways related to historical funding data, funding/revenue trends, active funders, beneficiaries, high-potential funders, key points, main concerns, fundraising strategies, and best practices.

The summary highlights the main points related to the fundraising landscape in STEM. Historical funding data provides insights into past funding patterns and can help identify trends or patterns in funding sources and amounts. Understanding the funding/revenue trend is essential for organizations in STEM to anticipate future funding opportunities and challenges.

Identifying active funders in the STEM field is crucial as it helps organizations approach potential funders who have shown a willingness to invest in STEM-related initiatives. Understanding the beneficiaries of STEM funding allows organizations to target their fundraising efforts towards projects and programs that align with the interests and priorities of those who benefit from the funding.

Identifying high-potential funders is important as it helps organizations focus their efforts on securing funding from sources that have the capacity to provide significant support. Knowing the key points and main concerns of funders enables organizations to tailor their fundraising approaches and address specific interests or potential obstacles that funders may have.

Fundraising strategies are essential for organizations in STEM to effectively raise funds. These strategies can include approaches such as grant writing, corporate sponsorships, individual donor cultivation, and crowdfunding. Best practices in fundraising provide guidance on proven methods and techniques that have been successful in the STEM fundraising landscape.

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Stock SCZ has a share price of $50 and it may change to $150 or stay at $50 after a year. The annual risk-free rate is 5%. A European put option on Stock SCZ has a strike price of $75.
a) What is the portfolio of the stock and loan that will replicate the payoff of the option?
b) What is the probability of a share price increase if investors are risk-neutral?
c) Use any method you like to price the put option.

Answers

To replicate the European put option with a strike price of $75, the portfolio consists of short selling 1 share of Stock SCZ (borrowing $50) and investing $75 in a risk-free asset. If investors are risk-neutral, the probability of a share price increase is 0.5. The pricing of the put option can be determined using methods .

a) The European put option on Stock SCZ with a strike price of $75 can be replicated by a portfolio consisting of -1 put option and ∆ shares of Stock SCZ where ∆ is equal to (75 - 50)/(150 - 50) = 0.5. Therefore, the portfolio will consist of -1 put option and 0.5 shares of Stock SCZ.

b) The probability of a share price increase if investors are risk-neutral is 50% because there are only two possible outcomes: the share price could increase to $150 or stay at $50. The risk-neutral probability of an increase is the expected return on the asset if the investor is risk-neutral.

c) To price the put-option follow these steps:

Step-1: Calculate the price of the put option

Using the put-call parity formula: C + X/(1 + r)T = S + P where C is the price of a call option, X is the strike price, r is the risk-free rate, T is the time to maturity, S is the current stock price, and P is the price of a put option. Since the option is a put option, rearrange the formula: P = C + X/(1 + r)T - S

Step-2: Calculate the price of the call option

Using the Black-Scholes formula to calculate the price of the call option: C = S*N(d1) - X*exp(-rT)*N(d2)  where

d1 = [ln(S/X) + (r + σ^2/2)T]/(σ*sqrt(T)) and d2 = d1 - σ*sqrt(T)where σ is the standard deviation of the stock return.

For the given data: S = $50X = $75r = 5%T = 1 yearσ = (150 - 50)/(2*50) = 1Thus,d1 = [ln(50/75) + (0.05 + 1^2/2)*1]/(1*sqrt(1)) = -0.6124and d2 = -0.6124 - 1*sqrt(1) = -1.6124C = 50*N(-0.6124) - 75*exp(-0.05*1)*N(-1.6124) = 14.52

Thus, P = 14.52 + 75/(1 + 0.05)^1 - 50 = $41.18. Therefore, the price of the put option is $41.18.

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FreshDirect's three-tier model adds additional wholesaling and warehousing steps. eliminates three to four additional wholesaling and warehousing steps. pits one supplier against another for the lowest possible price. always excludes the middleman.

Answers

Fresh Direct's three-tier model eliminates three to four additional wholesaling and warehousing steps.

What is Fresh Direct's three-tier model?

Fresh Direct's three-tier model is a model that adds extra wholesaling and warehousing steps. It is built on a distribution method that eliminates three to four extra wholesaling and warehousing stages. This model helps them in providing fresh products to their customers and improves their services.

This way of business approach improves the company's efficiency and reduces costs.

Fresh Direct's three-tier model adds extra wholesaling and warehousing steps. Is this statement true or false?

This statement is false. FreshDirect's three-tier model is a model that eliminates three to four additional wholesaling and warehousing steps. This model helps them in providing fresh products to their customers and improves their services. This way of business approach improves the company's efficiency and reduces costs.

So, the correct statement will be: Fresh Direct's three-tier model eliminates three to four additional wholesaling and warehousing steps.

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Explain how the Glosten and Milgrom (1985) model differs from
the Kyle (1985) model. Limit your response to 200 words.

Answers

The Glosten and Milgrom (1985) model differs from the Kyle (1985) model in various ways. The Glosten and Milgrom (1985) model can be divided into two types of informed traders, one who observes the asset’s value, and the other one who has information about the asset’s value.

The informed trader who has the value information is called an insider, and he or she knows the asset’s actual value.

The insider can, therefore, inform the liquidity trader of the asset’s value by submitting a buy or sell order. The liquidity trader, in turn, can use this information to make a better trading decision. According to the Glosten and Milgrom (1985) model, the insider’s ability to observe the asset’s actual value is what makes his or her information valuable.

On the other hand, the Kyle (1985) model does not consider the possibility of an insider. Instead, it assumes that the informed trader has private information that the market participants do not know about. In the Kyle (1985) model, the informed trader can choose to trade on the information or keep it private

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If you were asked to prepare a change strategy for an online travel agency which uses a variety of different software packages, what steps would you initially undertake to decide what kind of change process to implement?

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When preparing a change strategy for an online travel agency using different software packages.

The steps to undertake

the initial steps involve assessing the current situation, defining desired outcomes, engaging stakeholders, conducting a feasibility analysis, performing a risk assessment, researching alternative solutions, developing a change management plan, and testing and piloting. These steps help gather information, involve key stakeholders, evaluate options, and develop a well-informed strategy for implementing new software packages.

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Hany wrote promissory note mentioning that he will pay 50,000 EG pounds if his

Answers

A promissory note is a legal document that acts as a binding agreement between two parties, usually to pay a specific amount of money.

The main answer refers to a response that meets the criteria or requirements set forth by the other party. The explanation would likely be an expansion or justification of the main answer in order to provide further detail or clarity.

Hany has essentially made a bet or wager, and the promissory note serves as a guarantee that he will follow through with his end of the deal.If Hany fails to provide a main answer in 40 words or less, he would be in breach of the promissory note and would be required to pay the specified amount.

However, if Hany does meet the criteria, he would not have to pay anything. It is important for both parties to agree on the terms of the promissory note before signing it, as it is a legally binding document.

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explore their thoughts on flexibility in work , as it might be different.
How you prefer to work in your office or at your home?
Do you think you are more aligned when you work alone without any disturbance?
Do you think more meetings ,more interaction within group reduce the quality of work ?
I am specific about the quality of work , when it is better office or home?

Answers

In today’s digital era, many professionals prefer working from home for various reasons. However, remote work has its own unique set of benefits and drawbacks. Some of the employees prefer working from the office, while others prefer working from home.

Below are some thoughts on flexibility in work, as it might be different.Flexibility in WorkAs there is no one-size-fits-all approach to work, flexibility has emerged as one of the most important factors for employees. Employees value the flexibility that allows them to balance their work and personal life. With flexible work schedules, employees can work from home or the office at different times. This helps employees achieve a better work-life balance, improves morale and reduces stress.Working from Office or HomeIn terms of work preference, employees have different choices for their working location. Some prefer working from home as it offers a quiet and distraction-free environment that allows them to focus on their work. However, others prefer working from the office as it provides more opportunities for interaction and collaboration. For some, going to the office is an essential way to ensure a healthy work-life balance.Interaction and Quality of WorkInteraction and collaboration can play a vital role in a team's productivity and efficiency. It's essential to maintain a balance between too much and too little interaction. In some cases, more meetings and interaction within groups can reduce the quality of work and decrease productivity. It can also take up a significant amount of time that could have been used for completing tasks.In conclusion, the quality of work depends on various factors, including personal preferences, work environment, interaction, flexibility, and so on. While some employees prefer working from home, others prefer working from the office. Nonetheless, maintaining an appropriate balance between interaction and flexibility can help employees produce quality work.

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zeng graphics has taxable income of $48,900 and a tax rate of 21 percent. what is the change in retained earnings if the firm pays $20,200 in dividends for the year?

Answers

The change in retained earnings for Zeng Graphics can be calculated by subtracting the dividends paid from the net income after tax. Zeng Graphics has a taxable income of $48,900 and a tax rate of 21 percent. The firm pays $20,200 in dividends for the year.

The first step is to calculate the tax payable by multiplying the taxable income by the tax rate. In this case, the tax payable would be $48,900 multiplied by 21 percent, which equals $10,269.

Next, the net income after tax is determined by subtracting the tax payable from the taxable income. Therefore, $48,900 minus $10,269 equals $38,631.

Finally, the change in retained earnings is obtained by subtracting the dividends paid from the net income after tax. Subtracting $20,200 in dividends from $38,631 gives us a change in retained earnings of $18,431.

In summary, the change in retained earnings for Zeng Graphics would be $18,431 after paying $20,200 in dividends for the year. This represents the remaining earnings that are retained within the company after accounting for taxes and dividend distributions.

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Other Questions
A student who is enthusiastic about inheritance decides implement the Picture class like this: public class Picture extends ArrayList { public Picture () { super(); } public double findTotalArea () { double total = 0.0; for (Shape s : this) { total += s.getArea(); 1 return total; } } a) Does this work? b) Why might this be an undesirable solution? Find the spectral radius p(A) for matrix A = Select the correct answer A 2.934839220 B 4.192627458 C 1.257788237 D 0.586967844 E 0.838525492 Rani Inc. decides to acquire an equipment that has a 4-year life and costs Taka 50,00,000 delivered and installed. The equipment can be written off according to the accelerated depreciation chart of the NBR, 45 percent can be written off in the first year, 30 percent in the second year, and 25 percent in the third year. Annual maintenance cost is Tk. 2,00,000. It is considering two options for financing the equipment. (1) Rani can borrow an equivalent amount at 12 percent per year for 4 years. The loan will be amortized over 4 years. Yearly loan payment is Tk. 16,46,362 and Interest payments according to amortization table are Tk. 6,00,000, Tk.4,74,436, Tk. 3,33,806, and Tk. 1,76,299 respectively. (2) Rani will lease the equipment for 4 years at a rental charge of Taka 13,15,500 per year, payable at the end of each year. It has the option to buy the equipment at the end of the 4th year for Tk. 8,00,000. Lessee will maintain the equipment. The equipment will be used for at least 5 years. Required: Do a lease versus buy analysis using 12.5 percent as the discount rate. Marginal tax rate is 30%. Let and indicate addition and subtraction, respectively, on a 12-hour clock. Evaluate (211) = [(38) (4 7)]. O a. None of the choices. O b. 11 O c. 5 O d. 9 O e. 7 Analysts predict that East Toys Inc. will pay dividends of $3 per share in year 1, $3.5 per share inyear 2, and $3.8 per share in year 3. The firm then expects its dividend to decrease by 5% per year forthree years (year 4,5,6). Thereafter the dividends will grow at 6% indefinitely. The required rate ofreturn is 10%. What is the value of the stock today?a) $48.94b) $59.55c) $39.45d) $32.81e) None of the above What is the recommended average ratios (total cholesterol/hdl cholesterol) for young adult women? The following securities are in Crane SA's portfolio of long-term non-trading securities at December 31, 2019. Cost 1,000 shares of Reginald SA ordinary shares : R$55,000 1,400 shares of Elderberry A/S ordinary shares : 88,2001,200 shares of Mattoon AG preference shares : 33,600 On December 31, 2019, the total cost of the portfolio equaled total fair value. Crane had the following transactions related to the securities during 2020. Jan. 20 Sold all 1,000 ordinary shares of Reginald at R$57,80 per share.28 Purchased 310 shares of R$70 par value ordinary shares of Hachito Ltd. at R$79.20 per share.30 Received a cash dividend of R$1.15 per share on Elderberry ordinary shares.Feb. 8 Received cash dividends of $0.30 per share on Mattoon preference shares. 18 Sold all 1,200 preference shares of Mattoon at R$26.30 per share. July. 30 Received a cash dividend of R$1.00 per share on Elderberry ordinary shares.Sept. 6 Purchased an additional 800 R$70 par value ordinary shares of Hachito at R$82 per share. Dec. 1 Received a cash dividend of R$1.50 per share on Hachito ordinary shares. At December 31, 2020, the fair values of the securities were: Elderberry A/S ordinary shares : R$67 per share Hachito Ltd. ordinary shares : R$72 per share Prepare journal entries to record the transactions. Crane has no significant influence over its share investments. (Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No entry" for the account titles and enter 0 for the amounts. Record journal entries in the order presented in the problem.) If you were to use the 'give or take', possible variation number in the July 2020 article to try to reconcile your age of the universe with the researchers' age of the universe, you would do so by adding 2.3 to H; and the age of the universe would then be 12.67 billion years.Group of answer choicesTrueFalseQuestion 18231,167 km/sec is = 3.11167 x 10^4 km/secGroup of answer choicesTrueFalse In August 2016, Arizona became the first in the nation to pass a "Declaration of Independent Business Status," allowing, but not requiring, independent contractors to sign a statement acknowledging that they operate an independent business, are not entitled to unemployment or other benefits arising from an employment relationship, and are responsible for taxes owed and for any registration, license, or authorization necessary for services rendered. The worker must also meet 6 of 10 other criteria commonly used to determine a workers status. The signed document creates a rebuttable presumption that the worker is an independent contractor if that status is ever challenged. What are the benefits attached to the signing of such a declaration? In what ways might it be harmful to the signer? To a party contracting with her? On a windy day, a parachutist of mass 85 kg jumps from an aeroplane.Fig. 3.1 shows the parachutist falling through the air at a constant vertical velocity of 8.4 m / s downwards.As the parachutist falls, the wind is moving him towards the right of the diagram, at ahorizontal velocity of 6.3 m / s.(i) On Fig. 3.1, draw an arrow to show the horizontal velocity of the parachutist. (ii) On the grid below, draw a vector diagram to determine graphically the size anddirection of the resultant velocity of the parachutist. Calculate the simple interest and maturity value. (Do not round intermediate calculations. Round your answers to the nearest cent.)Principal $4,500 Interest rate 3% Time 6 mo. Simple interest? Maturity value?6 mo.3 PointsO. None of the aboveO. Simple Interest $67.50 Maturity Value $4,567.50O. Simple Interest $67.50 Maturity Value $5,567.50O. Simple Interest $57.50 Maturity Value $5,467.50O. Simple Interest $57.50 Maturity Value $4,567.50 A fim produces a product that has the production cost function C(x) 225x+4575 and the revenue function Rox) 300x. No more than 177 units can be sold. Find and analyze the break-even quantity, then find the profit funcion (Type a whole number) If the company can produce and sel no more than 177 units, should do so? OA No. Since 177 is less than the break-even quantry production of the product cannot produce a profit OB. Yes. Since 177 is greater than the break-even quantity, production of the product can produce a profit OC No Since 177 is greater than the break-even quantity, production of the product cannot produce a profit OD Yes Since 177 is equal to the break-even quantity, production of the product can produce a profit Write the profit function PX- i) Multiply: (3.1x10) x ( 1.5 x 10) = j) Divide: (3.1x10) / ( 1.5 x 10') = Small angle formula is a very useful approximation for angles smaller than about 0.25 radian (~15). It allows calculation 18 d)1/6 25. The discrete random variable X has the following probability distribution X 0 1 P(X=x) 0.41 0.37 m 4 2 3 r 0.01 and E[X]=0.88, Find the values of the constants r and m. 0.05 c) r = 0.05, Rank black holes, white dwarfs, and neutron stars in order of density, from least to greatest:a.white dwarfs < neutron stars < black holesb.black holes < neutron stars < white dwarfsc.neutron stars < white dwarfs < black holesd.white dwarfs < black holes < neutron starse.black holes < white dwarfs < neutron stars Determining the Cost of Capital: Cost of New Common Stock If a firm plans to issue new stock, flotation costs (investment bankers' fees) should not be ignored. There are two approaches to use to account for flotation costs. The first approach is to add the sum of flotation costs for the debt, preferred, and common stock and add them to the initial investment cost. Because the investment cost is increased, the project's expected return is reduced so it may not meet the firm's hurdle rate for acceptance of the project. The second approach involves adjusting the cost of common equity as follows: Cost of equity from new stock = re = F) +9L The difference between the flotation-adjusted cost of equity and the cost of equity calculated without the flotation adjustment represents the flotation cost adjustment. Quantitative Problem: Barton Industries expects next year's annual dividend, D1, to be $2.10 and it expects dividends to grow at a constant rate gL = 5%. The firm's current common stock price, Po, is $24.90. If it needs to issue new common stock, the firm will encounter a 5.3% flotation cost, F. Assume that the cost of equity calculated without the flotation adjustment is 12% and the cost of old common equity is 11.5%. What is the flotation cost adjustment that must be added to its cost of retained earnings? Round your answer to 2 decimal places. Do not round intermediate calculations. 1.32% What is the cost of new common equity? Round your answer to 2 decimal places. Do not round intermediate calculations. 13.91 % nterac sts Solve the equation after making an appropriate substitution. (4t-6)2-12(4t-6) +20=0 *** The solution set is { (Simplify your answer. Type an exact answer, using radicals as needed. Exp to separate answers as needed. Type each solution only once.) Why is the Pareto principle important in marketing analytics? Check all that apply" Group of answer choicesa) It shows how profits are distributedb) It helps to explain dependency on few items to managers and executivesc) It shows how few things (products, customers, salespeople, etc) can have a significant impactd) It shows how dependent a business is on a small percentage of customers Which statement is not true of Singapore? it has the regional headquarters of multinational corporations wealth has led to crime that is high for Southeast Asia it has the third highest GNI PPP per capita in the world it has high paying service jobs (The following information applies to the questions displayed below.] Delph Company uses a job-order costing system and has two manufacturing departments-Molding and Fabrication. The company provided the following estimates at the beginning of the year: Machine-hours Fixed manufacturing overhead costs Variable manufacturing overhead cost per machine-hour Molding Fabrication 21,000 34,000 $ 720,000 $ 200,000 $ 3.00 $ 2.00 Total 55,000 $ 920,000 During the year, the company had no beginning or ending inventories and it started, completed, and sold only two jobsJob D-70 and Job C-200.