If you deposit $611 in an account that eams 6% per year, what would be the balance in the account at the end of 14 years if interest compounds monthly? Which of the following variables is not required in order to find a solution to a problem involving discounting? O Interest rate O Future value O Present value O Discount curve O Period of time

Answers

Answer 1

To calculate the balance in the account at the end of 14 years with monthly compounding, we can use the formula for compound interest:

A = P * (1 + r/n)^(n*t)

where A is the final balance, P is the initial deposit, r is the interest rate per period, n is the number of compounding periods per year, and t is the number of years.

Substituting the given values into the formula:

P = $611

r = 0.06 (6% expressed as a decimal)

n = 12 (monthly compounding, so 12 compounding periods per year)

t = 14

A = $611 * (1 + 0.06/12)^(12*14)

A ≈ $1,352.47

Therefore, the balance in the account at the end of 14 years with monthly compounding would be approximately $1,352.47.

Regarding the second part of your question, the variable that is not required in order to find a solution to a problem involving discounting is the Discount Curve. The other variables mentioned, such as the interest rate, future value, present value, and period of time, are essential components in solving discounting problems. The discount curve, which represents the relationship between interest rates and the present value of future cash flows, is not necessary for finding a solution to a problem involving discounting.

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Related Questions

As a conflict management strategy. compromising represents a strong effort to pursue our own outcomes and a moderate effort to help the other party achieve his or her outcomes. True False

Answers

As a conflict management strategy, compromising represents a moderate effort to pursue our own outcomes and a moderate effort to help the other party achieve his or her outcomes.

This statement is true. What is compromising? Compromising refers to a conflict management technique that falls halfway between competing and accommodating. Compromise occurs when each party gives up something of value to achieve a common goal. Each side makes a significant effort to maintain its primary objectives but accepts some loss to reach an agreement.The aim of compromising: When it comes to resolving conflicts, the purpose of compromising is to meet the requirements of both parties halfway. Each party makes a good-faith effort to achieve its goals while acknowledging the other party's needs and concerns. As a result, both parties walk away from the situation feeling heard and respected.Compromise can assist to establish or rebuild trust among people who have a contentious relationship. When a compromise is reached, both parties may feel that they have gained something while still making concessions. As a result, both parties may feel more comfortable working together in the future, and their relationship may be strengthened.

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Question 17 (1 point)
Pitt Ltd sells inventories to Upper Ltd during the financial
year ended 30 June 2027.
At 30 June 2027 50 per cent of this inventory remained
unsold.
The inventories were held by

Answers

The consolidation adjustment for this inventory when sold to external parties by Upper Ltd is $40,500.

How to solve for the consolidation adjustment

Let's calculate the original selling price of the inventory sold to Upper Ltd:

Original Value of Inventory held by Pitt Ltd: $45,000

Unsold Inventory at 30 June 2027: 50% of $45,000 = $22,500

Value of Inventory Sold to Upper Ltd:

Original Value of Inventory held by Pitt Ltd - Unsold Inventory at 30 June 2027

= $45,000 - $22,500

= $22,500

Now, let's calculate the selling price to external parties by Upper Ltd after applying the 80% mark-up:

Selling Price to External Parties by Upper Ltd:

Original Selling Price + Mark-up

= $22,500 + (80% * $22,500)

= $22,500 + $18,000

= $40,500

Therefore, the consolidation adjustment for this inventory when sold to external parties by Upper Ltd is $40,500.

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When Radhika planned her trip to Sweden, she spent months evaluating packages, airfares, and Radhika's trip is an example of a(n) ____ product.
- shopping - convenience - unsought - specialty - sought
Which statement best explains the product life cycle? - the process in which a product is analyzed and improved so that it does not infringe on the competitor's patents - False - the process by which the use of an innovation spreads throughout a market group over time and over various categories of adopters - the time in which firms hire an outside firm to help generate ideas and develop new products and services - the length of time a product exists in the marketplace before the market becomes saturated - the stages that products move through as they enter, get established in, and ultimately leave the marketplace

Answers

Radhika's trip to Sweden, involving the evaluation of packages and airfares, is an example of a(n) "shopping" product.

Shopping products are those that consumers actively research and compare before making a purchase decision. They typically have higher involvement and price, and consumers are willing to spend more time and effort to evaluate different s.

Regarding the statement about the product life cycle, the  explanation is:

"The stages that products move through as they enter, get established in, and ultimately leave the marketplace."

The product life cycle refers to the different stages that a product goes through from its introduction to the market until its eventual decline and exit. These stages include:

1. Introduction: The product is launched into the market, and sales begin to grow slowly. Promotion and marketing efforts focus on creating awareness and attracting early adopters.

2. Growth: During this stage, sales start to accelerate as more consumers become aware of the product and adopt it. Competitors may enter the market, and pricing strategies may be adjusted to gain market share.

3. Maturity: The product reaches its peak level of sales during the maturity stage. Market saturation is reached, and competition intensifies. Companies often focus on product differentiation, cost reduction, and maintaining customer loyalty.

4. Decline: Sales begin to decline as consumer preferences change, new technologies emerge, or market saturation is reached. Companies may choose to discontinue the product or revitalize it through repositioning or product modifications.

The product life cycle provides insights into the various challenges and opportunities a product faces throughout its existence in the marketplace. It helps business   understand the dynamics of their products and make strategic decisions regarding marketing, innovation, and resource allocation.

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Quickly
A vertical wire carries a current straight down. To the east of this wire, the magnetic field points toward the east AO downward BO toward the south CO toward the north DO toward the west EO ON إخت

Answers

The correct option for vertical wire carries a current straight down is "BO toward the south."

A vertical wire carries a current straight down. The direction of the magnetic field can be determined using the right-hand rule, which states that if you point your thumb in the direction of the current flow, your fingers will curl in the direction of the magnetic field.

Using this rule, we can determine the direction of the magnetic field in relation to the wire and the given options:

- Option A: "toward the east" - This is not consistent with the right-hand rule for a vertical wire carrying a current straight down.

- Option B: "downward toward the south" - This is consistent with the right-hand rule, as the magnetic field would loop around the wire in a counterclockwise direction when looking from above.

- Option C: "toward the north" - This is not consistent with the right-hand rule for a vertical wire carrying a current straight down.

- Option D: "toward the west" - This is not consistent with the right-hand rule for a vertical wire carrying a current straight down.

Based on the analysis, the correct option for the direction of the magnetic field to the east of the wire is "BO toward the south."

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Josiah knows somewhere inside himself that he is a boy. His sister Imani feels deep down that she is a girl. These inner feelings reflect gender:

a) segregation.

b) role.

c) identity.

Answers

The final answer is (c) identity. Gender identity refers to a person's deeply held sense of their own gender, which may align with the sex assigned to them at birth (cisgender) or differ from it (transgender).

It is an individual's internal perception and understanding of themselves as male, female, or another gender identity. Josiah's inner feeling of being a boy and Imani's inner feeling of being a girl reflect their gender identities. These identities go beyond societal roles or expectations associated with gender (option b) and are not related to gender segregation (option a), which refers to the separation or division of individuals based on their gender. Gender identity is an inherent aspect of a person's self-identity and plays a fundamental role in shaping their sense of self and how they navigate their gender expression and relationships with others.

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Given below are items of "Revenue" and "Capital" expenditure 1. a number of new cars that had recently been cleared by a motor car dealing company two new motor boats acquired by a ferry service agenc

Answers

a. Classification of Expenditure:

i. Revenue Expenditure

ii. Capital Expenditure

iii. Capital Expenditure

iv. Capital Expenditure

v. Capital Expenditure

vi. Revenue Expenditure

vii. Capital Expenditure

viii. Revenue Expenditure

b. Recognition in Financial Statements:

i. Revenue Expenditure - Recognized as an expense in the income statement.

ii. Capital Expenditure - Capitalized and recorded as an asset on the statement of financial position.

iii. Capital Expenditure - Not yet recognized as it is still under negotiation.

iv. Capital Expenditure - Capitalized and recorded as buildings on the statement of financial position.

v. Capital Expenditure - Capitalized and recorded as a leasehold property on the statement of financial position.

vi. Revenue Expenditure - Recognized as an expense in the income statement.

vii. Capital Expenditure - Capitalized and recorded as a housing unit asset on the statement of financial position.

viii. Revenue Expenditure - Recognized as an expense in the income statement.

a. Classification of Expenditure:

i. New cars cleared by a motor car dealing company - Revenue Expenditure.

ii. Two new motor boats acquired by a ferry service agency - Capital Expenditure.

iii. Vacant houses owned by an estate developing company - Capital Expenditure.

iv. New buildings acquired for holding plant and machinery - Capital Expenditure.

v. Cost of acquiring a leasehold property for office use - Capital Expenditure.

vi. Granites purchased for use at a construction site - Revenue Expenditure.

vii. Cost of rehabilitating a dilapidated housing unit - Capital Expenditure.

viii. Repairs to plant and machinery - Revenue Expenditure.

b. Recognition in Financial Statements:

i. Revenue Expenditure items will be recognized as expenses in the income statement.

ii. Capital Expenditure items will be recognized as assets in the statement of financial position.

The correct question should be :

Given below are items of "Revenue" and "Capital" expenditure

i. a number of new cars that had recently been cleared by a motor car dealing company

ii. two new motor boats acquired by a ferry service agency

iii. vacant houses owned by an estate developing company in respect of which negotiations are ongoing for assistance for their sale to prospective landlords

iv. new buildings acquired for the purpose of holding the items of plant and machinery belonging to a detergent manufacturing company

v. cost of acquiring a leasehold property for office use

vi. granites purchased by an engineering contractor for use at a construction site

vii. cost of rehabilitating a dilapidated housing unit owned by an estate developer

viii. repairs to plant and machinery in a manufacturing company

required:

a. for each of the above, state whether it is a "Revenue" or "Capital"

b. state how each will be recognized in the income statement and the statement of financial position as the case may be.

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what is the recommenations for marriot hotels to miligate
growing appeal of airbnb ?
how to potentially reach millennials and other potenial users of
airbnb ?

Answers

Marriott Hotels should invest in technology, develop partnerships, and implement a loyalty program to mitigate Airbnb's appeal.

To address the appeal of Airbnb and attract millennials and potential users, Marriott Hotels can focus on enhancing the customer experience. By offering personalized services tailored to individual preferences and creating a sense of community, hotels can differentiate themselves from the home-sharing model of Airbnb. Marriott can also invest in unique amenities and facilities that appeal to millennials, such as co-working spaces, fitness centers, and social areas.

Embracing technology is crucial to reach and engage with millennials. Marriott should develop a user-friendly online platform that provides seamless booking and reservation management. This includes offering mobile apps, personalized recommendations, and integrated communication channels.

To attract millennials and potential users, Marriott can also develop partnerships with local businesses and attractions. By offering exclusive experiences and curated itineraries, hotels can provide a more immersive and authentic stay.

Implementing a robust loyalty program can also help Marriott Hotels compete with Airbnb. By rewarding customer loyalty with perks, discounts, and personalized offers, hotels can incentivize repeat stays and foster long-term relationships with customers.

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Intro A GM and a Ford bond both have 4 years to maturity, a $1,000 par value, a BB rating and pay interest semiannually. GM has a coupon rate of 6.4%, while Ford has a coupon rate of 5.9%.
part 1: the GM bond trades at 96.59(percent of par). what is the yield to maturity (YTM)?
part 2: What should be the price of the Ford bond
(in $)?

Answers

1. The yield to maturity of the GM bond is 3.54%.

2. The price of the Ford bond should be $1,456.5.

Part 1:
To find out the yield to maturity (YTM) of a GM bond with a 6.4% coupon rate that trades at 96.59% of par, we can use the following formula:

YTM = Coupon payment + (Par value - Bond price) / Years to maturity / Bond price

Here, the coupon payment is calculated as 6.4% x $1,000 / 2 = $32 per payment.

YTM = $32 + ($1,000 - $965.9) / 4 / $965.9
YTM = $32 + $34.1 / $965.9
YTM = $32 + 0.03536
YTM = 3.54%

Therefore, the yield to maturity of the GM bond is 3.54%.

Part 2:
To find out the price of the Ford bond that has a coupon rate of 5.9%, a BB rating, a $1,000 par value, pays interest semiannually, and matures in four years, we can use the following formula:

Bond price = Coupon payment x (1 - 1 / (1 + YTM / 2)^(2 x Years to maturity)) / (YTM / 2) + Par value / (1 + YTM / 2)^(2 x Years to maturity)

Here, the coupon payment is calculated as 5.9% x $1,000 / 2 = $29.5 per payment.

The YTM that we found in Part 1 can be used here.

Bond price = $29.5 x (1 - 1 / (1 + 3.54% / 2)^(2 x 4)) / (3.54% / 2) + $1,000 / (1 + 3.54% / 2)^(2 x 4)
Bond price = $29.5 x 3.4908 / 0.0177 + $1,000 / 1.1829
Bond price = $1,456.5

Therefore, the price of the Ford bond should be $1,456.5.

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Explain briefly Pick an example of a new technology, Discuss how this technology might leverage the strategy of a provider or a payer organization. What would be the major challenges surrounding your selection of technology?

Answers

Main Answer:New technologies emerge every year and it can be difficult for providers and payers to keep up with these advancements. A new technology that has come up is telemedicine. Telemedicine uses telecommunication and information technologies to provide clinical health care from a distance.

Discussing how telemedicine can leverage the strategy of a provider or a payer organization will be the main answer to this question.Explanation:Telemedicine can leverage the strategy of a provider or a payer organization in several ways. Telemedicine is a more efficient way for patients to receive healthcare services and is less expensive for providers and payers. Telemedicine allows healthcare providers to reach patients regardless of their location. This technology allows patients to receive care from a healthcare provider without having to travel long distances or take time off from work. It is also an excellent way for healthcare providers to keep their patients up to date on their health conditions.There are several major challenges surrounding the selection of telemedicine. One of the main challenges is the issue of privacy and security.

Telemedicine involves the use of electronic communication and data sharing, which means that sensitive patient information can be vulnerable to cyber attacks. Another challenge is the issue of reimbursement. Healthcare providers may have difficulty getting reimbursed for telemedicine services because they are not yet recognized as a standard form of care. Finally, another challenge is the issue of licensure. Healthcare providers who use telemedicine must be licensed in the state where the patient is located, which can be a challenge if the provider is not licensed in that state.In conclusion, telemedicine is a new technology that can leverage the strategy of a provider or a payer organization in several ways. However, there are several challenges surrounding the selection of telemedicine, including privacy and security, reimbursement, and licensure. Healthcare providers and payers must work together to overcome these challenges and take advantage of the benefits that telemedicine has to offer.

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Real property tax assessments are based upon the A. value of the land and improvements to the land. B. value of the land only. C. length of time the property is owned. D. sales price less tax basis.

Answers

Answer:

I believe it's A value of the land and improvements to land.

if you select an entire column and then click the insert button, excel will automatically insert a _______.

Answers

When you select an entire column in Excel and click the Insert button, Excel will automatically insert a new column to the left of the selected column. This is because the Insert button is used to insert new cells, rows, or columns to a worksheet. Inserting a new column will automatically shift the existing columns to the right, allowing you to add new data to your worksheet.

An Excel column is a vertical arrangement of cells that are organized by a letter, from A to XFD, and runs from the top to the bottom of the worksheet. An entire column is the entire range of cells in a single column. Excel provides a variety of methods for working with columns, including selecting, moving, copying, formatting, and deleting them. Selecting an entire column is easy: simply click on the column letter at the top of the column. Once you have selected a column, you can use the Insert button to insert a new column to the left of it.When you work with Excel, you will often find yourself needing to add new columns or rows to your worksheet. To insert a new column in Excel, you can select an entire column and then click the Insert button. Excel will automatically insert a new column to the left of the selected column, which you can then use to enter new data or formulas.To select an entire column, simply click on the column letter at the top of the column. This will highlight the entire column, allowing you to perform operations on it, such as formatting, deleting, or inserting new data. Once you have selected a column, you can click the Insert button to insert a new column to the left of it. This will automatically shift the existing columns to the right, ensuring that your data remains organized and structured.Overall, Excel provides a range of powerful tools for working with columns and rows, allowing you to organize your data and perform complex calculations with ease.

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Assume that an industry is perfectly competitive. Each firm must hire a manager, and there exist (only) 50 managers who display extraordinary talent. There is an unlimited supply of managers with average talent and both types of firms (well-managed and not-so well managed) exist in the long run equilibrium. The long run total cost function of the firms run by exceptional managers is LRTCe = 200 + Q^2 . The long run total cost function of the firms managed by average managers is LRTCa = 200 + 2Q^2 . If market demand for this good is described by Qd = 8000 - 100p , how much economic rent will each extraordinarily talented manager generate for her firm?

Answers

In a perfectly competitive industry with limited extraordinary talent, each extraordinarily talented manager can generate economic rent for her firm. Economic rent refers to the additional profit earned by a resource (in this case, the talented manager) due to its scarcity or unique abilities.

To calculate the economic rent generated by each extraordinarily talented manager, we need to determine the difference between the total cost incurred by the firm run by an exceptionally talented manager and the total cost of a firm run by an average manager at the long-run equilibrium quantity.
Given the long run total cost function of the firms run by exceptional managers (LRTCe) and the long run total cost function of the firms managed by average managers (LRTCa), we can calculate the economic rent:
Economic Rent = LRTCe - LRTCa
Economic Rent = (200 + Q^2) - (200 + 2Q^2)
Economic Rent = -Q^2
Substituting the long-run equilibrium quantity (Q) into the equation for economic rent, we find:
Economic Rent = -(8000 - 100p)^2
Therefore, each extraordinarily talented manager will generate an economic rent equal to -(8000 - 100p)^2 for her firm, indicating the additional profit earned due to her exceptional managerial skills.

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When a decision is made based on a simple majority vote it is possible for the total benefits to the community of this decision to be less than the total costs to the community of this decision. True False

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The statement "When a decision is made based on a simple majority vote, it is possible for the total benefits to the community of this decision to be less than the total costs to the community of this decision" is True.

A majority vote is a decision-making process where the option with the most votes, surpassing half of the total votes, is considered the winning choice. While this method is commonly used in democratic systems to determine outcomes, it is not without limitations.

When a decision is made solely based on a simple majority vote, there is a possibility that the total benefits of the chosen decision may be outweighed by the total costs to the community. This can occur because the majority's preferences may not align with the overall well-being or interests of the minority or the community as a whole.

In a democratic society, the objective is to produce outcomes that are acceptable and beneficial to all stakeholders, rather than solely favoring a particular group or the majority. A simple majority vote may not always achieve this goal, as it can lead to a division within the community and neglect the interests of the minority.

In conclusion, when decisions are made based on a simple majority vote, there is a potential for the total benefits to the community to be less than the total costs. The simple majority vote may not always result in the most beneficial outcome for the entire society, as it may overlook the interests and well-being of the minority or other stakeholders.

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ABC Inc. is considering the purchase of a new machine which will reduce manufacturing costs by $50,000 annually. The machine falls into the MACRS 3-yr class, (33%, 45%, 15%, and 7%). Mars's marginal tax rate is 40 percent. If the machine costs $90,000, and the modification cost is $10,000, what is the project's operating cash flow in year 1 (OCF1)?

Answers

The operating cash flow for the first year (OCF1) is $41,880.

Operating Cash Flow (OCF1) for the first year

The operating cash flow for the first year (OCF1) is given by the formula:OCF1 = (S – C) (1 – T) + TD

Where S = Sales, C = Costs, T = Tax Rate, and D = Depreciation

The given question states that ABC Inc. is considering purchasing a new machine, which will reduce manufacturing costs by $50,000 per year. The cost of the machine is $90,000, and the modification cost is $10,000. The machine falls under the MACRS 3-year class of 33%, 45%, 15%, and 7%.

ABC's marginal tax rate is 40%.The first step to calculating the OCF1 is to find the depreciation expense. The MACRS depreciation for the machine for years 1, 2, and 3 are as follows:

Year 1: (33% × $90,000) = $29,700Year 2: (45% × $90,000) = $40,500Year 3: (15% × $90,000) = $13,500Therefore, the total depreciation (D) for three years is the sum of the individual depreciation values of the three years as follows: D = $29,700 + $40,500 + $13,500 = $83,700

We can now calculate OCF1 using the formula:OCF1 = (S – C) (1 – T) + TD

Given that the new machine will reduce manufacturing costs by $50,000 annually and the modification cost is $10,000, the total cost (C) incurred in the first year is $90,000 (cost of the machine) + $10,000 (modification cost) - $29,700 (depreciation for year 1) = $70,300

Thus, the operating cash flow for the first year (OCF1) can be calculated as follows:OCF1 = ($50,000) (1 – 0.4) + ($29,700 × 0.4)OCF1 = $30,000 + $11,880OCF1 = $41,880

Therefore, the operating cash flow for the first year (OCF1) is $41,880.

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Entrepreneurial cultures are appropriate only in the start-up phase of an organization. As the organization grows and develops it needs to develop a different culture in order to be successhil True F One reason for maintaining an established organizational culture is to create a stronger, more consistent organization as the external environment changes O True False А is anything visible that can be used to represent an abstract shared value or something having special meaning, shared language O shared assumption shared symbol shared practice

Answers

The statement "One reason for maintaining an established organizational culture is to create a stronger, more consistent organization as the external environment changes" is true is the correct answer

Entrepreneurial cultures are not appropriate only in the start-up phase of an organization. As the organization grows and develops, it needs to develop a different culture in order to be successful. This statement is false because maintaining an entrepreneurial culture is essential for the growth and development of the organization, regardless of its size. Entrepreneurial cultures are characterized by flexibility, creativity, innovation, and risk-taking, which are all vital for the success of any organization. Maintaining an entrepreneurial culture helps to create an environment that encourages employees to take risks, explore new ideas, and innovate.

This is essential for the growth and development of the organization, especially in today's fast-changing business environment. Entrepreneurial cultures help organizations to be more agile, adaptable, and innovative, which are all essential for long-term success. Therefore, it is essential to maintain an entrepreneurial culture, even as the organization grows and develops. This will help the organization to stay competitive, grow, and succeed in the long run.

The statement "One reason for maintaining an established organizational culture is to create a stronger, more consistent organization as the external environment changes" is true. Shared symbols are anything visible that can be used to represent an abstract shared value or something having a special meaning.

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2] How important is competence in the core managerial skills for
the different types of managers?
NO PLAGIARISM NO THUMBS UP answers will be checked

Answers

Competence in core managerial skills is very important for all types of managers. It is necessary for managers to possess skills such as communication, problem-solving, decision-making, leadership, planning, and organizing to ensure that their teams and departments are able to operate effectively.

For top-level managers, core managerial skills are important because they are responsible for creating and implementing the strategic plans that drive the organization. They need to be able to communicate effectively with stakeholders, make decisions based on data, and lead their teams to achieve organizational goals. Middle managers are responsible for implementing the strategic plans of top-level managers. They need to possess good communication and problem-solving skills to ensure that their departments are able to meet their goals. They also need to be able to work well with other managers and stakeholders. Lower-level managers are responsible for ensuring that day-to-day operations run smoothly. They need to possess good communication and leadership skills to ensure that their teams are able to work together effectively. They also need to be able to plan and organize workloads to ensure that tasks are completed on time and within budget. In conclusion, competence in core managerial skills is important for all types of managers. They need to possess skills such as communication, problem-solving, decision-making, leadership, planning, and organizing to ensure that their teams and departments are able to operate effectively.

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Your friend promises to pay $2.50 for the next 5 years (five times, beginning next year). In return, the friend is asking for $10 today. Chase bank is currently offering 4% in compound interest rate, which is what you were going to do with the $10. Should you lend the money to your friend?

Answers

To determine whether you should lend the money to your friend, we can compare the present value of your friend's promise to the amount you would have if you invested $10 in Chase bank at a 4% compound interest rate.

To calculate the present value of your friend's promise, we can use the formula for the present value of an annuity:

PV = PMT * [1 - (1 + r)^(-n)] / r

Where:

PV = Present value

PMT = Payment per period ($2.50)

r = Interest rate per period (4% or 0.04)

n = Number of periods (5 years)

Using these values, we can calculate the present value of your friend's promise:

PV = $2.50 * [1 - (1 + 0.04)^(-5)] / 0.04

PV = $2.50 * (1 - 0.8227) / 0.04

PV = $2.50 * 0.1773 / 0.04

PV = $0.44325 / 0.04

PV = $11.08

Therefore, the present value of your friend's promise is approximately $11.08.

Since the present value of your friend's promise ($11.08) is higher than the $10 you would have if you invested in Chase bank, it appears to be a better deal to lend the money to your friend. However, keep in mind that this analysis assumes the 4% interest rate is guaranteed, and there are no other factors or risks to consider.

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An SEM sponsored add can include links in the search results that take potential customers directly to a specific page on the advertiser's e-Commerce site. What are these called?
a. sitelinks
b. direct links
c. ad links
d. quicklinks

Answers

Option a. sitelinks is the correct option. The links in an SEM sponsored ad that take potential customers directly to a specific page on the advertiser's e-Commerce site are called sitelinks.

Sitelinks are the correct term for the links included in an SEM sponsored ad that lead potential customers directly to a specific page on the advertiser's e-Commerce site. These sitelinks provide a convenient way for advertisers to direct users to relevant and specific landing pages, bypassing the need for users to navigate through the website's main menu or search for specific pages. By including sitelinks, advertisers can offer a more streamlined and targeted user experience, increasing the chances of conversions and maximizing the effectiveness of their SEM campaigns.

Sitelinks are typically displayed as additional links beneath the main headline and description of an SEM ad. They allow advertisers to highlight specific pages or categories on their website that are relevant to the user's search query. This not only provides users with direct access to the information or products they are interested in but also allows advertisers to showcase different offerings or promotions within a single ad. Sitelinks can significantly improve the overall visibility, usability, and click-through rate of an SEM sponsored ad, ultimately driving more traffic and potential customers to specific pages on the advertiser's e-Commerce site.

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BUSINESS MANGMENT\

38. Inability to manage threat-rigidity triggers and responses is a key source of conflict in business organizations.

TRUE OR FALSE

Answers

The given statement "Inability to manage threat-rigidity triggers and responses is a key source of conflict in business organizations" is true.

The term threat rigidity refers to the cognitive, emotional, and behavioral tendencies that arise in response to perceived threats. This is one of the main reasons for conflict in business organizations because when employees feel that they are under threat, they tend to become rigid and resistant to change.

This rigidity makes it difficult for them to adapt to new situations, which can lead to conflicts between them and their colleagues or superiors. Conflict is a state of disagreement between two or more parties. It is an inevitable part of any organization, as people come from different backgrounds and have different ideas, opinions, and beliefs. However, conflict can be managed effectively if the parties involved are willing to communicate and work together to find a solution to the problem.

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create a work breakdown structure for a courier
service business.

Answers

A work breakdown structure (WBS) for a courier service business breaks down the project into manageable tasks and sub-tasks. It provides a hierarchical representation of the work to be performed.

A WBS for a courier service business might include the following breakdown:

Project: Courier Service Business

1.1 Market Research and Analysis

1.2 Business Planning and Strategy

1.3 Legal and Regulatory Requirements

Operations Setup

2.1 Establishing Office and Warehouse Space

2.2 Procuring Equipment and Vehicles

2.3 Hiring and Training Staff

2.4 Establishing IT and Communication Systems

Service Development

3.1 Defining Service Offerings and Pricing

3.2 Developing Service Policies and Procedures

3.3 Designing Delivery Routes and Schedules

Marketing and Promotion

4.1 Branding and Logo Design

4.2 Creating Marketing Collaterals

4.3 Online and Offline Advertising

4.4 Customer Acquisition Strategies

Customer Service and Operations

5.1 Order Processing and Tracking

5.2 Dispatching and Delivery Management

5.3 Customer Support and Issue Resolution

Financial Management

6.1 Budgeting and Financial Planning

6.2 Accounting and Bookkeeping

6.3 Revenue and Expense Tracking

6.4 Financial Reporting and Analysis

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Glenmark has a debt equity ratio of 0.15 and its WACC is 12.74% with a tax rate of 45%, Calculate its after tax cost of debt if the cost of equity is 14%. (Show your answers in percentage and do not include the percentage symbol.)

Answers

The after-tax cost of debt for Glenmark is 3.08%. Debt is defined as an obligation that requires the debtor to pay the money to their creditor. ' Debt is nothing but the amount of money one borrows.

To calculate the after-tax cost of debt, we can use the following formula:

After-tax cost of debt = Cost of debt × (1 - Tax rate)

Given:

Debt equity ratio = 0.15

WACC = 12.74% (0.1274)

Tax rate = 45% (0.45)

Cost of equity = 14% (0.14)

First, let's calculate the cost of debt using the debt-equity ratio and WACC:

Debt ratio = Debt / (Debt + Equity)

0.15 = Debt / (Debt + Equity)

0.15 = Debt / 1

Debt = 0.15

Equity = 1 - Debt

Equity = 0.85

Now, let's calculate the cost of debt:

WACC = (Equity × Cost of equity) + (Debt × Cost of debt)

0.1274 = (0.85 × 0.14) + (0.15 × Cost of debt)

Simplifying the equation:

0.1274 = 0.119 + 0.15 × Cost of debt

Rearranging the equation to solve for the Cost of debt:

0.15 × Cost of debt = 0.1274 - 0.119

Cost of debt = 0.056 or 5.6%

Finally, let's calculate the after-tax cost of debt using the tax rate:

After-tax cost of debt = Cost of debt × (1 - Tax rate)

After-tax cost of debt = 0.0308 or 3.08%

Therefore, the after-tax cost of debt for Glenmark is 3.08%.

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Joel Foster is the portfolio manager of a $3 million hedge fund
that contains $2.1 million stock A and $0.9 million stock B. The
beta is 0.5 for stock A and and 0.75 for stock B. The market return
is

Answers

To calculate the portfolio beta, use the following formula:

βp = wA * βA + wB * βB where

βp = portfolio beta,

βA = beta of stock A,

βB = beta of stock B,

wA = proportion of portfolio in stock A,

wB = proportion of portfolio in stock B. To find the values for wA and wB, divide the value of each stock by the total portfolio value

wA = $2.1 million / $3 million = 0.7

wB = $0.9 million / $3 million

= 0.3 Substituting the given values in the formula, we get:

βp = 0.7 * 0.5 + 0.3 * 0.75

βp = 0.35 + 0.225

βp = 0.575 Thus, the portfolio beta is 0.575. Note that the market return is not provided in the question, so it cannot be included in the answer. To calculate the portfolio beta, use the following formula:

βp = wA * βA + wB * βB where

βp = portfolio beta,

βA = beta of stock A,

βB = beta of stock B,

wA = proportion of portfolio in stock A,

wB = proportion of portfolio in stock B. To find the values for wA and wB, divide the value of each stock by the total portfolio value.

To calculate the portfolio beta, use the following formula:

βp = wA * βA + wB * βB where

βp = portfolio beta,

βA = beta of stock A,

βB = beta of stock B,

wA = proportion of portfolio in stock A,

wB = proportion of portfolio in stock B. To find the values for wA and wB, divide the value of each stock by the total portfolio value :

wA = $2.1 million / $3 million

= 0.7wB

= $0.9 million / $3 million

= 0.3 Substituting the given values in the formula, we get:

βp = 0.7 * 0.5 + 0.3 * 0.75

βp = 0.35 + 0.225

βp = 0.575 Thus, the portfolio beta is 0.575. Note that the market return is not provided in the question, so it cannot be included in the answer. To calculate the portfolio beta, use the following formula:

βp = wA * βA + wB * βB where

βp = portfolio beta,

βA = beta of stock A,

βB = beta of stock B,

wA = proportion of portfolio in stock A,

wB = proportion of portfolio in stock B. To find the values for wA and wB, divide the value of each stock by the total portfolio value.

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What the link between ifrs 10 and consolidated financial statements?

Answers

IFRS 10 is the International Financial Reporting Standard that relates to the preparation and presentation of consolidated financial statements. It establishes uniform standards for the preparation and presentation of consolidated financial statements for entities that are under the control of a parent.

IFRS 10 lays out the principles for the preparation and presentation of consolidated financial statements. It establishes a single set of criteria for determining when an entity is an investment firm's subsidiary. Consolidated financial statements must be prepared in accordance with IFRS 10 for subsidiaries.The consolidation process is used to combine financial statements from multiple related companies. It is performed in order to provide a comprehensive view of the financial health of a company and its subsidiaries. The following are some of the primary benefits of consolidation: It provides investors with a clear understanding of a business's financial health, enhances comparability between different businesses, reduces the chances of manipulation, and reduces the likelihood of tax avoidance.

The International Accounting Standards Board (IASB) created International Financial Reporting Standards (IFRSs) in order to create a single set of high-quality, understandable, and enforceable global accounting standards. IFRS 10, which establishes uniform standards for the preparation and presentation of consolidated financial statements for entities that are under the control of a parent, is one of the IFRSs issued by the IASB.IFRS 10, which replaces the previous IAS 27 (Consolidated and Separate Financial Statements) and SIC-12 (Consolidation – Special Purpose Entities), specifies the accounting requirements for the preparation and presentation of consolidated financial statements in which investments in subsidiaries, joint ventures, and associates are consolidated in a parent company's financial statements. As a result, IFRS 10 is intimately linked to consolidated financial statements because it establishes the principles for their preparation and presentation.

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At December 31, Year 1 the accounting records of Gordon, Incorporated contain the following items: $ 18,750 Accounts Payable Land Building Notes Payable Retained Earnings $ 2,500 3 30,000 31,250 ? 125,000 Accounts Receivable Cash Equipment Capital Stock 40,000 12,500 If the Cash balance at December 31, Year 1 is $67,500, the Notes Payable balance is: Multiple Choice $47.500 $137.500 $118.750

Answers

To find the missing balance, we need to use the accounting equation: After analyzing and calculating the Notes Payable balance is $30,000.

Assets = Liabilities + Equity

Assets:

Land $18,750

Building $125,000

Accounts Receivable $40,000

Cash $67,500

Equipment $12,500

Therefore, the Total Assets = $264,750

Liabilities:

Accounts Payable $2,500

Equity:

Retained Earnings $31,250

Total Liabilities and Equity = $264,750

We can solve for Notes Payable as follows:

Liabilities and Equity = Assets

Liabilities + Equity = $264,750

$2,500 + Notes Payable + Capital Stock + $31,250 = $264,750

Notes Payable + Capital Stock = $264,750 - $2,500 - $31,250

Notes Payable + Capital Stock = $231,000

Although we are unsure of the Capital Stock balance, we are aware that it represents long-term equity while Notes Payable are considered liabilities. Therefore, we assume that the Capital Stock remains at $0 and is unaffected by the Cash balance. In simple accounting issues, this presumption is prevalent.

Notes Payable = $231,000 - $0 = $231,000

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We have discussed in class the concept of the consumer buying funnel. Please explain what a consumer
buying funnel is and identify its key stages. Propose specific marketing activities that the contact lense company
marketing team should take to stimulate consumers moving from one stage to the next stage across
the funnel – your answer should cover transitions across ALL the stages (Maximum 400 words).

Answers

The consumer buying funnel is a model that describes the journey of a consumer when making a purchasing decision. It consists of five stages: Awareness, Interest, Consideration, Purchase, and Loyalty. In this model, marketers are trying to guide consumers from being unaware of a product or service to becoming loyal customers.

The first stage, Awareness, is when a consumer becomes aware of the product or service that a company offers. During this stage, a contact lens company marketing team can use marketing activities such as social media advertising, email marketing, or search engine optimization (SEO) to get their products and services in front of consumers. The second stage, Interest, is when a consumer starts to show interest in the product or service. The marketing team can use activities like content marketing, webinars, and social media engagement to keep consumers engaged and interested. The third stage, Consideration, is when a consumer starts to compare different products or services. The marketing team can use activities such as offering a free trial, product demos, or reviews to provide value to consumers. The fourth stage, Purchase, is when a consumer decides to buy the product or service. The marketing team can use activities like offering discounts or bundle deals to incentivize the consumer to make the purchase. The final stage, Loyalty, is when a consumer becomes a repeat customer. The marketing team can use activities such as loyalty programs, email marketing, or personalized offers to maintain a good relationship with the consumer and encourage them to purchase again. To stimulate consumers moving from one stage to the next, the contact lens company marketing team can take the following specific marketing activities: For the Awareness stage, the company can use social media advertising, email marketing, and search engine optimization (SEO).For the Interest stage, the company can use content marketing, webinars, and social media engagement. For the Consideration stage, the company can offer a free trial, product demos, or reviews. For the Purchase stage, the company can offer discounts or bundle deals. For the Loyalty stage, the company can use loyalty programs, email marketing, and personalized offers. Overall, the key to stimulating consumers moving from one stage to the next is to provide value to them at each stage. By using the right marketing activities, a contact lens company can guide consumers through the funnel and create loyal customers who will buy their products again and again.

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Which of the following items does NOT constrain the federal budget?
A) the mortgage interest rate
B) the amount of bonds the public is willing to purchase
C) the money supply
D) tax receipts

Answers

The mortgage interest rate does not constrain the federal budget. Therefore, option A is correct.

The federal budget is the financial plan of the government that outlines its projected revenues and expenditures for a given period. It is influenced by various factors, but not all of them constrain the budget equally. Let's analyze each option:

A) The mortgage interest rate: The mortgage interest rate refers to the cost of borrowing for individuals and businesses to finance their real estate purchases. While changes in the mortgage interest rate can impact the overall economy and housing market, it does not directly constrain the federal budget. The federal budget is more affected by factors such as government spending decisions, tax policies, and revenue collection.

B) The amount of bonds the public is willing to purchase: The amount of bonds the public is willing to purchase can impact the government's ability to borrow funds to finance its budget deficits. If the public is less willing to purchase government bonds, it may result in higher borrowing costs or difficulty in raising sufficient funds. Therefore, the amount of bonds the public is willing to purchase can constrain the federal budget.

C) The money supply: The money supply refers to the total amount of money in circulation in an economy. While the money supply can influence macroeconomic conditions, such as inflation and interest rates, it does not directly constrain the federal budget.

D) Tax receipts: Tax receipts are a significant source of revenue for the federal government. The level of tax receipts directly affects the government's ability to fund its expenditures and programs. Therefore, tax receipts do constrain the federal budget.

Among the given options, A) the mortgage interest rate does not constrain the federal budget. Factors such as the amount of bonds the public is willing to purchase and tax receipts have a direct impact on the federal budget, while the money supply indirectly affects the economy but does not directly constrain the budget.

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"A radically novel and relatively fast-growing technology characterized by a certain degree of coherence persisting over time and with potential to exert a considerable impact on the socio-economic domains". This definition best applies to: O a. Emerging technologies O b. Convergent technologies O C. Disruptive technologies Data-generating technologies O d.

Answers

Option (c), The "radically novel and relatively fast-growing technology characterized by a certain degree of coherence persisting over time and with potential to exert a considerable impact on the socio-economic domains" best applies to disruptive technologies.

Disruptive technology refers to a new technology or innovation that unexpectedly displaces the established or conventional one. Disruptive technology presents a radical change in technology that forces businesses to reevaluate their competitiveness. It is characterized by a certain degree of coherence persisting over time and the potential to have a considerable impact on the socio-economic domains.

The concept was introduced by Clayton Christensen in his book "The Innovator's Dilemma." Disruptive technologies can be products, services, or technologies that create a new industry, transform an existing one, or displace the existing dominant technology. The main answer is "c. Disruptive technologies."

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Differences and similarities between recruitment process according
to foot and hook and recruitment process now a days. How well
companies follow the suggestions by foot and hook?

Answers

The differences and similarities between the recruitment process according to Foot and Hook and the recruitment process nowadays are mentioned below:

Similarities, Advertisement: Both methods utilize the form of advertisement, the only difference is that in the past, people used newspapers, brochures, pamphlets, and radio to advertise jobs, while today, people utilize the internet and social media to do so.

Selection: After the initial screening, both recruitment procedures use the same selection process, such as aptitude tests, written exams, interviews, and background checks.

Differences: The recruitment process according to Foot and Hook is a process that is only based on a specific job role's skill and qualifications. In the contemporary era, in addition to qualifications and expertise, other qualities like leadership, team building, conflict management, and customer interaction are considered. Companies in the past mainly focused on traditional recruitment methods that were heavily reliant on oral and written skills. In modern times, businesses are using contemporary techniques like gamification, virtual reality, and e-learning to evaluate a candidate's actual abilities to succeed in the workplace.

How well companies follow the suggestions of Foot and Hook: While there is no denying that both Foot and Hook have laid out some excellent principles that businesses should adhere to when hiring new employees, it is difficult to say whether firms are strictly adhering to them. Every company has its recruitment process, which is determined by the industry in which it operates and the positions it wants to fill. However, most businesses nowadays prefer a hybrid approach, which combines the conventional and modern methods to attract and retain top talent in their firms.

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ROE and recapitalization At the beginning of the year you invest $40,000 of your own money plus $40,000 that you borrowed at 6% interest to purchase $80,000 worth of GoFast stock, which earns a return of 14%. You pay taxes on the money you make on the stock at the rate of 28%, but you can deduct the interest you pay on your loan from your stock income before calculating your tax bill. a. Calculate your net after-tax return on these positions. b. What would your after-tax return have been if you had never borrowed money and had invested just $40,000 in GoFast stock?

Answers

a)The net after tax return on these position is 7.92% and b) The after-tax return would be if we had never borrowed money and had invested just $40,000 in GoFast stock is 10.08%

a)Total investment = 80000

Interest = 40000 x 6% 2400 Amount of return = Total investment x return% = 80000 * 14 \% 11,200.00

Net return Total return Interest = x(1 - tax) =(11,200-2,400)* (1 - 0.28) = 6,336

After tax return Net return / Total investment = (6, 336)/80 * 100 = 7.92%

b) Amount of return = Total investment x return% = 40000 * 14 \% = 5,600.00

Net return amount Amount of return = 5,600*(1-0.28) x(1 - tax)

= 4032

Return % = Net return amount/ total investment = 4032/40 * 100 = 10.08%

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Construct and fully label the circular flow diagram, using proper color codes for money, tangibles and government related items. Include the flow indicator guide.

Answers

The circular flow diagram depicts the flow of goods, services, and money in an economy. It consists of two main sectors, the household sector and the business sector, and shows how they interact through various flows. The diagram is typically color-coded to differentiate between money flows, tangibles (goods and services), and government-related items. The flow indicator guide helps to identify the direction of these flows and how they contribute to the overall circular flow of the economy.

The circular flow diagram illustrates the interconnections between the household sector and the business sector in an economy. The household sector represents individuals and households who provide factors of production such as labor, land, and capital, while the business sector represents firms that produce goods and services.

In the diagram, the flow of tangibles, which includes goods and services, is represented by arrows in one direction from the business sector to the household sector, indicating the production and consumption of goods and services.

Money flows are represented by arrows in the opposite direction, indicating the payments made by the household sector to the business sector for the purchase of goods and services. These payments include wages, salaries, rent, interest, and profits.

Government-related items, such as taxes and government spending, are also included in the circular flow diagram. The government collects taxes from households and businesses, represented by arrows from the household and business sectors towards the government sector. Government spending, in the form of goods, services, and transfer payments, is represented by arrows from the government sector to the household and business sectors.

The flow indicator guide provides clarity by using different colors to represent money flows, tangibles, and government-related items. For example, money flows can be represented in green, tangibles in blue, and government-related items in red. The flow indicator guide helps viewers understand the direction and nature of the flows in the circular flow diagram.

By understanding the circular flow diagram and its color-coded components, one can visually grasp the interconnectedness of the different sectors in an economy and how money, goods, services, and government-related items flow between them. and its color-coded components, one can visually grasp the interconnectedness of the different sectors in an economy and how money, goods, services, and government-related items flow between them.

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Which of the following is not a map error? a Undershootb Overshoot c Closed building polygons d Contour lines crossing building polygons Suppose z = x sin y, x = 3s2t, y = 6st. A. Use the chain rule to find and as functions of x, y, s z It and t. z = z t B. 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