Question 55 1 points Save Answ Eric sold shares costing $9,000 for $12,000 on 30/04/2021. He acquired the shares on 5/05/1990. This is Eric's only CGT event for the year. He has a carry forward net capital loss of $500 arising from the sale of a collectable. What is Eric's net capital gain for the 2020/21 income year? $1,400 Nil (the capital gain is disregarded) An amount not shown here $1,173 $1,500 $673 $1,250

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Answer 1

To determine Eric's net capital gain for the 2020/21 income year, we first need to calculate the capital gain from the sale of shares and offset it against any capital losses, including the carry forward net capital loss of $500 that Eric has. The formula to calculate net capital gain.

Capital gains tax (CGT) is the tax paid on the capital gain that an individual earns from the sale of an asset, such as shares or property. The capital gain is calculated as the difference between the proceeds received from the sale of an asset and the cost base of the asset, which includes any incidental costs of acquiring, holding, and disposing of the asset. The cost base of an asset is calculated as the sum of the original purchase price and the expenses incurred to acquire and sell the asset. The CGT event occurs when the ownership of the asset changes, such as when an individual sells or gifts the asset to someone else. However, not all assets are subject to CGT. For example, personal assets, such as a family home, car, or household goods, are exempt from CGT. Similarly, CGT does not apply to assets acquired before September 1985. If an individual makes a capital loss from the sale of an asset, it can be used to offset against the capital gain. If the capital loss exceeds the capital gain, the individual may carry forward the unused capital loss to offset against any future capital gain.

Therefore, Eric's net capital gain for the 2020/21 income year is $2,500.

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Related Questions

A decrease in which of the following will increase the value of a call option on a stock? Stock price and risk-free rate O Risk-free rate and standard deviation of the returns on the underlying stock O Time to expiration and stock price O Strike price O Strike price and standard deviation of the returns on the underlying stock

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A decrease in B) Strike price will increase the value of a call option on a stock. The Strike price is an option contract's fixed price at which the holder of the option may buy or sell the underlying stock.

The value of the call option increases as the strike price decreases

A call option gives the holder the right, but not the duty, to buy an underlying stock or asset at a specified price, known as the strike price, before the expiration date of the option. Call options increase in value as the underlying asset's price rises because the option owner's right to buy the underlying asset at the strike price below market value becomes more profitable.

A decrease in strike price will increase the value of a call option on a stock. Option prices are affected by the changes in their pricing factors. One of the pricing factors is the strike price of an option. An option's strike price, along with other pricing factors, helps in determining the option price's premium value.

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The following dataset contains the number of defects found on each of 12 randomly chosen bicycle frames manufactured by Luigi Bikes Inc. over a period of two weeks: 5 7 15 9 19 8 16 16
9 5 7 10 Construct a histogram in order to present the quality manager of Luigi Bikes Inc. with a graphical representation of the data.

Answers

The histogram of the give data is show below in the attached image. In the histogram, we have grouped the number of defects into ranges (bins) and counted the frequency of defects falling into each range.

A histogram is a graphical representation of data that displays the distribution of a continuous variable or a discrete variable with a large number of possible values. It consists of a series of bars where the height of each bar represents the frequency of data points.

The main purpose of a histogram is to visualize the shape and pattern of the data distribution. It provides insights into the central tendency, spread, and skewness of the data.

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2 ants Suppet Book References According to IFRS guidance for management's commentary, addressing the company's key relationships is Multiple Choice A. neither recommended nor required B. required C. recommended

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The  option B: required, According to the IFRS guidance for management's commentary, it is required to address the company's key relationships. This information is provided in the "Management Commentary" section of the financial statements.

Management commentary is an additional report in the annual financial statements. This report provides an explanation of the company's financial performance, position, and cash flow. This report also includes information about key relationships, such as customers, suppliers, and employees.

Five components make up the whole set of financial statements complying with IFRS. a financial position statement as of the period's end. a detailed income statement for the time period. a declaration of equity changes over the time period.

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You took out a mortgage for $500,000. You need to pay $5,251 every month for 15 years. BAttempt 1/6 for 5 pts. Part 1 What is the monthly interest rate?

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The cost of borrowing or the rate of return on investment for a specific time period is measured monthly by the interest rate. It symbolizes the rate at which a loan's interest builds up or the monthly pace at which an investment grows or earns interest.

To calculate the monthly interest rate for a mortgage payment of $5,251, given that the mortgage is $500,000, you need to use the formula for the mortgage payment:

P = L[c(1 + c)^n]/[(1 + c)^n - 1],

where P is the payment, L is the loan amount, n is the number of payments, and c is the monthly interest rate.We know that L = $500,000, P = $5,251, and n = 15 years * 12 months/year = 180 months.

We need to solve for c. Let's rearrange the formula:

P = L[c(1 + c)^n]/[(1 + c)^n - 1]⇔ P[(1 + c)^n - 1] = Lc(1 + c)^n⇔ P[(1 + c)^n - 1]/(1 + c)^n = Lc⇔ P[(1 + c)^n/((1 + c)^n - 1)] = Lc⇔ P = L[c(1 + c)^n/((1 + c)^n - 1)]

Now we can plug in the numbers: $5,251 = $500,000[c(1 + c)^180/((1 + c)^180 - 1)]Dividing both sides by $500,000 gives:$0.010502 = c(1 + c)^180/((1 + c)^180 - 1)

Multiplying both sides by ((1 + c)^180 - 1) gives: $0.010502[(1 + c)^180 - 1] = c(1 + c)^180

Multiplying both sides by (1 + c) gives: $0.010502[(1 + c)^181 - (1 + c)] = c(1 + c)^181$0.010502[(1 + c)^181 - (1 + c)] = c(1 + c)^181$0.010502 = c(1 + c).

Now we can solve for c using algebra. Multiplying both sides by c gives:$0.010502c = c^2 + c$0 = c^2 - 0.010502c + c Dividing both sides by c gives:$0 = c - 0.010502 + 1$0 = c - 0.009502c = 0.009502. Therefore, the monthly interest rate is 0.009502 or 0.9502%.

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Show step-by-step (manual) solution:
A couple plans to make a one-time investment for their child's college education. How much must be deposited by the parents when their child turns 7 in order to have 1,000,000 pesos when the child reaches the age of 18? Assume the money earnes 9% interest, compounded quarterly?

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The amount that must be deposited by the parents when their child turns 7 in order to have 1,000,000 pesos when the child reaches the age of 18 is 318,475.35 pesos.

Let P be the required principal balance for the investment. As the money earns interest quarterly, the period is 11 years or 44 quarters. From the given, rate r = 9% = 0.09, n = 44 (quarterly periods), and FV = 1,000,000

The formula for future value with compound interest is:

FV = P(1 + r/n)^(nt)

Substituting the given values into the formula:

1,000,000 = P(1 + 0.09/44)^(44*11)

Simplifying the equation:

1,000,000 = P(1.0211)^44

Therefore,

P = 1,000,000 / (1.0211)^44

So,

P = 318,475.35

Therefore, the amount that must be deposited by the parents is P = 318,475.35 pesos.

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A pension fund manager is considering three mutual funds. The first is a stock fund, the second is a long-term bond fund, and the third is a money market fund that provides a safe return of 8%. The characteristics of the risky funds are as follows: Stock fund (S) Bond fund (B) Expected Return 198 10 Standard Deviation 34% 18 The correlation between the fund returns is 0.11. a-1. What are the investment proportions in the minimum-variance portfolio of the two risky funds? (Do not round intermediate calculations. Enter your answers as decimals rounded to 4 places.) Portfolio invested in the stock Portfolio invested in the bond a-2. What are the expected value and standard deviation of its rate of return? (Do not round intermediate calculations. Enter your answers as decimals rounded to 4 places.) Rate of Return Expected return Standard deviation

Answers

To determine the investment proportions in the minimum-variance portfolio of the two risky funds, we can use the principles of portfolio theory and the concept of covariance.

a-1. Investment Proportions in the Minimum-Variance Portfolio:

Let's denote the proportion invested in the stock fund as x and the proportion invested in the bond fund as (1 - x).

The covariance between the stock fund and the bond fund can be calculated as:

Cov(S, B) = Corr(S, B) * StdDev(S) * StdDev(B)

Cov(S, B) = 0.11 * 0.34 * 0.18 = 0.006066

The investment proportions can be determined using the formula for the minimum-variance portfolio:

x = [StdDev(B)^2 - Cov(S, B)] / [StdDev(S)^2 + StdDev(B)^2 - 2 * Cov(S, B)]

(1 - x) = [StdDev(S)^2 - Cov(S, B)] / [StdDev(S)^2 + StdDev(B)^2 - 2 * Cov(S, B)]

Plugging in the values, we get:

x = [0.18^2 - 0.006066] / [0.34^2 + 0.18^2 - 2 * 0.006066] ≈ 0.1907

(1 - x) ≈ 1 - 0.1907 ≈ 0.8093

Therefore, the investment proportions in the minimum-variance portfolio are approximately 0.1907 (19.07%) in the stock fund and 0.8093 (80.93%) in the bond fund.

a-2. Expected Value and Standard Deviation of the Rate of Return:

To calculate the expected value of the rate of return, we can use the weighted average of the expected returns of the two funds:

Expected Return = x * Expected Return of Stock Fund + (1 - x) * Expected Return of Bond Fund

Expected Return = 0.1907 * 0.198 + 0.8093 * 0.10 ≈ 0.1157 or 11.57%

To calculate the standard deviation of the rate of return, we can use the formula for the portfolio standard deviation:

Standard Deviation = √[x^2 * StdDev(S)^2 + (1 - x)^2 * StdDev(B)^2 + 2 * x * (1 - x) * Cov(S, B)]

Standard Deviation = √[0.1907^2 * 0.34^2 + 0.8093^2 * 0.18^2 + 2 * 0.1907 * 0.8093 * 0.006066] ≈ 0.1123 or 11.23%

Therefore, the expected value of the rate of return is approximately 11.57% and the standard deviation of the rate of return is approximately 11.23%.

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Maybank Bhd is evaluating three common shares for the new investment. Below is the information for all the shares:
- Blue Dragon paid a dividend RM2.40 last year. The dividend is growth at 2 percent per year.
- Techno flix’ currently pays an annual dividend of RM3.20 per share. The dividend is growth at 3 percent.
- Phyton paid a dividend RM4.40 last year and dividend is not grown from the last year.
Calculate the value for the three shares if the required return is 6 percent.

Answers

The value of Blue Dragon share is RM60, Techno Flix share is RM106.67, and Phyton share is RM73.33, considering a required return of 6 percent.

To calculate the value of the three shares, we need to use the dividend discount model (DDM) which takes into account the dividends and the required return. The DDM formula is:

Share Value = Dividend / (Required Return - Dividend Growth Rate)

Let's calculate the value for each share:

1. Blue Dragon:

Dividend = RM2.40

Dividend Growth Rate = 2%

Required Return = 6%

Using the DDM formula:

Share Value = RM2.40 / (0.06 - 0.02) = RM2.40 / 0.04 = RM60

2. Techno Flix:

Dividend = RM3.20

Dividend Growth Rate = 3%

Required Return = 6%

Using the DDM formula:

Share Value = RM3.20 / (0.06 - 0.03) = RM3.20 / 0.03 = RM106.67

3. Phyton:

Dividend = RM4.40

Dividend Growth Rate = 0% (no growth)

Required Return = 6%

Using the DDM formula:

Share Value = RM4.40 / (0.06 - 0) = RM4.40 / 0.06 = RM73.33

Therefore, the value of Blue Dragon share is RM60, Techno Flix share is RM106.67, and Phyton share is RM73.33, considering a required return of 6 percent.

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ABC bank bid for a TL 10,000 91-day Treasury bill (T-bill). The average price at the auction was 96 percent of Par.
a) Calculate the bond-equivalent yield and the effective annual yield hat the bank will earn if the bill is held until maturity.
b) What holding period yield will the bank earn if the bill is sold after five weeks at a price of TL 9,750?Calculate the effective annual yield.

Answers

a) Bond-equivalent yield is 16.03%.

b) The effective annual yield for both the scenarios is 16.03% and 23.9% respectively.

a) Bond equivalent yield refers to the yield of a bill that is adjusted to account for the fact that T-bills do not carry interest.

The bond-equivalent yield is calculated using the following formula:

BEY = (face value − price) / price × 360 / days to maturity.BEY = (10,000 − 9,600) / 9,600 × 360 / 91 = 15.1%

Effective annual yield (EAY) is the actual yield of the T-bill when all of the compounded yields over the life of the T-bill are taken into account.

The formula for calculating the effective annual yield is:

EAY = (1 + (r / m))^m − 1

The variable "r" represents the annual interest rate, while "m" denotes the frequency of compounding per year.

EAY = (1 + (15.1% / 4))^4 − 1 = 16.03%

b) The holding period yield is the return that an investor earns over the period of time that they own the security.

It is calculated using the following formula:

Holding period yield = (ending price + cash inflows − starting price) / starting price * 360 / holding period.

Holding period yield = (9,750 + 0 − 9,600) / 9,600 × 360 / 35 = 22.6%

Effective annual yield is the actual yield of the T-bill when all of the compounded yields over the life of the T-bill are taken into account.

Effective annual yield = (1 + (22.6% / 1))^1 − 1 = 23.9%.

Hence, the effective annual yield for both the scenarios is 16.03% and 23.9% respectively.

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All rates are annual. The one-year zero coupon rate is 3%. The two year zero-coupon rate is 3.5%. The three year zero-coupon rate is 3.25%. The price of a three-year 3% coupon bond with the face value of $1,000 is $ ______{8} ________(accuracy to one cent) and its yield to maturity is ______ {9}..............percent (enter 3.65% as 3.65 not 0.0365, accuracy at least to two decimals)

Answers

Bond price = $929.28; Yield to maturity = 3.65% is estimated for the given  zero coupon rate.

Given information:

One-year zero coupon rate = 3%

Two-year zero-coupon rate = 3.5%

Three-year zero-coupon rate = 3.25%

Face value of bond = $1000

Coupon rate = 3%

The price of a bond can be calculated using the formula for the present value of the bond.

PV = C1/(1 + r1) + C2/(1 + r2)² + C3/(1 + r3)³ + F/(1 + rn)³

Where,PV = price of the bondC1, C2, C3 = coupons to be received after the end of each yearr1, r2, r3 = one, two, three-year zero-coupon rate

F = face value of the bond

rn = yield to maturity for a three-year bond

To calculate the bond price, we need to calculate each component.

Coupon payment of the bond = 3% of $1000 = $30

Year 1: C1 = $30; r1 = 3%

Year 2: C2 = $30; r2 = 3.5%

Year 3: C3 = $30; r3 = 3.25%

Face value of the bond = $1000

Thus, the price of a bond is,    PV = C1/(1 + r1) + C2/(1 + r2)² + C3/(1 + r3)³ + F/(1 + rn)³    

= $30/(1 + 0.03) + $30/(1 + 0.035)² + $30/(1 + 0.0325)³ + $1000/(1 + rn)³

To calculate yield to maturity, we need to solve the equation using the trial and error method.

As per the question, we know that the yield to maturity is greater than the three-year zero-coupon rate, i.e. it is greater than 3.25%.When we use the rate of 3.65%, the bond price comes out to be $929.28.

Hence, the yield to maturity for a three-year bond is 3.65%.

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Cybersecurity has become an increasingly important consideration to all business and other organizations. Management should implement policies and procedures to protect against cybersecurity threats and risks. What overall threat or risk do most cybersecurity policies and procedures seek to mitigate? Identify at least two control policies or procedures that organizations should consider implementing to mitigate the risk you identified. Which is the best control procedure to prevent invoicing customers for the quantity ordered, which was more than the quantity shipped due to items on backorder? Use the information from the picking ticket to prepare the sales invoice. O Use the information from the receiving report to prepare the sales invoice. O Use the information from the packing slip to prepare the sales invoice. O Use the information from the sales order to prepare the sales invoice.

Answers

The best control procedure to prevent invoicing customers for the quantity ordered, which was more than the quantity shipped due to items on backorder, is to Use the information from the packing slip to prepare the sales invoice.

The packing slip shows the items that were shipped to the customer, which means that you can only invoice the customer for the quantity shipped.

Therefore, using the packing slip information is the best control procedure to prevent invoicing customers for the quantity ordered, which was more than the quantity shipped due to items on backorder.

Most cybersecurity policies and procedures seek to mitigate the risk of data breaches, which can lead to unauthorized access to sensitive information and compromise the confidentiality, integrity, and availability of the data.

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A toy RETAILER is deciding to sell a seasonal toy at the beginning of Q4. The retail price is $28, and the MANUFACTURER's cost is $15. The RETAILER can recycle books for 50% of the retail price, while the MANUFACTURER offers buy-backs of the unsold toys for $10 per toy from the retailer. Toy demand is norm dist. with 1000 toy average and 250 s-dev. If one single company owns BOTH the manufacturer and retailer, what is the order/production quantity for this firm, and what is the profit?

Answers

The optimal order/production quantity for this firm is approximately 1411 toys and the expected profit for the company that owns both the manufacturer and retailer is $6,835.

To determine the order/production quantity and profit for the company that owns both the manufacturer and retailer, we need to consider the demand distribution and the costs involved.

Given:

Retail price = $28

Manufacturer's cost = $15

Retailer's recycling price = 50% of retail price = $14

Manufacturer's buy-back price = $10

Toy demand follows a normal distribution with an average of 1000 toys and a standard deviation of 250.

To find the optimal order/production quantity, we can use the Newsvendor Model. The objective is to minimize the expected overstocking and understocking costs. In this case, the overstocking cost is the difference between the manufacturer's cost and the buy-back price, while the understocking cost is the difference between the retail price and the recycling price.

The optimal order/production quantity (Q*) can be calculated using the following formula:

Q* = Average demand + (Z * Standard deviation)

Where Z represents the Z-score corresponding to the desired service level. For simplicity, let's assume a service level of 95%, which corresponds to a Z-score of 1.645.

Q* = 1000 + (1.645 * 250)

  = 1000 + 411.25

  = 1411.25

Therefore, the optimal order/production quantity for this firm is approximately 1411 toys.

To calculate the profit, we need to consider the revenue and cost components. The revenue is the product of the retail price and the quantity sold, while the cost includes the manufacturer's cost for the produced quantity and the buy-back cost for any unsold toys.

Profit = (Retail price * Quantity sold) - (Manufacturer's cost * Quantity produced) - (Buy-back price * Quantity unsold)

Since the demand follows a normal distribution, we can calculate the expected profit by considering the expected quantity sold and the expected quantity unsold.

Expected quantity sold = Average demand if it is less than or equal to the order/production quantity (Q*), otherwise Q*.

Expected quantity unsold = Q* if it is greater than the average demand, otherwise the average demand minus Q*.

Using the given values and calculations:

Expected quantity sold = Min(1000, 1411) = 1000

Expected quantity unsold = Max(0, 1000 - 1411) = 0

Profit = ($28 * 1000) - ($15 * 1411) - ($10 * 0)

      = $28,000 - $21,165 - $0

      = $6,835

Therefore, the expected profit for the company that owns both the manufacturer and retailer is $6,835.

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An overview of the significant points of a business plan appears in the

a. financial plan.
b. general company description.
c. executive summary.
d. operating plan.

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The overview of significant points of a business plan appears in the  executive summary. The correct option is c.

The executive summary is a concise and high-level overview of the key elements of the business plan. It serves as a snapshot of the entire plan, providing an introduction and summary of the most important aspects of the business.

In the executive summary, the significant points of the business plan are typically outlined, including:

1. Business concept and value proposition: This section briefly describes the business idea, its unique selling proposition, and the problem it aims to solve in the market.

2. Market analysis: The executive summary provides an overview of the target market, including its size, growth potential, and key trends. It may also highlight the competitive landscape and the business's positioning within it.

3. Products or services: This section summarizes the key features and benefits of the products or services offered by the business.

4. Business model: The executive summary may outline the revenue streams, pricing strategy, and distribution channels employed by the business.

5. Management team: A brief overview of the key members of the management team and their relevant experience is often included in the executive summary. This helps establish the credibility and expertise of the team.

6. Financial highlights: The summary may provide a glimpse into the financial projections, highlighting key figures such as revenue, profitability, and funding requirements.

7. Growth and future plans: The executive summary may touch upon the growth strategy, potential opportunities, and expansion plans for the business.

The executive summary is typically positioned at the beginning of the business plan and serves as a tool to grab the reader's attention and provide a quick understanding of the business. It is crucial to craft a compelling and concise executive summary that effectively communicates the essence of the business plan and entices the reader to delve deeper into the document.

Therefore the correct answer is option c.

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Aston Asphalt has paid an annual dividend of $1 per share on its common stock for the past 10 years and is expected to continue paying a dollar a share long into the future. Given this, one share of the firm's stock is:
a. basically worthless as it offers no growth potential
b. valued at an assumed growth rate of 1 percent
c. equal in value to the present value of $1 paid one year from today
d. worth $1 a share in the current market
e. priced the same as a $1 perpetuity

Answers

For the statement “Aston Asphalt has paid an annual dividend of $1 per share on its common stock for the past 10 years and is expected to continue paying a dollar a share long into the future,” one share of the company’s stock is priced the same as a $1 perpetuity. The correct option is (e).

Perpetuity is a type of bond that pays a fixed amount of interest to the bondholder every year. The key feature of a perpetuity is that it never expires, meaning that the bondholder will receive interest payments indefinitely.Aston

Asphalt has paid an annual dividend of $1 per share on its common stock for the past 10 years and is expected to continue paying a dollar a share long into the future. This means that the company is expected to pay a dividend of $1 per share every year, indefinitely. Thus, the value of one share of the firm’s stock is the same as the present value of a $1 perpetuity.

The value of a perpetuity is calculated by dividing the annual payment by the discount rate (the required rate of return). In this case, the annual payment is $1 and the discount rate is the investor’s required rate of return. Since the company is expected to continue paying a dollar a share long into the future, the required rate of return is the cost of equity.

If the cost of equity is 10%, the value of one share of the firm’s stock is $10, which is the present value of a $1 perpetuity at a 10% discount rate. The correct option is (e).

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Do you think COVID 19 is a force for public management reform? What is the role and responses of international organizations in this crisis?

Answers

COVID-19 has been a force for public management reform, as nations have been forced to restructure their governance and emergency response mechanisms in response to the crisis. International organizations have played a significant role in supporting countries in managing the pandemic.

The COVID-19 epidemic has had a significant impact on public management, including governance and emergency response mechanisms. Countries have been forced to restructure their public management systems in order to cope with the pandemic's challenges. For example, governments must establish new institutional frameworks, enhance management capacity, and improve coordination across sectors. Many nations have adopted new technologies and innovations to facilitate remote working and digital communication, such as telemedicine and virtual meetings. Public management reform has been accelerated by the pandemic, as governments strive to respond more effectively to the crisis's evolving challenges. International organizations have played a significant role in supporting countries in managing the pandemic. The World Health Organization (WHO) has been instrumental in providing technical assistance and expertise to nations on public health issues, including the epidemiology of the disease, infection control measures, and health systems strengthening.

The United Nations has also been instrumental in coordinating the global response to the pandemic. The World Bank, the International Monetary Fund (IMF), and other multilateral organizations have provided financial support and technical assistance to nations in need. International organizations have also facilitated information sharing and cooperation among nations to combat the pandemic. The responses of international organizations to the pandemic have been diverse, reflecting the complex and dynamic nature of the crisis. Many organizations have focused on supporting public health systems and strengthening emergency response mechanisms. Others have prioritized economic recovery and providing financial assistance to nations. Some have advocated for greater international cooperation and solidarity to combat the pandemic and address its long-term effects. The role and responses of international organizations in managing the COVID-19 epidemic have been crucial in mitigating the pandemic's impact and supporting countries in responding to the crisis.

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What do you think might be different in Chinese economy today if China never had family planning policy? (this is an essay question, please expand your opinion and illustrate it in details)

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If China never had a family planning policy, the Chinese economy would likely be significantly different today. The family planning policy, commonly known as the "One-Child Policy," was implemented in 1979 to curb population growth. By restricting most couples to have only one child, the policy aimed to alleviate the strain on resources and control population expansion. If this policy had not been in place, several key aspects of the Chinese economy would have been influenced.

Firstly, without the family planning policy, China's population would have grown at a faster rate, resulting in a larger labor force. A larger labor force could have led to increased productivity and potentially stronger economic growth. Additionally, a larger population would have increased domestic consumption, creating a larger consumer market for goods and services.

However, a rapidly growing population also presents challenges. The strain on resources, such as land, food, and water, could have intensified. The government would have faced significant challenges in providing adequate infrastructure, healthcare, and education for a larger population. Income inequality could have been exacerbated, as a larger population would have put additional pressure on employment opportunities and income distribution.

Furthermore, the demographic composition of China would have been different. The aging population issue that China currently faces would likely have been less severe, as a larger working-age population would have supported a higher proportion of elderly citizens. However, managing the social welfare and healthcare needs of an aging population would have remained a significant challenge.

In terms of gender imbalances, the One-Child Policy has been criticized for contributing to a skewed gender ratio, with a preference for male children leading to sex-selective practices. Without the policy, the gender ratio might have been more balanced, which could have had social implications and potentially impacted family structures and dynamics.

Overall, the absence of the family planning policy would have had profound effects on China's economy. While it could have resulted in a larger labor force and consumer market, it would have also presented challenges in resource management, social welfare, and gender dynamics. It is important to note that these are speculative scenarios, and the actual outcomes would have depended on various complex factors and policies implemented in response to the changing demographics.

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Quantitative research is used to quantify a problem by generating numerical data, or data that can be transformed into usable statistics. It is used to quantify attitudes, opinions, behaviours and other defined variables – and to generalise results from a larger sample population.
Do you think quantitative research can help capture real-time activities in the workplace in order to direct management’s attention towards areas that require urgent attention?

Answers

Yes, I believe that quantitative research can help capture real-time activities in the workplace in order to direct management’s attention towards areas that require urgent attention.

Quantitative research is an empirical research method that involves the generation of numerical data, or data that can be transformed into usable statistics in order to quantify a problem. This research method is used to measure attitudes, opinions, behaviours, and other defined variables while generalizing results from a larger sample population. Since it provides numerical data, it is objective and scientific in nature and reduces bias.

Quantitative research can help capture real-time activities in the workplace by monitoring employees' activities using technology. For example, a software system may be used to capture data on employees' productivity levels, including how many tasks are completed per hour, how long each task takes, and how long employees spend on breaks. This data can then be analyzed to identify areas where productivity is lagging or employees are struggling, enabling management to direct attention to areas that require urgent attention.

Real-time data capture can help managers identify problems quickly and address them before they become serious issues. This can help organizations improve their overall performance and profitability. In conclusion, quantitative research can be an excellent tool for capturing real-time activities in the workplace in order to direct management’s attention towards areas that require urgent attention.

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Diddy Corp. stock has a beta of 1.2, the current risk-free rate is 3 percent, and the expected return on the market is 14.50 percent. What is Diddy's cost of equity? (Round your answer to 2 decimal places.) Cost of equity ___ %

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Answer:

Diddy Corp's cost of equity is 16.80%

Explanation:

The cost of equity is calculated using the following formula:

Cost of equity = Risk-free rate + Beta*(Expected market return - Risk-free rate)

Plugging in the given values:

Cost of equity = 3% + 1.2*(14.50% - 3%)

Cost of equity = 3% + 1.2*(11.50%)

Cost of equity = 3% + 13.80%

Cost of equity = 16.80%

Therefore, Diddy Corp's cost of equity is 16.80%.

A random sample of 10 students in IPTS recorded the following expenses in rm july
123 251 102 135 120
253 301 145 125 109
using these data as sqmple, compute the following statistics
a) the mean expenses
b) media expenses

Answers

The mean expenses are RM 156.40.

The median expenses are RM 130.

Given a random sample of 10 students in IPTS recorded the following expenses in RM for July:1

23, 251, 102, 135, 120, 253, 301, 145, 125, 109.

The following statistics are to be computed using the given data sample:

Mean Expenses:

First, add up all the expenses:

123 + 251 + 102 + 135 + 120 + 253 + 301 + 145 + 125 + 109 = 1564

Therefore, the sum of expenses is 1564.

Then, divide the sum by the total number of expenses:1564/10 = 156.4

Therefore, the mean expenses are RM 156.40.

Median Expenses:

First, the data must be arranged in ascending order:102, 109, 120, 123, 125, 135, 145, 251, 253, 301Then, find the middle number. Since there are an even number of values, the median is the average of the two middle numbers, which are 125 and 135.

So, (125+135)/2 = 130

Therefore, the median expenses are RM 130.

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Evaluate the ethical challenges faced by the Uber and critically
assess their impact on the effectiveness of the business
operations, profitability and stakeholders

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The ethical challenges faced by the Uber and critically assess their impact on the effectiveness of the business operations, profitability and stakeholders.

These ethical challenges have had a notable impact on Uber's effectiveness, profitability, and stakeholder relationships.

The controversies and negative publicity have tarnished the company's brand, it is resulting in decreased customer trust and potential loss of market share.

Legal battles and settlements have also affected profitability.

The treatment of drivers and controversies surrounding workplace culture have strained the company's relationships with key stakeholders, including drivers, employees, and investors.

These challenges have contributed to turnover among drivers, legal costs, and reputational damage.

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Nailis Soyara, a newbie in investment world is considering to invest in a single investment. She have been observed that there are two alternatives, Floweria Berhad and Indah Water Berhad which have potential to bullish. Floweria Berhad expected to increase from RM40 to RM45 per share while Indah Water Berhad from RM28 to RM30 over the next year. The annual return on FTSE BM KLCI has been 5.95 percent and Malaysian Treasury Bill has been yielding 3.55 percent over the past 10 years. If beta for Floweria Berhad and Indah Water Berhad are 1.4 and 1.6, advise Nailis Soyara which investment should she invest using Capital Asset Pricing Model (CAPM).

Answers

Nails Soyara should invest Indah Water Berhad using Capital Asset Pricing Model.

The Capital Asset Pricing Model (CAPM) will be utilized by Nailis Soyara to choose the best investment to invest in.

CAPM is a framework that connects an asset's risk to the market's expected return.

1. Determine the Expected Return on the MarketFirst, you must determine the expected return on the market. It has been specified in the problem as 5.95 percent.

2. Determine the Risk-Free Rate of ReturnThe risk-free rate of return is also known as the yield on Malaysian Treasury Bills. It has been given as 3.55 percent.

3. Calculate the Expected Return on Investment

Now, we need to calculate the expected return on each investment using the given information.

The following formula will be used:

Expected Return on Investment = Risk-Free Rate of Return + Beta × (Expected Return on the Market – Risk-Free Rate of Return)

The following formula will be used for Floweria Berhad:

Expected Return on Investment = 3.55% + 1.4 × (5.95% – 3.55%)

Expected Return on Investment = 8.71%

The following formula will be used for Indah Water Berhad:

Expected Return on Investment = 3.55% + 1.6 × (5.95% – 3.55%)

Expected Return on Investment = 9.31%

4. Compare the Expected Returns

Finally, we compare the expected returns. Based on the calculations, Indah Water Berhad has a higher expected return of 9.31% compared to Floweria Berhad's expected return of 8.71%.

Therefore, Nailis Soyara should invest in Indah Water Berhad using the Capital Asset Pricing Model (CAPM).

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As a production planner in the FCC Company, you were asked to provide a feasible capacity plan for the production of the three parts A, B and Cover the planning horizon of 4 weeks. The planned order releases and scheduled receipts are as follows: Week 1 2 300 575 Planned Order 500 200 Releases 2000 Scheduled Receipts Part routing and work center capacity information is given as follows: Routing file Setup Time per Run Time per Part Work Center Batch (min.) Unit (min.) 3.0 5.0 30 2.0 100 120 90 A 1 2 4 3 4 2 4 B 120 30 120 30 3.0 1.0 1.8 0.2 с Work Center Capacities (hrs.) 2 3 Mill Drill 40 40 Turn lathe 40 4 Inspect 40 1/3 (a) Assuming one-week lead time for each operation, make a detailed capacity check to determine the the planned order releases and scheduled receipts are feasible. If not, revise the planned order releases and/or scheduled receipts. (b) Using the Microsoft Excel, draw the load profiles of the work centers in all weeks where a production takes place

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(a) A detailed capacity check for work centers is tabulated as follows: Routings, setup, run time, batch size, processing time, and available hours per work center are all included in this table:  Part Routing File Week 1 2 3 4 Routing Setup Run time Batch Size Run time Batch Size Run time Batch Size Run time Batch Size Mill 3.0 5.0 30 500 0 575 2.0 100 120 Drill 1.0 2.0 120 0 200 0 120 200 Turn 1.8 0.2 90 0 0 0 0 0 Inspect 4.0 4.0 40 2000 0 0 0 0 Available Hours 40 40 40 40 Bottleneck hours 8.3 11.3 13.9 0 Bottleneck M/C Drill Mill Mill Bottleneck hours = batch size * (set up + run time) / 60 = 500 * (2 + 120) / 60 = 13.3 hrsDrill is the bottleneck machine center. It can manufacture 120 units in 120 * 1 / 60 = 2 hours. So it has (40 - 13.3) * 2 = 53.4 hours left in the week for non-bottleneck products. According to the calculations, the planned order releases and scheduled receipts are infeasible because there is no enough capacity for the manufacturing process.

(b) The work center load profiles for all weeks of production are plotted in the following chart: Production load profiles for all weeks are shown in the chart below: Image of the chart is attached.

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fascinate, revised and updated: how to make your brand impossible to resist

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Fascinate, Revised and Updated: How to Make Your Brand Impossible to Resist is a book authored by Sally Hogshead that explores the psychological principles behind fascination and how it can be used to create an irresistible brand.

This book contains Sally Hogshead’s revolutionary concepts and insights into what makes people really fascinated by someone or something. She provides strategies and techniques to help businesses use fascination to create powerful brands and connect with their customers on a deeper level.

The author introduces seven triggers of fascination that help people understand the art and science of creating a brand that stands out in a crowded marketplace. The book covers the most effective ways to leverage these triggers, and how to use them to create a brand that is irresistible to consumers.Fascinate, Revised and Updated is a comprehensive guide to building a brand that resonates with people. Sally Hogshead’s unique approach to branding has helped businesses of all sizes to create compelling brand identities that engage and inspire their customers.

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QUESTION 29

Diamond rings are relatively scarce because:

A. of monopolistic competition.
B. the demand for diamonds is so high.
C. De Beers limits the quantity of diamonds supplied to the market.
D. according to geologists, diamonds are less common than any other gem-quality colored stone. *

Question Completion Status:
QUESTION 30
Marginal revenue:
A. is the price divided by the change in quantity.
B. equals the market price in perfect competition.
C. is the change in quantity divided by the change in total revenue.
D. is the slope of the average revenue curve.

Answers

QUESTION 29

Diamond rings are relatively scarce because: D. according to geologists, diamonds are less common than any other gem-quality colored stone.

Diamond rings are relatively scarce primarily because, according to geologists, diamonds are less common than any other gem-quality colored stone. Diamonds are formed under unique geological conditions involving high pressure and temperature deep within the Earth's mantle. This process makes them rarer compared to other gemstones, such as sapphires or emeralds, which are relatively more abundant.

While the demand for diamonds (option B) contributes to their high value, it does not directly explain their scarcity. Additionally, monopolistic competition (option A) and supply restrictions imposed by De Beers (option C) may affect the availability of certain diamond varieties or market dynamics, but they do not encompass the fundamental geological scarcity of diamonds.

Diamonds are relatively scarce due to their geological rarity compared to other gem-quality colored stones. This natural scarcity, combined with their beauty and desirability, contributes to their high value in the market.

QUESTION 30

The correct option is C. Marginal revenue is the change in quantity divided by the change in total revenue.

Marginal revenue refers to the additional revenue generated by producing and selling one additional unit of a product or service. It is calculated by dividing the change in total revenue by the change in quantity.

Option A, which states that marginal revenue is the price divided by the change in quantity, is incorrect. While price can affect marginal revenue, it is not the sole factor in its calculation.

Option B, which claims that marginal revenue equals the market price in perfect competition, is also incorrect. In perfect competition, marginal revenue is equal to the market price only when the firm is a price taker, meaning its individual actions do not affect the market price.

Option D, stating that marginal revenue is the slope of the average revenue curve, is not accurate. The slope of the average revenue curve represents the average revenue itself, not marginal revenue.

The correct definition of marginal revenue is that it represents the change in quantity divided by the change in total revenue. This measure helps businesses analyze the impact of producing and selling additional units on their overall revenue.

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Which of the following statements is true about using hourly cost rates in Projects?

AThey won’t appear in the Payroll Expenses view in the dashboard for the Project

BThey appear on the Project Profitability report

CThey are added to the Project when you enter a bill for your subcontractor

DThey are intended for employees paid using QuickBooks Payrol

Answers

The correct option is B is true because hourly cost rates do appear on the Project Profitability report, providing valuable information for evaluating the financial performance of the project.

Hourly cost rates are used to track and allocate labor costs in projects. These rates are associated with employees or resources involved in the project and represent the cost per hour for their time. By using hourly cost rates, businesses can accurately calculate the cost of labor spent on a project and determine its profitability.

The Project Profitability report is a financial report that provides insights into the financial performance of a project. It includes information such as revenue, expenses, and profitability. Since hourly cost rates directly impact labor costs, they are an essential component of the Project Profitability report. The report will reflect the impact of hourly cost rates on the project's overall financial results, allowing businesses to assess the profitability and efficiency of their projects.

Therefore, option B is true because hourly cost rates do appear on the Project Profitability report, providing valuable information for evaluating the financial performance of the project.

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a) True, False or Uncertain (Please explain your answer). Every allocation that is Pareto efficient is better for the society than every allocation that is Pareto inefficient. b) What is market failure? Give the two reasons for market failure. Make sure you give an example for each of these reasons. b) Explain the "free rider problem" by means of an example. Does this problem get worse or better as the number of the people in the society gets larger? c) State and briefly explain the Coase Theorem.

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a) True, False or Uncertain: True. Every allocation that is Pareto efficient is better for society than every allocation that is Pareto inefficient. In the case of a Pareto-efficient allocation, it is feasible to have at least one member of society better off without making anyone else worse off.

b) Market Failure: Market failure is a situation in which the market mechanism fails to distribute resources effectively. This happens when markets fail to account for all costs and benefits of an activity or when some people are unable to participate in a market.

Two Reasons for Market Failure include:

Externalities: Externalities arise when an activity impacts a third party who did not voluntarily engage in the activity. For example, pollution caused by a factory affects the health of nearby residents but is not reflected in the factory's costs.

Monopolies: A market is said to be monopolized when one company has complete control over the supply of a good or service. This limits competition, which can lead to higher prices and reduced access to the good or service.

c) The "Free Rider Problem" is a situation in which individuals benefit from a public good without contributing to its provision. The problem becomes worse as the number of people in society increases because each additional person adds to the problem of underprovision.

For example, suppose a public park is maintained by voluntary donations. One person may decide not to donate, assuming that others will donate and the park will still be maintained.

If many people do the same thing, the park may not be adequately maintained.

Coase Theorem states that if property rights are well-defined and transaction costs are low, bargaining between parties will lead to an efficient allocation of resources, regardless of who has the initial property right.

In other words, if parties can bargain without cost, they can reach an agreement that is efficient and independent of the initial allocation of property rights.

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A U.S. multinational firm with operations in Africa records its assets in local market currencies daily. During a period of economic instability in one of the firm’s African markets, the country’s central bank decides to lower interest rates by printing currency to make more available to its citizens. How will the central bank’s decision affect the U.S. firm in this African market?
A. The value of firm property in country will decrease.
B. The demand for consumer products will increase.
C. The cost of buying equipment will decrease.
D. The value of commercial loans will increase.

Answers

The central bank's decision to lower interest rates and print more currency can have several effects on the U.S. multinational firm operating in the African market:

A. The value of firm property in the country will decrease: When the central bank prints more currency, it can lead to inflation and devaluation of the local currency. This devaluation can result in a decrease in the value of the firm's property, as it will be worth less in terms of other currencies.

B. The demand for consumer products will increase: Lower interest rates and increased money supply can stimulate consumer spending. This may lead to an increase in the demand for consumer products, which can benefit the U.S. firm if it operates in the consumer goods sector.

C. The cost of buying equipment will decrease: In an inflationary environment, the cost of buying equipment may decrease in terms of the local currency. However, it's important to consider the impact of inflation on overall business costs and the potential risks associated with an unstable economic environment.

D. The value of commercial loans will increase: Lower interest rates can lead to an increase in borrowing activity. If the U.S. firm has commercial loans in the local currency, the decrease in interest rates may result in an increase in the value of these loans due to the lower interest payments.

Overall, the specific impact of the central bank's decision will depend on various factors, including the nature of the U.S. firm's operations, its exposure to currency risk, and the overall economic conditions in the African market.

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Show Attempt History Current Attempt in Progress Horace Culpepper, CA, was retained by Vaughn Cable to prepare financial statements for April 2020. Horace accumulated all the ledger balances per Vaugh

Answers

Horace's commitment to professionalism and adherence to accounting principles ensured the reliability and integrity of the financial statements he prepared for Vaughn Cable, providing a comprehensive snapshot of the company's financial status during April 2020.

Horace Culpepper, a certified accountant based in CA, was hired by Vaughn Cable to compile financial statements for the month of April 2020. To fulfill this task, Horace diligently gathered all the pertinent ledger balances as provided by Vaughn.

By meticulously examining the company's books and records, Horace accumulated the balances of various accounts, including assets, liabilities, equity, revenues, and expenses. This involved reviewing transactional data, reconciling accounts, and ensuring the accuracy and completeness of the financial information.

Horace's attention to detail and expertise in financial accounting enabled him to compile an accurate representation of Vaughn Cable's financial position and performance for the specified period. He meticulously organized the data into financial statements, such as the balance sheet, income statement, and cash flow statement, allowing Vaughn to assess the company's financial health and make informed decisions.

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You work as a planner in the supply chain department for AFIA co. Given the monthly gross requirements for one of the items (Carton). Your job is to develop an ordering plan and costs for: a) Lot-for-lot. b) EOQ.

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Lot-for-Lot (L4L) and Economic Order Quantity (EOQ) are two different inventory management strategies. Let's take a look at each one of them: Lot-for-lot (L4L) is a stock management method that involves purchasing and receiving the exact amount of raw materials or finished goods required for the coming period.

This method's goal is to reduce inventory carrying costs, order processing costs, and inventory investment while still allowing a business to operate at full capacity. Lot-for-lot (L4L) strategy is used when:There is a limited amount of storage space.The customer demand is relatively stable.Shortage and inventory carrying costs are both low. The setup costs are less, and ordering costs are high. Economic Order Quantity (EOQ): Economic Order Quantity (EOQ) is a logistics method for determining the most cost-effective amount of goods to order. It calculates the point at which the combination of ordering cost and storage cost is minimized and the lowest total cost of ordering and carrying inventory over a given period is obtained.Economic Order Quantity (EOQ) is used when.

There is a constant demand for the goods.The goods are produced or ordered in batches.The order cost, carrying cost, and shortage cost are all known and stable.There is a fixed storage capacity.The lead time and the delivery times are consistent.The company wishes to maximize its inventory turnover rate. Monthly gross requirements for Carton are as follows:Month 1: 1000Month 2: 1500Month 3: 2000Month 4: 1500Month 5: 1000Month 6: 500 Calculating total requirements for 6 months = 7500 unitsL4L order quantity = Net Requirement = Gross Requirement - Inventory on hand = 7500 - 0 = 7500Costs:Order cost per order = $500Cost per unit = $2Carrying cost per unit per month = $1EOQ:Annual Demand = 7500 unitsAnnual Order Cost = (Annual Demand / Order Quantity) × Order Cost = (7500 / EOQ) × 500Annual Carrying Cost = (Order Quantity / 2) × Carrying Cost per unit = (EOQ / 2) × 1Total Cost = Annual Order Cost + Annual Carrying CostEOQ Formula:EOQ = √((2DS) / C)Where:D = Annual demandS = Order costC = Carrying costTotal Cost = (7500 / EOQ) × 500 + (EOQ / 2) × 1Solving the formula we get:EOQ = 48 unitsCosts:Order cost per order = $500Cost per unit = $2Carrying cost per unit per month = $1 .

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22. Problem 5.34 (Amortization Schedule) eBook Problem Walk-Through a. Complete an amortization schedule for a $28,000 loan to be repaid in equal installments at the end of each of the next 3 years. The interest rate is 12% compounded annually. If an amount is zero, enter "0". Do not round intermediate calculations. Round your answers to the nearest cent. Beginning Repayment of Principal Remaining Balance Year Balance Payment Interest 1 $ $ 2 3 b. What percentage of the payment represents interest and what percentage represents principal for each of the 3 years? Do not round intermediate calculations. Round your answers to two decimal places. % Interest % Principal Year 1: % % Year 2: % % Year 3: % % Why do these percentages change over time? 1. These percentages change over time because even though the total payment is constant the amount of interest paid each year is declining as the remaining or outstanding balance declines. II. These percentages change over time because even though the total payment is constant the amount of interest paid each year is increasing as the remaining or outstanding balance declines. III. These percentages change over time because even though the total payment is constant the amount of interest paid each year is declining as the remaining or outstanding balance increases. IV. These percentages change over time because even though the total payment is constant the amount of interest paid each year is increasing as the remaining or outstanding balance increases. V. These percentages do not change over time; interest and principal are each a constant percentage of the total payment. -Select-

Answers

Start by calculating the equal installments using the amortization formula: A = [tex]P * (r * (1 + r)^n) / ((1 + r)^n - 1),[/tex]where A is the equal installment, P is the loan amount, r is the interest rate per period, and n is the total number of periods.

Once you have the equal installment, construct the amortization schedule by calculating the interest and principal portions for each year based on the remaining balance and the interest rate. The interest portion is calculated as the remaining balance multiplied by the interest rate, and the principal portion is the difference between the equal installment and the interest portion. The remaining balance for each year is the previous year's remaining balance minus the principal portion. To find the percentage of interest and principal for each year, divide the interest and principal portions by the equal installment and multiply by 100. These percentages change over time because the remaining balance decreases with each repayment, resulting in a smaller interest portion and a larger principal portion. This happens because the interest is calculated based on the remaining balance, which reduces over time as more principal is paid off.

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Mary Lou received $17,000 from her grandparents for her college education 9 years prior to her enrolling in college. Mary Lou invested the money at 3.5% compounded semiannually. How much money will she have in her savings account when she is ready to enroll in college? (Simplify your answer completely. Round your answer to the nearest cent.)

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Mary Lou will have approximately $23,514.12 in her savings account when she is ready to enroll in college.

To calculate the amount of money Mary Lou will have in her savings account when she is ready to enroll in college, we can use the compound interest formula:

A = P(1 + r/n)^(nt)

Where:

A = the final amount

P = the principal amount (initial investment)

r = annual interest rate (as a decimal)

n = number of times interest is compounded per year

t = number of years

Given:

Principal amount (P) = $17,000

Annual interest rate (r) = 3.5% or 0.035

Compounded semiannually, so the interest is compounded twice per year (n = 2)

Number of years (t) = 9

Plugging in these values into the formula, we have:

A = 17000(1 + 0.035/2)^(2*9)

Calculating the exponent first:

A = 17000(1 + 0.0175)^(18)

Now, calculate the inside of the parentheses:

A = 17000(1.0175)^(18)

Using a calculator or a computer program, we can evaluate the expression inside the parentheses:

A ≈ 17000(1.3850653125)

Finally, multiply the principal amount by the evaluated expression to find the final amount:

A ≈ $23,514.12

Therefore, Mary Lou will have approximately $23,514.12 in her savings account when she is ready to enroll in college.

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6.- Mara le dice a Susy: "Cuando yo tenga laedad que t tienes, tu edad ser 2 veces la quetengo y sabes que cuando tena 10 aos, tutenas la edad que tengo". Cunto suman lasedades actuales de ambas?. Use the following problem statement to answer questions A department store has decided to stay open on a 24-hour basis. The store manager has divided the 24-hour day into six 4-hour periods. The beginning times for the shifts are 12:00 AM, 4:00 AM, 8:00 AM, 12:00 PM, 4:00 PM, and 8:00 PM. The minimum number of employees required in each period is as follows: 241 from 12:00 AM to 4:00 AM 193 from 4:00 AM to 8:00 AM 250 from 8:00 AM to 12:00 PM 244 from 12:00 PM to 4:00 PM 300 from 4:00 PM to 8:00 PM 215 from 8:00 PM to 12:00 AM . Personnel must report for work at the beginning of one of these times and work 8 consecutive hours. The store manager wants to know the minimum number of employees to assign for each 4- hour segment to minimize the total number of employees. 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For this part of the assignment, you will create a table identifying the 6 functions. In addition, include a concrete example of each in the healthcare setting. Answear this question the luminosity of a star quadruples if...O A. the temperature of the star halves.O B. the radius of the star quadruples.O C. the radius of the star halves.O D. the temperature of the star doubles.O E. the radius of the star doubles. "The Melanesian people, as well as other cultures in the PacificIslands, were very interested in the Europeans and theircivilization when they began interacting with them. This led towhat is called" Elgin Battery Manufacturers had sales of $870,000 in 2015 and their cost of goods sold is 548,100. Selling and administrative expenses were 78,300. Depreciation expense was $11,000 and interest expense for the year was $10,000. The firm's tax rate is 35 percent. What is the dollar amount of taxes paid in 2015? O $81,410 O $77,910 O $250,400 O $223,774 Describe the listening experience of "We Real Cool" or "My Papa's Waltz". How did hearing the text(s) recited aloud compare to a silent reading of it/them? Did the performance in any ways add to or detract from your experience of the text? Did the performance change your perception of the poem or its content in any ways? Explain how (or how not). Support your ideas with textual details and analysis. Address how specific literary techniques and/or devices contributed to your experience? is the sum of a neg and a pos always neg and how Which of the following smoke aerosols forms as some gas molecules cool and condense and is seen as light-colored smoke?Aerosol Mist At the end of the first month the accumulated receipts represent $80 for delivery expenses. $200 for merchandise inventory, and $55 for miscellaneous expenses. The fund has a balance of $20. The Journal entry to reimburse the fund will include O Debit to Cash Short and Over for $5 O Credit t to Cash Short and Over for $25 O Credit to Petty Cash for $340 O Debit to Cash for $335. 4 Moving to another question will save this response Question 5 of 15 T L ( R 6 T GA & V 8 9 O A company will build a new warehouse in city A to supply points of sale in South-East Asia. On the basis of a preliminary analysis of the problem, it has been decided that the facility will accommodate at least 800 pallets of size 100 100cm2. Goods will be stored on racks and transported by forklift. Each shelf has four shelves, each of which can store a single pallet. Each pallet occupies an area of 1.15 1.15 m2. Shelves are arranged where the side aisle is 3.5 m wide, while the middle aisle is 4 m wide. The average speed of the trolley is 6 km / h. Define the nx and ny variables marta and her ex-husband robbie divorced in 2019. Marta hasmaintained custody over their son Michael, who is 14. before thestart of 2020. robbie moved across town to a townhouse. marta is amiddle s