QUESTION 17 At what annual interest rate will $1,000 invested today be worth $2,000 in 10 years? (Choose the closest answer) 6.5% 7.2% 9.3% 5.8%

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Answer 1

The annual interest rate at which $1,000 invested today will be worth $2,000 in 10 years is approximately 7.2%. Option 7.2% is the correct answer.

To know the annual interest rate at which $1,000 invested today will be worth $2,000 in 10 years, the compounding interest formula is used. P = $1,000 (present value) i = annual interest rate (unknown)

T = 10 (time in years)

F = $2,000 (future value)

Thus, the formula is: F = P(1 + i)T

Putting in the values, we have:$2,000 = $1,000 (1 + i)¹º

Now solving for i:$2,000/$1,000 = (1 + i)¹º2 = (1 + i)¹º

Take the 10th root of both sides to get:1.07177346 = 1 + i

Subtract 1 from both sides to find i:i = 1.07177346 – 1i = 0.07177346 (rounded to 8 decimal places)

Converting to a percentage gives the answer in per cent: 7.18% (rounded to 2 decimal places).

Therefore, the closest answer is 7.2%.

The annual interest rate at which $1,000 invested today will be worth $2,000 in 10 years is approximately 7.2%.

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Related Questions


Under the personal income tax system, what is the average tax
rate for an individual wtih taxable income of exactly $200,000?

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The average tax rate for an individual with taxable income of exactly $200,000 is 29.4%.Personal income tax is a type of tax that is levied on an individual's or household's taxable income. The Internal Revenue Service (IRS) administers it in the United States.

The tax rate for personal income tax varies based on the amount of income earned. A progressive tax system is used by the US government to levy personal income taxes. This implies that as your income increases, your tax rate will also increase. In the US, there are seven federal income tax brackets. An individual's or household's tax rate is determined by their taxable income and the tax bracket in which they fall. The average tax rate is calculated by dividing the total amount of taxes paid by the taxable income. The average tax rate is also known as the effective tax rate. The average tax rate for an individual with taxable income of exactly $200,000 is 29.4%.

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what are some cons of a dupont performance coatings carve out

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A DuPont Performance Coatings carve-out is the procedure of spinning off DuPont's Performance Coatings unit, which produces and sells automotive paints and coatings, into a separate independent company.

However, there are some drawbacks to a DuPont Performance Coatings carve-out. Here are some of them:

Expenses: One of the main drawbacks of the DuPont Performance Coatings carve-out is that it may be quite expensive. A carve-out necessitates a considerable amount of money, as the entity must construct its administration and operations infrastructure. As a result, it might be prohibitively expensive for smaller companies, which may limit the number of interested parties.

Legal Complications: Another downside of a DuPont Performance Coatings carve-out is that it may involve legal issues. Carve-outs may take a lot of time to resolve and may encounter numerous challenges during the transition process. It may also have negative legal implications if there are any existing legal conflicts related to the spin-off.

Integration: In some situations, DuPont Performance Coatings carve-outs may struggle with integration and collaboration. When a spin-off entity is created, it may not always have the necessary resources or experience to manage operations. As a result, it may be challenging for the carve-out to function effectively and efficiently. Also, employees may have difficulty adapting to new structures and processes.

Conflict of Interest: Finally, there is the possibility of a conflict of interest arising from a DuPont Performance Coatings carve-out. The parent firm may have competing interests in the newly created business, such as utilizing their technological advancements to benefit the core business. As a result, the company's performance may be impacted, which may lead to a decrease in the organization's value.

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: 1. For a Bamboo Chop board (H.S 4419.11.00.00) Made in USA but no Certificate of Origin provided Value for Currency Conversion VFCC -> US$ 500 Exchange Rate. Exchange Rate 1.2635 Find duty rate under Customs Tariff. Customs Tariff 2022 (cbsa-asfc.gc.ca) attached a. Calculate VFD b. Calculate VFT Calculate Total amount of duty and Taxes to be paid to CBSA.

Answers

Therefore, the total amount of duty and taxes to be paid to CBSA is $1459.72.

The given data is as follows:

For a Bamboo Chop board (H.S 4419.11.00.00) made in the USA but no Certificate of Origin provided, the Value for Currency Conversion VFCC -> US$ 500.Exchange Rate: 1.2635.

Customs Tariff 2022 (cbsa-asfc.gc.ca) is attached. We need to find the duty rate under Customs Tariff and calculate VFD and VFT. Then, we need to calculate the total amount of duty and taxes to be paid to CBSA.

So, let's calculate these one by one.

a. Calculate VFD

The value for duty is the actual price paid or payable for the goods when sold for export to Canada. To calculate the VFD, we multiply the value for currency conversion by the exchange rate.

Hence,VFD = VFCC x Exchange Rate= 500 x 1.2635= $631.75

Therefore, the VFD is $631.75.

b. Calculate VFTVFT (Value for Tax) is calculated as follows: VFT = VFD + duty rate x VFD

We need to find the duty rate under Customs Tariff. As per the given data, the product H.S 4419.11.00.00 belongs to the "Tableware and kitchenware" category.

The duty rate for this category is 3.5%.

Hence,Duty Rate = 3.5% = 0.035VFT = VFD + Duty Rate x VFD= 631.75 + 0.035 x 631.75= $653.56

Therefore, VFT is $653.56.Now, let's calculate the total amount of duty and taxes to be paid to CBSA.

Total amount of duty and taxes = VFD + VFT + GST + QST= 631.75 + 653.56 + (VFD + VFT) x 0.05 + (VFD + VFT) x 0.09975= 631.75 + 653.56 + (631.75 + 653.56) x 0.05 + (631.75 + 653.56) x 0.09975= $1459.72

Therefore, the total amount of duty and taxes to be paid to CBSA is $1459.72.

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electronic brainstorming is a more convenient process, but it generates fewer ideas than the traditional brainstorming process. true or false

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The given statement "electronic brainstorming is a more convenient process, but it generates fewer ideas than the traditional brainstorming process"  is a false statement. Electronic brainstorming generates more ideas than traditional brainstorming.

Brainstorming is the process of generating a large number of ideas to find a solution to a problem. It is a technique used by groups to generate as many ideas as possible, usually for a particular task or project. There are two types of brainstorming: traditional brainstorming and electronic brainstorming.

Traditional brainstorming is a technique that involves a group of people meeting in a room to share ideas and opinions on a particular topic. During this process, participants can suggest as many ideas as possible without any evaluation or criticism. Each idea is written down on a piece of paper for later analysis.

Electronic brainstorming, also known as e-brainstorming, is a process where a group of individuals come together virtually to brainstorm ideas through the use of computers and the internet.

This method is more convenient than traditional brainstorming because it allows participants from different locations to participate in the process without having to be in the same room.Electronic brainstorming, facilitated by technology tools and platforms, can actually enhance the idea generation process by allowing for simultaneous contributions from multiple participants, regardless of their physical location. This can result in a higher quantity of ideas compared to traditional brainstorming methods, where only one person speaks at a time. Additionally, electronic brainstorming can provide anonymity, which can encourage more diverse and creative contributions from participants who may feel hesitant to speak up in a face-to-face setting. Therefore, electronic brainstorming has the potential to generate a larger number of ideas compared to traditional brainstorming.

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I Buy A Piece Of Equipment, Walk Me Through The Impact On The 3 Financial Statements.

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When you buy a piece of equipment, it affects all three financial statements - the balance sheet, income statement, and cash flow statement.

Let's see how it impacts these statements:

Balance Sheet: The balance sheet is divided into two categories, assets and liabilities. The piece of equipment that you bought is an asset, so it will be recorded as a long-term asset on the balance sheet. However, the equipment will also reduce your cash balance, so cash is reduced and assets are increased at the same time.

Income Statement: The income statement is designed to track the revenue, expenses, and net income over a specific period. Since the piece of equipment is an asset and not an expense, it won't impact the income statement immediately. Instead, the cost of the equipment will be gradually expensed over its useful life as depreciation.

Cash Flow Statement: The cash flow statement keeps track of cash inflows and outflows during a specific period. The purchase of equipment will reduce the cash balance, so it will show up as a cash outflow from investing activities. However, the depreciation expense, which represents the gradual loss of value of the equipment over time, will be added back to the net income in the operating activities section of the cash flow statement. This is because depreciation is a non-cash expense and doesn't impact the actual cash balance of the company.

In conclusion, when you buy a piece of equipment, it will impact all three financial statements - the balance sheet, income statement, and cash flow statement.

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Estimates of 13.0 per 1000 and 6.2 per 1000 have been given in this chapter for the average annual incidence of first coronary events among male smokers and nonsmokers in the age range 40-64. Suppose that the proportion of men who smoke could be reduced through health awareness efforts from 43% to 25%. As- suming that the average amount that smokers smoke remains the same as before, which of the following quantities would you expect to change and if so by how much? a. Rate ratio b. Risk ratio c. Odds ratio

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Estimates of 13.0 per 1000 and 6.2 per 1000 have been given in this chapter for the average annual incidence of first coronary events among male smokers and nonsmokers in the age range 40-64. Suppose that the proportion of men who smoke could be reduced through health awareness efforts from 43% to 25%. Assuming that the average amount that smokers smoke remains the same as before, the risk ratio is the quantity that you would expect to change.

The risk ratio is defined as the risk of disease in the exposed group (smokers) divided by the risk of disease in the unexposed group (nonsmokers).The formula for calculating risk ratio is as follows:Risk Ratio (RR) = [a/(a + b)] / [c/(c + d)]Where,a = number of exposed subjects with the diseaseb = number of exposed subjects without the diseasec = number of unexposed subjects with the diseased = number of unexposed subjects without the diseaseLet us assume that there are 1,000 men in the 40-64 age range. In the current scenario, 43% of men smoke and 57% do not smoke. Then the following table can be constructed to calculate the risk ratio:                 Diseased        Not Diseased      TotalSmokers       a = 13             b = 870             883 Nonsmokers c = 6.2           d = 111.8         118Risk Ratio = (13/883) / (6.2/118) = 2.46After the health awareness efforts, the proportion of smokers reduces to 25%, and 75% of men do not smoke. Then the following table can be constructed to calculate the risk ratio:                 Diseased        Not Diseased      TotalSmokers       a = 13             b = 39               52Nonsmokers c = 6.2           d = 911.8         918Risk Ratio = (13/52) / (6.2/918) = 1.36Thus, the risk ratio reduces from 2.46 to 1.36. Hence, it is expected to change by 44.7% (calculated as 100 x [(2.46-1.36)/2.46]). Therefore, it can be concluded that if the proportion of men who smoke is reduced through health awareness efforts from 43% to 25%, the risk ratio will be reduced by 44.7%.

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Which artist was sponsored by Rodman Wanamaker, who sponsored
his trips to Egypt and the Middle East?
William Edouard Scott
G.T Haywood
Henry O. Tanner
Edward Mitchell Bannister

Answers

Henry O. Tanner was the artist who was sponsored by Rodman Wanamaker, who sponsored his trips to Egypt and the Middle East. Option 3.

What was Henry Ossawa Tanner known for?

Henry Ossawa Tanner was an American painter who is best known for his depictions of biblical scenes and his genre paintings. He was the first African-American painter to gain international acclaim.

Who sponsored Henry O. Tanner's trips to Egypt and the Middle East?

Rodman Wanamaker sponsored Henry O. Tanner's trips to Egypt and the Middle East. Tanner was able to visit several holy places throughout the Middle East during his travels, which inspired many of his later paintings.

The annual trips sponsored by Wanamaker were designed to expose the public to the art and culture of indigenous peoples and to gather and distribute artifacts of historical, scientific, and aesthetic importance.

The Wanamaker Egyptian Expedition visited numerous excavation sites in Egypt and parts of the Middle East from 1908 to 1911.

Hence, the right answer is option 3. Henry O. Tanner.

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3. If you had $20 000 in your retirement bank account and (through your investments) your assumed compounded growth rate was 7%, how much money would you have saved over the course of your working lif

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With a 7% compounded growth rate, you would have saved approximately $143,181.47 over the course of your working life.

How much money would you accumulate with a 7% compounded growth rate over your working life?

Assuming a compounded growth rate of 7% and an initial investment of $20,000 in your retirement bank account, you can calculate the future value of your savings over the course of your working life. The formula for compound interest is:

Future Value = Principal × (1 + Interest Rate)^Number of Periods

In this case, the principal is $20,000, the interest rate is 7% (or 0.07 as a decimal), and the number of periods corresponds to the number of years you are working. Since the question doesn't specify the duration of your working life, we'll assume it as 30 years for the purpose of this explanation.

Using the formula, the future value of your savings can be calculated as follows:

Future Value = $20,000 × (1 + 0.07)³⁰

= $20,000 × 1.07³⁰

≈ $143,181.47

Therefore, with a 7% compounded growth rate, you would have saved approximately $143,181.47 over the course of your working life.

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a. What is Stagflation?
b. Suppose inflation is currently very high. What type of fiscal policy can the government use to reduce inflation? Support your answer to include using appropriate diagrams as discussed in the class.
c. Suppose the country is currently experiencing recession. What type of fiscal policy can the government use to fight off recession? Support your answer to include using appropriate diagrams as discussed in the class.
d. List 4 functions of Saudi Arabian Monetary Agency (SAMA).

Answers

a. Stagflation is a condition where there is a simultaneous rise in inflation and a decline in economic growth, resulting in a situation of stagnation. This situation is caused by the supply-side shocks in the economy that increase the costs of production, reduce the supply of goods and services, and thus, increase their prices.



b. When inflation is very high, the government can use contractionary fiscal policy to reduce it. This policy involves reducing government spending and increasing taxes, which will reduce aggregate demand, and consequently, prices. The contractionary fiscal policy can be explained using the AD-AS model, where the aggregate demand curve shifts leftward, resulting in a lower equilibrium price level and output.


c. When the country is experiencing a recession, the government can use expansionary fiscal policy to fight it off. This policy involves increasing government spending and reducing taxes, which will increase aggregate demand, and consequently, output. The expansionary fiscal policy can be explained using the AD-AS model, where the aggregate demand curve shifts rightward, resulting in a higher equilibrium price level and output.

d. The four functions of the Saudi Arabian Monetary Agency (SAMA) are:

1. Formulating and implementing monetary policy: SAMA is responsible for regulating the money supply and interest rates in the economy, which helps stabilize inflation and promote economic growth.

2. Supervising the banking sector: SAMA regulates and supervises the banking sector to ensure its stability and safety, and to promote its development.

3. Managing the foreign exchange reserves: SAMA manages the country's foreign exchange reserves, which helps maintain the stability of the national currency and facilitates international trade.

4. Promoting financial stability: SAMA monitors and assesses the risks to the financial system and takes appropriate measures to ensure its stability.

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Q. 1 a) In each case below, indicate which good you think has a relatively more price elasticity of demand and identify the most likely reason (in terms of determinants of the elasticity of demand) i)

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Goods that are considered nonessential, have more substitutes, and have a higher proportion of the consumer's income, are more likely to have a relatively more price elasticity of demand.

Price elasticity of demand (PED) is the responsiveness of the quantity demanded of a good to a change in its price. The following are the determinants of PED:Existence of close substitutes: If close substitutes are available for a good, the PED is higher as people can easily switch to alternatives. For example, coffee and tea are close substitutes, and if the price of coffee rises, consumers can switch to tea. Hence, coffee has a relatively more price elasticity of demand as compared to tea. Luxury versus necessity: Goods that are considered nonessential and are luxury goods, have a higher price elasticity of demand.

This is because the consumers can do without the good if the price increases. For example, cars are a luxury good and have more substitutes like bikes, public transport, and walking. Hence, cars have a relatively more price elasticity of demand than basic food items, which are necessities. Proportion of income spent on the good: If the consumer spends a higher proportion of their income on the good, the PED is higher.

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A corrective tax is a tax that is designed to induce private decision-makers to take account of the social costs that arise from a negative externality. Think of a company near your location; what corrective taxes were imposed on their industry? What was the social effect of that tax?

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To address this negative externality, the government might impose a corrective tax on the industry. For instance, they could implement a pollution tax that charges the company a fee for each unit of pollution emitted.

This tax aims to internalize the external costs associated with pollution by making the company bear the social costs of their actions.  The social effect of such a tax would likely be a reduction in the level of pollution emitted by the company. By imposing a financial burden on pollution, the tax incentivizes the company to adopt cleaner technologies, improve production processes, or reduce emissions to avoid the tax liability.

This, in turn, leads to a decrease in environmental harm, improved air quality, and potential health benefits for the local community. It's important to note that the actual social effects of a corrective tax can vary depending on the specific circumstances, the industry involved, and the effectiveness of the tax implementation and enforcement.

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"We need new regulations in the banking sector to ensure that the global financial crisis never happens again.’

Discuss this commonly heard statement.

In your answer, make sure you a. describe the common types of risk facing any banking sector and how these risks played out in the USA in the lead up to the global financial crisis, and b. explain how effective you believe the new Basel III regulations will be in managing these risks in the future."

Answers

The statement, "We need new regulations in the banking sector to ensure that the global financial crisis never happens again" is commonly heard. The global financial crisis of 2008 showed that a poorly regulated banking sector can threaten the stability of the whole financial system. The risks facing any banking sector include liquidity risk, credit risk, and market risk.

These risks played out in the USA in the lead up to the global financial crisis as follows:

Credit risk: Banks in the US started giving out mortgages to people who could not afford them. This caused a housing bubble that led to a crash in the subprime mortgage market and a decline in home prices.

Liquidity risk: In the US, banks relied heavily on short-term borrowing to finance long-term loans. This meant that they were vulnerable to a sudden lack of liquidity. When the subprime mortgage market crashed, investors started to pull out their money from banks. The banks could not pay their debts, which caused a liquidity crisis.

Market risk: The financial crisis started in the US housing market but quickly spread to other parts of the financial system. Many banks had invested in the subprime mortgage market and other toxic assets that became worthless after the housing market crash. This caused a systemic crisis that threatened the stability of the whole financial system.

The Basel III regulations are designed to manage these risks by increasing the capital requirements of banks. This means that banks have to hold more capital as a cushion against losses. Basel III also introduces new liquidity requirements that force banks to hold more liquid assets. These regulations should help to prevent future financial crises by making banks more resilient to shocks.

However, there is still some debate about whether the regulations are sufficient to prevent another crisis. Some critics argue that the regulations do not go far enough and that more needs to be done to ensure that the banking sector is stable and secure.

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assume the fed purchases $17,450 worth of u.s. treasury bonds from warren buffett, who promptly deposits the money in the first national bank. assuming that the required reserve ratio is 4.4 percent and banks keep zero excess reserves, the money supply in the economy will eventually:

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The effect on the money supply in the economy, given the treasury bonds purchased would be A . increase by a maximum of 16,752.

How will the money supply change ?

First, there is a need to find the require reserve ratio from the amount purchased by the Federal reserve to be :

= 4 / 100 x 17 , 450

= 4 % x 17 , 450

= $ 698

The amount the money supply will change by, is therefore a maximum of :

= Amount purchased by FED - Required reserve

= 17, 450 - 698

= $ 16, 752

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Options include:

increase by a maximum of 16,752.

increase by a maximum of $17.450.

increase by a maximum of $436,250.

increase by a maximum of 569,800.

In reinforcement learning and q learning, what is random policy and what is optimal policy?

Answers

Reinforcement learning is a sort of machine learning that works through learning by experimentation and trial-and-error. It allows agents to learn by means of positive or negative feedback through rewards. Reinforcement learning is mainly utilized in machine learning to represent and automate sequential decision-making tasks.In reinforcement learning, Q-learning is a model-free reinforcement learning algorithm.

Random Policy is a method that selects an action with the equal probability of selecting every possible action that is present in the environment. It means that we have no information about which action should be chosen or not in the environment that we are interacting with.

Optimal Policy, on the other hand, is a method that selects the best possible action from the environment based on the given state. This policy leads the agent to maximize the total reward received in the environment. It is the process of finding the policy that maximizes the expected cumulative reward over all possible sequences of states and actions. This is the most desirable and efficient policy that every agent tries to achieve in order to maximize the total reward of the environment.

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The University would like to understand what can be failure points in new student registration process, which tool you would recommend to be used:

a. Process Charts
b. Value Stream Mapping
c. Service Blueprinting
d. Time Function Mapping

Answers

The tool that would be best recommended to be used to understand what failure points in new student registration process can be would be the Service Blueprinting (c).

Service blueprinting is an analytical technique that visualizes and records the flow of people, operations, and interactions in a service process. It provides a method for describing the front stage and back-stage activities of a service.

It's used to ensure that the service meets the customers' needs while also ensuring that the supporting operations and procedures are well-organized and effective.

To ensure the successful design, delivery, and continuous improvement of services, a blueprint is a valuable method. By mapping the service process and all of the internal and external operations that support it, the service blueprint allows an organization to fully comprehend the service and identify areas for improvement.

Therefore, Service Blueprinting (c) would be the ideal tool to be used for understanding what can be failure points in new student registration process.

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Using the quantity equation of money MV = PQ, calculate the money supply (M) if velocity (M) equals 5. the price level (P) equals 112, and real GDP (Q) equals 132. Round to the nearest whole number Provide your answer below:

Answers

Rounding to the nearest whole number, the money supply (M) is approximately 2950.

Money supply refers to the total amount of money available in an economy at a given point in time. It includes all forms of money, such as cash, coins, and various types of bank deposits that can be readily used for transactions and as a medium of exchange. The money supply is a crucial measure that helps in understanding the overall liquidity and monetary conditions in an economy.

To calculate the money supply (M) using the quantity equation of money MV = PQ, we can rearrange the equation as follows:

M = PQ / V

Velocity (V) = 5

Price level (P) = 112

Real GDP (Q) = 132

Plugging in these values into the equation:

M = (132 * 112) / 5

M = 2950.4

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As the Director of Marketing for the Destination Management Organization, you are required to develop a marketing communications campaign for your destination. a. Identify and describe three benefits of IMC campaign. While describing each benefit, make sure to use a real example of destination marketing communications campaign to explain how each benefit described above is evident. [15 marks] b. Identify and explain using relevant real examples, three major factors from Pearce’s Travel Career Ladder in detail and how they can be used in the marketing of a destination.

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The act of harmonising a brand's messaging so that it is consistent across all media that the brand employs to reach its target audience is known as integrated marketing communications (IMC). It is a tactical strategy that directs communication across all marketing platforms.

As we've already discussed, there are five main communication methods that work well with integrated marketing communications. These include public relations, advertising, direct marketing, online marketing, and sales promotion.

A marketing plan, also known as an IMC plan, is used by marketers to track and carry out a number of campaigns over a certain time frame. A campaign is built around a theme, a core concept, a goal, or another focus. This idea underlies all IMC initiatives and serves to bind the campaign together.

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4. A firm can produce a quantity q(x, y) ((x + 1)³+y³)¹/3, in kg, of its good when it uses rkg of copper and ykg of iron. If copper and iron cost r and s pounds per kg respectively, use the method

Answers

The quantity that the firm can produce is q(x, y) = ((x + 1)³ + y³)¹/3, in kg when it uses r kg of copper and y kg of iron.

Also, given that copper and iron cost r and s pounds per kg respectively.To find the firm's cost function we need to find out the amount of copper and iron they use for their production process. We can then multiply it by their cost per kg, and then add the two values together. This will give us the firm's total cost.Let's find out how much copper and iron the firm uses.

We know that the firm produces q(x, y) kg of its good when it uses r kg of copper and y kg of iron. So, for producing 1 kg of good, the firm uses the following amount of copper and iron: r/q(x, y) kg of copper and y/q(x, y) kg of iron.So, for producing x kg of good, the firm uses the following amount of copper and iron:x(r/q(x, y)) kg of copper and xy/q(x, y) kg of iron. The cost of copper used by the firm would be:r(x(r/q(x, y))) = rx/q(x, y) pounds. The cost of iron used by the firm would be:s (xy/q(x, y)) = sxy/q(x, y) pounds.

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If G-50, n-4, and i% -14%, then F=$329 O True False

Answers

False, the future value is  $27. 35

How to calculate the future value

The formula that is used for determining future value (F) is expressed as;

F = G × (1 + i)ⁿ

Such that the parameters are;

G represents the present valuei represents the interest raten represents the number of years

From the information given, substitute the values, we get;

F = $50  × (1 - 0.14)⁴

Subtract the values, we have;

F = $50  × (0.86)⁴

Find the quadruple

F = $50  × 0.5470

Multiply the values, we have;

F = $27. 35

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You are currently considering three investment possibilities. The first is a bond selling in the market for $1,100. The bond has a $1,000 par value with a coupon of 13 percent and will mature in 15 years. For bonds of this risk class, you believe that a 14 percent rate of return is required. The second investment that you are analyzing is a preferred stock that has a par value of $100, sells for $90 and pays an annual dividend of $13.00. Your required rate of return for this stock is 15 percent. The last investment is a common sto with a par value of $25.00 that recently paid a $2.00 dividend per share. The firm's earnings per share have recorded an annual growth rate of 7 percent and are expected t continue this trend indefinitely. The stock is currently selling for $20.00 and you think that a reasonable required rate of return is 20 percent.
Required: Given the above information,
a. Calculate the intrinsic value of each security.
b. Which investment(s) would you buy? Why?

Intrinsic value of
a. Bond = Pv of coupon payments + PV of maturity face value
= PV(130, 15 years, 14%) + PV (1000, 15 years, 14%)
= $938 This is lower than the current market price of $1100
b. Preferred stock
Intrinsic value = Dividend/Required rate of return
= 13/0.15
= $86.67
c. Common stock
Intrinsic value = Do*(1+g)/(r-g)
=2*(1+0.07)/(0.2-0.07)
= $16.46
Is this correct?

Answers

Answer:

Yes, your calculations for the intrinsic values are correct.

The bond's intrinsic value of $938 is less than the current market price of $1,100, indicating that it may not be a good investment at this time.

The preferred stock

Barbara, a resident of Canada, owns 100% of the common shares of both Windsor Wholesale Ltd. ("WWL") and Klondike Klosets Ltd. ("KKL"). Both corporations have a March 31 year-end.
"KKL" had BOTH active business income AND taxable income of $ 18,000 for its 2019 taxation year. Barbara has decided to allocate to "KKL" as much of the small business limit as is needed to maximize the small business deduction for "KKL", with the remaining balance of the available annual business limit allocation being made to "WWL".
Most but not all of "WWL" 's income is from an active business carried on in Canada. The following information pertains to "WWL" for its 2019 taxation year: $
Division B net income for tax purposes $ 190,000
Net taxable capital gains 10,000
Charitable donation contributions 3,000
Recapture of CCA on sale of operating business assets 4,000
Required:
The small business deduction for "WWL" for 2019 should be:
a) $ 34,200
b) $36,290
c) $35,530
d) $ 34,390
e) None of the above

Answers

The small business deduction for WWL for the 2019 taxation year should be $184,000. None of these. Option E

To calculate the small business deduction for Windsor Wholesale Ltd. ("WWL") for the 2019 taxation year, we need to consider the rules and limits set by the Canadian tax authorities.

The small business deduction is calculated based on the active business income (ABI) of the corporation and the available annual business limit (AABL). The AABL is the maximum amount of income eligible for the small business deduction. For 2019, the AABL is $500,000.

To maximize the small business deduction for Klondike Klosets Ltd. ("KKL"), Barbara has decided to allocate to KKL as much of the small business limit as is needed. Therefore, the remaining balance of the AABL will be allocated to WWL.

Given the information provided for WWL, we can calculate the small business deduction as follows:

ABI for tax purposes = Division B net income for tax purposes - Net taxable capital gains + Recapture of CCA on sale of operating business assets

= $190,000 - $10,000 + $4,000

= $184,000

Since the small business deduction is limited to the AABL, we need to compare the ABI to the AABL to determine the eligible amount:

Eligible ABI = Minimum(ABI, AABL)

= Minimum($184,000, $500,000)

= $184,000

Option E

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If 0.71 U.S. dollars can be exchanged for one Canadian dollar, we say that the Canadian-U.S. exchange rate is ACCOM OA. 0.71. OB. 71.0. O C. 1.41. D. 1.0. E. 1.33. 4

Answers

The Canadian-U.S. exchange rate is expressed as the number of U.S. dollars, then the value of one Canadian dollar is 0.71 U.S. dollars. Thus, option A is correct.

The exchange rate designates the value of one currency in another currency. Different nations have different currencies. In order to compare the value of one currency to another nation's currency value, we need to use the exchange rate methods.

In the given scenario, the Canadian-U.S. exchange rate is discussed. The value of one Canadian dollar is exchanged into the U.S. dollar rate to get the same amount by exchanging money using exchange rates.

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On January 1, 2020, Sitra Company leased equipment from National Corporation. Lease payments are lease is non-cancelable
The following information pertains to the agreement
1. The fair value of the equipment on January 1, 2020 is $2,550,000.
2. The estimated economic life of the equipment was 25 years on January 1, 2020 with guaranteed residual value of $75,000
3. The lease is non-renewable. At the termination of the lease, the equipment reverts to the lessor
4. The lessor's implicit rate is 10% which is known to Sitra Sitra's incremental borrowing rate is 12% (The PV of $1 for 20 periods at 10% is 0.14864 and the PV for an ordinary annuity of $1 for 20 periods at 10% is 8.51356)

Answers

To analyze the lease agreement between Sitra Company and National Corporation, we can calculate the present value of lease payments and determine the appropriate accounting treatment.

This is the correct answer calculations and necessary information:

Fair Value of Equipment: $2,550,000Estimated Economic Life: 25 yearsGuaranteed Residual Value: $75,000Lessor's Implicit Rate: 10%Sitra's Incremental Borrowing Rate: 12%

To determine the present value of lease payments, we need to consider the lease term, annual lease payments, and the discount rate. In this case, the lease term is not provided, so let's assume it to be 25 years, matching the estimated economic life of the equipment.

To calculate the present value, we can use the present value of an ordinary annuity formula:

Present Value = Annual Lease Payment x Present Value Factor of an Ordinary Annuity

First, we calculate the present value factor of an ordinary annuity for 25 years at 10%:

Present Value Factor of an Ordinary Annuity = 1 - (1 / (1 + r)^n) / r

= 1 - (1 / (1 + 0.10)^25) / 0.10≈ 9.42677

Next, we calculate the annual lease payment using the fair value of the equipment and the guaranteed residual value:

Total Lease Payments = Fair Value - Guaranteed Residual Value

= $2,550,000 - $75,000= $2,475,000

Now, we can calculate the present value of the lease payments:

Present Value of Lease Payments = Annual Lease Payment x Present Value Factor of an Ordinary Annuity

= $2,475,000 x 9.42677≈ $23,278,399.25

Based on the above calculations, the present value of the lease payments is approximately $23,278,399.25.

Regarding the accounting treatment, since the lease is non-cancelable and the present value of the lease payments exceeds 90% of the fair value of the equipment, Sitra Company should recognize the lease as a finance lease on its balance sheet. The leased equipment would be recorded as an asset, and a corresponding liability for the present value of the lease payments would be recognized.

It's important to note that additional information, such as lease term and specific terms and conditions of the lease agreement, may affect the analysis and accounting treatment. It's recommended to consult with a professional accountant or financial advisor for a comprehensive assessment.

About economy

In general, economics has an understanding as a science that studies how humans fulfill their life needs by using available resources. All forms of business and human effort in meeting the needs of life in order to obtain life welfare

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the ceo of mindwerks must understand the industry in which his business competes, the future of that industry, and the competition. this requires strong ________ skills.

Answers

A research skill requires the ability to conduct thorough research, analyze data, and critically evaluate information. Therefore, the CEO must have strong research skills.

The sentence given, "the CEO of MindWerks must understand the industry in which his business competes, the future of that industry, and the competition. This requires strong research skills". The CEO must have strong research skills.What is Research?Research is a systematic inquiry or process that is followed to increase knowledge, to verify or confirm something, or to establish facts. Research can be classified as either applied or basic. It is an academic or systematic inquiry or process undertaken to establish or confirm facts, reaffirm the results of previous work, solve new or existing issues, support theorems, or produce new knowledge. Research is the foundation of nearly every area of human inquiry and advancement, from medicine and technology to business and sociology. It is critical that the CEO of MindWerks possesses strong research skills since he must understand the industry in which his company competes, the future of that industry, and the competition, as previously stated. A research skill requires the ability to conduct thorough research, analyze data, and critically evaluate information. Therefore, the CEO must have strong research skills.

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A Dozer cost Ph 2,115,000 to purchase. Fuel, oil grease, and minor maintenance are estimated to cost Ph580 per operating hour. A set of tires cost Ph150,000 to replace, and their estimated life is 2,800 use hours. A Ph282,000 major repair will probably be required after 4,200hr of use. The equipment is expected to last for 8,400 hr, after which it will be sold at a price equal to 15% of the original purchase price. A final set of new tires will not be purchased before the sale. How much should the owner of the Dozer charge per hour of use, if it is expected that the machine will operate 1,400 hr per year? The company's capital rate is 8%.

Answers

The owner of the Dozer should charge Ph282.79 per hour of use.

To determine the hourly rental rate for a Dozer, the capitalized cost must be calculated.

The capitalized cost is the total cost of an asset adjusted to account for the time value of money.

Given information:

A Dozer cost Ph 2,115,000 to purchase.

Fuel, oil grease, and minor maintenance are estimated to cost Ph580 per operating hour.

A set of tires cost Ph150,000 to replace, and their estimated life is 2,800 use hours.

A Ph282,000 major repair will probably be required after 4,200 hr of use.

The equipment is expected to last for 8,400 hr, after which it will be sold at a price equal to 15% of the original purchase price.

A final set of new tires will not be purchased before the sale.

Solution:

Calculation of Capital Cost:

First, we have to determine the cost of replacing the tires, which is a cost that will be incurred during the life of the equipment.

The life of the tires is 2,800 hours, and the cost of replacement is Ph150,000.

Therefore, the hourly tire cost is given by:

Tire cost per hour = (Tire Replacement Cost / Tire Life) = 150,000/2,800 = Ph53.57

Now we have to determine the present value of the major repair costs that will be incurred at the end of 4,200 operating hours.

The capitalized cost is determined by summing the present value of the purchase price, major repair cost, and tire cost.

Present Value of Major repair costs = 282,000 / (1 + 0.08)4.2 = Ph201,433.81

Capitalized cost = Purchase price + PV of major repair cost + tire cost per hour

Capitalized cost = 2,115,000 + 201,433.81 + 53.57 = Ph2,316,487.38

Now, we need to find the hourly rental rate.

Hourly rental rate = (Capitalized cost x Capital recovery factor) / Estimated operating hours per year

Here, the capital recovery factor can be calculated using the following formula:

Capital recovery factor = i (1 + i)n / (1 + i)n - 1

Where i = Capitalization rate = 8% = 0.08n = Life of the equipment in years = 8Capital recovery factor = 0.10809 / 0.6339 = 0.1706

Therefore, the hourly rental rate is given by:

Hourly rental rate = (Capitalized cost x Capital recovery factor) / Estimated operating hours per year= (2,316,487.38 x 0.1706) / 1,400= Ph282.79

Therefore, the owner of the Dozer should charge Ph282.79 per hour of use.

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The table below provides the information on the monthly USD/EUR exchange rate:

January 2021

1.22 USD/1EUR

July 2021

1.18 USD/1EUR

Discuss the possible consequences of this exchange rate change for trade between Europe and US.

Answers

The exchange rate change of USD/EUR from 1.22 to 1.18 in the period between January 2021 and July 2021 will have some consequences for trade between Europe and the US. What is the exchange rate? The exchange rate is the value of one currency for the purpose of conversion to another currency.

Exchange rate fluctuations are common and have far-reaching consequences for international trade, and they're not something that is entirely unexpected. The major possible consequences of an exchange rate change between Europe and the US are:

1. Exports and Imports As USD gets stronger relative to EUR, then US goods are likely to be more expensive for the Europeans, while European goods are cheaper for Americans. So it's possible that this exchange rate change would result in an increase in exports from the US and a decrease in imports from Europe.

2. Exchange rate and inflation rate Inflation is a crucial component of an economy, and it impacts different economic sectors. Exchange rates and inflation are also closely related. If the exchange rate changes, it could lead to inflation or deflation. An exchange rate decrease, for example, can lead to a rise in inflation in a country.

3. Domestic interest rate Exchange rates can influence domestic interest rates as well. A decrease in the exchange rate may result in higher interest rates, which can lead to an increase in capital inflows and investment.

4. Profits of multinationals Companies that operate in more than one country are often subject to exchange rate fluctuations, which can impact their earnings. The decrease in USD/EUR exchange rate could lower the profits of US multinationals, while European multinationals operating in the US might experience a boost in their profits. Summary:

The exchange rate changes between USD/EUR in the period between January 2021 and July 2021 could lead to higher exports from the US and reduced imports from Europe. The fluctuations can also affect inflation, domestic interest rate and profits of multinationals.

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Question 1.[25pts] Suppose the cheese business is a competitive industry. All cheese manufacturers have the short-run cost function TC = q² + 9, while demand for cheese in the town is given by Q = 40

Answers

The cheese business is a competitive industry. All cheese manufacturers have the short-run cost function TC = q² + 9, while demand for cheese in the town is given by Q = 40. The long-rum equilibrium number of firms in this industry is 13.

To find the long-run equilibrium number of firms in the cheese industry, we need to determine the market price and compare it to the minimum average total cost (ATC) of production.

Given:

Short-run cost function: TC = q² + 9

Demand for cheese in the town: Q = 40

We can set Q equal to the sum of the quantities produced by all firms in the industry:

Q = q₁ + q₂ + q₃ + ... + qₙ

Since all cheese manufacturers have the same short-run cost function,

40 = n * q, where n is the number of firms.

Now let's calculate the average total cost (ATC) of production for each firm.

ATC = TC / q

Substituting the short-run cost function TC = q² + 9:

ATC = (q² + 9) / q

= q + 9/q

The minimum ATC,

d(ATC)/dq = 1 - 9/q² = 0

9/q² = 1

9 = q²

q = 3

Now we have the equilibrium quantity produced by each firm, q = 3. Substituting this back into the equation Q = n * q, where Q = 40:

40 = n * 3

n = 40 / 3

n = 13.33 or 13

Therefore, the number of firms are 13.

The question is incomplete, the complete question is here:

Suppose the cheese business is a competitive industry. All cheese manufacturers have the short-run cost function TC = q² + 9, while demand for cheese in the town is given by Q = 40. Find the long-rum equilibrium number of firms in this industry?

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Aaron Medford has invested $600 in the corporate stock of a manufacturer of offshore oil drilling equipment. If the company goes bankrupt, the most Medford could lose would be: 1) half of his investment 2) the par value of his stock 3) $600 4) $600 plus foreclosure costs 5) nothing--the company must reimburse him his investment

Answers

The most Aaron Medford could lose if the company goes bankrupt is $600, which represents his initial investment in the corporate stock. Option c is correct.

If the company goes bankrupt, Aaron Medford's maximum potential loss would be his initial investment of $600. As a shareholder, he owns a portion of the company's stock, and in the event of bankruptcy, the value of the stock may decrease or become worthless.

However, Medford's liability is limited to the amount he invested in the stock. Shareholders are considered investors and not creditors, so they are not personally responsible for the company's debts or obligated to cover any additional costs or foreclosure expenses. Therefore, in this scenario, option 3 is correct.

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in a market economy, the interaction between – results in – that influence the choices of consumers

Answers

In a market economy, the interaction between supply and demand results in prices that influence the choices of consumers.

A market economy is an economic system that allows for the free exchange of goods and services, as well as a relatively unrestricted mechanism of pricing. This economy operates under the forces of supply and demand, which function independently of one another and without interference from the government or other controlling bodies.

Supply and demand are economic concepts that explain how price and quantity are influenced by buyers and sellers in a market. The quantity of a product or service that suppliers are willing and able to provide at a certain price level is referred to as supply. The amount of a product or service that customers are willing and able to purchase at a particular price level is referred to as demand.

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3. You are a partner in a CPA firm, and you just were served with a summons and complaint by a financial firm to appear in the NYS Supreme Court based upon an audit that your firm performed three years ago. That client is no longer in business, and the plaintiff finance company believes that the unqualified opinion that accompanied the financial statements was in error. Of the lawsuits cited in the textbook which would enable your auditing firm to have the best outcome? Why?

Answers

The best outcome for the auditing firm would be a lawsuit based on the defense of "No duty to perform."

The defense of "No duty to perform" would provide the auditing firm with the strongest position in this situation. This defense argues that the auditing firm did not have a legal duty to perform the audit or provide accurate financial statements to the plaintiff finance company since the client is no longer in business. By proving that there was no contractual relationship or obligation to the plaintiff finance company, the auditing firm can potentially avoid liability for any alleged errors in the audit opinion.

Since the client is no longer in business, it may be difficult for the plaintiff finance company to establish a legal basis for their claim against the auditing firm. By asserting the defense of "No duty to perform," the auditing firm can argue that they had no obligation to ensure the accuracy of the financial statements for a non-existent client. This defense can potentially lead to a favorable outcome for the auditing firm in the lawsuit.

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