13) If you leave $950 in an account for five years and the account earns 8% compounded annually, what will the balance in the account grow to? A $1,341.05 B. $1,347.82 C. $1,395.86 D. $1,406.23 E. $1,491.15 14) You are supposed to receive $2,000 five years from now. At an interest rate of 6%, what is the $2,000 worth today? I A. $1,491.97 B. $1,492.43 C. $1,494.52 D$1,497.91 E $1,499.01 15) The value of the current assets divided by the value of the current liabilities is called: A Cash ratio B. Current ratio C. Quick ratio D. Net Working Capital E Liquid ratio 16) Dale invests $500 in an account that pays 6% simple interest. How much more could he have earned over a thirty year period if the interest had compounded annually? A $1,471.75 B. $1,532.50 CS1 621.25 0 $1,804.25 E $2,371.75

Answers

Answer 1

13) The balance in the account will grow to $1,406.23.

14) The $2,000 is worth $1,492.43 today.

15) The value of the current assets divided by the value of the current liabilities is called the current ratio

16) Dale could have earned $1,532.50 more over a thirty-year period if the interest had compounded annually

To calculate the future value of an investment with compound interest, we can use the formula: FV = PV * (1 + r)^n, where FV is the future value, PV is the present value, r is the interest rate per period, and n is the number of periods. In this case, PV = $950, r = 8% (or 0.08), and n = 5 years. Plugging these values into the formula, we get FV = $950 * (1 + 0.08)^5 = $1,406.23.

To calculate the present value of a future cash flow, we can use the formula: PV = FV / (1 + r)^n, where PV is the present value, FV is the future value, r is the discount rate, and n is the number of periods. In this case, FV = $2,000, r = 6% (or 0.06), and n = 5 years. Plugging these values into the formula, we get PV = $2,000 / (1 + 0.06)^5 = $1,492.43.
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The current ratio is a financial metric used to assess a company's short-term liquidity and ability to cover its current liabilities with its current assets. It is calculated by dividing the total current assets by the total current liabilities. The current ratio provides insight into a company's ability to meet its short-term obligations and is often used by creditors, investors, and analysts to evaluate a company's financial health and liquidity position.
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To calculate the future value of an investment with simple interest, we can use the formula: FV = PV * (1 + r * n), where FV is the future value, PV is the present value, r is the interest rate per period, and n is the number of periods. In this case, PV = $500, r = 6% (or 0.06), and n = 30 years. Plugging these values into the formula, we get FV = $500 * (1 + 0.06 * 30) = $2,032.50. The difference between the compound interest and simple interest is $2,032.50 - $500 = $1,532.50.

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Related Questions

Watch the Chapter 09 Activator Video: The Art and Science of Forecasting External Tool and respond to the following:
Imagine you were thinking about opening a new restaurant. Consider the time we're in - during a global pandemic - in which hundreds of businesses were forced to shut down. The large number of closures has given you the opportunity to open the business you've always wanted to because there's now room in the marketplace for your concept. Forecasting demand and sales will be critical for your success. Given the current situation, how would you go about forecasting demand and sales? Outline at least three possible solutions and explain the benefit of each.

Answers

In the current situation of a global pandemic, forecasting demand and sales for a new restaurant becomes even more challenging due to the uncertainties and unique circumstances. However, there are several possible solutions to approach the forecasting process:

1. Market Research and Customer Surveys:

One solution is to conduct extensive market research and gather insights from potential customers. This can involve analyzing existing data on consumer behavior and preferences in the local area, as well as conducting surveys and interviews to understand their dining preferences and expectations. By gathering data directly from the target market, you can gain valuable insights into their demand patterns and preferences, helping you make informed decisions about menu offerings, pricing, and overall demand forecasting.

2. Analysis of Local and Industry Trends:

Monitoring local and industry trends is crucial for forecasting demand and sales. By analyzing data and trends from similar restaurants in the area, you can gain insights into their performance and how they have adapted to the pandemic. This includes studying changes in consumer behavior, such as a shift towards online ordering and delivery, and identifying any emerging trends or demands for specific cuisines or dining experiences. Understanding these trends can help you anticipate demand and align your restaurant concept accordingly.

3. Collaboration with Industry Experts and Consultants:

Seeking advice and guidance from industry experts and consultants can provide valuable insights and expertise in forecasting demand and sales. These professionals have experience in analyzing market trends, consumer behavior, and industry dynamics, which can help you make more accurate projections. They can assist in developing forecasting models, analyzing data, and providing guidance on effective marketing and operational strategies. Collaborating with industry experts can increase the accuracy and reliability of your forecasts and improve the overall success of your restaurant.

Benefits of these solutions include:

- Informed Decision-Making: By conducting market research and customer surveys, you can gather specific data on consumer preferences, allowing you to make informed decisions about menu offerings, pricing, and marketing strategies. This reduces the risk of mismatched offerings and helps tailor your restaurant to meet the demands of your target market.

- Agility and Adaptability: Analyzing local and industry trends enables you to identify and respond to emerging demands and changes in consumer behavior. This allows you to adapt your restaurant concept and operational strategies accordingly, ensuring you stay relevant and meet the evolving needs of your customers.

- Expert Insights and Guidance: Collaborating with industry experts and consultants provides access to their knowledge and expertise, increasing the accuracy of your forecasting process. Their guidance can help you identify potential challenges, avoid common pitfalls, and optimize your business strategies for success.

Overall, combining market research, trend analysis, and expert guidance provides a comprehensive approach to forecasting demand and sales for a new restaurant. This allows you to make informed decisions, adapt to changing circumstances, and maximize your chances of success even during challenging times.

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"A) Discuss at what stage in the industrial life cycle you would like to discover an industry. Justify your decision.
B) Give an example of an industry in Stage 2 of the industrial life cycle. Discuss your reasoning for putting the industry in Stage 2 and any evidence that caused you to select this stage for the industry."

Answers

I would prefer to discover an industry at the early stage of the industrial life cycle.

This stage offers the potential for high growth and innovation, providing opportunities to shape the industry's trajectory and gain a competitive advantage.

B) An example of an industry in Stage 2 of the industrial life cycle is the electric vehicle (EV) industry. This stage is characterized by rapid growth and increasing market acceptance. Evidence includes rising EV sales, expanding charging infrastructure, and the entry of new players. The industry's growth potential and emerging market trends position it in Stage 2 of the life cycle.

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a) Describe the Grossman model of demand for health, including
the key assumptions, components and the conditions for consumer
equilibrium in the model.

Answers

The Grossman model of demand for health is an economic framework that seeks to explain individuals' decisions regarding investments in health capital. The model assumes that individuals allocate their time and resources between different activities, including the consumption of goods and services, leisure, and investments in health.

Consumer equilibrium in the Grossman model occurs when individuals allocate their B and resources in a way that maximizes their lifetime utility. This equilibrium is achieved when the marginal utility gained from the last unit of health capital investment is equal to the marginal utility gained from the last unit of consumption or leisure. In other words, individuals allocate their resources in a way that balances the benefits of investing in health with the costs of forgoing other goods and activities.

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According to Porter, an industry with low barriers to entry
A. Should be avoided
B. Will typically be hypercompetitve
C. Will be expensive to get into
D. Will probably be an industry in decline

Answers

According to Porter, an industry with low barriers to entry B) will typically be hypercompetitive.

Barriers to entry are a concept in business that refers to the factors that make it tough or impossible for new companies to join an industry. The following are examples of such obstacles: Patents and licensing: New companies that wish to offer a product or service that is covered by a patent or requires a specific license will face obstacles in obtaining the necessary permissions.

Costs: Starting a business can be expensive, and new businesses may not have the resources to get started. Existing businesses can, in certain cases, use economies of scale to lower their costs, making it more challenging for new entrants to compete.

Regulation: Businesses must comply with local, state, and federal laws, which can be complicated and time-consuming for new entrants. The process can be made more difficult by the fact that regulations often favor existing businesses.

Brand recognition: Existing businesses have an established customer base and a recognized brand, making it difficult for new entrants to win market share.

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What are the competitive dynamics of hospitals or the medical field? Can you discuss the external environment within the context of hospitals industry and macroeconomic environment? Use the Porter Five Forces model to describe the characteristics of your company’s external environment. It is important that you describe a real, specific example. You can use your company’s situation for this analysis.
Gamble, J., Peteraf, M., & Thompson, A. (2021). Essentials of Strategic Management, 7th Edition. NY, NY: McGraw-Hill.
Porter, M. (2008, January). "The Five Competitive Forces that Shape Strategy." Harvard Business Review. Retrieved at hbr.org.
Industry: The Medical Field in the United States
The health care industry as a whole is a continuum of growth all the time. It brings innovations as well as opportunities for many. One factor, which the medical field struggles with, is the need for staff. As noted in our text book in Chapter three, rivalry can be characterized as cutthroat or brutal when competitors engages in price wars or the use of aggressive tactics (Gamble, pg. 40, 2021). Within the medical field, we see of competitive negotiations for hiring staff. We have many rivals that need staff as much as we do and we see those offering steep bonuses and increasing wages, which is very enticing to many. There are numerous competitors, which increases the competitive rivalry (Porter, 2008). I would characterize rivalry among competing sellers (hospitals) as strong.
In Healthcare, as the customers in need of supplies. During Covid-19, the supply demand has increased and product availability has decreased. Because of this, many hospitals have had to look at substitutes. According to (Gamble, 2021) there are three factors a company has to look at to determine if substitutes are acceptable. In the case, of supplies for hospitals these days it is not about the money as much as it is about the need for supplies. Changing of supplies can be costly and not as good as a previous product. According to (Porter, 2008) having more suppliers you can choose from makes it easier to switch. I would say the power of substitute as low.
According to (Porter, 2008), suppliers have the buyer power. Suppliers have the ability to drive prices during the current times where demand for supplies is at its all-time high. For a corporation to switch to a cheaper product it can be more costly. In hospitals right now, it is difficult to get certain stock that we have used for years and have built protocols around, and because of this, it would be costly to change. Now that the demand has increased for the same supplies and due Covid causing a shortage in many supplies, the bargaining power is in the hands of the supplier. I would characterize the power of buyer as strong.

Answers

Suppliers hold buyer power due to the high demand for supplies, causing prices to be driven up, and making it difficult for hospitals to switch to cheaper alternatives.

In the medical field, the competitive dynamics are characterized by strong rivalry among hospitals for hiring staff, increasing the competitive rivalry. The power of substitutes is low as changing supplies can be costly and not as effective as the previous product.

In the medical field, competition for staff is intense, leading to strong rivalry among hospitals. The need for qualified and skilled healthcare professionals creates a competitive environment where hospitals offer attractive incentives and higher wages to attract and retain staff. This competition for human resources can drive up labor costs and impact the profitability of hospitals.

Regarding substitutes, the need for supplies in hospitals, especially during times like the Covid-19 pandemic, is crucial. While cost is a consideration, the priority is the availability and quality of supplies. Changing supplies can be costly and may not provide the same level of effectiveness as the previous product. Therefore, the power of substitutes in the medical field is relatively low.

Suppliers in the medical field hold buyer power due to the increased demand for supplies. As the demand for certain products rises, suppliers can dictate prices and terms. Hospitals may face challenges in obtaining the necessary stock they have traditionally relied on and may find it costly to switch to alternative suppliers or products. The shortage of supplies during the Covid-19 pandemic has further strengthened the bargaining power of suppliers.

In summary, the competitive dynamics in the medical field involve strong rivalry for staff, low power of substitutes due to the importance of supplies, and strong buyer power held by suppliers. These factors shape the external environment for hospitals and impact their strategic decisions and operations.

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Which mortgage would result in higher total payments? Mortgage A: $1,920 a month for 30 years Mortgage B: $1,520 a month for 4 years and $2,020 a month for 26 years multiple choice Mortgage B Mortgage A.

Answers

The correct option is Mortgage A 1,920 a month for 30 years

Given that: Mortgage A: $1,920 a month for 30 years

Mortgage B: $1,520 a month for 4 years and $2,020 a month for 26 years

We need to determine which mortgage would result in higher total payments.

We know that the total payments for Mortgage A will be:

Total payments for Mortgage A = Monthly payments × Number of payments= $1,920 × 12 × 30= $1,382,400

We also know that the total payments for Mortgage B will be:

Total payments for Mortgage B = Monthly payments × Number of payments= ($1,520 × 12 × 4) + ($2,020 × 12 × 26)= $219,840 + $628,320= $848,160

Hence, Mortgage A would result in higher total payments than Mortgage B.

Therefore, Mortgage A result in higher total payments than Mortgage B. .

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Consider the following mergers or acquisitions. What synergy was or would be logically possible? What would inhibit synergy? Consider operations, culture, and brand equities. Evaluate the following discussion in a two to three page paper (excluding title, abstract, and reference pages) Citicorp acquired Providian, a credit card ?rm serving low-income segments Pepsi (the owners of Frito-Lay) acquired Quaker Oats Toyota acquiring Jeep

Answers

Mergers or acquisitions refer to the combination of two different organizations into one entity. Synergy is the result of the joining of two companies where the combined output is greater than the sum of the outputs of the two firms before the merger or acquisition.

The synergy that was or would be possible and the factors that inhibit synergy in the following acquisitions are discussed below:

Citicorp acquired Providian, a credit card firm serving low-income segmentsThe synergy that could be possible in this acquisition is the expansion of Citicorp’s target market. This acquisition helps Citicorp to diversify its customer base and provide financial services to the low-income segments.

Providian’s brand equity can also be utilized to reinforce Citicorp’s position in the market.However, differences in culture, operations, and products can limit synergy. The two firms have different organizational cultures and product portfolios. Thus, integrating the two companies will require a significant amount of effort and capital to align their operations and cultures.

Pepsi (the owners of Frito-Lay) acquired Quaker OatsThe synergy that could be possible in this acquisition is the opportunity to leverage Frito-Lay’s distribution network to distribute Quaker Oats’ products. The combination of these two companies can provide Pepsi with economies of scale and scope. The acquisition of Quaker Oats also reinforces Pepsi’s position in the market.

The synergy that could be possible in this acquisition is Toyota’s access to Jeep’s manufacturing capabilities and the potential to expand Toyota’s product portfolio. Toyota can leverage Jeep’s brand equity to introduce new products into the market.

Furthermore, the acquisition may not generate the expected results if the two companies’ products and services are not aligned.In conclusion, mergers or acquisitions can provide firms with significant benefits, such as increased market share and economies of scale.

Therefore, it is essential to evaluate the potential synergy and factors that could inhibit synergy before acquiring or merging with a company.

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Scenario: Randy owns a pizza restaurant in Barrie, Ontario.
1. Randy has hired a marketing agency to create a television advertisement which will run on Barrie’s local television station. Randy has directed the marketing agency to create an advertisement which is funny (uses the advertising appeal of humour). Describe one risk of using humour in the television advertisement. Please use no more than 2 bullet points for your answer. 1 mark.
2. Randy pays Canada Post to deliver "buy one, get one" coupons to all homes in Barrie. Randy refers to this coupon delivery program as "Out-of-Home Media". Is Randy correct in calling it that? 1 mark for valid explanation of your answer.
3. Randy wants to expand his business by providing catering services to local businesses. Describe one way Randy could demonstrate the quality of his menu offerings (food items) in the Presentation step of personal selling. Please use no more than 2 bullet points for your answer. 1 mark.
Subject is marketing
4. Freddie receives a personalized email from the pizza restaurant. The email suggests that Freddie visit soon to get 20% savings on new pizza slices. Freddie says this email is an example of public relations. Is Freddie correct? Explain your answer in no more than 2 bullet points. 1 mark for correct explanation.

Answers

Public relations activities focus on building and maintaining relationships with various stakeholders, such as media, communities, and investors, to enhance the overall reputation and image of the business.

One risk of using humour in the television advertisement:

Humour can be subjective and may not resonate with all target audience members, potentially alienating or confusing some viewers.

There is a risk of the humour overshadowing the main message or brand, leading to reduced recall or impact of the advertisement.

Randy is not correct in calling the coupon delivery program "Out-of-Home Media":

"Out-of-Home Media" typically refers to advertising channels that reach audiences outside of their homes, such as billboards, transit ads, or digital signage.

Coupon delivery to homes falls under direct marketing or direct mail advertising, which targets individuals at their residential addresses.

One way Randy could demonstrate the quality of his menu offerings in the Presentation step of personal selling:

Arrange for a tasting session where potential customers can sample a variety of menu items, showcasing the flavors, freshness, and presentation of the food.

Share visually appealing photos or videos of the menu items, highlighting the quality ingredients, culinary expertise, and attention to detail in their preparation.

Freddie is not correct in considering the personalized email from the pizza restaurant an example of public relations:

Public relations activities focus on building and maintaining relationships with various stakeholders, such as media, communities, and investors, to enhance the overall reputation and image of the business.

The personalized email with a discount offer falls under direct marketing or email marketing, aimed at promoting a specific product or service directly to individual customers.

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In Paterson, New Jersey, a Walgreens Pharmacy found it challenging to plan for the correct number of staff to administer flu shots each day of the week. The variability in the number of customers arriving each day to get their shots was the main reason behind this challenge. Hence, the administration’s new plan required customers to make appointments. This approach requiring appointments is an example of
a. Chasing capacity
b. Chasing demand
c. Yield Management
d. Leveling Yield
e. Managing demand

Answers

The variability in the number of customers arriving each day to get their shots was the main reason behind this challenge. Hence, the administration’s new plan required customers to make appointments. This approach requiring appointments is an example of- E. Managing demand.

What is Yield Management?

Yield management is a pricing strategy in which businesses set prices based on consumer behavior to maximize revenue. It is based on the idea that businesses will improve their profitability by selling the right product to the right consumer at the right time and price.

Yield management can be applied to various industries, including airlines, hotels, rental car agencies, restaurants, and other service-oriented businesses. It aims to maximize profits by matching supply and demand and pricing dynamically according to the circumstances of the market.

What is Chasing capacity?

Chasing capacity is a concept in which a company adds capacity to match the growing demand for a product or service. Capacity is the maximum amount of products or services that a company can produce or provide. Chasing capacity means that a company is increasing its capacity to match the growing demand for its products or services.

What is Managing Demand?

Managing demand is a pricing strategy that attempts to manipulate consumer behavior. It aims to increase revenue by changing customer behavior, reducing the volume of products or services sold to some customers, and increasing the volume of products or services sold to others. Managing demand involves adjusting the supply of a product or service to meet demand, based on various factors such as pricing, advertising, and promotions.

What is Chasing demand?

Chasing demand is a strategy in which a company increases its marketing efforts and production capacity to meet an increase in demand. The goal is to capture a larger share of the market by meeting demand with a more extensive supply. The purpose of chasing demand is to maximize profits by increasing sales volumes and market share.

What is Leveling Yield?

Leveling yield refers to the use of strategies to adjust supply to demand in a market. In a leveling yield scenario, the company seeks to balance the supply and demand of a product or service to maximize profits. The company may adjust its pricing, production schedules, or other factors to meet the demand for its products or services.

Hence, option e. is correct.

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if the required rate of return (rrr) on a security is less than the internal rate of return (irr) on that security, then the:

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If the required rate of return (RRR) on a security is less than the internal rate of return (IRR) on that security, then the main answer is that the investment is profitable  is that the IRR is the rate of return expected by the investors while the RRR is the minimum return expected by the investors.

In case the RRR is less than IRR, it implies that the investment will produce a rate of return greater than the rate which is demanded by the investors. The IRR is often used by corporations and investors to compare investments or projects to choose the one that has the highest return on investment (ROI).

The internal rate of return (IRR) is the discount rate at which the net present value of all the cash flows from a particular investment project equal zero. The required rate of return (RRR) is the minimum rate of return expected by investors. The investment is considered profitable if the IRR is greater than or equal to the RRR, and not profitable if it is less than the RRR .If the required rate of return (RRR) on a security is less than the internal rate of return (IRR) on that security, then the investment is considered profitable.

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a) What are the roles of the management accountant in a service-based organisation? b) The chief executive officer of your company is unhappy with the firm's attempts to adopt environmental management accounting in the organisation. "I don't understand how we can measure environmental impact," he complains. "We should just concentrate on what our customers want instead of worrying about intangible concepts like sustainability."

REQUIRED: Prepare a response to this criticism. You should explain what environmental management accounting is designed to achieve and suggest two approaches that have been used, citing relevant literature and examples where appropriate.

Answers

a) The roles of the management accountant in a service-based organization include cost analysis, budgeting and financial planning, performance measurement, pricing and profitability analysis, and decision support.

Environmental management accounting (EMA) is an approach that aims to measure and manage the environmental impact of an organization. It involves integrating environmental information into management accounting systems and decision-making processes. EMA helps organizations understand the environmental costs associated with their operations, identify areas for improvement, and make informed decisions that balance financial and environmental considerations.

In response to the CEO's criticism, it is important to explain that measuring environmental impact through EMA is not just about pursuing intangible concepts like sustainability. It is a strategic business approach that recognizes the increasing importance of environmental sustainability to customers, stakeholders, and the long-term success of the organization.

EMA provides valuable insights into the environmental costs of operations, helping identify potential cost savings and efficiency improvements. By implementing EMA, organizations can enhance their environmental performance, reduce environmental risks, and gain a competitive advantage in the market. Additionally, integrating environmental considerations into decision-making processes allows organizations to align with evolving customer expectations and regulatory requirements.

Two approaches commonly used in EMA are environmental cost accounting and life cycle assessment. Environmental cost accounting quantifies and analyzes environmental costs, enabling organizations to understand the financial implications of their environmental impact. Life cycle assessment evaluates the environmental impact of products or services throughout their life cycle, providing insights for eco-design, waste reduction, and sustainable sourcing.

In conclusion, adopting EMA is a strategic response to growing environmental concerns and customer demands for sustainability. It enables organizations to measure and manage their environmental impact, align with stakeholder expectations, and achieve long-term financial viability while minimizing negative environmental effects.

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Do earnings depend on education? Using the EAEF09 data set in the folder OWL Class Resources > Homework Data & Videos folder. We believe that hourly EARNINGS depends upon years of schooling (called S in the data set). We set up a regression assuming that X causes Y. a) Which variable is the dependent variable (y) and which is the independent variable (x)? b) Estimate a simple regression of EARNINGS on years of schooling, S. What does this regression say about the relationship between schooling and hourly earnings? A. Y=EARNINGS, X=S An additional year of schooling is associated with an increase in earnings of $2.49 per hour on average. B. Y=EARNINGS, X=S An increase of 1 years of schooling is associated with an increase in earnings of 0.20 dollars. C. Y=EARNINGS, X=S An increase of 2.08 years of schooling is associated with an increase in earnings of 1 dollar. D. Y=S, X=EARNINGS A increase in earnings of 1 dollar is associated with 2.08 years of schooling on average. E. Y=EARNINGS, X=S An additional year of schooling is associated with an increase in earnings of $2.08 per hour on average.

Answers

Yes, earnings depend on education. It has been found that earnings depend on education. We can examine whether hourly earnings depend upon years of schooling (called S in the data set) using the EAEF09 data set in the folder OWL Class Resources > Homework Data & Videos folder.

The variables that are related are EARNINGS and years of schooling (S), thus EARNINGS is the dependent variable (Y), and years of schooling (S) is the independent variable (X).Let's estimate a simple regression of EARNINGS on years of schooling, S:Y=EARNINGS, X=SAn additional year of schooling is associated with an increase in earnings of $2.49 per hour on average.Therefore, Option A is the correct answer: Y=EARNINGS, X=S An additional year of schooling is associated with an increase in earnings of $2.49 per hour on average.An additional year of schooling increases the average hourly wage by $2.49, according to the data.

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5 pts Sub-1050 Goal Seek, Inc. is considering a $450 million expansion (capital expenditure) program next year. The company currently has $1,500 million in net fixed assets on its books. Next year, the company expects to earn $200 million after interest and taxes. The company also expects to maintain its present level of dividends, which is $50 million. If the expansion program is accepted, the company expects its inventory to increase by approximately $180 million, and accounts receivable to increase by approximately $110 million.

Answers

The total assets of the company after the expansion program is accepted is $1,790 million.

Sub-1050 Goal Seek, Inc. is a company that is considering a $450 million expansion (capital expenditure) program next year. The company currently has $1,500 million in net fixed assets on its books. Next year, the company expects to earn $200 million after interest and taxes.

The company also expects to maintain its present level of dividends, which is $50 million. If the expansion program is accepted, the company expects its inventory to increase by approximately $180 million, and accounts receivable to increase by approximately $110 million.

Find the total assets of the company after the expansion program is accepted.The company currently has a net fixed asset of $1,500 million, which is not affected by the expansion program. If the expansion program is accepted, the inventory and account receivables are expected to increase by $180 million and $110 million, respectively.

Therefore, the total assets of the company after the expansion program is accepted will be equal to:

Total Assets = Net Fixed Asset + Inventory + Account Receivables

Total Assets = $1,500 million + $180 million + $110 million

Total Assets = $1,790 million. Hence, the total assets of the company after the expansion program is accepted is $1,790 million.

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Yost Rocks, Inc. just paid a $2 dividend, which it expects to maintain for the foreseeable future. The firm has a beta of 1.2 and U.S. Treasury bills yield 3%. If the market risk premium is 9.6%, what is the current price of the stock?

-If the firm expects to maintain a constant 3% growth rate in dividends, what would the price be today?

-If the firm was unable to pay a dividend for the next 4 years, but then paid a $2 dividend which grew at a constant 3%, what would the price be today?

Answers

To calculate the current price of the stock, we will use the Gordon Growth Model, which is given by- P0 = D1 / (r - g)

Where:

P0 = Current price of the stock

D1 = Dividend expected to be paid in the next period

r = Required rate of return

g = Growth rate of dividends

Let's calculate the current price of the stock based on the given information:

Current Price of the Stock:

Dividend (D1) = $2

Required rate of return (r) = Risk-free rate + Beta * Market Risk Premium

= 3% + 1.2 * 9.6%

= 3% + 11.52%

= 14.52%

Growth rate of dividends (g) = 0% (since the dividend is expected to remain constant)

P0 = $2 / (0.1452 - 0)

= $2 / 0.1452

≈ $13.77

Therefore, the current price of the stock is approximately $13.77.

Price with a Constant 3% Growth Rate in Dividends:

Growth rate of dividends (g) = 3%

P0 = $2 / (0.1452 - 0.03)

= $2 / 0.1152

≈ $17.36

Therefore, if the firm expects to maintain a constant 3% growth rate in dividends, the price of the stock today would be approximately $17.36.

Price with No Dividend for 4 Years and 3% Growth Rate Afterwards:

Dividend (D1) = $2

Growth rate of dividends (g) = 3%

In this case, we need to calculate the present value of the dividends for the first four years when no dividend is paid, and then calculate the price as if the dividend of $2 starts growing at a constant rate of 3% from year 5 onwards.

Present Value of Dividends for the first four years:

[tex]PV = D1 / (1 + r)^1 + D1 / (1 + r)^2 + D1 / (1 + r)^3 + D1 / (1 + r)^4[/tex]

[tex]PV = $2 / (1 + 0.1452)^1 + $2 / (1 + 0.1452)^2 + $2 / (1 + 0.1452)^3 + $2 / (1 + 0.1452)^4[/tex]

After calculating the present value, we add it to the present value of the dividend growing at 3%:

[tex]P0 = PV + (D1 / (r - g)) * (1 / (1 + r)^4)[/tex]

The result will be the price of the stock today.

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When you set up an account for a new company vehicle:

A. Expense
B. Current Asset
C. Equity
D. Property

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When you set up an account for a new company vehicle, it is categorized as a current asset. A current asset is an asset that can be converted into cash within a year. They are listed in order of liquidity, which means that the assets that can be converted into cash most easily appear at the top.

A company's current assets include assets that are either cash or expected to be converted into cash within the next year.The following are some examples of current assets that a business may have:Cash on hand and in bank accounts Account receivables and other types of receivablesInventoryPrepaid expenses, such as rent, insurance, or other services expected to be used within the next year Short-term investments, such as bonds or stock investments that the business intends to hold for a short period.What is Asset Accounting?Asset accounting is a type of accounting that is used to monitor a company's fixed assets. Fixed assets are assets that a business acquires for long-term use and that are not intended to be resold. A business's fixed assets include machinery, buildings, and land, among other things. These assets can be depreciated, which means that their value decreases over time.

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Assess how social media conversations have profoundly changed brand management and created new challenges for managers.

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The marketing world has never been more integrated than it is today thanks to social media. Social media marketing has made it possible for brands and consumers to have a two-way conversation, improving brand visibility and transparency.

Additionally, it has given companies complete control over the audience they want to direct their advertisements towards. The quantity of visibility and traffic that a brand receives are both increased through social media. Social media also creates leads and cultivates devoted fans.

Strong social media presence enables a brand to forge commercial relationships, cut marketing expenses, and boost revenues. Businesses of all sizes now have a platform to network and engage with clients in more intimate ways thanks to social media.

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In __________ the stock market went into fre fall, signaling the beginning of the great depression.

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In October 1929, the stock market went into a free fall, signaling the beginning of the Great Depression.

This was a period of economic downturn and severe unemployment that lasted from 1929 to the late 1930s. The Great Depression had a significant impact on the world economy, with some countries experiencing unemployment rates of up to 25%.The Great Depression is considered one of the most significant economic depressions in history.

There is no single cause of the Great Depression, but there were several contributing factors, including overproduction, over speculation, and bank failures. Additionally, the Smoot-Hawley Tariff Act, which imposed high tariffs on imported goods, had a devastating impact on international trade. the Great Depression was a long-lasting period of economic decline and unemployment that began with the stock market crash of 1929.

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Economists consider profit to be
Select one:
a.
a cost of producing goods and services.
b.
the same as a salary.
c.
a reward for incurring losses.
d.
something that should be eliminated by anticompeti

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The correct option is (D) which states that the economists consider that something that should be eliminated by anticompeti. Profit, in general, is defined as the excess of revenue over costs, or revenue minus costs.

Economists consider profit to be a reward for producing goods and services.Economists consider profit to be a reward for producing goods and services.  Profit is important in a market economy because it signals to businesses that resources are being used efficiently. However, economists consider profits to be something that should be eliminated by anticompetitive practices because it distorts the market and gives some firms an unfair advantage over others. Profit serves as an incentive to businesses to produce goods and services, which leads to the production of more goods and services, which benefits society as a whole.

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Interest expense is typically excluded in the project cash flow because: Multiple Choice all projects are always financed only by equity. taxes cannot be adjusted for the correct debt rate. the discount rate or WACC reflects the cost of debt. the analysis is too crude to handle debt impacts.

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Interest expense is typically excluded in the project cash flow because the discount rate or WACC reflects the cost of debt.Interest expense is an outflow of cash. It represents the cost of borrowing from creditors. Interest expenses must be calculated and accounted for when determining the profitability of a project.

When a company determines the cash flows of a project, it ignores the interest expense. This is because the interest expense is already reflected in the discount rate or weighted average cost of capital (WACC). The WACC includes the cost of equity and the cost of debt, both of which have already been considered while determining the project's cash flows.

Therefore, including interest expense in project cash flows would lead to double-counting. Furthermore, interest expenses may fluctuate over time. It is challenging to estimate these fluctuations, making the analysis too crude to handle debt impacts.

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In addition to other costs, Perez Telephone Company planned to incur $408,170 of fixed manufacturing overhead in making 343,000 telephones. Perez actually produced 348,000 telephones, incurring actual

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a.The predetermined overhead rate is $1.19. b. The fixed cost spending variance is -$10,000 and it is favorable.

a. The predetermined overhead rate can be calculated as follows:

Predetermined overhead rate = Estimated total manufacturing overhead cost / Estimated total amount of allocation base

Estimate total manufacturing overhead cost = $408,170

Total amount of allocation base = 343,000 telephones

Predetermined overhead rate = $408,170 ÷ 343,000 telephones = $1.19 per telephone

Round off the rate to 2 decimal places, we get $1.19 per telephone

b. The fixed cost spending variance is the difference between actual fixed overhead costs and budgeted fixed overhead costs. Here, the actual overhead cost is $398,170 and the budgeted cost is $408,170. Therefore,

Fixed cost spending variance = Actual fixed overhead costs - Budgeted fixed overhead costs = $398,170 - $408,170 = -$10,000

Since the actual fixed overhead cost is less than the budgeted fixed overhead cost, the fixed cost spending variance is favorable.

Note: The question is incomplete. The complete question probably is: In addition to other costs, Perez Telephone Company planned to incur $408,170 of fixed manufacturing overhead in making 343,000 telephones. Perez actually produced 348,000 telephones, incurring actual overhead costs of $398,170. Perez establishes its predetermined overhead rate based on the planned volume of production (expected number of telephones). Required: a. Calculate the predetermined overhead rate. (Round your answer to 2 decimal places.) b. Determine the fixed cost spending variance and indicate whether it is favorable (F) or unfavorable (U).

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Burak's grandparents have made him two offers. The first offer includes annual cash flows of $10,000, $12,000, and $13,000 at the end of next three years, respectively. The other offer is the payment of one lump sum amount today. The discount rate is 10 percent and Burak is trying to decide which offer to accept. What is the minimum amount that he will accept today if he is going to choose the lump sum offer? (Do not found intermediate calculations and round your answer to 2 decimal places, e.g., 12.47.)

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Burak is considering two offers from his grandparents. The first offer consists of annual cash flows of $10,000, $12,000, and $13,000 over the next three years.

To compare the two offers, Burak needs to evaluate the present value of the cash flows from the first offer and compare it to the lump sum offer. The present value represents the current worth of future cash flows, considering the time value of money.

Using the discount rate of 10 percent, we can calculate the present value of the cash flows from the first offer:

PV = CF1 / (1 + r)^1 + CF2 / (1 + r)^2 + CF3 / (1 + r)^3

where PV is the present value, CF1, CF2, and CF3 are the cash flows in each respective year, and r is the discount rate.

Substituting the values from the first offer, we have:

PV = 10,000 / (1 + 0.10)^1 + 12,000 / (1 + 0.10)^2 + 13,000 / (1 + 0.10)^3

Simplifying the equation, we can calculate the present value of the first offer.

To determine the minimum lump sum amount Burak would accept today, it should be at least equal to or greater than the present value of the cash flows from the first offer. This ensures that accepting the lump sum offer is financially equivalent to receiving the cash flows over time.

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- What is conclusive research and what are its’ main characteristics?
- Compare and contrast conclusive research and exploratory research.
- Describe specifically descriptive research and causal research:
Which situation they are appropriate to be used?
Which information do these research types provide?
Which techniques can researcher use in doing a descriptive and a causal research project?
-> What should be noticed in conducting a survey and an experiment?

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Conclusive research is a type of research that aims to provide definitive answers and conclusive findings to specific research questions or problems.

Its main characteristics include structured methodologies, predetermined objectives, large sample sizes, and statistical analysis.

Conclusive research is different from exploratory research in terms of purpose and scope. Exploratory research is conducted to gain insights, generate hypotheses, and explore new areas of study, while conclusive research aims to provide conclusive results and answer specific research questions.

Descriptive research focuses on describing and summarizing characteristics or phenomena, providing a snapshot of a particular situation or population. Causal research investigates cause-and-effect relationships, aiming to establish a causal relationship between variables.

Descriptive research is appropriate when researchers want to understand the current state or characteristics of a population or phenomenon. Causal research is used when researchers want to determine the cause-and-effect relationship between variables.

Descriptive research provides information about the present state or characteristics, while causal research identifies the factors that influence a particular outcome. Techniques commonly used in descriptive research include surveys, observations, and content analysis. Causal research often involves experiments, quasi-experiments, and statistical analysis.

When conducting a survey, researchers should ensure a representative sample, use clear and unbiased questions, and maintain data confidentiality. In experiments, researchers should carefully design the study, control variables, and randomly assign participants to groups to ensure internal validity.

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Overview of the changes in average price level Inflation rate of nigeria, senegal and united kingdom with data table, graph and reference.

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Overview of the changes in average price level and Inflation rate of Nigeria, Senegal and United KingdomInflation rate is the percentage change in the price level of goods and services over a certain period.

This means that as the inflation rate rises, the purchasing power of money decreases. The consumer price index (CPI) is used to measure the inflation rate. The CPI is the weighted average of prices of a basket of goods and services consumed by households. This essay seeks to provide an overview of the changes in average price levels and inflation rates of Nigeria, Senegal, and the United Kingdom.Average Price Level and Inflation Rate of NigeriaInflation in Nigeria was recorded at 18.17 percent in March 2021. It is the highest inflation rate in Nigeria in four years. The inflation rate in Nigeria averaged 12.28 percent from 1996 until 2021. The chart below shows the changes in the inflation rate in Nigeria from 2015 to 2021.Reference: tradingeconomics.com - Inflation rate of Nigeria 2015-2021Data

Table 1: Inflation Rate of Nigeria, 2015-2021Year 2015-2016-2017-2018-2019-2020-2021, Inflation rate (%)9.61.515.0411.4011.39.0518.17Source: Trading EconomicsGraph 1: Inflation Rate of Nigeria, 2015-2021The graph below shows that the inflation rate in Nigeria increased significantly from 2015 to 2017. From 2018 to 2020, the inflation rate remained stable. However, the inflation rate began to increase significantly in 2021.Graph 2: Average Inflation Rate of Senegal, 2015-2021Average Price Level and Inflation Rate of SenegalIn Senegal, the inflation rate averaged 1.87 percent from 2008 until 2020. In 2020, the inflation rate in Senegal was recorded at 4.2 percent. This was higher than the inflation rate in 2019, which was 1.2 percent. Reference: tradingeconomics.com - Inflation rate of Senegal 2008-2021Data Table 2: Inflation Rate of Senegal, 2015-2021Year2015-2016-2017-2018-2019-2020-2021 Inflation rate (%)0.61.03.002.061.244.23 Source: Trading Economics Graph 3: Inflation Rate of the United Kingdom, 2015-2021Average Price Level and Inflation Rate of the United Kingdom In the United Kingdom, inflation rates remained relatively low from 2015 to 2019. The inflation rate in the United Kingdom in 2020 was 0.50 percent. This was lower than the inflation rate in 2019, which was 1.80 percent.Reference: tradingeconomics.com - Inflation rate of the UK 2015-2021Data Table 3: Inflation Rate of the United Kingdom, 2015-2021Year2015-2016-2017-2018-2019-2020-2021 Inflation rate (%)0.02.616.043.011.800.5Source:

Trading Economics Graph 4: Average Inflation Rate of Senegal, 2015-2021ConclusionIn conclusion, this essay has provided an overview of the changes in average price levels and inflation rates of Nigeria, Senegal, and the United Kingdom. The data tables and graphs provided in this essay have shown that the inflation rate in Nigeria increased significantly from 2015 to 2017, remained stable from 2018 to 2020, and increased significantly in 2021. The inflation rate in Senegal was relatively low from 2015 to 2020. The inflation rate in the United Kingdom remained relatively low from 2015 to 2019 and decreased in 2020.

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Blue Spruce Corp. is authorized to issue both preferred and common stock. The par value of the preferred is $50. During the first year of operations, the company had the following events and transactions pertaining to its preferred stock. Feb. 1 Issued 55,000 shares for cash at $54 per share. July 1 Issued 72,000 shares for cash at $59 per share. Journalize the transactions. (Record journal entries in the order presented in the problem. Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter O for the amounts.) Date Account Titles and Explanation Debit Credit VÌ Vietnamese (Metnam) Vietnamese Number Key based Journalize the transactions. (Record journal entries in the order presented in the problem. Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter O for the amounts.)

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Journal entries are the recordings made in a journal. They have an important role in the double-entry accounting system. Journalizing transactions helps businesses keep a record of their financial activities.

The journal entries also help businesses to track their transactions and produce an accurate financial statement.

Here are the journal entries for Blue Spruce Corp:

Date Account Titles and Explanation Debit Credit Feb. 1

Cash $2,970,000

Preferred Stock (55,000*$50) $2,750,000Paid-In Capital in Excess of Par Value,

Preferred Stock $220,000July 1

Cash $4,248,000

Preferred Stock (72,000*$50) $3,600,000

Paid-In Capital in Excess of Par Value,

Preferred Stock $648,000(Note: The amounts have been calculated by multiplying the number of shares issued by the price per share.)

The first journal entry is for the issuance of 55,000 shares on February 1.

The par value of each share is $50, and they are being issued at $54 per share.

The total amount of cash received is $2,970,000 (55,000*$54).

$2,750,000 (55,000*$50) is credited to Preferred Stock, which is the par value of the stock, and $220,000 (55,000*$4) is credited to Paid-In Capital in Excess of Par Value, Preferred Stock, which is the amount that is above the par value.

The second journal entry is for the issuance of 72,000 shares on July 1.

The par value of each share is $50, and they are being issued at $59 per share.

The total amount of cash received is $4,248,000 (72,000*$59). $3,600,000 (72,000*$50) is credited to Preferred Stock, which is the par value of the stock, and $648,000 (72,000*$9) is credited to Paid-In Capital in Excess of Par Value, Preferred Stock, which is the amount that is above the par value.

Therefore, the journal entries are given as follows:

Date Account Titles and Explanation Debit Credit Feb. 1

Cash $2,970,000

Preferred Stock (55,000*$50) $2,750,000

Paid-In Capital in Excess of Par Value,

Preferred Stock $220,000July 1

Cash $4,248,000

Preferred Stock (72,000*$50) $3,600,000

Paid-In Capital in Excess of Par Value,

Preferred Stock $648,000.

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QUESTION 9
In regards to marketable securities which of the following statements is true?
O a. Treasure bills are considered to be the most risk free asset
O b. Repurchase agreements are considered to be capital market instruments.
O c. Money market securities are long term investments.
O d. All of the above are false.

Answers

The correct statement is O a. Treasury bills are considered to be the most risk-free asset.

Statement a is true. Treasury bills, also known as T-bills, are considered to be one of the most risk-free assets available in the market. They are short-term debt instruments issued by governments and are typically considered to have minimal credit risk due to the backing of the government.

Statement b is false. Repurchase agreements (repos) are considered to be money market instruments, not capital market instruments. Repos involve the sale of securities with an agreement to repurchase them at a later date, often used for short-term borrowing and lending in the money market.

Statement c is false. Money market securities are generally short-term investments, typically maturing in less than one year. They are characterized by their high liquidity and low-risk nature.

Therefore, the correct answer is option (d) - All of the above are false.

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true or false: the motorola company is credited with the origin of the six sigma methodology. select one: a. true b. false

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The Motorola company is credited with the origin of the six sigma methodology, this statement is False.

The statement is false. While Motorola is often associated with popularizing and promoting the use of the Six Sigma methodology, it is not credited with its origin. The origin of Six Sigma can be traced back to the 1980s when it was developed by engineer Bill Smith at Motorola.

Smith introduced the concept as a quality improvement methodology to reduce defects and variations in manufacturing processes. However, the roots of statistical process control and quality improvement can be traced even further back to the work of pioneers like Walter Shewhart and W. Edwards Deming.

These individuals laid the groundwork for statistical quality control and process improvement, which eventually led to the development and implementation of Six Sigma. Therefore, while Motorola played a significant role in popularizing and implementing Six Sigma, it is not credited with its original invention.

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What are your views on the forms of management of hotel companies; what principles should be taken into account when forming a central organization?

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The primary forms of management in the hospitality industry are the functional, divisional, and matrix approaches. Each management approach has its advantages and disadvantages in terms of organizational structure. Principles that must be taken into account.

while developing a central organization are discussed below:Principles of developing a central organization:Analyze the company's objectives and objectives.A standard operating procedure (SOP) should be developed for the hotel's basic functions and departments.Human Resources (HR) department should be established to manage the hotel's employees and conduct employee evaluations.

A training and development department should be established to provide training and development to employees at various levels.Manage and supervise the hotel's finances.Custodianship of the hotel's assets and inventories should be established.The hotel's IT system should be developed and maintained.Maintain the hotel's environmental and safety standards.To summarise, the management of hotel companies should focus on providing quality service to their guests while maintaining financial stability. Developing a central organization in line with the aforementioned principles will assist the company in achieving these objectives.

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The method, identifies each item in ending inventory with a specific purchase and invoice. O FIFO O Weighted Average O Specific Identification OLIFO Question 8 The method, identifies each item in ending inventory with a specific purchase and invoice. O FIFO O Weighted Average O Specific Identification LIFO

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The method that identifies each item in ending inventory with a specific purchase and invoice is the Specific Identification method.

The Specific Identification method tracks each individual item in inventory and matches it with the corresponding purchase and invoice. This method is often used when the items in inventory have distinct and identifiable characteristics, such as serial numbers or unique features.

For example, let's consider a company that sells electronic devices. Each device has a unique serial number, and the company uses the Specific Identification method to track the inventory. If they sell three devices with serial numbers 001, 002, and 003, and have two devices with serial numbers 004 and 005 in ending inventory, they can directly associate the two devices with their respective purchase and invoice records.

The Specific Identification method provides a detailed and accurate representation of ending inventory by precisely identifying each item with its specific purchase and invoice information. This method is particularly useful when dealing with unique or high-value items. However, it requires meticulous record-keeping and may not be practical for companies with a large number of inventory items without distinguishing features.

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A company expects to receive $30,000,000 in 60 days and will use it to invest in a 90-day bond. The company enters into a Forward Rate Agreement (FRA) expiring in 60 days, with the notional amount of $30,000,000. The forward rate is 90-day LIBOR at 4.50%. Required:
1) Should the company take a long or short position in the FRA? Briefly explain.
2) If the actual 90-day LIBOR on the expiration date is 3.75%, what is the payoff of the FRA?

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The payoff of the FRA, in this case, would be approximately -$223,412.10. Since the actual LIBOR rate (3.75%) is lower than the forward rate (4.50%), the company would incur a loss on the FRA.I

n this case, the company should take a short position in the Forward Rate Agreement (FRA). By taking a short position, the company is effectively selling the 90-day LIBOR at the agreed-upon forward rate of 4.50%.

This means that the company is anticipating that the actual 90-day LIBOR rate will be lower than the forward rate. Taking a short position in the FRA allows the company to hedge against the risk of interest rate decreases.

To calculate the payoff of the FRA, we need to compare the actual 90-day LIBOR rate on the expiration date (3.75%) with the forward rate (4.50%).

The payoff of the FRA can be calculated using the following formula:

Payoff = Notional Amount * ((Actual LIBOR rate - Forward rate) / (1 + Actual LIBOR rate * (90/360)))

Notional Amount = $30,000,000

Actual LIBOR rate = 3.75%

Forward rate = 4.50%

Days in the period = 90 days

Plugging in the values into the formula:

Payoff = $30,000,000 * ((0.0375 - 0.045) / (1 + 0.0375 * (90/360)))

Simplifying the equation:

Payoff = $30,000,000 * (-0.0075 / (1 + 0.009375))

Payoff = $30,000,000 * (-0.0075 / 1.009375)

Payoff = $30,000,000 * (-0.00744707)

Payoff ≈ -$223,412.10

The payoff of the FRA, in this case, would be approximately -$223,412.10. Since the actual LIBOR rate (3.75%) is lower than the forward rate (4.50%), the company would incur a loss on the FRA.

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Which of the following is an advantage of a corporation over another type of business entity?
a. A corporation reduces individual control of a business operated by managers.
b. A corporation requires substantial costs of meeting the requirements of corporate formation and operation.
c. A corporation is considered a person for most purposes under the U.S. Constitution. FINC 245-Regulations for Accounting and Financial Professionals Summer Session 2022
d. A corporate shareholder's exposure to corporate liabilities is not limited to his/her investment.

Answers

A corporate shareholder's exposure to corporate liabilities is not limited to his/her investment is an advantage of a corporation over another type of business entity.

So, the answer is D.

A corporation is a type of business entity that has a separate legal entity, meaning that it is a legal entity separate from its owners (shareholders). It's an organization that is owned by shareholders who invest money into the company in exchange for ownership shares.

A corporation's shareholders have the advantage of having limited liability protection, which means that their personal assets are protected from the corporation's debts and lawsuits.

However, one of the advantages of a corporation over other types of business entities is that a corporate shareholder's exposure to corporate liabilities is not limited to his or her investment in the corporation.

Hence, the answer is D.

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