Jack asked Jill to marry​ him, and she has accepted under one​ condition: Jack must buy her a new ​$340,000 ​Rolls-Royce Phantom. Jack currently has ​$32,260 that he may invest. He has found a mutual fund with an expected annual return of 6.5 percent in which he will place the money. How long will it take Jack to win​ Jill's hand in​ marriage? Ignore taxes and inflation.

Answers

Answer 1

Assuming he invests his $32,260 in a mutual fund with an expected annual return of 6.5 percent, it will take approximately 40.37 years for Jack to accumulate enough money to buy the Rolls-Royce Phantom and win Jill's hand in marriage

To determine how long it will take Jack to accumulate enough money to buy the Rolls-Royce Phantom for $340,000, we can use the concept of compound interest and the future value formula.

The future value formula is given by:

FV = PV * (1 + r)ⁿ

Where:

FV = Future value

PV = Present value (initial investment)

r = Annual interest rate (as a decimal)

n = Number of periods (in years)

In this case, Jack's initial investment (PV) is $32,260, the annual interest rate (r) is 6.5% or 0.065, and he wants to accumulate $340,000 (FV).

We can rearrange the formula to solve for the number of periods (n):

n = log(FV/PV) / log(1 + r)

Substituting the values:

n = log(340,000 / 32,260) / log(1 + 0.065)

Using a logarithmic calculator:

n ≈ log(10.54665) / log(1.065)

n ≈ 1.0235 / 0.0253

n ≈ 40.37

Therefore, it will take approximately 40.37 years for Jack to accumulate enough money to buy the Rolls-Royce Phantom and win Jill's hand in marriage, assuming he invests his $32,260 in a mutual fund with an expected annual return of 6.5 percent.

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Related Questions

Make a list of ten images and associations that come to mind for each of the following items: baseball, vinyl record album, spoon, rubber band.
2. Think of an everyday object of your own. What are its likely connotations? For example, a dog in a car might signal a family vehicle, but a dog also connotes loyalty, "man’s best friend," and dependability. What images and associations are likely with your item? Make a list of as many as you can.
3. Now use your object and list of associations to create an image for another product. Think of the likely connotations your object will have for a certain target market and how such connotations can support a brand image. For example, if your everyday object is a candle, you might choose lingerie for your product, based on a candle’s romantic connotations.

Answers

1. Baseball:

- Baseball bat

- Baseball glove

- Baseball cap

- Baseball diamond

- Pitcher throwing a ball

- Home run

- Stadium

- Hot dogs and peanuts

- Team jerseys

- Baseball cards

2. Vinyl record album:

- Turntable

- Record player

- Vinyl records

- Album cover art

- Needle on the record

- Scratched record

- Nostalgia

- Music collection

- DJ spinning records

- Sound quality

3. Spoon:

- Eating utensil

- Stirring a pot

- Soup spoon

- Measuring spoon

- Ice cream spoon

- Silverware

- Stirring coffee or tea

- Feeding a baby

- Wooden spoon

- Scooping food

4. Rubber band:

- Stretching

- Holding things together

- Office supplies

- Bouncing

- Elasticity

- Securing items

- Shooting rubber bands

- Rubber band ball

- Snapping a rubber band

- Flexibility

5. Everyday object: Smartphone

- Communication

- Internet access

- Social media

- Apps

- Texting

- Phone calls

- Photography

- Navigation

- Entertainment

- Productivity

6. Associations with smartphone:

- Connectivity

- Information at your fingertips

- Convenience

- Accessibility

- Multi-functionality

- Personalization

- Social connection

- Mobility

- Efficiency

- Technology

7. Creating an image for another product: Fitness tracker

- The fitness tracker can be associated with the smartphone's associations of connectivity, accessibility, and personalization.

- It can be marketed as a device that seamlessly integrates with a smartphone, allowing users to track their fitness goals, monitor their health, and receive personalized insights and feedback.

- The connotations of convenience, efficiency, and technology from the smartphone can support the brand image of the fitness tracker, emphasizing its role in helping individuals lead healthier and more active lifestyles.

By leveraging the positive connotations and associations of the smartphone, the fitness tracker can position itself as an essential companion for those who value their health and well-being, while aligning with the target market's preferences for technology-driven solutions.

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6. When Anna uses money to buy her breakfast, she is showing the use of money as a store of value.
Answer:
Reason:
7. The discount rate helps to determine the amount of money banks can create.
Answer:
Reason:
8. If the central bank carries out an open market operationand sellss government securities, the federal funds rate increases and the quantity of money decreases.
Answer:
Reason:
9. If the central banks sells bonds in the open market, net exports will increase.
Answer:
Reason:
10. In the short run, the central bank's actions to fight inflation shift the aggregate demand curve leftward.
Answer:
Reason:

Answers

6. When Anna uses the money to buy her breakfast, she is showing the use of money as a store of value.

Answer: True

Reason: Money serves as a store of value because it allows individuals like Anna to hold wealth in a readily acceptable form. By using money to purchase breakfast, Anna is utilizing it as a means to store her purchasing power for future transactions.

7. The discount rate helps to determine the amount of money banks can create.

Answer: True

Reason: The discount rate set by the central bank influences the cost of borrowing for commercial banks. When the discount rate is lowered, it encourages banks to borrow more from the central bank, increasing the money supply. Conversely, when the discount rate is raised, it becomes more expensive for banks to borrow, limiting their ability to create money.

8. If the central bank carries out an open market operation and sells government securities, the federal funds rate increases and the quantity of money decreases.

Answer: True

Reason: When the central bank sells government securities in an open market operation, it absorbs money from the banking system. As a result, the supply of money in the economy decreases, leading to an increase in the federal funds rate, which is the interest rate at which banks lend reserves to each other.

9. If the central bank sells bonds in the open market, net exports will increase.

Answer: False

Reason: The sale of bonds by the central bank in the open market does not directly impact net exports. Net exports are determined by factors such as international trade flows, exchange rates, and foreign demand for domestically produced goods and services.

10. In the short run, the central bank's actions to fight inflation shift the aggregate demand curve leftward.

Answer: True

Reason: When the central bank takes action to fight inflation, such as raising interest rates or reducing the money supply, it can dampen aggregate demand. This is because higher interest rates discourage borrowing and spending, leading to a decrease in consumption and investment. As a result, the aggregate demand curve shifts leftward, contributing to a decrease in overall economic activity and inflationary pressures.

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What manufacturing strategy that is used when parts and components are pre-produced and waited for the final confirmation of the customer orders before the finished goods are delivered to the customers? What production operations concepts are always practiced together with this manufacturing strategy?

Answers

The manufacturing strategy used when parts and components are pre-produced and waited for the final confirmation of customer orders before delivering finished goods is known as the make-to-order (MTO) strategy. The production operations concepts that are always practiced together with this strategy are customization and agility.

The make-to-order strategy focuses on producing goods based on specific customer orders rather than building up inventory in advance. This approach allows companies to minimize inventory holding costs and reduce the risk of unsold products. Instead, parts and components are manufactured or sourced once a customer order is confirmed, ensuring that the finished goods meet the exact specifications and requirements of each order.

The concepts of customization and agility are essential in the make-to-order strategy. Customization refers to tailoring the products to meet the unique needs and preferences of individual customers. This requires flexibility in production processes to accommodate various customer requirements and specifications. Agility, on the other hand, involves the ability to quickly respond and adapt to changes in customer demands and market conditions, ensuring timely production and delivery of the customized products. By practicing customization and agility, companies can effectively implement the make-to-order strategy and provide personalized products to customers while maintaining operational efficiency.

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An agency has authority to adopt rules that "protect workers in the work environment." The agency adopts a rule
that forbids employers from employing anyone who smokes cigarettes. Is this rule justifiable? Give reasons for or
against.

Answers

An agency has the authority to adopt rules that "protect workers in the work environment." However, the adoption of a rule that forbids employers from employing anyone who smokes cigarettes is questionable.

Let's delve into the reasons for and against the justifiability of this rule.Reasons against the ruleThe rule may be discriminatory towards those individuals who are smokers. While smoking is a harmful habit, it is not an illegal one. Smoking outside of the workplace and during non-work hours should not have any bearing on one's ability to be employed.The rule may violate an individual's right to privacy. Employers may not have the right to intrude on the private lives of their employees. An employer should only have a say in an employee's behavior during working hours or on the premises, not during their personal time.Reasons for the ruleThe rule could be justifiable as it could promote a safer and healthier work environment.

Smoking is not only harmful to the smoker, but it can also be harmful to those who are exposed to second-hand smoke. The rule could protect the health and safety of all workers in the work environment, which is the main goal of the agency's authority to adopt rules to protect workers.In conclusion, while the rule may have some justifiable aspects, it can be argued that it is not fully justifiable. Therefore, the rule needs to be thoroughly evaluated to determine whether it is discriminatory or not and whether it infringes on the individual's right to privacy.

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Pedantic Company uses a job order cost system and applies overhead to production on the basis of direct labor hours. On February 1, 20x2, Job No. 25 was the only job in process. The costs incurred prior to February 1 on job No. 25 were $22,000. Job No. 23 had been completed at a cost of $42,000 and was part of finished goods inventory on February 1. There was a $5,000 balance in the Raw Materials Inventory account. During the month of February, the company began production on Jobs 26 and 27, and completed Jobs 25 and 26. Jobs 23 and 25 were sold on account during the month for $63,000 and $74,000, respectively. The following additional events occurred during the month. 1. Purchased additional raw materials of $45,000 on account. 2. Incurred factory labor costs of $33,500. Of this amount, $7,500 related to employer payroll taxes. 3. Incurred manufacturing overhead costs as follows: indirect materials $11,000; indirect labor $7,500; and various other manufacturing overhead costs on account $4,000. 4. Assigned direct materials and direct labor to jobs as follows. Job No. Direct Materials Direct Labor 25 $ 3,500 $ 3,000 26 15,000 11,400 27 13,500 7000 5. The company uses direct labor hours as the activity base to assign overhead. Estimated total manufacturing overhead costs were $420,000, total estimated direct labor costs were $300,000, and total estimated direct labor hours were 30,000 for the year. The beginning balance in the Manufacturing Overhead account is $12,000 of actual cost. Actual direct labor hours incurred on each job were as follows: Job No. 25, 200; Job No. 26, 450; and Job No. 27, 500 Using the information above, calculate and match each answer below: (a) Predetermined Overhead Rate: $14 / DLH (b) Cost of Goods Manufactured: (c) Ending balance in Work In Process Inventory: (d) Cost of Goods Sold in February (e) Total Job Cost of Job 25: (1) Manufacturing Overhead cost assigned to Work in Process Inventory during the month: (g) Ending balance in Manufacturing Overhead: (h) Total Job Cost of Job 27: - (i) Manufacturing Overhead at the end of the month is • -applied (1) Beginning balance in the Work In Process Inventory account: .

Answers

Predetermined Overhead Rate = $420,000 / 30,000 DLH Predetermined Overhead Rate = $14 / DLHTherefore, the predetermined overhead rate is $14 / DLH.

The estimated cost of overhead for each unit of production is the predetermined overhead rate. A predetermined overhead rate is calculated by dividing the total expected overhead costs for the coming period by the estimated base, which can be labor or machine hours or direct labor costs.The formula for the predetermined overhead rate is as follows:Estimated total manufacturing overhead cost for the coming period ÷ Estimated total units in the allocation base for the coming period = Predetermined Overhead RateUsing the given information, the calculation of predetermined overhead rate can be shown as follows:Total estimated manufacturing overhead costs for the year = $420,000Total estimated direct labor hours = 30,000Predetermined Overhead Rate = Estimated total manufacturing overhead cost for the coming period ÷ Estimated total units in the allocation base for the coming period. Predetermined Overhead Rate = $420,000 / 30,000 DLHPredetermined Overhead Rate = $14 / DLHTherefore, the predetermined overhead rate is $14 / DLH.

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What are rooms close to each other, perhaps across the hall called? O Adjoining rooms connecting rooms O adjacent rooms O advantage rooms

Answers

Rooms that are close to each other, perhaps across the hall, are commonly referred to as "adjoining rooms" or "adjacent rooms." These terms indicate that the rooms are situated next to each other, typically with a share wall or close proximity.

Adjoining or adjacent rooms are often preferred by travelers who wish to have multiple rooms in close proximity, such as families or groups traveling together. This allows for easier communication and accessibility between the rooms while maintaining some level of privacy. It is worth noting that the term "connecting rooms" can also be used to describe rooms that are joined by a door or hallway, allowing for easy access and movement between the two rooms.

rooms close to each other, perhaps across the hall adjacent rooms

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You purchased 600 shares of common stock on margin at $40 per share and sold them 6 months later at $45. Assume the margin requirement is 80%, interest on margin used is 5%, and commission paid on each transaction is 2%. What is your capital gain on this investment? The capital gain on the investment is $. (Round the final answer to two decimal places. Enter the answer without symbols (ie. if the answer is $1.35 enter 1.35 in the answer box) Assume that at the end of each year for 25 years you deposit $350 into an account earning 6% per year. How much will you have in your account at the end of the 25 year period? (Round the final answer to two decimal places. Enter the answer without symbols (ie. if the answer is $1.35 enter 1.35 in the answer box)

Answers

The capital gain on the investment is $120. At the end of the 25-year period with $350 annual deposits earning 6% interest, you will have approximately $11,063.68 in your account.

How to calculate capital gain and future value of an investment?

To calculate the capital gain on the investment, we need to consider the purchase cost, the selling price, margin requirements, interest on margin, and commissions paid.

Purchase cost:

Number of shares = 600

Purchase price per share = $40

Total purchase cost = 600 * $40 = $24,000

Margin requirement:

Margin requirement = 80%

Margin used = 80% * $24,000 = $19,200

Interest on margin:

Interest rate on margin = 5%

Duration = 6 months = 0.5 years

Interest on margin = $19,200 * 5% * 0.5 = $480

Commissions:

Commission rate = 2%

Total commissions paid = 2% * ($24,000 + $45 * 600) = 2% * ($24,000 + $27,000) = $2,220

Capital gain:

Selling price per share = $45

Total selling price = 600 * $45 = $27,000

Capital gain = Total selling price - Total purchase cost - Interest on margin - Total commissions paid

Capital gain = $27,000 - $24,000 - $480 - $2,220 = $120

Therefore, the capital gain on this investment is $120.

Now let's calculate the amount in the account after 25 years with annual deposits.

Principal deposit:

Principal deposit per year = $350

Interest rate:

Interest rate per year = 6%

Number of years = 25

Using the formula for the future value of an ordinary annuity:

Future value = Principal deposit * [(1 + Interest rate)^Number of years - 1] / Interest rate

Future value = $350 * [(1 + 0.06)^25 - 1] / 0.06

Future value = $350 * (1.06^25 - 1) / 0.06

Calculating this expression, we find:

Future value ≈ $350 * (2.960593 - 1) / 0.06

Future value ≈ $350 * 1.960593 / 0.06

Future value ≈ $11,063.68

Therefore, at the end of the 25-year period, you would have approximately $11,063.68 in your account.

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If Smitty is able to earn 11% compounded semi-annually on his $750 investment, how much money will he have in 40 years? O a. $54,357 O b. $7,979 Oc. $73,825 O d. $48,751 Oe. $89,324

Answers

The correct option is a. $54,357. Given, the principal investment by Smitty = $750, the rate of interest per annum = 11%, and the interest is compounded semi-annually.

To find: How much money Smitty will have in 40 years?

Formula used: A = P(1 + r/n)^(nt), where

A = Amount

P = Principal investment

r = Rate of interest

n = Number of times the interest is compounded per yeart = Number of years

Firstly, we need to find the semi-annual interest rate.

r = 11/100 = 0.11

n = 2 (as interest is compounded semi-annually)t = 40 years or 80 semi-annual periods.

So, the formula for compound interest becomes

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

A = 750(1 + 0.11/2)^(2*40)

A = 750(1.055)^80

A = $54,357.20

Therefore, the correct option is a. $54,357.

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what's 3 insights you found in the article that helped these
companies in leading or participating in,a design thinking project:
Give the" why" behind choosing those insights.

Answers

One of the main insights found in the article that helped these companies in leading or participating in a design thinking project is that design thinking is a human-centered approach to innovation and problem-solving. :

Design thinking involves putting the needs and preferences of the end-users at the center of the problem-solving process. By focusing on the user, companies can create products and services that are more user-friendly, innovative, and effective. Design thinking helps companies to create products and services that are designed for the user from the beginning, which results in more successful products and higher customer satisfaction. The second insight found in the article is that design thinking encourages creativity and collaboration among teams. : Design thinking helps teams to collaborate by providing a framework for generating and testing ideas. Teams can use design thinking to create a shared understanding of the problem they are trying to solve and to identify potential solutions. By working together, teams can generate a wider range of ideas and test them more quickly, which leads to faster innovation and better results.

The third insight found in the article is that design thinking requires an iterative approach. : Design thinking is an iterative process that involves continuous testing and feedback. This approach helps teams to refine their ideas and solutions over time, resulting in more successful products and services. By testing their solutions with real users, teams can identify potential issues and make improvements to the design before the final product is released. This iterative approach helps teams to create products and services that are better aligned with user needs and preferences.

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Partners hold title to firm property by:
Question 8 options:
tenancy in partnership.
tenancy in common.
joint tenancy.
none of the above.

Answers

When partners hold title to firm property by "tenancy in partnership," it means that the property is owned collectively by the partners as a part of their partnership agreement.

This form of ownership is specific to the partnership and does not extend to individual partners outside of the partnership.

Under tenancy in partnership, each partner has an equal and undivided interest in the property. This means that no single partner has exclusive ownership rights to any specific portion of the property. Instead, all partners have joint ownership of the entire property.

Tenancy in partnership is a common form of property ownership for partnerships because it aligns with the principle of shared ownership and decision-making within the partnership structure. It allows partners to use and benefit from the property in the course of their business activities while maintaining a unified ownership structure.

It is important to note that tenancy in partnership is different from other forms of property ownership such as tenancy in common or joint tenancy, which are more commonly associated with individual or multiple owners outside of a partnership arrangement.

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Melissa currently spends all her income and consumes only two goods: apples and bananas. Melissa’s optimal bundle is 10 pounds of apples and 20 pounds of bananas. Apples cost $4 per pound and bananas cost $3 per pound. Which one of the following statements is most consistent with Melissa having chosen optimally?

- Melissa’s budget was $120

- At the optimal level of consumption, Melissa’s marginal utility is 16 utils for apples and 12 utils for bananas.

- At the optimal level of consumption, Melissa’s marginal utility is 8 utils for apples and 9 utils for bananas.

- At the optimal level of consumption, Melissa’s marginal utility is 3 utils for apples and 4 utils for bananas.

Answers

At the optimal level of consumption, Melissa’s marginal utility is 8 utils for apples and 9 utils for bananas.

To determine if Melissa has chosen optimally, we need to compare the marginal utility per dollar spent on each good. The principle of utility maximization states that consumers allocate their income in such a way that the marginal utility per dollar spent is equal for all goods.

In this case, the price of apples is $4 per pound, and Melissa consumes 10 pounds of apples. Thus, she spends $40 on apples. The marginal utility of apples is given as 8 utils.

Similarly, the price of bananas is $3 per pound, and Melissa consumes 20 pounds of bananas. Thus, she spends $60 on bananas. The marginal utility of bananas is given as 9 utils.

To calculate the marginal utility per dollar spent for each good:

For apples: Marginal utility per dollar spent on apples = Marginal utility of apples / Price of apples = 8 utils / $4

= 2 utils per dollar.

For bananas: Marginal utility per dollar spent on bananas = Marginal utility of bananas / Price of bananas = 9 utils / $3

= 3 utils per dollar.

Melissa has chosen optimally because at the optimal level of consumption, the marginal utility per dollar spent on both apples and bananas is not equal. The statement that Melissa's marginal utility is 8 utils for apples and 9 utils for bananas is consistent with her optimal choice.

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eople are served in a process with two resources. The first resource has a capacity of 2 people per minute. The capacity of the second resource is 1.8 people per minute. The first resource has 6 workers and the second resource has 8 workers. One additional worker is hired who is as productive as the current workers. Instruction: Round your answer to three decimal places. What is the new capacity of this process? people per minute

Answers

After calculations we come to know that the new capacity of this process is 28.4 people per minute

Given the following data: Number of workers at first resource = 6

Capacity of first resource = 2 people/min.

Number of workers at the second resource = 8

Capacity of second resource = 1.8 people/min.

The new worker's productivity is the same as the current workers.

In order to find the new capacity of the process, we can use the following formula:

New capacity = (Number of workers at the first resource × Capacity of first resource) + (Number of workers at the second resource × Capacity of second resource) + (Capacity of one additional worker)

We are given the values of all the variables in the formula except the capacity of one additional worker. Since the productivity of the new worker is the same as that of the current workers, we can assume that the capacity of one additional worker is the same as that of one current worker.

Hence, the capacity of one additional worker is 2 people/min. Substituting the values in the formula, we get:

New capacity = (6 × 2) + (8 × 1.8) + 2New capacity = 12 + 14.4 + 2

New capacity = 28.4

Therefore, the new capacity of this process is 28.4 people per minute (rounded to three decimal places).

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Which of the following statements regarding P/E multiple is NOT correct? A firm's high P/E multiple may be attributed to a temporary decrease in its EPS. A firm with lower risk is likely to have a high P/E multiple than a firm with higher risk. A firm's growth potential affects its P/E multiple. All statements are correct. A stock with a high P/E multiple indicates that the stock is overvalued.

Answers

The statement that is NOT correct regarding the P/E multiple is: "A stock with a high P/E multiple indicates that the stock is overvalued."

The P/E (Price-to-Earnings) multiple is a financial ratio used to assess the relative value of a company's stock. It is calculated by dividing the market price per share by the earnings per share (EPS). The P/E multiple reflects investor sentiment and expectations about a company's future earnings.

The first statement is correct because a temporary decrease in a firm's EPS can lead to a higher P/E multiple. Investors may anticipate a rebound in earnings, causing them to value the stock more highly despite the current decrease.

The second statement is correct as well. A firm with lower risk is generally perceived as more stable and reliable, which can attract investors. This increased investor confidence can lead to a higher P/E multiple for the firm compared to a riskier company.

The third statement is also accurate. A firm's growth potential plays a significant role in determining its P/E multiple. Companies with strong growth prospects are often valued more highly by investors, resulting in a higher P/E multiple.

However, the fourth statement is NOT correct. A high P/E multiple does not necessarily indicate that a stock is overvalued. It could suggest that investors have high expectations for future earnings growth, which justifies the higher valuation. A stock's valuation depends on various factors, including market conditions, investor sentiment, industry trends, and company-specific factors, and should not be solely judged based on its P/E multiple.

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Which of the following statements is correct, all else constant?
a Future values are always smaller than present values when both r and t are positive.
b Future values are always equal to present values when both r and t are positive.
c If the rate at which you can invest is 10 percent, the value today of $1 to be received in the future, is less than $1.
d If the rate at which you can invest is 2 percent, the future value of $1 received today, is less than $1.

Answers

The statement is correct is d:   If the rate at which you can invest is 2 percent, the future value of $1 received today is less than $1.

When the rate of investment is positive but lower than 100%, the future value of a dollar received today will be less than one dollar. This is because the investment rate represents the opportunity cost of investing the money, and earning a lower rate means that the value will not grow as much over time. Therefore, the future value of the dollar will be less than the original amount. When the rate of return or interest rate is positive, the present value of a future amount is always less than the face value. In this case, with a 10 percent rate of return, the present value of $1 to be received in the future would be less than $1.

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Jack asked Jill to marry him, and she has accepted under one condition: Jack must buy her a new $330,000 Rolls-Royce Phantom. Jack currently has $67,360 that he may invest. He
has found a mutual fund with an expected annual return of 4.5 percent in which he will place the money. Mow long will it take Jack to win Jills hand in marriage? Ignore taxes and inflation

Answers

Jack will need to invest money for 11.22 years at a 4.5% annual return to amass enough cash to complete Jill's condition and purchase the Rolls-Royce Phantom.

To determine how long it will take Jack to accumulate enough money to buy the $330,000 Rolls-Royce Phantom, we can use the concept of compound interest. The formula to calculate the future value of an investment with compound interest is:

FV = PV * (1 + r)^n

Where:

FV is the future value of the investment

PV is the present value or initial investment

r is the annual interest rate

n is the number of compounding periods

In this case:

PV = $67,360

r = 4.5% or 0.045 (converted to decimal)

FV = $330,000

We need to find the value of n, the number of compounding periods.

330,000 = 67,360 * (1 + 0.045)^n

Dividing both sides of the equation by 67,360:

330,000 / 67,360 = (1.045)^n

Taking the natural logarithm (ln) of both sides:

ln(330,000 / 67,360) = n * ln(1.045)

Using a calculator:

n = ln(330,000 / 67,360) / ln(1.045)

n ≈ 11.22 years

Therefore, it will take Jack approximately 11.22 years of investing at an annual return of 4.5% to accumulate enough money to buy the Rolls-Royce Phantom and fulfill Jill's condition.

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Suppose a stock had an initial price of $87 per share, paid a dividend of $2.15 per share
during the year, and had an ending share price of $98.
a. Compute the percentage total return. (Do not round intermediate calculations and
enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
b. What was the dividend yield? (Do not round intermediate calculations and enter your
answer as a percent rounded to 2 decimal places, e.g., 32.16.)
c. What was the capital gains yield? (Do not round intermediate calculations and enter
your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

Answers

The capital gains yield is 12.64%. To compute the percentage total return, we first need to calculate the total dollar return, which is the sum of capital gains and dividends.

The capital gain per share is:

Ending share price - Initial share price = $98 - $87 = $11

The dividend per share is $2.15.

Therefore, the total dollar return per share is:

$11 + $2.15 = $13.15

To get the percentage total return, we divide the total dollar return by the initial share price and multiply by 100%:

Percentage Total Return = ($13.15 / $87) x 100% = 15.06%

Therefore, the percentage total return is 15.06%.

b. The dividend yield is the dividend per share divided by the initial share price, multiplied by 100%.

Dividend Yield = ($2.15 / $87) x 100% = 2.47%

Therefore, the dividend yield is 2.47%.

c. The capital gains yield is the capital gain per share divided by the initial share price, multiplied by 100%.

Capital Gains Yield = ($11 / $87) x 100% = 12.64%

Therefore, the capital gains yield is 12.64%.

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Farrick and Kenley want to form a business in which they invest money in exchange for stock ownership in their organization. What type of business entity do they wish to form?

Multiple Choice

sole proprietorship

limited liability company

corporation

general partnership

Answers

Farrick and Kenley want to form a business where they can invest money and, in return, own stocks in their organization. The correct option is corporation.

A corporation is an organization with its own legal identity that is distinct from its owners or shareholders. A corporation is often formed to pursue a business venture or a non-profit or charitable cause. It's a legal entity created under the law, making it capable of owning property, entering into contracts, and filing lawsuits.In a corporation, stocks or shares are issued to the investors, making them owners or shareholders of the business. They are entitled to a portion of the profits that the company makes.

Corporations may issue different types of stock, such as common stock and preferred stock. These different types of stocks have different features and can give different types of benefits to the investors. Corporations are required to file annual reports and to hold regular meetings of shareholders.

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a record of the increases and decreases in a specific account is a(n): multiple choice ledger account general ledger

Answers

The ledger account is a record of the increases and decreases in a specific account.

What is Ledger?

The ledger is the principal or primary book of accountancy, and it is divided into various accounts. The accounts are created to record each transaction's financial impact, which helps to identify a company's financial status. In double-entry accounting, a ledger is maintained, and this record shows the transactions of every account maintained by a company. Each transaction of the account is recorded in the ledger and helps to generate financial statements.Ledger account

A ledger account is a record of all the financial transactions of a particular account, including the money that goes in and out of it. It includes all the debits and credits made in a particular account. It records the account name, the date of each transaction, the amount of the transaction, and a brief explanation of the transaction.The ledger account is divided into two sides, debit and credit. Debit refers to the left-hand side of the ledger account, and credit refers to the right-hand side. In every transaction, the debit side should be equal to the credit side.

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Which of the following is not a government purchase?
a.Payment of salaries of staff of the Australian Federal Police (AFP)
b.Government spending on a new freeway.
c.Spending on research and development (R &D) in Universities
d.Disability and pension payments

Answers

The correct answer is c. Spending on research and development (R&D) in Universities.

Government purchases refer to the expenditure made by the government on goods and services to meet the needs of the public sector. Typically, government purchases involve the acquisition of goods and services such as infrastructure, equipment, supplies, and wages for government employees.

Let's break down the options:

a. Payment of salaries of staff of the Australian Federal Police (AFP): This is a government purchase as it involves the expenditure on wages for government employees.

b. Government spending on a new freeway: This is also a government purchase as it involves the expenditure on infrastructure, specifically the construction of a new freeway.

c. Spending on research and development (R&D) in Universities: This is not a government purchase. While governments may provide funding or grants for research and development activities in universities, the spending itself is done by the universities and not directly by the government.

d. Disability and pension payments: This is not a government purchase. Disability and pension payments are transfer payments made by the government to eligible individuals as part of social welfare programs. These payments are considered transfers of income rather than purchases of goods or services.

Therefore, the correct answer is c. Spending on research and development (R&D) in Universities.

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What is the difference between a marketing approach and a sales
approach? Why
is it important to consider? Answer in atleast 100
words

Answers

A marketing approach and a sales approach are two different methods of promoting and selling a product or service to potential customers. A marketing approach is a broader, more strategic approach that focuses on creating brand awareness, identifying target markets, and building relationships with customers.

A marketing approach is designed to create long-term value by establishing a strong brand, building relationships with customers, and creating awareness about products or services. Marketing efforts can include advertising, public relations, content marketing, and social media. By creating a strong brand, businesses can establish themselves as leaders in their industries, and build a loyal customer base over time.

On the other hand, a sales approach focuses on the immediate goal of making a sale. Sales efforts can include cold calling, direct mail, email marketing, and in-person sales presentations. While a sales approach can be effective in the short term, it doesn't necessarily build long-term customer loyalty or brand recognition.

It's important to consider the difference between these two approaches because they require different skill sets and strategies. Businesses need to decide which approach is best suited to their goals and resources. For example, a startup business may need to focus more on a sales approach to establish a customer base quickly. But, a well-established business may benefit more from a marketing approach that focuses on building relationships with customers and creating brand recognition.

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1. A student wants to develop 3-sigma level variable control charts for monitoring firewood length. Due to uneven shape of firewood, length of wood varies. Draw X-bar chart and R-chart. For both charts, calculate UCL, CL and LCL by using the factors provided in the table (standard deviation for process is unknown). Is the process under control? Discuss your finding.
Length in inches from 4 weeks with a sample size of 3 (3 observations each time, n=3) are:

Answers

The X-bar chart and R-chart for monitoring firewood length are drawn using a sample size of 3. However, since the standard deviation of the process is unknown, the UCL, CL, and LCL cannot be calculated accurately.

To construct the X-bar chart and R-chart, we need the standard deviation of the process. However, in this case, the standard deviation is not provided. Without the standard deviation, we cannot calculate the control limits (UCL, CL, and LCL) accurately.

The X-bar chart is used to monitor the central tendency or average of the process, while the R-chart monitors the process variability. Both charts rely on the standard deviation to determine the control limits.

To determine if the process is under control, we typically compare the observed data points to the calculated control limits. If the data points fall within the control limits, the process is considered in control. If the data points exceed the control limits or show a specific pattern, it indicates an out-of-control process.

In this case, since we don't have the standard deviation and cannot calculate accurate control limits, it is not possible to determine if the process is under control based on the X-bar and R-charts alone. To evaluate the process control, it would be necessary to obtain the standard deviation or additional data to calculate the control limits accurately and analyze the stability of the process.

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This test 25 po This question Sports poble Radovilsky Manufacturing Company, in Hayward, California, makes flashing lights for toys. The company operates a production city 30 days your stor has the capability of producing 05 per day Setting up the light production costs $51 The cost of math light is 50.06. The holding costs 100 light payou a) What is the optimal size of the production nun? b) What is the average holding cost per year? S c) What is the average setup cost per year? S d) What is the total cost per year, including the cost of the lights? 5 (round your response to two decimal places) units (round your response to the nearest whole number) (round your response to two decimal places) (round your response to two decimal places Submit test Radovilsky Manufacturing Company in Hayward, Californ, makes fang igs for tys. The company has the capability of producing 95 per day Setting up the light production cos 151. The ot of each p a) What is the optimal size of the production run? units (round your response to the nearest who under b) What is the average holding cost per year?(round your response to twie decimal places (round your response to two decimal places c) What is the average setup cost per year? S d) What is the total cost per year, including the cost of the lights?(round your response to heo decimal places 35 Radovilsky Manufacturing Company, in Hayward, California, makes flashing lights for toys. The company operates in production facity 200 has the capability of producing 95 per day. Betting up the light production costs $51. The cost of each light is $0.95 The holding onds 50 Y0 per light you a) What is the optimal size of the production run? b) What is the average holding cost per year? S c) What is the average setup cost per year? S d) What is the total cost per year, including the units (round your response to the nearest whole number (round your response to two decimal places (round your response to two decimal places) cost of the lights?(round your response to two decimal places)

Answers

a) The company operates a production city 30 days your stor has the capability of producing 05 per day, Setting up the light production costs $51. The cost of math light is 50.06. The holding costs 100 light payou The optimal size of the production run is  4423 units.

The optimal size of the production run is calculated as follows:

Optimal production run size = √((2DS) / H)

where:D = demand rate

S = cost to setup production

H = holding cost per unit per year

Here,D = 30 x 25 = 750S = $51H = $0.10

Optimal production run size = √((2 x 750 x $51) / $0.10)= 4422.62≈ 4423 units (rounded to the nearest whole number)Therefore, the optimal production run size is 4423 units.)

b. The average holding cost per year is given by:

Holding cost per year = (Q / 2) x H

where:

Q = optimal production run size

H = holding cost per unit per year

Here,Q = 4423H = $0.10

Holding cost per year = (4423 / 2) x $0.10= $221.15≈ $221.2 (rounded to two decimal places)

Therefore, the average holding cost per year is $221.2.)

c. The average setup cost per year is given by:

Setup cost per year = (D / Q) x S

where:

D = demand rate

Q = optimal production run size

S = cost to setup production

Here,D = 30 x 25 = 750Q = 4423S = $51

Setup cost per year = (750 / 4423) x $51= $8.64≈ $8.6 (rounded to two decimal places)Therefore, the average setup cost per year is $8.6)

d) The total cost per year, including the cost of the lights is given by:

Total cost per year = Holding cost per year + Setup cost per year + Cost of lights per year

where:

Cost of lights per year = D x P

where:D = demand rate

P = cost of each light

Here,D = 30 x 25 = 750P = $0.95

Cost of lights per year = 750 x $0.95= $712.5≈ $712.5 (rounded to two decimal places)

Therefore,Total cost per year = $221.2 + $8.6 + $712.5= $942.3≈ $942.3 (rounded to two decimal places)The total cost per year, including the cost of the lights is $942.3.

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infectious mononucleosis is a specific viral infection (with the epstein-barr virus) in which there is an increase of white blood cells.

Answers

Infectious mononucleosis, caused by the Epstein-Barr virus, is a viral infection characterized by an increase in white blood cells, specifically lymphocytes.

The type of mutation depicted in your statement is not clear as it describes a medical condition rather than a mutation. Infectious mononucleosis, caused by the Epstein-Barr virus, is an infectious disease that primarily affects the lymphatic system and leads to an increase in the number of white blood cells, specifically lymphocytes, in the body. However, it does not involve a mutation in the genetic material of the affected individual. It is important to note that mutations typically refer to alterations or changes in the DNA sequence of an organism's genome.

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Which of the following is NOT an example of a security? A) preferred stock B) municipal bond C) Treasury bills D) All are examples of a security.

Answers

Municipal bond, and Treasury bills are all examples of securities except Preferred Stock. Hence option A is correct. A security refers to an investment that is transferable and can be traded. Securities can take the form of equity or debt and may offer the investor some type of financial return.

Securities, on the other hand, can come in a variety of shapes and sizes, from common stock to Treasury bonds. Municipal bond, and Treasury bills are examples of securities. Security refers to the following types of instruments, but preferred stock is not one of them, a type of bond issued by a municipality is a municipal bond. Because municipal bonds have a lower risk of default, they are often used to fund municipal projects.Treasury bills are a type of short-term government security that is issued by the United States government. Treasury bills, also known as T-bills, have a maturity of one year or less and are typically sold at a discount.Meanwhile, preferred stock is a hybrid security that has features of both debt and equity. Preferred stockholders have a higher priority claim to dividends and assets than common stockholders, but they do not have voting rights.

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Your firm is considering the purchase of a new computer-based order entry system with a total installed cost of $378,600. You will be able to reduce net working capital by $22,000 at the start-up of the project (t=0). Working capital will revert back to normal at the end of the project. The system will be depreciated (to zero) using straight line depreciation over the project's five-year economic life. The system will be worth $25,000 at the end of that time. You will save $118,000 before taxes each year in order processing costs (expenses) [i.e., cash expenses will decline by $118,000 per year.]. The company's tax rate is 20% and they have a required rate of return of 12.5%.
(a) What is the initial investment for this project?
(b) What is the year-1 operating cash flow for this project?
[Be sure to label what you enter as the "Initial Investment" and also what you enter as the "Yr-1 OCF" so that these two answers cannot be confused.]

Answers

The company's tax rate is 20% and they have a required rate of return of 12.5%. Then 2018 budget: Supervisor $41,200, Wages $130,000, Depreciation $2,000, Supplies $8,000. Total: $181,200.

(a) The budget for 2018 includes a supervisor's salary of $41,200, hourly worker wages of $130,000, depreciation of $2,000, and consumable supplies of $8,000, resulting in a total budget of $181,200.

(b) Conducting a variance analysis, the actual costs for 2018 were $203,700, matching the variable budget of $203,700. However, the master (static) budget was set at $180,000, resulting in a variance of $23,700. The supervisor's salary and benefits were lower than budgeted at $37,500, while hourly worker wages were higher at $153,000. Depreciation amounted to $2,400, and consumable supplies totaled $10,800. The total variance reflects the difference between actual expenditures and the master budget, indicating that the maintenance department spent $23,700 more than initially planned.

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Which type of tax raises the most revenue for the federal government? A. Excise taxes. B. Social insurance taxes. C. Individual income taxes. D. Corporate income taxes. E. Property taxes.

Answers

C. Individual income taxes raise the most revenue for the federal government.

Individual income taxes (Option C) generally contribute the largest portion of revenue for the federal government. These taxes are levied on the income earned by individuals and households, and they are typically progressive, meaning that higher-income individuals pay a higher percentage of their income in taxes. The progressive nature of individual income taxes allows the government to generate significant revenue from those with higher incomes. On the other hand, excise taxes (Option A) are levied on specific goods and services, such as tobacco and gasoline, and while they contribute to government revenue, they tend to be a smaller portion compared to individual income taxes. Social insurance taxes (Option B) fund specific programs like Social Security and Medicare, and although they are important sources of revenue, they are not typically as significant as individual income taxes. Corporate income taxes (Option D) are levied on the profits of corporations, and while they can generate substantial revenue, they are often not as high as individual income taxes. Finally, property taxes (Option E) are assessed on real estate and vary at the state and local levels, but they generally do not contribute as much to federal revenue compared to individual income taxes.

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You are offered two different investments, A and B, with identical terms, except the interest rates are different. A has a rate of 6 percent compounded monthly and B has a rate of 5.9 percent compounded weekly. Investment _____ is better because _____.
A) A; the annual percentage rate is higher.
B)A; the effective annual rate is 6.17%.
C) B; the effective annual rate is 6.07%.
D) B; the interest is compounded more frequently.

Answers

The correct answer is: C) B; the effective annual rate is 6.07%.

Investment B is better because it has a higher effective annual rate of 6.07% compared to the effective annual rate of 6.00% for Investment A. The effective annual rate takes into account the compounding frequency and reflects the true annual interest rate. Since Investment B is compounded weekly, it results in slightly higher overall returns compared to Investment A, which is compounded monthly. Therefore, the higher effective annual rate makes Investment B the better choice. In this case, even though Investment A has a slightly higher nominal interest rate, the more frequent compounding of Investment B results in a higher effective annual rate, making it the better investment option.

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Sarah is a very good chef and had a long experience in the food industry. Nora wants to partner with Sara and to establish a company to sell cupcakes and cookies to consumers. Sara and Nora signed a contract according to Saudi company law procedures. On the company contract Nora provides a working capital of (SR 200,000) and both parties agreed that Nora share is equal to (50% of the capital). However, after a few months Sarah felt tired and wanted to leave the business, so she told Nora that she had no intention to join her anymore.
according to Saudi law, it is legal for Sara not to pay a capital in money? explain why?
If on the contract, Sara and Nora agreed that Nora is the only one who’s liable in all her own money to cover the company debt. what would be the type of company they need?
How would you classify Sarah’s claim to leave the company? is it right? Why
In case Sara and Nora did not want to register the company or have address for it? Is this acceptable under the Saudi law explain?

Answers

Saudi company law, it is not legal for Sara to not contribute capital in the form of money if it was agreed upon in the contract. When establishing a company, partners are generally required to contribute capital, either in cash or other forms of assets, to the business. By signing the contract and agreeing to provide a working capital of SR 200,000, Nora expects Sara to fulfill her obligation to contribute her share of the capital.

If Sara and Nora agreed in the contract that Nora is the only one liable for covering the company's debts with her own money, this indicates that they may be establishing a partnership with limited liability. In this type of company, called a Limited Liability Partnership (LLP), the liability of each partner is limited to the extent of their capital contribution. This means Sara would not be personally liable for the company's debts beyond her agreed capital contribution.

Sarah's claim to leave the company can be classified as a desire to terminate the partnership or withdraw from the business. Whether her claim is considered right or not would depend on the specific terms and conditions mentioned in the partnership agreement or contract they signed. If the agreement includes provisions for terminating the partnership or withdrawing from the business, Sarah may have the right to do so as long as she follows the procedures outlined in the agreement.

Under Saudi law, it is not acceptable to operate a business without registering the company and having a registered address. It is mandatory to register a company with the relevant authorities and comply with the legal requirements for operating a business. Having a registered address is essential for legal and administrative purposes, such as taxation, licensing, and communication with government agencies. Operating a business without proper registration and an address would be a violation of the law and can lead to penalties and legal consequences.

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An economy is described by the following equations: Desired consumption: C^d= = 150+ 0.5(Y-T) - 500r. Desired investment: I^d = 110-500r. Government purchases: G = 80. Government taxes: T = 110. Real money demand: L = 0.5Y - 1050r. Nominal money supply: M = 1,290. Full-employment output: Y = 500. Assume that the expected inflation rate is zero so that money demand depends on the real interest rate. Find the equation for the IS curve (report your coefficients with one decimal place): Y=__ -__ r.

Answers

To find the equation for the IS curve, we need to equate output (Y) to desired consumption (C^d), desired investment (I^d), and government purchases (G).

The equation for the IS curve can be derived as follows:
Y = C^d + I^d + G
Substituting the given equations for C^d, I^d, and G, we have:
Y = (150 + 0.5(Y - T) - 500r) + (110 - 500r) + 80
Simplifying the equation, we can express it in terms of Y and r:
Y = 150 + 0.5Y - 0.5T - 1000r + 110 - 500r + 80
Combining like terms, we get:
Y = 340 + 0.5Y - 0.5T - 1500r
Since T = 110, we can substitute it into the equation:
Y = 340 + 0.5Y - 0.5(110) - 1500r
Simplifying further:Y = 340 + 0.5Y - 55 - 1500r
Moving 0.5Y to the left side and rearranging, we obtain:
0.5Y - Y = -285 - 1500r-0.5Y = -285 - 1500r
Multiplying both sides by -2, we get:Y = 570 + 3000r
Therefore, the equation for the IS curve is:Y = 570 + 3000r
The coefficients of the equation are 570 and 3000.


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Adjusting entries for customer refunds, allowances, and returns Swartz Company had sales of $7,800,000 and related cost of goods sold of $4,500,000 for its first year of operations ending December 31,

Answers

Adjusting entries for customer refunds, allowances, and returns are typically made at the end of an accounting period to ensure that the company's financial statements accurately reflect these transactions.

For Swartz Company with sales of $7,800,000 and related cost of goods sold of $4,500,000 for its first year of operations ending December 31, the adjusting entries for customer refunds, allowances, and returns are as follows

Debit: Sales Returns and AllowancesAccount: $XX.XXCredit: Accounts ReceivableAccount: $XX.XX

This entry is made to reflect the anticipated amount of sales returns and allowances that the company is expected to issue based on historical data.Cost of Goods SoldAccount: $XX.XXDebit: InventoryAccount: $XX.XX

This entry is made to account for any inventory that is expected to be returned and to adjust the cost of goods sold accordingly. This is done to ensure that the company's net income is accurately stated on its financial statements.

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