The rate being used is the spot exchange rate.
The spot exchange is the current exchange rate between two currencies is a spot rate in foreign exchange. It is the price that must be paid in order to finalise a currency exchange immediately. The spot exchange rate is determined by the forex market, and some nations actively control or influence this rate through tools like currency pegs. Trading opportunities in the spot market and futures, forward, and options markets are found by currency traders by monitoring spot rates.
In the given case the amount was converted at the given rate at that time. It was the price that Brittany would have paid in one currency to buy another currency at that time. This is why the deviation came in the total amount during currency exchange.
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g which comes closest to the future value of $825 to be received at the end of 5 years, if the amount earns an annual interest rate of 7% and is compounded 52 times per year?
The amount that will be paid at the end of five years for the future value of $825, if it yields 7% annual interest and is compounded 52 times a year, is $1,170.46.
Write a brief note on Compound interest.Compound interest, also known by the names of interest on principal and interest, is the practice of adding interest to the principal amount of a loan or deposit. In the fields of finance as well as economics, compound interest is common.
Compound interest allows interest to accumulate over time as opposed to simple interest, which does not compound because prior interest is not added to the principal for the current period.
To solve the question :
A = $1,170.46
A = P + I where,
P (Principal) = $825.00
I (Interest) = $345.46
To solve the question :
Converting R as a % to r as a decimal :
r = R/100
r = 7/100
r = 0.07 rate per year,
Then solve the equation for A
A = P(1 + r/n)nt
A = 825.00(1 + 0.07/52)(52)(5)
A = 825.00(1 + 0.0013461538461538)(260)
A = $1,170.46
Summary:
The total amount accrued, principal plus interest, with compound interest on a principal of $825.00 at a rate of 7% per year compounded 52 times per year over 5 years is $1,170.46.
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quest manufacturing incurs the following costs per unit: labor $100/unit, materials $50/unit, and rent $100,000/month. if the quest produces 500,000 units a month, calculate the following: a. total variable costs b. total fixed costs c. total costs
Costs per unit for Quest Manufacturing include labor at $100 per unit, supplies at $50 per unit, and rent at $100,000 per month. costs each month $75100000 if the mission produces 500,000 units per month.
Quest Manufacturing is a reputable provider of enclosures and racks and provides supply chain solutions to our partners globally. Quest gives businesses that service the installation of networks, telecommunications, broadcast, security systems, home entertainment, MRO, and OEM products a reliable source of high-quality goods at low prices. A significant provider of connectivity devices to the same areas as those mentioned above, Quest Manufacturing is a division of Quest Technology International.
From our 40,000 square foot Miami plant, both businesses deliver their products to distributors mostly in North and South America. Most data, voice, and audio/video installation needs are covered by Quest Manufacturing's high-quality metal products. Our product line comprises a variety of floor and wall mount racks and enclosures. Our floor enclosures come in assembled and knockdown forms.
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In order for the people to take a fresh look at its brand, the american red cross used a ________ strategy.
In order for the people to take a fresh look at its brand, the American red cross used a brand revitalization strategy
Define brand revitalization strategy.When a product enters the maturity stage of its life cycle and profits have significantly declined, a brand revitalization marketing plan is used. It is an effort to reintroduce the product to the market and protect the customers who are the sources of equity. In a cutthroat industry, brand rejuvenation aids in shattering stereotypes and luring in the intended clientele.
Brand revival is required to address specific problems that damage the company's reputation or frighten customers or employees. It is a marketing tactic that is typically employed when a product reaches the PLC maturity stage and profits begin to rapidly decline as the market becomes saturated. Compared to the introduction of a fully new brand or product, it is less expensive and hazardous.
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on january 1, 2024, the shagri company began construction on a new manufacturing facility for its own use. the building was completed in 2025. the only interest-bearing debt the company had outstanding during 2024 was long-term bonds with a book value of $11,000,000 and an effective interest rate of 8%. construction expenditures incurred during 2024 were as follows: january 1$ 600,000 march 1660,000 july 31540,000 september 30700,000 december 31400,000 required: calculate the amount of interest capitalized for 2024.
The amount of interest capitalized for 2021 is $ 112,000.
If the question clarity is as in the explanation below.
Let's assume that $500,000 on January 1 equals $500,000 in spending.
and March 1600 means that the spending for March 1 is $ 600,000.
& July 31480,000 indicates that the spending for July 31 is $ 480,000.
& September 30600,000 denotes a $ 600,000 expenditure on September 30. December 31.
300,000 meaning the expense as of December 31 is $ 300,000.
Then use the IAS 23 borrowing cost principle for single funding with periodic withdrawal to get the cost capitalised;
Five hundred thousand dollars were drawn down on January 1.
(8% times $500,00x12/12) Equals $40,00 in borrowing costs
Six hundred thousand dollars were taken out on March 1.
(8% × 600,000 X 11/12) = $44,000 in borrowing costs
Four hundred eighty thousand dollars were taken out on July 31.
(8% x 480,00 X 5/12) = $16,000 in borrowing costs
Six hundred thousand dollars were taken in on September 30.
(8% x 600,000 X 3/12) = $12,000 in borrowing costs
Dec. 1 brought in $300,000.
(8% x 300,000 X 0/12) Equals $0 in borrowing costs
$112,000 will be the total capitalised interest in 2021.
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an off-shore windfarm is likely coming to north carolina, and beachfront property owners are concerned about potential property value impacts. to monetize these impacts, one could use the nonmarket valuation technique. select one: a. averting behavior. b. travel cost. c. hedonic. d. contingent valuation.
One could use the hedonic non-market valuation technique to monetize the impacts on property value.
What does monetize mean?Monetization is described as a method through which something is converted into an asset that can generate money.
The hedonic non-market valuation technique is described as a non-market value evaluation method. It attempts to segregate the impact of the non-market features like noise pollution, nearness of properties to beaches, and nearness to a landfill area on an asset or any property.
It can e concluded that one could use the hedonic non-market valuation technique to monetize the impacts on property value.
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your company just received its bank statement, which indicates that the balance is $4,950. the cash balance in your books is, however, $5,250. you know as well that there is an nsf check for $300, which was returned with the bank statement, and which explains the difference. to reconcile the bank statement with the cash balance in your books, you should...
The difference. is to reconcile the bank statement with the cash balance in your books Reduce the bank statement by $300.
A bank statement is an official summary of all financial transactions made for each bank account that a person or business has with a financial institution within a specific time period. These statements, which are created by the financial institution, are numbered and reflect the time period they cover.
Other details relevant to the type of account, including the sum due by a certain date, may also be included. The commencement date of the next statement period is normally the day after the previous statement period has ended.
The consumer frequently uses bank statements to track cash flow, look for potential fraud, and execute bank reconciliations. Bank statements are significant records that must often be kept for audit and tax purposes.
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you are a speculator who sells a call option on swiss francs for a premium of $.06, with an exercise price of $.64. the option will not be exercised until the expiration date, if at all. if the spot rate of the swiss franc is $.69 on the expiration date, your net profit per unit, assuming that you have to buy swiss francs in the market to fulfill your obligation, is: group of answer choices
Net profit per unit assuming that you have to buy swiss francs in the market to fulfill your obligation will be $.01
The computation of the net profit per unit is given below:
= Exercise price + Premium - Spot rate on the expiration date
= $0.64 + $0.06 - $0.69
= $0.01
Net profit divided by the number of units sold = net profit for the time period.
To calculate how much of the selling price you ultimately keep, compare your net profit per item to the price at which you sell each item.
In order to determine the genuine value per unit, we added the premium and subtracted the spot rate on the expiration date from the exercise price.
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The complete question is:
You are a speculator who sells a call option on Swiss francs for a premium of $.06, with an exercise price of $.64. The option will not be exercised until the expiration date, if at all. If the spot rate of the Swiss franc is $.69 on the expiration date, your net profit per unit is:
a.-$.02.
b.-$.01.
c. $.01
d. $.02
e.None of the above.
how does jack first get lydia to actually meet parry in the fisher king? group of answer choices convincing her she had won a special promotion for a video rental membership staging an elaborate song and dance routine at a crowded train station tricking her into visiting parry's part of town buying her a gift card to a local chinese restaurant parry likes
Jack tricked Lydia into visiting Parry's part of town to meet him (option C).
What is the Fisher King?The Fisher King is the name of a 1991 American film, which refers to the Arthurian legend of the Fisher King and the Holy Grail. She was awarded several film awards, both American and international.
What is the movie about?The film is about successful radio host Jack Lucas who, on one of his radio shows, causes a listener to murder seven people in a bar and take his own life. From that moment, Jack's life changes completely and his career goes downhill and he tries to take his own life. However, he is saved by a mentally challenged drifter named Parry, who claims to be a medieval knight in search of the Holy Grail. Now, Jack has a second chance to pick up his life and help his new friend.
how does jack first get lydia to actually meet parry in the fisher king?According to the movie, Jack Lucas tricks Lydia into visiting Parry's neighborhood to meet him (option C).
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features are a competitive tool for differentiating a company's product from competitors' products. which question are companies least likely to ask in a survey of buyers regarding product features?
Product - How much would (a certain new feature) be worth to you
What is product?
A product is anything that is offered to a market in order to satiate a customer's need or desire. In marketing, a product is an item, system, or service that is made available for consumer use in response to consumer demand. Products are frequently referred to as merchandise in the retail sector, and they are purchased as raw materials in the manufacturing sector before being sold as finished goods. A type of product that is also considered is a service. The most common types of commodities are raw materials like metals and agricultural goods, but they can also include anything that is widely available on the open market. In project management, products are the formally defined project deliverables that comprise or assist in achieving the project's goals.
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Complete Question
Features are a competitive tool for differentiating a company's product from competitors' products. Which question are companies LEAST likely to ask in a survey of buyers regarding product features?
A) Which features could we add to improve the product?
B) Which specific features of the product do you like most?
C) How much would (a certain new feature) be worth to you?
D) Which features of the product do you like the least?
E) How do you like the product?
which of the following statements about finance, accounting, or financial management is most correct? group of answer choices a. accounting is of no value in decision making. b. accounting provides the theory and concepts necessary to help managers make better decisions. c. financial management involves the measurement, in financial terms, of operational events that affect the resources and financing of an organization. d. the primary role of finance is to plan for, acquire, and use resources to maximize the efficiency (and value) of the enterprise. e. financial management is of no value in decision making.
D) The main responsibility of finance is to plan for, acquire, and use resources to increase the enterprise's productivity (and value).
How should finances be managed?Financial management, to put it simply, is the area of business that deals with allocating the available financial resources so as to maximize business success and return on investment (ROI). Professionals in financial management organize, plan, and manage all business transactions.
They concentrate on finding the capital, whether it comes from the entrepreneur's initial investment, debt financing, venture capital, public offering, or any other sources. Professionals in financial management are also in charge of allocating funds in an efficient manner to support the organization's overall financial stability and expansion.
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a receipt issued at the time of application upon the payment of premium that provides coverage effective as of the date of the application or medical exam, as long as the policy is issued as applied, is referred to as a:
Life, health, and some types of property insurance contracts include a conditional receipt; if the insured is thought to be covered by the insurer, coverage starts on the day the insured receives the conditional receipt.
What is Conditional Receipt?
Contracts for life, health, and specific types of property insurance include a conditional binding receipt.When the insured receives the conditional binding receipt, if the insurer determines they are covered, coverage starts.Without a conditional binding receipt, a life and health insurance policy is not valid until it is delivered to the insured and the payment is paid.A conditional receipt and a binding receipt can serve the same purpose as a conditional binding receipt, although they serve different purposes.A conditional binding receipt stipulates that coverage will be in effect from the date of application or medical examination if a premium is submitted with the application, as long as the insurer would have granted the coverage based on the premium.To know more about Conditional Receipt visit:
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which of the following are included in research and development costs? (select all that apply.) multiple select question. general and administrative expenses for the company salaries of researchers allocation of indirect costs related to research materials used in the lab
general and administrative expenses for the company salaries of researchers allocation of indirect costs related to research materials used in the lab are included in research and development costs.
Costs associated with research and development are all outlays made by a company to learn about novel goods, technologies, processes, and ideas. They consist of any expenses that are specifically related to improving a business's operations, such as the caliber of its goods, the production process, and customer service.
The principal techniques for recovering such costs are as follows: As a function of production, research and development expenses can either be recovered through general overhead rates that regard them as overhead costs or directly added to the cost of goods sold of particular items.
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knowing that even the most sophisticated techniques of analysis cannot make up for poor data, the researcher must attempt, however, to choose a survey method that achieves the client's budget restrictions and resources. true false
This Statement is False.
Working with algorithms, mathematical analysis tools, and software are frequently used in quantitative data analysis methodologies to modify data and unearth insights that show the commercial value.
The 5 methods for performing statistical analysis
Mean.Standard deviation. Regression.Hypothesis testing.Sample size determination.1. Mean: By dividing the sum of the all numbers of in the given data set by the entire number of numbers.
2. Standard deviation: The degree of data dispersion from the mean is indicated by the standard deviation.
3. Regression: A dependent variable is connected to one or more independent variables using the statistical method of regression.
4. Hypothesis testing: A type of statistical inference known as hypothesis testing uses data from a sample to make inferences about a population parameter or population probability distribution.
5. Sample size determination: A type of statistical inference known as hypothesis testing uses data from a sample to make inferences about a population parameter or population probability distribution.
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a state government establishes an investment pool and invites local governments to participate. it is not governed by a formal trust agreement. which fund of the state government would report balances contributed by the local governments?
The custodial fund of the state government would report balances contributed by the local governments.
Fiduciary operations that are not required to be recorded in pension (and another employee benefit) trust funds or private-purpose trust funds are reported using custodial funds. In contrast to a Private Purpose Trust fund, Custodial Funds do not have a formal trust agreement.
Custodial funds are sums that a government holds on behalf of another government in order to bill and collect taxes and/or fees. The inflow and outflow of these collections have often been recorded in a general fund or agency fund's balance sheet accounts.
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If a company using competitive pricing sets its prices higher than its competitors, it should offer extra Blank Space __________.
Answer:
It should offer extra Features
what is the best ordering of steps for producing a commercially successful industrial microbiological product? choose one: a. develop a business plan, identify a product, isolate the microbial source, perform safety and efficacy tests, scale up production b. identify a product, isolate the microbial source, scale up production, develop a business plan, perform safety and efficacy tests c. isolate the microbial source, identify a product, scale up production, develop a business plan, perform safety and efficacy tests d. identify a product, develop a business plan, isolate the microbial source, scale up production, perform safety and efficacy tests
The best ordering of steps for producing a commercially successful industrial microbiological product is . identify a product, isolate the microbial source, scale up production, develop a business plan, perform safety and efficacy tests
Option B is correct.
What are the products of industrial microbiology?Industrial Microbiology is actually a branch of applied microbiology in which microorganisms are used for the production of necessary substances, like antibiotics, food products, enzymes, amino acids, vaccines, and fine chemicals.
Why is industrial microbiology important?The importance of industrial microbiology is the production of new drugs synthesized in a specific organism for certain medical purposes. Production of antibiotics is important for the treatment of many bacterial infections.
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craig decides to purchase a property that has been valued at $475,000. he has $80,000 available as a deposit and will require a mortgage for the remaining amount. the bank offers him a 25 year mortgage at 2% interest. calculate the total interest he will pay over the life of the loan, assuming he makes monthly payments. give your answer in dollars to the nearest ten dollars. do not include commas or the dollar sign in your answer.
The total interest he will pay over the life of the loan, assuming he makes monthly payments is:
Solution-
Property value = $425000
Down payment = $80000
interest rate: 2%
Time = 25 years
loan amount = 475000 - 30000
=395000
formula- monthly payment= loan*I/n /1 -(1+i/n)-nt
where n =no.of compounding pan year
monthly payment=395000*0.02/12/1-(1+0.02/12)-12*25
= 658.3333/1-0.60678315
= 1674.22 ans.
Interest is the charge you pay for borrowing cash from a lender. That approach you might not simply pay lower back the cash you borrowed. You'll additionally pay lower back a further sum, that is the hobby at the mortgage. Lenders take unique methods to charging hobby.
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15. this question is based on patnode inc.'s balance sheets at year end 2014 and 2015. during 2015, patnode announced and paid dividends of $1,000, the only dividend-related activity during the year. what was its 2015 net income? $5,600 $3,600 $4,600 cannot be estimated
In 2015, Patnode announced and paid dividends of $1,000, the only dividend-related activity during the year is
Net income = Retained earnings, ending + Dividend paid - Retained earnings, beginning
= 38,600 + 1,000 - 34,000
= $5,600
Clearly positioned, dividends are a manner for corporations to share their income with investors. Agencies can use dividends to reward buyers and trap them to stick around. However, for a corporation to percentage profits with traders, it needs to without a doubt have profits to share.
They are paid out of the earnings and earnings of the organization. Dividends can be categorized both as normal or certified. Whereas ordinary dividends are taxable as ordinary earnings, qualified dividends that meet sure requirements are taxed at decreased capital advantage rates.
The short solution is “yes”. With an excessive financial savings price, sturdy investment returns, and an extended enough time horizon, this could cause unexpected wealth in the end. For plenty of traders who are just starting out, this may appear to be an unrealistic pipe dream.
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\the campaign the brownstein group created for its client provided awareness and knowledge of the new product. this is an example of the model. a. hierarchy of effects b. advertising campaign c. carryover effects d. means-end chain
This campaign is an example of the model is carryover effects.
What is carryover effect?The transfer of undesired substance from one container or combination to another is referred to in clinical chemistry as the "carryover effect." The impact of one sample on a subsequent one is described. It might have come from a sample, reagent, or even the washing media. The importance of carry over is that even a tiny amount might produce inaccurate findings.
For clinical chemistry and immunochemistry analyzers, carryover experiments are frequently performed to assess and validate carryover effects. An automated analyzer's pipetting and washing systems are built to alternate between aspirating patient specimens and cleaning in a continuous cycle.
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the sales force of woidtke, inc., generated $200,000 of orders in june. these orders were shipped in july, and payment from the customer was received in august. sales commissions related to these orders and sales were paid in september. in which month should sales commission expense be recognized?
In June, woidtke, Inc.'s sales force generated $200,000 in orders. These orders were shipped in July, and the customer's payment was received in August. In September, sales commissions on these orders and sales were paid. Sales commission expense for the month of July.
What is payment?Customer Payment refers to the money a customer sends to a retailer or IDT in order to buy a product or fund or recharge a customer account. A payment is defined as the voluntary tender of money or its equivalent or of valuable things by one party to another in exchange for goods or services provided by them or to fulfill a legal obligation. The party making the payment is known as the payer, while the party receiving the payment is known as the payee. Compensate, indemnify, recompense, reimburse, remunerate, repay, and satisfy are some synonyms for pay. While all of these words mean "to give money or its equivalent in exchange for something," pay implies the fulfillment of an obligation.
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Which costing system charges products only with the costs of the capacity used by those products and not with the cost of unused capacity?.
Costing system charges products only with the costs of the capacity used by those products and not with the cost of unused capacity - activity-based.
What is Costing system?
A costing system is intended to track a company's expenses. The system consists of a collection of forms, procedures, controls, and reporting that are designed to gather and report income, costs, and profitability to management. Customers, departments, buildings, processes, goods & services, research and development and sales regions are all examples of areas that might be reported on. Because costing system reports are intended voor internal use, they are not subject to the disclosure rules of any accounting framework, such as GAAP or IFRS. Instead, management can choose which sorts of information to see, which to disregard, and how the results should be structured and distributed for consumption.
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an assembly line requires two components: gadjits and widjits. gadjits are produced by center 1 and widjits are produced by center 2. each unit of the end item, called a jit-together, requires 3 gadjits and 2 widjits. the daily production quota on the assembly line is 900 jit-togethers. the container for gadjits holds 90 units. the policy variable for center 1 is set at 0.04. the average waiting time for a container of gadjits is 0.07 day, and 0.07 day is needed to produce a container. the container for widjits holds 50 units, and the policy variable for center 2 is 0.07. the average waiting time per container of widjits is 0.12 day, and the time required to process a container is 0.26 day. how many containers are needed for gadjits? and how many containers are needed for widjits?
Policy variable - For (A) we need 5 containers and for (B) 15 containers are needed for gadjits and widjits.
Now, we can use the formula for N to answer a. and b.
A) N = 850*3*(0.08+0.05)*(1+0.05)/75 = 4.64 or 5 containers (round to next whole number)
B) N = 850*2*(0.15+0.19)*(1+0.09)/45 = 14.00044 or 15 containers (round to next whole number)
What is Policy variable?
A policy variable is the variable that, in theory, might be fixed as an independent factor by a policymaking actor (the government), but is instead set based on known economic conditions. The best-known example under existing institutional structures is the brief policy rate. A central bank might set the policy rate at the a fixed value (e.g., 0%) in perpetuity, but the common practise is for a committee to decide the rate at periodic meetings. (There were historical instances when policy rates were practically fixed, notably as during and soon after World War II in the United States.) It should be noted that even when the policy rate is fixed, there could be risk-free products traded whose interest rates deviate from those targets.
Number of containers = N = D*T*(1+A)/C
Here,
D = demand. Given that total demand is 850. The demand for gadjits is 850*3 and widjits is 850*2
T = cycle time. The cycle time for gadjits is 0.08 + 0.05 day. Similarly the cycle time for widjits is 0.15 + 0.19 day.
A = allowance for error. In this case gadjits has policy allowance of 0.05 and widjit has 0.09
C = capacity. The capacity for gadjits is 75 units and for widjits is 45 units
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if a firm has equity equal to $50, and a debt to equity ratio of 1.5, what is the value of the firm's assets? (do not include $ sign) selected answer: 125
DE Ratio = total liability / equity
1.5 = total liability / 50
total liability = 75
therefore, assets = 75
A financial indicator called the debt-to-equity ratio reveals how much shareholder equity and debt were used to finance a company's assets. Leveraging and the ratio, which is often called risk, gearing, or leverage, are closely connected concepts.
The debt-to-equity (D/E) ratio, which measures a company's financial leverage, is determined by dividing its total liabilities by the value of its shareholders. The D/E ratio is a crucial indicator in corporate finance.
Though it varies by business, a debt-to-equity ratio of approximately 2 or 2.5 is generally regarded as favorable. This ratio indicates that for every dollar invested in debt, the firm obtains about 66 cents, with the remaining 33 cents coming from equity.
The debt-to-equity (D/E) ratio shows how much debt a company has. A high D/E ratio is regarded as risky by lenders and investors since it suggests that the company is financing a substantial amount of its projected expansion through borrowing.
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ilsa will deposit $1,000 at the end of each year for 6 years. assuming a 10% rate of interest, how much will ilsa have in the bank at the end of year 6? round your answer to the nearest dollar.
Based on the amount that Lisa will deposit at the end of each year, the amount in the bank after 6 years elapses would be $7,715.61
How to find the amount invested in the bank?Lisa will deposit $1,000 which is a constant amount, for the next six years. This means that amount is an annuity because annuities are specific amounts that are deposited over a certain number of years.
The amount that will be in the bank at the end of year 6 is the future value of the annuity which can be found by the formula:
= Annuity x ( ( 1 + rate) ^ number of years - 1) / rate
Solving for the amount that Lisa will have after six years gives:
= 1,000 x ( ( 1 + 10%) ⁶ - 1) / 10%
= 1,000 x ( (1.10⁶) - 1) / 10%
= $7,715.61
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based on the weight of the consumer price index (cpi), the price of rental housing increases by 15 percent and that of owned housing by 5 percent. during the same year, the price of gasoline falls by 22 percent. we can say that
It is anticipated that the CPI would increase during the mentioned year, assuming all other variables remained same.
The month change in prices paid by American consumers is tracked by the Consumer Price Index (CPI). The CPI is calculated by the Bureau of Labor Statistics (BLS) as a weighted sum of prices for a selection of products and services that is indicative of total consumer spending in the United States. One of the most widely used indicators of deflation and inflation is the CPI. In contrast to the producer price index (PPI), which tracks changes in the prices paid to American producers of goods and services, the CPI report employs a different questionnaire technique, price samples, and index weights.
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you are looking to purchase a property and are in negotiations with the seller and at the same time in discussions with your lender. the seller is offering the property at a price of 182,000 and you anticipate a full price offer. your lender will require a 70% loan-to-value (ltv). given these assumptions, how much will your loan amount be?
The loan amount for the house should be 127400
Given
You are trying to buy a house, and you are negotiating with the seller and talking to your lender at the same time.
You expect to receive an offer for the full asking price of 182,000 that the seller is asking for the home.
Your lender will demand a loan-to-value of 70%.
The estimated loan amount is calculated as follows
Loan amount = price of property x LTV ratio
Loan amount = 182000 x 70%
Loan amount = 127400
Therefore the loan amount is 127400 for the house.
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in the normative decision model, if a leader is pressed for time in making a decision, but has several options for making the decision as determined by the decision tree, the leader should
The leader must make his own decisions when there is no time, he has all the information needed, the leader has the support of the group, or the followers cannot agree among themselves on an action. In other situations, leaders must rely on participation to varying degrees.
Leadership is an ability or strength within a person to lead and influence others in terms of work, where the goal is to achieve predetermined targets. While the notion of a leader is someone who is trusted as the chairman (head) in a system in an organization/company. That way, a leader must have the ability to guide and influence a person or group of people.
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according to the company's records, the conversion cost in beginning work in process inventory was $15,660 at the beginning of september. additional conversion costs of $526,524 were incurred in the department during the month. the cost per equivalent unit for conversion costs for september is closest to: (round off to three decimal places.)
WIP, or "work in progress," is a supply chain management phrase used to explain the costs of incomplete goods in the production process. As previously indicated, the term "work-in-progress" is occasionally used to describe assets that will take a long time to complete.
Answer: $0.873
Process of Starting Work 18,000. During the month, manufacture of more units began. 81,000 Less at the end work being done (17,000) and finished and moved-out units for the month 82,000. Moved on to the following department 82,000. Add finishing up 13,600 of the 17,00 units that are 80% complete. 95,600 equivalent units of output. Starting a current project will cost $15,264. Cost additions made during the time 68,208
Cost in full: $83,472
$95,600 in equivalent units of production
$83,472/$95,600 = $0.873 for the total units/equivalent units of production.
The balance in WIP refers to total production costs incurred for partially completed goods. WIP is a concept used to characterize the flow of manufacturing costs from one area of production to another.
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if keynes' law applies during economic contractions and say's law applies during economic expansion, how will the three goals of macroeconomics be affected?:principles of macroeconomics
If Keynes's law applies during economic contractions and Say's law applies during economic expansion, the way in which the three goals of macroeconomics would be affected is that: trade-offs and connections may differ in the short run and the long run.
What is macroeconomics?Macroeconomics can be defined as a study of all the behaviors, performances, and factors that affect the entire economy. This ultimately implies that, macroeconomics typically focuses on aggregate phenomena such as the following:
Gross Domestic Product (GDP).InflationPrice levelEconomic growth.According to the law established by John Maynard Keynes, demand is an economic factor which creates its own supply. Additionally, the way in which the three (3) goals of macroeconomics would be affected are as follows:
Trade-offs may differ in the short run. Connections may differ in the short run.Connections may differ in the long run.Trade-offs may differ in the long run.Read more on macroeconomics here: https://brainly.com/question/29035217
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Complete Question:
If Keynes's law applies during economic contractions and Say's law applies during economic expansion, how will the three goals of macroeconomics be affected?
determinates of total supply for the economy will be traded-off
trade-offs and connections may differ in the short run and the long run
institutional and market structures will connect factors of production
the economy will face genuine limits to how much can be produced
which of the following would most likely have caused the production possibilities frontier to shift outward from a to b? group of answer choices a decrease in unemployment a technological advance in the consumer goods industries a general technological advance an increase in the availability of capital-producing resources
General technological advance is most likely to cause the production possibilities frontier to shift outward from a to b.
Technology has always been vital for organisations, but in recent years, that importance has increased significantly. By definition, technology is the practical application of scientific knowledge, and it is obvious that in order for businesses to remain competitive, they must adopt new technologies. The importance of new technology for organisations can be attributed to a number of factors. First, firms can improve their production and efficiency by utilising modern technologies. This is so that workers may concentrate on other duties because new technologies sometimes automate operations that were previously performed manually. Additionally, by lowering their dependency on costly manual labour, new technology can assist firms in saving money. Finally, firms can frequently access new markets and clients thanks to new technologies.
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