pursell bank offers you a five-year loan for $100,000 at an annual interest rate of 6.8 percent. what will your annual loan payment be?

Answers

Answer 1

There will be a yearly mortgage payment of $11,680.

To calculate the annual loan price, we are able to use the method for the present value of an annuity:

[tex]PMT = PV x (r / (1 - (1 + r)^{(-n)))}[/tex]

wherein:

PMT is the annual mortgage price

PV is the present value of the mortgage, that is $100,000 in this case

r is the annual interest fee in decimal form, that's 0.068 in this situation

n is the quantity of payment durations, that's 5 in this situation (considering it's a 5-yr loan)

Plugging inside the values, we get:

[tex]PMT = 100000 x (0.068 / (1 - (1 + 0.068)^{(-5)))}[/tex]

PMT = 100000 x (0.068 / (1 - 0.4174))

PMT = 100000 x (0.068 / 0.5826)

PMT = 100000 x 0.1168

PMT = $11,680

consequently, the annual mortgage payment will be $11,680.

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Related Questions

what is the vpg given the following information: 1,000 tours; 85% show rate; 20% net closing; $20,000 average sale price. the vpg is $ .

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The VPG information provided is $2,353.53. This means that, on average, each guest who attended a tour generated a value of $2,353.53 in sales.

The VPG, or Value Per Guest, is an important metric that helps businesses in the tourism industry measure the effectiveness of their sales and marketing strategies. To calculate the VPG, we need to use the formula VPG = Average Sale Price x (Net Closing Percentage / Show Rate Percentage).

In the given scenario, we have the following information: 1,000 tours were conducted, with an 85% show rate and 20% net closing. The average sale price was $20,000. Using this information, we can calculate the VPG as follows:

VPG = Average Sale Price x (Net Closing Percentage / Show Rate Percentage)

= $20,000 x (20% / 85%)

= $2,353.53

Therefore, the VPG given the information provided is $2,353.53. This means that, on average, each guest who attended a tour generated a value of $2,353.53 in sales.

This metric is useful for businesses to track their sales performance and identify areas for improvement. By increasing the VPG, businesses can increase their revenue and profitability.

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briefly describe the key advantages and disadvantages of the three approaches to management education. under what conditions would you recommend that an organization send its managers to an executive mba program?

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The three approaches to management education are traditional degree programs, executive MBA programs, and non-degree executive education programs. Each approach has its own advantages and disadvantages.

Advantages of traditional degree programs:
- Thorough instruction on a wide range of management topics
- Coursework typically includes the ability to focus on a specific subject or area of study
- Learning is structured, with a clear path of progression

Disadvantages of traditional degree programs:
- Long time commitment
- Can be costly
- Not designed for experienced managers

Advantages of executive MBA programs:
- Focuses on practical applications of management skills
- Structured curriculum tailored to experienced managers
- Variety of learning opportunities, such as team building and problem-solving

Disadvantages of executive MBA programs:
- Costly
- Typically require a lot of travel
- Not suitable for someone with limited experience

Advantages of non-degree executive education programs:
- Flexible learning schedule
- Lower cost
- Hands-on instruction from experts

Disadvantages of non-degree executive education programs:
- Less comprehensive instruction
- Limited choice of subjects

I would recommend that an organization send its managers to an executive MBA program when the managers have experience in management and the organization has the budget for it. Executive MBA programs provide an opportunity to apply theory to practice and gain practical skills from experienced professionals.

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True or false: A competitive advantage is most often maintained for very long periods of time.

Answers

false. no competitive advantage can be sustained indefinitely.
: False.

I hope this helps…….

if money is neutral, what does this imply about the use of monetary policy? monetary policy is more effective in the short term than the long term. mechanisms should be introduced to ensure that the federal reserve is making sound decisions. monetary policy can influence the price level but cannot be used to encourage economic growth.

Answers

If money is neutral, it implies that monetary policy cannot be used to encourage economic growth. This means that monetary policy can influence the price level but not the real GDP.

The monetary policy is more effective in the short-term than the long-term. So, it should be used as a short-term tool to adjust the economy. Monetary policy is a tool used by the government to stabilize the economy. If money is neutral, it means that changes in the supply of money have no impact on the economy's real GDP. Hence, the government cannot use monetary policy to stimulate economic growth by increasing the money supply. Instead, monetary policy can only influence the price level by increasing or decreasing the demand for goods and services.

In the short run, changes in the money supply can impact the economy's price level. However, in the long run, changes in the money supply cannot influence the economy's real GDP. Hence, monetary policy should be used as a short-term tool to adjust the economy. Mechanisms should be introduced to ensure that the federal reserve is making sound decisions. The federal reserve is responsible for implementing monetary policy. As such, it is important to ensure that the federal reserve is making sound decisions when implementing monetary policy. To achieve this, mechanisms such as transparency, accountability, and public oversight should be introduced to ensure that the federal reserve is making sound decisions.

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as the price of gummy bears rises from $2.60 to $3 , what are the price elasticities of demand of sugar-free gummy bears and of ordinary gummy bears?

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The price elasticities of demand of sugar-free gummy bears and of ordinary gummy bears when the price of gummy bears rises from $2.60 to $3 are 1.54 and 0.93, respectively.

What's Price Elasticity of Demand

Price elasticity of demand is a measure of the responsiveness of demand for a commodity or a service to a change in the price of the commodity or the service.

The price elasticity of demand of sugar-free gummy bears and of ordinary gummy bears when the price of gummy bears rises from $2.60 to $3 is given below:

Sugar-free gummy bears

Price elasticity of demand is given by the following formula:

PED = (% change in quantity demanded) / (% change in price)

PED = ((5-4) / 4) / ((3-2.60) / 2.60) = 1.54

The price elasticity of demand of sugar-free gummy bears is 1.54.

This means that demand for sugar-free gummy bears is elastic because the value of price elasticity of demand is greater than 1.Ordinary gummy bearsPrice elasticity of demand is given by the following formula:

PED = (% change in quantity demanded) / (% change in price).

PED = ((10-8) / 8) / ((3-2.60) / 2.60) = 0.93

The price elasticity of demand of ordinary gummy bears is 0.93. This means that demand for ordinary gummy bears is inelastic because the value of price elasticity of demand is less than 1.

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is getting ready to purchase shares in a mutual fund. he will have to pay a one-time sales charge to purchase these shares. what type of shares is he buying?

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The student is buying load mutual fund shares. When an investor purchases mutual fund shares, they must pay a one-time sales fee known as a load.

The load is typically a portion of the total investment amount and is deducted at the time of purchase.

Mutual funds are a form of investment that pools money from numerous investors to buy securities like stocks, bonds, or other assets. A professional money manager manages the portfolio's investments, allocating the money based on the fund's objectives.

Mutual funds are an excellent way for novice investors to gain exposure to the market while minimizing risk. Mutual funds can be classified into two types: load funds and no-load funds.

Investors who purchase load funds must pay a one-time sales charge or load. A no-load mutual fund, on the other hand, does not charge a sales charge. There are no-load funds that charge a redemption fee if the investor sells the shares too soon.

One-time sales charges are also known as front-end sales fees or sales loads. These fees are charged to new mutual fund investors when they first purchase the fund's shares. The one-time charge varies depending on the mutual fund and is usually a percentage of the total investment.

The percentage typically ranges from 2% to 8% of the total investment amount. The sales charge goes to the financial advisor or salesperson who sold the mutual fund to the investor.

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mis can also provide businesses with a competitive advantage by allowing them to analyze their data and make data-driven decisions. this can help businesses to identify market trends, opportunities, and threats, and adjust their strategies accordingly. true or false

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This can help businesses to identify market trends, opportunities, and threats, and adjust their strategies accordingly" is true.

What is MIS?

MIS stands for Management Information System. It is the system that provides the business's management with the information they require to make informed decisions. This can include financial, operational, and other types of data.

MIS will provide the management with the details required to make a choice when it comes to organizing, planning, and controlling the business.MIS allows businesses to make better decisions by providing them with timely and accurate data. This can help businesses to identify market trends, opportunities, and threats, and adjust their strategies accordingly.

They can also use MIS to analyze data and make data-driven decisions. MIS can also help to improve business performance by enabling businesses to monitor their performance and make improvements where necessary.

MIS has many advantages for businesses. These include the ability to analyze data, make data-driven decisions, and monitor business performance. MIS can also help businesses to identify market trends, opportunities, and threats and adjust their strategies accordingly. Therefore, we can say that the given statement is true.

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it is difficult for a central planner to determine optimal allocations of resources because: of the simplicity of a modern economy. the incentives exist to manipulate the resources to improve the allocations of resources. of a potential lack of incentives among citizens who are asked to provide the central planner with accurate information. of too many incentives governing the central planner.

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It is difficult for a central planner to determine optimal allocations of resources because of too many incentives governing the central planner.

What is central planning?

Central planning is the management of the economy by the state through a single economic plan that includes all economic activities. The benefits of central planning are:

* Inadequacy of the invisible hand

* Market failures* Equity and Social Justice

* National defense and the protection of the environment

However, the practice of central planning in real-life settings is difficult because of the following factors:

It is difficult to ascertain the appropriate allocation of resources because it is tough to determine the preferences of everyone in society. The cost of obtaining this knowledge is often higher than the benefit that can be derived from such information.

it is difficult for a central planner to determine optimal allocations of resources because of too many incentives governing the central planner. Incentives are motivations that influence the decisions of an individual. As a result, it is difficult for a central planner to allocate resources appropriately since many interests influence his or her decision.

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If the export value of American educational institutions is more than twice that of America’s top agricultural export, and supports 455,000 jobs, we can conclude that
Multiple Choice
A. exports of higher education represent an important component of the U.S. economy.
B. exports of higher education are paid for in foreign currencies effectively bypassing EXIM bank requirements.
C. American universities have been recruiting foreign students to the detriment of U.S. students.
D. exports of higher education will continue to grow without export assistance.
E. U.S. taxpayer dollars are being spent in foreign countries rather than domestically.

Answers

The export value of American educational institutions is more than twice that of America's top agricultural export and supports 455,000 jobs. As a result, we can conclude that exports of higher education represent an important component of the U.S. economy. The correct option is (A).

Exports of higher education represent an important component of the U.S. economy because the export value of American educational institutions is more than twice that of America's top agricultural export, which supports 455,000 jobs. In 2015, 974,926 international students attended American colleges and universities, contributing $35.8 billion to the economy in the form of tuition, room and board, and other expenses. For each job supported by foreign students, three jobs are created or supported, according to NAFSA.

The correct option is (A).

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which of the following remedies is not available for patent infringement? group of answer choices attorney fees in some but not all cases an accounting for profits treble damages when appropriate injunctive relief

Answers

The remedy for patent infringement that is not available is attorney fees in some but not all cases.

Attorney fees are normally a part of the damages awarded to a successful patent plaintiff; however, under 35 U.S.C. 285, attorney fees are not available in every case of patent infringement. According to this statute, attorney fees are only available when a defendant acts in bad faith or engages in "willful infringement."

The other remedies for patent infringement are an accounting for profits, treble damages when appropriate, and injunctive relief. An accounting for profits requires the defendant to pay the patent holder all profits the defendant gained from infringing the patent.

Treble damages, when appropriate, require the defendant to pay three times the actual damages suffered by the patent holder. Injunctive relief requires the defendant to cease infringing the patent.

In conclusion, attorney fees are not available in every case of patent infringement. The other remedies available are an accounting for profits, treble damages when appropriate, and injunctive relief.

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when a party to an agreement owes a duty to perform and fails to fulfill her obligation, this is known as

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When a party to an agreement owes a duty to perform and fails to fulfill her obligation, this is known as a breach of contract.

A breach of contract occurs when one of the parties fails to fulfill its obligation according to the agreed-upon terms. This could mean failing to provide a good or service, making a payment late, or not providing enough information to fulfill the contract.

The consequences of a breach of contract depend on the type of contract and the nature of the breach. Generally, the innocent party can seek damages or specific performance to make them whole again. When a party fails to fulfill their duty under the terms of the contract, it is known as a breach of contract.

This could involve failing to deliver a product, not making a payment on time, or not providing enough information for the other party to fulfill the agreement. The consequences of a breach can vary greatly depending on the terms of the contract and the severity of the breach.

Generally, the innocent party is entitled to seek damages or specific performance to compensate them for the breach. This can include reimbursement of the costs of performance, reparation for any economic loss, and in some cases, punitive damages.

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what term is used to refer to crimes committed by individuals in the course of their daily business activities? select one: a. professional crime b. organized crime c. index crime d. white-collar crime

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The term used to refer to crimes committed by individuals in the course of their daily business activities is "white-collar crime".

White-collar crime refers to non-violent crimes that are committed by individuals or organizations for financial gain, typically in the context of professional or business activities. These crimes often involve deception, fraud, embezzlement, insider trading, and other illegal activities that are typically carried out by people in positions of power or trust within their organizations.

White-collar crime is a serious issue that can have significant economic and social consequences, and it is important for businesses, governments, and individuals to take steps to prevent and combat it.

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how much would you pay to receive $100 at the end of 20 years if you can earn 12% interest on alternative investments of similar risk?

Answers

To calculate the present value of an investment that will yield $100 at the end of 20 years with 12% interest, you can use the following formula:
PV = FV / (1 + r)^n
Where PV is the present value, FV is the future value, r is the interest rate, and n is the number of years.
Therefore, in your case, the present value would be:
PV = $100 / (1 + 12%)^20= $7.31

To get $100 at the end of 20 years if you can earn 12% interest on alternative investments of similar risk you would need to pay $7.31.

What is present value?

Present value refers to the current value of a future sum of money or stream of cash flows given a specified rate of return. It is also known as the discounted value. The present value of a future payment decreases as the rate of interest increases and decreases as the time until payment increases.

What is future value?

The future value is the value of an asset or cash at a specified time in the future. It measures the nominal future sum of money that a particular sum of money is "worth" at a specified time in the future considering the potential interest rate earned over that time period.

The future value of a present sum of money or investment depends on the interest rate or investment return over time.

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frankie's savings account has earned a lot of interest. he wants to know if he must pay taxes on the interest earned. what would the irs tell him?

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According to the Internal Revenue Service (IRS), Frankie must pay taxes on the interest earned in his savings account.

The Internal Revenue Service (IRS) is a government organization in the United States that is responsible for collecting taxes and enforcing tax laws. Taxpayers are expected to pay their taxes to the IRS every year to support the government's programs and services.The IRS requires taxpayers to report all of their earnings, including interest earned from bank accounts, on their tax returns. If Frankie earned a significant amount of interest on his savings account, he must report it on his tax return and pay taxes on it.

Interest earned on a savings account is considered taxable income, and it is subject to both federal and state income taxes. The amount of taxes owed on the interest earned depends on Frankie's income level and his tax bracket.For instance, if Frankie is in a higher tax bracket, he will owe more taxes on his savings account interest than someone in a lower tax bracket. Additionally, the interest earned may be subject to additional taxes, such as the Medicare tax or the Net Investment Income Tax (NIIT).Therefore, Frankie must report the interest earned on his savings account on his tax return and pay any taxes owed on it.

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decision making reflects relatively permanent changes in an employee's knowledge and skills that result from experience. true or false

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The statement "Decision making reflects relatively permanent changes in an employee's knowledge and skills that result from experience." is true because decision making is the process of making choices between two or more available options and it is an important part of managing employees in any organization.

Decision making reflects relatively permanent changes in an employee's knowledge and skills that result from experience, such as knowledge acquired through work assignments and the ability to assess situations and identify the best possible solution. By making decisions, employees gain insight into their abilities and learn how to better manage tasks and improve their performance. Decision making also helps employees develop their problem-solving skills, which are necessary to effectively manage projects. As employees learn more about decision making, they can become more adept at making decisions in any situation and gain confidence in their own abilities.

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if oil executives read in the newspaper that massive new oil supplies have been discovered under the pacific ocean but will likely only be useful in 10 years, what is likely to happen to the supply of oil today?

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If oil executives read in the newspaper that massive new oil supplies have been discovered under the pacific ocean but will likely only be useful in 10 years, it is likely that the supply of oil today would remain the same.

What would happen to the supply of oil today if oil executives read in the newspaper that massive new oil supplies have been discovered under the pacific ocean but will likely only be useful in 10 years? If the executives read that new oil supplies have been found and that they will be useful in the future, it would not have any significant impact on the supply of oil today because the oil supply chain does not react to possible developments.

Oil supplies on the market are influenced by a variety of variables, including availability, geopolitical events, OPEC supply agreements, seasonal demand trends, and so on.

Although the market may respond to the possible availability of new oil supplies, this would be expressed in future pricing rather than immediate supply changes. It is possible that speculation in the oil markets will cause prices to change as a result of the news, but this would be due to predictions of future demand and supply adjustments.

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top management is also known as first-line management because it deals with key managerial decisions on a priority basis. group of answer choices true false

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The given statement is false, as top management is not known as first-line management because it deals with key managerial decisions on a priority basis. What is management? Management refers to the process of planning, organizing, staffing, leading, and controlling the resources of the organization efficiently and effectively to achieve its goals and objectives.

Management is a dynamic process consisting of various functions and levels of management. There are three levels of management: Top-level management, middle-level management, and lower-level management.Top-level management is also known as executive-level management. It consists of the board of directors, CEO, COO, CFO, and other high-level executives. Top management is responsible for setting the organization's mission, goals, and objectives, strategic planning, and making key decisions.

Middle-level management is also known as tactical level management. It consists of departmental managers, branch managers, and regional managers. Middle-level management is responsible for implementing the strategies developed by the top-level management, planning, controlling, and coordinating the activities of the lower-level managers.

Lower-level management is also known as operational level management. It consists of supervisors, team leaders, and front-line managers. Lower-level management is responsible for carrying out the daily operational tasks and supervising the workers to achieve the organization's goals and objectives.

Thus, top-level management is not known as first-line management because it deals with key managerial decisions on a priority basis. Instead, top-level management is responsible for setting the organization's mission, goals, and objectives, strategic planning, and making key decisions.

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prepare a schedule of cost of goods manufactured. assume all raw materials used in production were direct materials. 2. prepare a schedule of cost of goods sold. assume that the company's underapplied or overapplied overhead is closed to cost of goods sold. 3. prepare an income statement.

Answers

To prepare a schedule of cost of goods manufactured and cost of goods sold, as well as an income statement, begin by gathering all necessary information, such as beginning and ending inventory, direct materials used, and overhead costs.

To prepare the schedule of cost of goods manufactured:

Start with the beginning raw material inventory and add direct material used to get total raw material available for use.Then subtract the ending raw material inventory to get raw material used in production.Add the cost of the raw material used in production to the cost of labor and overhead to get the total manufacturing cost.Subtract the ending work-in-process inventory from the total manufacturing cost to get the cost of goods manufactured.

To prepare the schedule of cost of goods sold:

Start with the beginning finished goods inventory and add the cost of goods manufactured to get total goods available for sale.Subtract the ending finished goods inventory to get the cost of goods sold.Add any underapplied or overapplied overhead to the cost of goods sold.

To prepare the income statement:

Start with the net sales and subtract the cost of goods sold to get the gross profit.Then subtract any operating expenses, such as administrative and selling expenses, to get the operating income.Lastly, subtract any non-operating expenses or gains to get the net income.

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if the controller uses regression analysis to estimate costs, the cost equation for electricity costs is:

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Regression analysis is a statistical method used to establish the relationship between two or more variables. In cost accounting, regression analysis can be used to estimate costs based on the relationship between a cost driver and the cost itself.

For example, if the controller uses regression analysis to estimate electricity costs, the cost equation may look like:

Electricity Costs = a + b × Number of Units Produced

In this equation, "a" represents the fixed cost component of electricity costs, while "b" represents the variable cost per unit of electricity. The "Number of Units Produced" variable serves as the cost driver in the equation, as it is expected to have a significant impact on electricity costs.

To develop this equation, the controller would gather data on electricity costs and the number of units produced over a given period of time. This data would then be input into a regression analysis software, which would analyze the relationship between the two variables and generate an equation that represents that relationship.

Once the equation is established, the controller can use it to estimate electricity costs based on the number of units produced. For example, if the equation yields an "a" value of $10,000 and a "b" value of $0.50, and the company produces 10,000 units in a given period, the estimated electricity cost would be:

Electricity Costs = $10,000 + ($0.50 × 10,000) = $15,000

By using regression analysis to estimate costs, the controller can better understand the relationship between cost drivers and costs, and can use this information to make more informed decisions about production and pricing.

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If a single firm can produce and supply an entire market at a lower unit costthan many small firms can, the long-run average total cost must be(A) increasing as firm size increases(B) remaining constant as firm size increases(C) decreasing as the firm's output increases.(D) constant and equal to marginal cost.

Answers

The answer to the student question is (C) decreasing as the firm's output increases. This situation describes a scenario where economies of scale are present, meaning that as a firm increases its production, its long-run average total cost (LRATC) decreases.


When a single firm can produce and supply an entire market at a lower unit cost than many small firms, it implies that the firm is experiencing economies of scale.
Economies of scale occur when a firm can lower its average cost of production as it increases its output. This is usually due to the firm being able to spread its fixed costs over a larger number of units produced, resulting in a lower cost per unit.
In this case, the long-run average total cost (LRATC) must be decreasing as the firm's output increases, since the firm is able to produce at a lower unit cost as it expands production. This is option (C) in the question.
Option (A) is incorrect because if LRATC were increasing as firm size increases, this would indicate diseconomies of scale rather than economies of scale.
Option (B) is incorrect because if LRATC were remaining constant as firm size increases, this would suggest constant returns to scale, not economies of scale.
Option (D) is incorrect because it is not necessary for LRATC to be constant and equal to marginal cost in order for the firm to produce at a lower unit cost than many small firms.
In conclusion, the correct answer is (C) decreasing as the firm's output increases, as this indicates that the firm experiences economies of scale, allowing it to produce at a lower unit cost than many small firms.

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THIS IS FOR ECONOMICS (please help)
One of the main concepts on successful investing is diversification of your portfolio. What does this mean? How would you select stocks?

Answers

Answer:

RESATE THIS QUESTION PLS

Explanation:

when an individual transfers property to another taxpayer during their life, without receiving or expecting to receive value in return, the property transferred is a(n) and is (taxable/nontaxable) to the person receiving the property.

Answers

When an individual transfers property to another taxpayer during their life, without receiving or expecting to receive value in return, the property transferred is a gift, and it is nontaxable to the person receiving the property depending on the value of the gift.

In the United States, the Internal Revenue Service (IRS) imposes a gift tax on the donor (the person making the gift) if the total value of the gifts made during their lifetime exceeds the annual exclusion amount (which is $15,000 per recipient for the year 2022). However, the recipient (the person receiving the gift) generally does not have to pay taxes on the gift.

There are some exceptions to this rule. For example, if the gift is income-producing property, the recipient may be required to pay income taxes on any income generated by the property. Additionally, if the recipient later sells the property for a profit, they may be required to pay capital gains taxes on the sale.

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apple has just paid a quarterly dividend of $3.02. dividends are expected to grow by 10% for the next 4 quarters, and then grow by 1.2% thereafter. apple has a required quarterly return of 5%.what is the terminal value in the fourth quarter (

Answers

The terminal value in the fourth quarter is $101.58 if Apple has a required quarterly return of 5% in the last quarter.

Quarterly dividend  = $3.02

Growth rate = 10% in the next 4 quarters

After 4 quarters, growth rate = 1.2%

Quarterly return of required =  5%.

To calculate the terminal value in the fourth quarter, we need to calculate the present value for future dividends. The formula for the present value is:

PV = D / (r - g)

PV1 = D1 / (r - g)

PV1 = $3.02 / (0.05 - 0.1)

PV1 = -$60.40

PV2 = D2 / (r - g)

PV2 = ($3.02 * 1.1) / (0.05 - 0.1)

PV2 = $34.13

PV3 = D3 / (r - g)

PV3 = ($3.02 * 1.1^2) / (0.05 - 0.1)

PV3 = $49.33

PV4 = D4 / (r - g)

PV4 = ($3.02 * 1.1^3) / (0.05 - 0.1)

PV4 = $71.46

We need to calculate the terminal value. The formula is:

PV(Terminal Value) = D5 / (r - g)

PV(Terminal Value) = ($3.02 * 1.1^4) / (0.05 - 0.012)

PV(Terminal Value) = $101.58

Now by adding all the present values, we get the terminal value:

Total PV = PV1 + PV2 + PV3 + PV4 + PV(TV)

Total PV = -$60.40 + $34.13 + $49.33 + $71.46 + $101.58

Total PV = $196.10

Therefore, we can conclude that the terminal value in the fourth quarter is $101.58.

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on may 1, anderson company purchased merchandise in the amount of $5,800 from shilling, with credit terms of 2/10, n/30. anderson uses the perpetual inventory system and the gross method. the journal entry that anderson will make on may 1 is:

Answers

The journal entry that Anderson will make on May 1 is:

Inventory (Merchandise) 5,800Accounts Payable 5,800

Since Anderson purchased merchandise from Shilling on credit, the Accounts Payable account is credited for the full amount of the purchase, which is $5,800. The Inventory account is debited for the same amount to record the increase in the inventory asset. The credit terms of 2/10, n/30 mean that if Anderson pays the invoice within 10 days, it can take a discount of 2% of the purchase price. If it does not take the discount, it has to pay the full amount within 30 days.

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identify whether each of the following is best described as a fixed, variable, or mixed cost with respect to product units. 1. Peanuts used in making trail mix.
2. Maintenance of factory machinery.
3. Rubber used in making tennis balls.
4. Milk used in making ice cream.
5. Electricity used in factory building.
6. Wages of an assembly-line worker paid on the basis of acceptable units produced
7. Cameras used in making smartphones.

Answers

1. Peanuts used in making trail mix:

This is a variable cost. Variable costs change in direct proportion to the volume of units produced. As more trail mix is made, more peanuts are needed, so the cost increases with production.

6. Wages of an assembly-line worker paid on the basis of acceptable units produced: This is also a variable cost. The worker's wages are dependent on the number of acceptable units they produce, meaning that their pay increases as they produce more units.

7. Cameras used in making smartphones: This is a fixed cost. Fixed costs do not change with the number of units produced. The cameras needed for smartphones are likely purchased in bulk, with a set price, so the cost remains the same regardless of how many smartphones are made.

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system of rewarding managers by linking bonuses to income computed under absorption costing may result in: multiple choice question. insufficient inventory excess inventory buildup sales negatively affected no effect on inventory

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Absorption costing's drawback is that it might distort the perception of a company's profitability. It is also not useful for analysis intended to increase operational and financial efficiency.

With the aid of the absorption costing mechanism, how do managers control revenue?

The ability for managers to manipulate income through overproduction is also provided by absorption costs. In comparison to not producing the extra goods, increasing output at year's end results in a higher net income.

If output exceeds sales, how will changes in inventory affect full absorption and variable costing?

When production outpaces sales, the revenue computed using full absorption costing will be higher than the income calculated using variable costing. Production being in excess of sales points to a rise in inventories.

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in budgeting, variance is: group of answer choices a measure of the degree of dispersion of a distribution about its mean value. the difference between a realized value and a budgeted, or standard, value. the percentage decrease in volume that can occur without causing the organization to lose money. the difference between operating profit and total profit. the difference between total revenues and total costs.

Answers

In budgeting, variance is the difference between a realized value and a budgeted, or standard, value (option B).

In the context of budgeting, variance is the difference between a budgeted, or standard, value and a realized value. The variance is a quantitative measure of the degree of deviation between budgeted or expected outcomes and actual outcomes of a situation, process, or event. It is the numerical representation of how far apart actual performance or results are from the expected or budgeted performance or results.

Variance is calculated as the difference between an actual value and the standard or budgeted value. In other words, variance is a measure of the degree of dispersion of a distribution about its mean value.

Dispersion measures in budgeting: Dispersion measures are essential components of budgeting. Budgets serve as a guide for the allocation and use of resources to achieve the goals of an organization. Dispersion measures, such as variance, help management to understand how actual results compare to budgeted results, making it easier for them to plan and make decisions about resource allocation in the future.

Budgeting is a process of allocating scarce resources to various competing needs in an organization. By providing feedback on actual results and comparing them to budgeted results, dispersion measures such as variance assist managers in making better decisions about the allocation and use of resources.

Therefore, the difference between a realized value and a budgeted, or standard, value (option b) is variance.

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Eduardo is the new manager of Great Corporation. He is sitting at his desk and writing down a list of steps that he can follow to create and maintain a cohesive work group. Which of the following would appear on that list? Select one: O a. Set goals for group members to reduce competition or feelings of jealousy. O b. Celebrate differences so each individual's contribution is noticed.
O c. Focus on supporting the best and brightest" in the group O d. Give praise sparingly; if it is given too often, it loses its luster.

Answers

The best option for Eduardo to create and maintain a cohesive work group would be to select option b: Celebrate differences so each individual's contribution is noticed.

By celebrating differences, Eduardo encourages a diverse and inclusive environment where everyone's unique talents and perspectives are valued, ultimately fostering collaboration and cohesion within the group.

Which of the following would appear on that list?

The options are:

a. Set goals for group members to reduce competition or feelings of jealousy.

b. Celebrate differences so each individual's contribution is noticed.

c. Focus on supporting the best and brightest" in the group.

d. Give praise sparingly; if it is given too often, it loses its luster.

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after the petty cash fund is established, the petty cash account is not debited or credited again unless the amount of the fund is changed. true flase

Answers

False; after the petty cash fund is created, it is not necessary to debit or credit the account again unless the fund's size changes.

What occurs after a petty cash fund is created?

The corporation has internal control over the money in the fund by designating one person as the fund's manager. to start a small cash fund. The petty cash custodian typically deposits the cash in a small, lockable box once the check is cashed. The fund is now prepared for distribution as required.

Is small change a debit or credit?

The petty cash account is a current asset in financial accounting. As a result, the money is recorded as a typical debit balance.

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the calculation of the contingent deferred sales load upon the redemption of a mutual fund is based on

Answers

The calculation of the contingent deferred sales load upon the redemption of a mutual fund is based on the length of time the investor holds the fund.

The length of time that a person holds a mutual fund is known as the holding period. As a result, the longer a person holds a fund, the lower the amount of the contingent deferred sales load (CDSL).

What is a Contingent Deferred Sales Load (CDSL)?

A CDSL is a fee that mutual fund investors must pay when they sell shares of the mutual fund. This is a commission that is paid to the salesperson who marketed the mutual fund to the investor. CDSLs are usually calculated as a percentage of the total value of the mutual fund that an investor is selling.

For instance, if an investor sells $10,000 worth of mutual fund shares and the CDSL is 2%, the investor must pay a $200 CDSL. The CDSL is typically higher for funds that have a shorter holding period, but it decreases as the length of time an investor holds the fund increases.

Mutual fund managers use this to promote long-term investments rather than short-term trades. Because it encourages investors to hold onto their investments for extended periods, the CDSL can be viewed as a helpful component of mutual fund investing.

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Contingent Deferred Sales Charge (CDSC), also known as a back-end charge, is a cost imposed by a mutual fund when an investor redeems shares or units.

What is a contingent deferred sales load?

A Contingent Deferred Sales Charge (CDSC), also known as a back-end charge, is a cost imposed by a mutual fund when an investor redeems shares or units.

A back-end load is the opposite of a front-end load, which is a charge imposed by a mutual fund when an investor first buys shares or units.

When an investor purchases shares in a mutual fund with a back-end load, the investor does not pay a sales charge up front, but instead pays the charge when the investor redeems shares in the future.

How is the calculation of the contingent deferred sales load upon the redemption of a mutual fund done?

The calculation of the contingent deferred sales load upon the redemption of a mutual fund is based on the number of shares redeemed and the length of time the shares were held.

The fee, which is calculated as a percentage of the value of the shares redeemed, decreases over time as the shares are held, with the fee typically disappearing after a specified holding period such as six or seven years.

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