computer geeks has sales of $521,000, a profit margin of 14.8 percent, a total asset turnover rate of 2.16, and an equity multiplier of 1.30. he formula is return on equity = profit margin x total asset turnover rate x equity multiplier. In the case of computer geeks, the return on equity is 14.8 percent x 2.16 x 1.30 = 38.48 percent.
The return on equity of the computer geeks can be calculated by using a formula that multiplies the profit margin, total asset turnover rate, and equity multiplier.
This return on equity means that for every dollar of equity invested in the company, the company produces 38.48 cents of earnings. The return on equity is an important indicator of how effectively a company is using its resources to generate profits and is an important measure of how well the company is performing compared to its peers.
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what conditions made profitable farming increasingly challenging during the gilded age
Option A and D are correct. Conditions made profitable farming increasingly challenging during the Gilded Age are
A. the lack of access to technology
B. the high rates railroads charged farmers to transport their crops
The expression "Gilded Age" itself proposes a verifiable time that might have seemed rich on a superficial level yet was really cruel and degenerate. The second Industrial Revolution, which impelled the Gilded Age, delivered colossal innovative progressions, the foundation of large undertakings, and a huge convergence of European migrants into the US. The workforce and normal wages both essentially expanded because of further developed transportation and earth shattering corporate practices, which together powered in general monetary extension. Notwithstanding, because of the commonness of monetary trusts, imposing business models, and "looter noblemen" like Rockefeller, Vanderbilt, Morgan, and Carnegie who much of the time utilized uncalled for and untrustworthy strategies to extraordinarily take advantage of others and hoard their colossal riches, this recently discovered thriving was gathered in the possession of a limited handful. This was a period of pure, unadulterated private enterprise. Many individuals were left without occupations because of the unnecessary stock of work. During the Overlaid Age, living in confined, disgusting, wrongdoing ridden apartments was basically a horrendous unavoidable truth for some individuals. Monetary vulnerability and through and through desperation were wild, particularly in metropolitan areas. Moreover, the very economy that permitted corporate monsters to gather probably the greatest fortunes in history likewise required a sizable number of untalented work. Thus, people who figured out how to get some work in the modern area much of the time needed to tolerate amazingly risky working circumstances, extended periods, and little compensation. Tammany Lobby in Tweed filled in as a front for help to the oppressed. All things being equal, Tweed kept the majority of the benefits for himself. Generally, the fundamental uniqueness in bartering power among them and the corporate titans was the center reason for the country's quickly developing underclass. While syndications had a tremendous number of satisfying choices, low-expertise individuals were seeking few positions with an end goal to help themselves.
The Gilded Age, which spread over around 1870 to 1900, was a period in American history. Quick financial development was pervasive during the period, especially in the North and West of the country. A huge number of European settlers came to the US as of now since American pay rates expanded extensively quicker than those in Europe, particularly for gifted specialists, and industrialization required a steadily expanding workforce of untalented individuals.
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Complete Question -
What conditions made profitable farming increasingly challenging during the Gilded Age?
a.the lack of access to technology
b.westward expansion that devalued the land
c.a steep reduction in the demand for crops
d.the high rates railroads charged farmers to transport their crops
during the year, the business recorded $400,000 in revenues, $300,000 in expenses, and beaver company paid dividends of $50,000. the net income reported by beaver company for the year was .
The net income reported by beaver company for the year was $50,000.
What is the net income calculation formula?Total revenues less total expenses equals net income.
The cost of the goods and services sold, running costs such salaries and wages, office upkeep, utilities, depreciation and amortisation, and interest income are all included in total expenses. Regarding taxes, read more.
Beaver Firm received $50,000 in dividends during the year, and the company reported $400,000 in revenues and $300,000 in costs. The Beaver Company's net income for the year was
Total revenues - total expenses = net income.
$400,000 in revenues - $300,000 + $50,000 = 50,000.
The net income reported by beaver company for the year was $50,000.
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Which of the following is an example of an internal threat?
a) A delivery man is able to walk into a controlled area and steal a laptop.
b) A user accidentally deletes the new product designs.
c) A water pipe in the server room breaks.
d) A server backdoor allows an attacker on the internet to gain access to the intranet site.
the following is an example of an internal threat a) A delivery man is able to walk into a controlled area and steal a laptop.
A threat is a signal that someone wishes to harm another person or take something from them. [1] [2] A strategy employed by opposing sides in a dispute to make the other person feel afraid or uneasy enables coercion or control. A threat is any form of coercion used to enforce compliance.The intentional or knowing instillation of fear of physical violence in another person is known as threatening behaviour, sometimes known as illegal threatening behaviour. Common elements of a threat of harm include the perception of harm, bodily or mental harm, an act of harm, an incidence of harm, or material harm or loss to a person. Among the most typical forms of threats are those that seek to.
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Assume that a customer shops at a local grocery store spending an average of $350 a week, resulting in a retailer profit of $35 each week from this customer.Assuming the shopper visits the store all 52 weeks of the year, calculate the customer lifetime value if this shopper remains loyal over a 10-year life span.Also assume a 9 percent annual interest rate and no initial cost to acquire the customer.The customer yields $_per year in profits for this retailer. (Round to the nearest dollar.)The customer lifetime value is $_
The retailer receives $1669.2 in profits from this customer per year.The annual sales comprise $20800 as a part of sales.The store will be responsible for paying taxes on this.
Find the solution ?Since the merchant used no capital to acquire this client, there will be no upfront pickup fees to attract this many purchases from the customers.
Consumer spends $400 every week on groceries and has not missed a single visit to the store in the course of ten years, resulting in $20800 in sales annually and $208000 total.
Given that the store receives $30 per week in profits from these sales, the retailer will have made $1560 in total.
30*52 = 1560
and after adding the 7% interest received over the amount invested, the store will make overall earnings over the course of 10 years that total 1560*10
= 15600
16692 dollars.With such sales and a 7% interest rate, the shop makes a profit of $1669 per year.
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what does the art of scientific thinking include microeconomics
Scientific thinking skills include observing, questioning, predicting, testing ideas, documenting data, and communicating ideas.
Learning skills that support scientific thinking is an important part of early childhood development. As children grow up, scientific thinking really becomes an art. Knowing logically what skills to use and how to proceed when a problem arises helps you understand better.
Scientific thinking skills include observing, questioning, predicting, testing ideas, documenting data, and communicating ideas. As parents and educators, we encourage experimentation, exploration, scientific games and practices to model scientific thinking and lay a solid foundation for young children's future application of the scientific investigative process. Michigan State University Extension recommends the ideas to promote the development of scientific thinking in young children.
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investments in building or purchasing long-term production facilities are inherently risky due to .investments in building or purchasing long-term production facilities are inherently risky due to .
Investments in building or purchasing long-term production facilities are inherently risky due to uncertainty in forecasting future demands
A purchase made with the intention of creating income or capital growth is known as an investment.
On the other side, long-run production happens when all production-related variables change. They are regarded as variable elements in long-run production regardless of the factors a corporation employs to manufacture its goods or services.
Demand forecasting is the technique of estimating and predicting future consumer demand for a good or service using predictive analysis of previous data. By estimating future sales and income, demand forecasting assists the company in making more educated supply decisions.
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to fully understand how taxes affect economic well-being, we must
To fully understand how taxes affect economic well-being, we must compare the effect on the welfare of buyers and sellers.
A tax is a legally binding fee or financial charge that a government imposes on a person or a business in order to raise money for public projects like building the greatest infrastructure and services. You can determine the total income on which you must pay tax based on your tax slab by deducting all allowable deductions from your gross taxable income. Senior persons pay a separate slab rate. The tax rate is zero for people over 60 with up to Rs 3 lakh in net income.
The term "buyers or sellers" also refers to traders whose activity tends more toward purchasing or selling over time than toward a balance of the two.
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The societal marketing concept combines which two of the following principles?a) marketers must maintain focus on maximizing profits for shareholdersb) marketers should limit distribution of their products to societies whose values mirror their ownc) organizations should serve customers in a way that provides for society's well beingd) organizations should satisfy the needs of consumers
According to the societal marketing concept, an organization's job is to identify a target market's needs, wants, and interests and then provide the desired satisfactions more effectively and efficiently than rivals in a way that maintains or improves both the well-being of the individual consumer and society.
According to the idea of "societal marketing," a business should take into account long-term consumer welfare as well as the interests of society when making marketing decisions. The contradiction between a consumer's immediate needs and the long-term welfare of society gave rise to the idea of societal marketing. Additionally known as "the human notion," "the intelligent consumption concept," and "the ecological imperative concept," this theory has many other names.
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When High Horizon LLC was formed, Maude contributed the following assets in exchange for a 25 percent capital and profits interest in the LLC:
Maude:
Cash: Basis-$28,000; FMV-$28,000
Land*: Basis-$128,500; FMV-$385,500
TOTAL= Basis-$156,500; FMV-$413,500
*Nonrecourse debt secured by land = $175,500
Jamie, Harold and Jenny each contributed $238,000 in cash for 25% profits and capital interest.
b) What is Maude's tax basis in her LLC interest.
The tax basis of an individual's interest in a limited liability company (LLC) is determined by the adjusted basis of the assets contributed to the LLC in exchange for the ownership interest.
In Maude's case, she contributed cash and land in exchange for a 25% capital and profits interest in the LLC. The tax basis of the cash she contributed would be $28,000, which is equal to its original basis and fair market value (FMV). This means that the tax basis of the cash remains unchanged.
The tax basis of the land would be calculated as follows:
Original basis of the land: $128,500
Less: Nonrecourse debt secured by the land: $175,500
Adjusted basis of the land: $128,500 - $175,500 = -$47,000
This means that the tax basis of the land is negative $47,000, which is the difference between the original basis and the nonrecourse debt secured by the land.
The tax basis of Maude's LLC interest would then be the sum of the adjusted tax basis of the cash and the land:
Adjusted tax basis of cash: $28,000
Adjusted tax basis of land: -$47,000
Tax basis of Maude's LLC interest: $28,000 + (-$47,000) = -$19,000
So, Maude's tax basis in her LLC interest would be -$19,000. This means that if she were to dispose of her LLC interest in the future, she could only claim a loss on her tax return to the extent that the sale price is less than her tax basis of -$19,000.
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how important are efficiency, quality, customer responsiveness, and innovation to mcdonald's competitive position?
In order to maintain its competitive position in the market, McDonald can employ functional level strategies to develop important resources that will allow it to achieve greater efficiency, quality, innovation, and customer responsiveness.
To ease the trade of goods and services, parties might congregate in a market. In most cases, buyers and sellers are the engaged parties. The market might be actual, like a real store where customers can interact with each other in person, or it could be virtual, like an online marketplace, where customers and sellers do not come into touch with each other directly. The presence of a marketplace, buyers, and sellers, as well as a good or service that can be bought and sold, are some of the crucial criteria that help define a market. Any location where two or more people can gather to conduct a business transaction, even one that doesn't require legal money, is referred to as a market.
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countries that receive loans from the imf are required to?
By taking out a loan from the IMF, a nation commits to changing its economic policies in order to address the issues that prompted the request for assistance.
These changes in policy are prerequisites for Loans and assure that the nation will be able to pay back the IMF loan. The IMF does not make loans for particular projects, in contrast to development banks. Instead, to provide nations affected by crises some breathing room.
While they implement measures to reestablish economic stability and growth, the IMF offers financial assistance. Additionally, it offers preemptive financing to aid in crisis prevention. The IMF offers loans, including emergency loans, to its members who are now experiencing or at risk of experiencing balance of payments issues.
The IMF seeks to promote international monetary cooperation, guarantee financial stability, ease trade between nations, support high employment and long-term economic growth, and lessen poverty worldwide.
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a computer manufacturing company sells inkjet printers at a low profit margin, but makes a high profit from selling replacement ink cartridges for these printers. this is an example of a
A computer manufacturing company sells inkjet printers at a low profit margin, This is an example of operating high profit .
What is meant by a high operating profit?A company with a higher operating profit margin has lower fixed costs and a higher gross margin, or sales are growing faster than costs, giving management more flexibility in pricing. After deducting all operating costs like rent, payroll for employees, the cost of equipment, and inventory, an organization's operating profit is its total revenue from sales. The figures for operating profit do not include gains or losses from investments, taxes, or interest.
How significant is operating profit?Operating profit is an important margin to monitor in addition to gross profit and net profit. It gives you a reliable idea of how well your company is doing and how much money it makes from its day-to-day operations. This is because it only takes into account revenues and costs that are necessary for everyday business operations.
Incomplete question :
When a computer manufacturing company sells inkjet printers at a low profit margin, but makes a high profit from selling replacement ink cartridges for these printers. this is an example of a ________
A. Operating profit margin
B. gross margin
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if the interest rate is 10 percent per week, what is the ear? [please note that 10 percent per week is not an apr. it is a weekly rate (quoted rate/m)]. assume 52 weeks in a year. multiple choice question. 1410.43% 5,200.00% 520.00% 14,104%
The annual effective rate of interest (EAR) is 14,104%.
To calculate the effective annual rate (EAR) of a 10% weekly rate, we first need to convert it to a monthly rate. To do so, we need to multiply the weekly rate by 52 weeks in a year, which gives us a monthly rate of 10% x 52 = 520%.
The EAR must then be computed using this monthly rate. The formula below must be used in order to do this:
EAR = (1 + Monthly Rate)¹² - 1
When we plug in our values, we obtain:
EAR = (1 + 520%)¹² - 1
The result of our calculation is:
EAR = 14,104%
Therefore, the Effective Annual Interest Rate (EAR) is 14,104%.
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credit unions may be federally or state chartered. if a credit union is chartered at the federal level, it is subject to the regulations imposed by the
State-chartered credit unions are governed at the state level, whereas federally chartered credit unions are supervised by the National Credit Union Administration. The Fed is one of many organizational process responsible for overseeing the financial industry.
How are credit unions governed?The federal credit unions' primary regulator and granting body is the National Credit Union Administration. The Washington Department Of justice of Financial Institutions is in charge of regulating legislature credit unions.
Are credit unions with state charters federally insured?State-chartered credit unions may be compelled by some statutory provisions to be federally insured. State-chartered mortgage companies that request for and receive federal reinsurance are regulated by the NCUA.
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What are the 3 types of measures for quality improvement?
The answer is outcomes measures, process measures, and balancing measures, are 3 types of measures for quality improvement.
What is the greatest way to define quality?A process, product, or service's quality refers to how well it satisfies a certain set of characteristics or requirements. A set of requirements and a collection of inherent features can be compared to assess a thing's quality.
What does the term "quality" mean?When evaluating something's quality, consider how it stacks up against similar items. Alternatively, its level of perfection. It refers to a distinguishing quality or attribute that a person possesses when being described. The word can also be used to refer to things in this meaning.
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What is basis not reported to IRS?
Basis not reported to the IRS is the amount of capital invested in an asset that is not included in the tax return to the Internal Revenue Service. This may include investments made with after-tax dollars or investments funded through non-taxable accounts such as a Roth IRA.
What do you know about IRS?
The IRS is responsible for the collection of taxes, the enforcement of tax laws, and the administration of related services. The IRS is the largest single source of revenue for the U.S. government and is responsible for ensuring that individuals and organizations comply with the nation's tax laws. The IRS also provides assistance to taxpayers in understanding and meeting their tax obligations. Taxpayers may contact the IRS for information and assistance, or to file an electronic return. The IRS also provides online guidance and assistance, including free tax preparation and filing services. Additionally, the IRS administers various programs such as the Earned Income Tax Credit and the Child Tax Credit, which help low-income taxpayers reduce their tax burden.
So, Basis not reported to the IRS is the amount of capital invested in an asset that is not included in the tax return to the Internal Revenue Service.
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the payment for utilities of the current month would be recorded as multiple choice debit utilities payable; credit cash. debit cash; credit utilities payable. debit utilities expense; credit cash. debit utilities expense; credit utilities payable.
The payment for utilities of the current month would be recorded as : C. debit utilities expense; credit cash.
What is utilities?Utilities can be defined as expenses incurred and example of utilities is paying for electricity bills, water bills among others.
Based on the information the appropriate journal entry to record the payment for utilities of the current month would be to debit utilities expense; credit cash.
Therefore we can conclude that the correct entry is C.
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You place $4,000. 00 in a bank account with an interest rate of 5. 25% apr and another $2,000. 00 in an account with an interest rate of 6. 00% apr. Which account has your money working for you the best?.
To determine which account has your money working for you the best, you can compare the interest earned over a given period of time. Here's how to do it:
Which account has your money working for you the best?.Calculate the interest earned for the first account: Multiply the interest rate by the amount of money invested and divide by the number of periods in a year. For example, if the interest rate is 5.25% APR and you invested $4,000, the interest earned for one year would be $4,000 x 5.25% / 12 = $175.Calculate the interest earned for the second account: Repeat the same calculation for the second account with an interest rate of 6.00% APR and an investment of $2,000. The interest earned for one year would be $2,000 x 6.00% / 12 = $100.Compare the interest earned: In this case, the first account with an interest rate of 5.25% APR would earn $175 in one year, while the second account with an interest rate of 6.00% APR would earn $100 in one year. So the second account has your money working for you better.It's important to keep in mind that the interest earned on savings accounts can also be affected by other factors such as minimum balance requirements, monthly maintenance fees, and any limitations on the number of transactions that can be made. Be sure to carefully consider all the terms and conditions of each account before making a decision.To learn more about interest refer:
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when income changes, there is a _____ the _____ curve.
The answer is, when income changes, there is a shift of the demand curve in the blanks.
Just what is demand?Demand is the term used to describe a consumer's desire and willingness to purchase a good or service at a specific time or over time. In accordance with their budget for discretionary spending, consumers must also be able to afford the items they want or need.
What is an illustration of demand?The first slice of pizza, for instance, will have the most utility or benefit if a customer purchases it because they are hungry. With each new slice, utility decreases as the customer is more satisfied.
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according to induced fit model of enzyme function, which of thefollowing statement is coroect? active sites on enzymes are specific to a single substate
The induced fit model of enzyme function states that the active site of an enzyme is not rigid and specific to a single substrate, but rather it changes shape to fit the substrate molecule that it interacts with.
This allows enzymes to have a higher degree of specificity and affinity for their target substrate, resulting in a more efficient catalytic reaction.
In the induced fit model, the substrate molecule causes the active site to change shape, inducing a fit that optimizes the interactions between the substrate and enzyme, and increasing the rate of reaction.
This model contrasts with the earlier "lock and key" model, which proposed that the active site of an enzyme was a rigid, predetermined shape that only allowed specific substrate molecules to fit.
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cotton corporation currently makes 8,000 subcomponents a year in one of its factories. the unit costs to produce are:
Direct material expenses make up the production unit costs. variable manufacturing overhead costs related to direct labour.
What is the cost of manufacturing?The total cost of maintaining all production facilities for a manufacturing firm that cannot be directly linked to a product is known as factory overhead, also known as manufacturing overhead, work overhead, or factory burden in American English. Usually, indirect expenses and indirect labour are affected.
What is the formula used to calculate production costs?Overhead, direct labour, and raw materials make up the three main costs. While some of these costs are variable, the majority of them are fixed (raw materials and labor).
The formula for total product cost is as follows:
cost of raw materials + cost of direct labour + cost of overhead.
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Marigold Corp. Had a transaction that caused a $3900 increase in both assets and liabilities. This transaction could have been a(n)
A company's total assets are equal to the amount of its liabilities plus its shareholders' equity, according to the accounting equation. The double-entry accounting method is thought to have its roots in this simple relationship between assets, liabilities, and equity.
What Is the Accounting Equation?A company's total assets are equal to the amount of its liabilities plus its shareholders' equity, according to the accounting equation.The double-entry accounting method is thought to have its roots in this simple relationship between assets, liabilities, and equity. Balanced balance sheets are maintained using the accounting equation. To put it another way, every entry made on the debit side has an equivalent entry (or coverage) on the credit side.Also known as the balance sheet equation or the basic accounting equation, the accounting equation has many different names.Assets and liabilities are the two major categories on the balance sheet that determine each company's financial status, regardless of how big or small it is. The third section of the balance sheet is owners' or shareholders' equity.To Learn more About accounting equation Refer TO:
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A small entrepreneurial company is trying to decide between developing two different products that they believe they can sell to two potential companies, one large and one small. If they develop product a, they have a 50% chance of selling it to the large company with annual purchases of about 20,000 units. If the large company won't purchase it, then they think they have an 80% chance of placing it with a smaller company, with sales of 15,000 units. On the other hand, if they develop product b, they feel they have a 40% chance of selling it to the large company, resulting in annual sales of about 17,000 units. If the large company doesn't buy it, they have a 50% chance of selling it to the small company with sales of 20,000 units. How many units of product a can they expect to sell?.
1600 units of product can they expect to sell.
chance of Selling to a customer has a 60–70% chance of success, compared to 5-20% for a new prospect. When compared to fresh customers, current users are 50% more willing to try new items and spend 31% more. The adage, which claims that roughly 20% of a company's clients account for about 80% of its sales, is well-known to many businesses.
This rule, often referred to as the Principle, was named for the Italian scientist Vilfredo Pareto, who noted in 1906 that 20% of Italians possessed 80% of the country's wealth. The Pareto principle, also widely recognized as the 80/20 rule, states that roughly 20% of any action you take will produce 80% of its effects.
Planning and strategizing, initial adjustment, fostering convergence, positioning value, storytelling, overcoming objections, resolving objections in front of groups, selling with players, and negotiating to close are just a few of the sales skills that enable professionals to win opportunities.
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Based on the information in the table, how do the annual tax revenues of peru and chile compare to one another? a. Peru collects $294,980 more than chile. B. Peru collects $63,408,109 more than chile. C. Chile collects $12,901,933,434 more than peru. D. Chile collects $10,805,998,234 more than peru.
The table indicates how Chile's and Peru's annual tax receipts compare to one another. Peru is out-collected by $10,805,998,234 by Chile.
What are taxes?
A tax is a necessary fee or financial charge that a government imposes on a person or a business in order to raise money for public projects like building the greatest infrastructure and services. Different public spending initiatives are then funded with the funds that have been raised.
In order to build infrastructure and enhance living circumstances, the government is compensated for the labour performed by its citizens.
As a result, we can see that Chile collects $10,805,998,234 more in tax revenues than Peru does based on data such as the workforce, average pay, income tax rate, and other relevant statistics.
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Given the descriptions below, which is (are) true regarding notes receivable? (Check all that apply.)
()Another name for a note receivable is a promissory note.
()Notes receivable is classified as an asset.
()It is the promise of another entity to pay a specific sum of money on a specified future date.
In this question, all options are true regarding notes receivables, i.e.
Another name for a note receivable is a promissory note.Notes receivable is classified as an asset.It is the promise of another entity to pay a specific sum of money on a specified future date.Notes receivable are a balance sheet item that shows the value of promissory notes owing to a firm and due to be paid. A signed promissory note entitles the holder, or bearer, to the sum specified in the legal agreement. Promissory notes are written promises to pay another party cash on or before a specified future date.
If the note receivable is due within a year, it is termed a current asset on the balance sheet. If it is not due for more than a year, it is classed on the balance sheet as a non-current asset. Customers are sometimes allowed to convert past-due bills into notes receivable by businesses.
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Toby just graduated from four years of college. At the beginning of each year, he took out a stafford loan with a principal of $6,125. Each loan had a duration of ten years and an interest rate of 5. 3%, compounded monthly. All of the loans were subsidized. Toby plans to pay off each loan in monthly installments, starting from his graduation. What is the total lifetime cost for toby to pay off his 4 loans? round each loan's calculation to the nearest cent.
The correct answer to the question above is $31,616.16. The cost of lean that Toby needs to pay off his 4 loans is $31,616.16.
We need to calculate the cost of the loan that Toby take from four years of college.
First, we need to count the monthly interest rate of the loan:
i = 0.053 / 12 = 0,0044
So the effective annual interest rate will be:
i = [tex](1 + 0.0044)^{12-1}[/tex]
i = 0.0543
Second, we need to calculate the present worth of all the loans that toby has take, which will be:
P = 6,125 + 6,125 (1 + 0.0543) + 6,125 (1 + 0.0543)² + 6,125 (1 + 0.0543)³
P = $22,671.40
So the worth of the loan after four years will be :
P = 22,671.40 [tex](1 + 0.0543)^{4}[/tex]
P = $31,616.16
Based on the calculation above so the correct answer is $31,616.16
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3. what happens to the record holden bought for phoebe? what do you think that symbolism of this may be?
He decides to take a trip over to the duck pond in Central Park to see how the ducks are doing. In the process, he disturbs himself by falling and breaking the record he had bought for Phoebe.
What interpretation might you make of this?The breaking of the record is interpreted as a metaphor for Holden's waning innocence. The record will stop spinning because the cycle has been broken. The accident that set the record wasn't intended. Holden's struggle to delay maturing while feeling pressure to do so right away is beautifully captured in this.
The cassette Holden wants to buy for Phoebe serves as the first example of his aesthetic preferences in Chapter 16, which explains why he did. The story of a shy young child who stays inside her house because she is missing her two front teeth is told in a traditional ballad.
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An item i originally priced to ell for $ and i marked down %. A cutomer ha a coupon for an additional %. What i the total percent reduction and the final elling price?
The total percent reduction is 40% + 60X%. To find the total reduction, we first calculate the reduction due to the coupon by multiplying the final price after the markdown by X%.
The concept in this problem is to calculate the final selling price of an item after it has been marked down by a certain percentage and a customer has a coupon for an additional percentage off.
The initial reduction due to the markdown is 40% of the original price, which is 70 * 40% = 28 dollars.
The final price after the markdown is 70 - 28 = 42 dollars.
Let's say the coupon has a value of X%. Then, the final reduction due to the coupon is X% of the final price after the markdown, which is 42 * X%.
The total reduction is the sum of the markdown reduction and the coupon reduction, which is 28 + 42 * X%.
The final selling price is the original price minus the total reduction, which is 70 - (28 + 42 * X%) = 70 - 28 - 42X%.
So, the total percent reduction is 28/70 + 42X/70 = 40% + 60X%
The complete question is shown below:
An item is originally priced to sell for $70 and is marked down 40%. A customer has a coupon for an additional %. What is the total percent reduction and the final selling price?
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As an Angel Investor you have been asked to assess an entrepreneur’s product and financing options. In your role as an Angel Investor you focus on one year at a time. The entrepreneur asks for $100,000 immediately to purchase a diagnostic machine for a healthcare facility. The entrepreneur hopes to be financed with 60 percent debt and 40 percent equity. As the entrepreneurs’ venture capital partner, you assign a cost of equity of 15% and a cost of debt at 10%. You require a Return on Investment (ROI) of 8%. You are using an After Tax Weighted Average Cost of Capital (AT- WACC) model. A 35% marginal tax rate is applied Address the following checklist items:
applies the calculated atwacc to explain why this is or is not a viable investment for the angel investor?
When assessing a potential investment opportunity, it is important for an angel investor to consider the entrepreneur's product and financing options. The angel investor should evaluate the risk involved, potential return on investment, and the entrepreneur's ability to repay the investment.
The first step in the evaluation process is to calculate the weighted average cost of capital (WACC). The cost of equity is assigned as 15% and the cost of debt as 10%.
The tax rate of 35% is applied to the cost of debt to arrive at the after-tax weighted average cost of capital (AT-WACC). The next step is to compare the AT-WACC to the required return on investment (ROI) of 8%. If the AT-WACC is lower than the ROI, then the investment is considered viable. In this case, the AT-WACC is higher than the required ROI of 8%, meaning this investment may not be a viable option for the angel investor.
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in the light of the system, describe the decisions to be made in the area of strategic planning, managerial control and operational control? what information would you require to make such decisions?
A strategic choice carries a significant level of risk and uncertainty. These choices primarily pertain to strategic planning. Strategic planning is a task that is focused on the future. Budget preparation, target markets, organizational aims, objectives, etc. are all part of strategic planning.
The managerial control activities are more of the focus at the middle level. Creating policies for the organization is a part of it.
At the medium level, managerial control activities take the stage. It includes developing organizational policies.
The system would be more complete MIS than just transaction processing if better and more effective communication, improved problem-solving effectiveness and speed, generation of new evidence for decision making, creation and development of competitive advantages, new approaches for problem-solving, support for unstructured decision making, etc. were all implemented.
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