On August 8, 1981, American Savings offered an insured tax-free account paying 23.24% compounded monthly. If you had invested $40,000 at that time, how much would you have on August 8, 2014, assuming that you could have locked the interest rate at the time of deposit

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Answer 1

Assuming the interest rate remained constant at 23.24% compounded monthly for 33 years, the future value of a $40,000 investment on August 8, 2014 would be approximately $4,670,424.16.

To calculate the future value of the investment, we can use the formula for compound interest:

A = [tex]P(1 + r/n)^(n*t)[/tex]

where A is the future value, P is the principal amount, r is the annual interest rate (as a decimal), n is the number of times the interest is compounded per year, and t is the time period (in years).

We are given that the interest rate is 23.24% compounded monthly. So, r = 0.2324/12 = 0.0193667 and n = 12. Also, the time period is 33 years (from 1981 to 2014).

Plugging in these values, we get:

A =[tex]$40,000(1 + 0.0193667/12)^(12*33)[/tex]

=[tex]$40,000(1.001614)^396[/tex]

= $40,000(3.9581)

= $158,324.36

Therefore, if you had invested $40,000 in the insured tax-free account offered by American Savings on August 8, 1981, you would have had approximately $158,324.36 on August 8, 2014, assuming that you could have locked the interest rate at the time of deposit.

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the phrase that attempts to promote or sell a product by capturing its essence in words was known as a

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The main answer to your question is that the phrase that attempts to promote or sell a product by capturing its essence in words is known as a "slogan."


A slogan is a short, memorable catchphrase or series of words that effectively conveys the key message or selling points of a product or service.

Companies and advertisers often use slogans in marketing campaigns to grab attention, highlight the benefits of their product, and create a lasting impression on potential customers.


In summary, a slogan is the term used to describe a phrase that promotes or sells a product by capturing its essence in words.

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In the CPI, goods and services are weighted according to Group of answer choices how long a market has existed for each good or service. the extent to which each good or service is regarded by the government as a necessity. how much consumers buy of each good or service. the number of firms that produce and sell each good or service.

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In the Consumer Price Index (CPI), goods and services are weighted according to how much consumers buy of each good or service. This approach helps to accurately reflect the changes in the cost of living for consumers and the overall price level in the economy.

The goods and services in the CPI are weighted based on how much consumers buy of each good or service.

This means that the CPI takes into account the relative importance of different items in the average consumer's basket of goods and services. The more a consumer spends on a particular item, the more weight that item is given in the CPI. This ensures that the index reflects changes in prices that have the greatest impact on consumers' budgets. It is important to note that the CPI does not consider how long a market has existed for each good or service, the extent to which each good or service is regarded by the government as a necessity, or the number of firms that produce and sell each good or service. While these factors may be relevant to understanding the dynamics of a particular market or industry, they are not directly related to the calculation of the CPI. In summary, the CPI weights goods and services based on how much consumers buy of each item, with the goal of reflecting changes in prices that have the greatest impact on consumers' budgets.

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What was the arithmetic average return for a stock that had the following annual returns over the past 4 years: 14.00% (4 years ago), 16.00% (3 years ago), -15.00% (2 years ago), and -35.00% (last year)

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The arithmetic average return for this stock over the past 4 years is -5.00%

To calculate the arithmetic average return for a stock, you need to first gather the annual returns of the stock over a specific time period. Let's say we have the following annual returns for a stock over the past 4 years:

14.00% (4 years ago)

16.00% (3 years ago)

-15.00% (2 years ago)

-35.00% (last year)

To calculate the arithmetic average return, you need to follow these steps:

Step 1: List the annual returns

List all the annual returns in order from oldest to newest:

14.00%

16.00%

-15.00%

-35.00%

Step 2: Add the annual returns together

Add up all of the annual returns to find the total return over the four-year period:

14.00% + 16.00% + (-15.00%) + (-35.00%) = -20.00%

The total return over the four years is -20.00%.

Step 3: Divide the sum of the annual returns by the number of years

To find the average annual return, divide the sum of the annual returns by the number of years:

-20.00% / 4 = -5.00%

The average annual return over the four-year period is -5.00%.

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The concept of sustainability requires that Group of answer choices all sources of energy used in an economy must come from the sun. global economic systems are based on the harvesting of natural products.

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The concept of sustainability does not require that all sources of energy used in an economy must come from the sun, nor does it necessarily mean that global economic systems must be based solely on the harvesting of natural products.

Sustainability is a complex and multifaceted concept that involves balancing environmental, social, and economic factors to ensure that the needs of the present are met without compromising the ability of future generations to meet their own needs.

While renewable energy sources such as solar and wind power are important components of a sustainable energy system, they may not be feasible or appropriate in all contexts. In some cases, other sources of energy such as fossil fuels or nuclear power may still be used, but with a focus on reducing their environmental impact through improved efficiency and emissions reductions.

Similarly, while the harvesting of natural products can be an important aspect of sustainable economic systems, it is also important to consider issues such as resource depletion, biodiversity loss, and social equity. A sustainable economy requires a holistic approach that considers the interconnections between natural systems, human societies, and the economy as a whole.

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Given fixed exchange rates, assume Mexico initiates contractionary monetary and fiscal policies to combat inflation. Other things equal, these policies will also

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If Mexico initiates contractionary monetary and fiscal policies to combat inflation, it will lead to a decrease in the supply of money and credit in the economy.

This, in turn, will increase interest rates in the country, making it more attractive for foreign investors to invest in Mexico. Consequently, the demand for Mexican currency will increase, causing an appreciation in the value of the Mexican peso. The appreciation of the peso will make imports cheaper and exports more expensive, resulting in a decrease in the demand for Mexican goods and an increase in the demand for foreign goods. As a result, the country's trade deficit will increase, and the economy may face other economic challenges such as a decline in economic growth and a rise in unemployment.

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________ is defined as an in-depth examination of the external and internal environmental factors that are likely to have the greatest impact on the future of the company.

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The term you are referring to is commonly known as a SWOT analysis. SWOT stands for Strengths, Weaknesses, Opportunities, and Threats.

A SWOT analysis is a comprehensive evaluation of the internal and external factors that may affect the success of a business. The internal factors include the company's strengths and weaknesses, such as its financial resources, management structure, and operational efficiency. The external factors include opportunities and threats, such as market trends, competitor actions, and changes in regulations or technology.
A SWOT analysis is typically conducted by a team of stakeholders, including executives, managers, and employees, who gather and analyze data from various sources, such as customer feedback, market research, and financial reports. The goal of a SWOT analysis is to identify areas of the business that need improvement and develop strategies to capitalize on strengths and opportunities while mitigating weaknesses and threats. Overall, a SWOT analysis is an essential tool for businesses seeking to maintain a competitive edge in a rapidly changing marketplace.

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What organization was founded in 1926 and is made up of companies that manufacture equipment used for generation, transmission, distribution, control, and utilization of electric power

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The organization that was founded in 1926 and is made up of companies that manufacture equipment used for generation, transmission, distribution, control, and utilization of electric power is called the National Electrical Manufacturers Association (NEMA).

It is a trade association for companies that design and manufacture electrical equipment, including lighting systems, motors, transformers, switchgear, and other related products. NEMA has been instrumental in shaping the electrical industry and promoting the development of new technologies. Its members represent a wide range of industries, from power generation to healthcare to consumer electronics. By working together, these companies are able to develop and promote new products and technologies that improve the efficiency, reliability, and safety of electrical systems.

One of the primary goals of NEMA is to promote standards and regulations that ensure the safe and effective use of electrical equipment. This includes developing guidelines for the installation, maintenance, and operation of electrical systems, as well as establishing standards for the design and manufacture of electrical equipment. NEMA also works closely with government agencies and other organizations to promote the use of energy-efficient technologies and to encourage the development of new and innovative products.

In summary, NEMA is a vital organization in the electrical industry, bringing together companies from across the sector to promote innovation, safety, and sustainability. Through its efforts, NEMA helps to ensure that the world has access to safe, reliable, and efficient electrical systems that power our homes, businesses, and communities.

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Individuals or groups hired to administer the property or resources of principals are called __________.

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Individuals or groups hired to administer the property or resources of principals are called agents.

An agent can be a person or an organization authorized to act on behalf of the principal. They are responsible for managing and protecting the principal's assets, making decisions, and carrying out instructions. In some cases, an agent may also have the authority to make legal and financial decisions on behalf of the principal. The relationship between the principal and the agent is based on trust and mutual understanding, and the agent is held accountable for their actions. Overall, the role of an agent is crucial in ensuring the efficient and effective management of the principal's property and resources.

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While the U.S. unemployment rate fluctuates over time, it normally returns to a long-run average somewhere between Group of answer choices 8% and 10%. 4% and 6%. 2% and 4%.

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The U.S. unemployment rate experiences fluctuations over time due to various economic factors, such as business cycles, market demand, and labor force participation.

However, in the long run, the unemployment rate typically returns to an average range. This long-run average is referred to as the natural rate of unemployment, which encompasses frictional and structural unemployment, but not cyclical unemployment. The natural rate of unemployment in the U.S. generally falls within the range of 4% and 6%.

Frictional unemployment occurs when workers are temporarily between jobs, such as during a job search or a career transition. Structural unemployment arises from a mismatch between the skills of the labor force and the skills required by employers, often due to technological advancements or changes in the economy.

The natural rate of unemployment does not include cyclical unemployment, which results from economic downturns and recessions. In summary, while the U.S. unemployment rate experiences fluctuations due to various economic factors, it generally returns to a long-run average between 4% and 6%. This range encompasses the natural rate of unemployment, which includes frictional and structural unemployment, but not cyclical unemployment.

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At the beginning of the year, a firm had $120,000 in total assets and a debt-to-assets ratio of 0.5 or 50%. During the year, the firm's assets increased by $40,000, and its liabilities increased by $36,000. What is the debt-to-assets ratio at the end of the year

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The debt-to-assets ratio at the end of the year is 0.6 or 60%. The debt-to-assets ratio measures the proportion of a company's assets that are financed by debt.

It is calculated by dividing total debt by total assets.

At the beginning of the year, the firm had $120,000 in total assets and a debt-to-assets ratio of 0.5 or 50%. This means that the firm's total debt was $60,000 ($120,000 x 0.5).

During the year, the firm's assets increased by $40,000, bringing its total assets to $160,000 ($120,000 + $40,000). Its liabilities increased by $36,000, bringing its total debt to $96,000 ($60,000 + $36,000).

Therefore, the debt-to-assets ratio at the end of the year can be calculated as:

Debt-to-assets ratio = Total debt / Total assets = $96,000 / $160,000 = 0.6 or 60%

The debt-to-assets ratio at the end of the year is 0.6 or 60%.

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Money is Group of answer choices backed by gold in the Federal Reserve Bank. the same as wealth. the value of all coins and currency in circulation at any time. anything that is generally accepted as a medium of exchange.

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Money can be defined as anything that is generally accepted as a medium of exchange. It can be coins, currency, checks, or digital forms of payment. Money is used in almost every economic transaction and has a significant impact on the overall economy. The correct answer is  generally accepted as a medium of exchange.

The Federal Reserve Bank plays a crucial role in the management of money in the United States. While the Federal Reserve Bank does hold a significant amount of gold, this gold is not what backs the value of money in circulation. Instead, the value of money is based on the confidence that people have in it. People trust that the money they have in their possession will be accepted by others in exchange for goods and services.  The value of all coins and currency in circulation at any given time is known as the money supply.

The money supply can increase or decrease depending on the actions of the Federal Reserve Bank. The Federal Reserve Bank can influence the money supply by adjusting interest rates and implementing other monetary policies. In conclusion, money is not the same as wealth and is not backed by gold in the Federal Reserve Bank. Money is anything that is generally accepted as a medium of exchange, and its value is based on people's confidence in it. The Federal Reserve Bank plays a crucial role in managing the money supply, which is the total value of all coins and currency in circulation at any given time. The correct answer is  generally accepted as a medium of exchange.

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In the United States, the highest level of inflation since the Great Depression occurred in 1979. What was the percentage of inflation in 1979

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Policymakers continue to monitor inflation levels closely and take actions to keep it under control. In 1979, the United States experienced an inflation rate of 13.3%, which was the highest level of inflation since the Great Depression.

This was a result of several factors, including the oil crisis in the 1970s, which led to a significant increase in energy prices. Additionally, there were high levels of government spending and an increase in the money supply, which contributed to the inflationary pressure. The high inflation rate had significant effects on the US economy, leading to a decline in purchasing power for consumers and businesses. The Federal Reserve implemented tight monetary policy measures, such as raising interest rates, to combat the inflationary pressures. This eventually led to a recession in the early 1980s, as the economy adjusted to the higher interest rates and tighter monetary policy. The experience of high inflation in 1979 and its aftermath highlighted the importance of maintaining stable prices and controlling inflation in the long run. Inflation can have significant negative impacts on the economy, including reducing the value of savings, increasing uncertainty and volatility, and hindering economic growth. Therefore, policymakers continue to monitor inflation levels closely and take actions to keep it under control.

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Professional service firms, such as PriceWaterhouseCooper, often enter large international markets through FDI but usually use ________ to enter small markets. Group of answer choices equity-based collaborative ventures affiliates BOT arrangement turnkey contracting

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Professional service firms such as PricewaterhouseCoopers typically use collaborative ventures to enter small markets.

This approach allows them to share resources and expertise with local partners while reducing the risks and costs associated with foreign direct investment (FDI). Collaborative ventures can take different forms, including joint ventures, strategic alliances, and partnerships, and they can help firms gain access to new markets, customers, and knowledge while minimizing their exposure to political, legal, and economic risks.By partnering with local firms, professional service firms can also tap into their networks, relationships, and cultural insights, which can be critical for building trust and credibility with clients and stakeholders.

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__ marginal opportunity cost implies that the mroe resources already devoted to any activity, the payoff

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Marginal opportunity cost is the cost of choosing to allocate one additional resource to a particular activity, while forgoing the opportunity to allocate that resource to another activity. In other words, it is the cost of the next best alternative. As the level of resources devoted to any activity increases, the marginal opportunity cost also increases.

This is because when more resources are devoted to an activity, the initial resources allocated were most likely the most productive and efficient ones. As additional resources are allocated, the marginal productivity of those resources decreases, leading to a higher marginal opportunity cost.

For example, consider a manufacturing company that produces two products: A and B. If the company decides to allocate more resources to the production of A, the initial resources allocated were likely the most productive and efficient ones for producing A. As additional resources are allocated, they may not be as productive for producing A, and the marginal opportunity cost of producing B instead of A increases.

Therefore, it is important for businesses and individuals to consider the marginal opportunity cost when making decisions about resource allocation. It is essential to understand that as the level of resources allocated to an activity increases, the marginal opportunity cost of allocating those resources to another activity also increases.

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R.H. Tawney, with support from the British Labour Party, pushed ___________ towards a mixed economic system.

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R.H. Tawney, with support from the British Labour Party, pushed Great Britain towards a mixed economic system.

He argued that capitalism had led to inequality and social injustice, and therefore advocated for a mixed economic system that would combine elements of both capitalism and socialism. This mixed economic system would involve a greater role for the state in regulating the economy and providing essential services such as healthcare and education.

Tawney's ideas were influential in the British Labour Party, which adopted his vision of a mixed economy as part of their economic platform. This approach was implemented after World War II with the creation of the welfare state, which provided universal healthcare and education and introduced a range of social welfare programs. This mixed economic system helped to reduce inequality and improve living standards for millions of people in the UK.

Overall, R.H. Tawney's ideas and the support he received from the British Labour Party were instrumental in moving the UK towards a mixed economic system, which played a significant role in creating a more equitable society.

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Explicit costs are the costs associated with the resources that the firm owns. actual expenditures that a firm must make. the opportunity costs of all resources used by the firm. all costs associated with the short run.

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Explicit costs refer to the actual expenditures that a firm must make in order to produce goods or services.

These costs are incurred in the form of payments for labor, raw materials, rent, utilities, and other expenses that are paid out-of-pocket. Explicit costs are easily measurable and can be tracked in the firm's accounting records.

On the other hand, implicit costs are the opportunity costs of all resources used by the firm, including the owner's time and foregone alternative uses of the firm's resources.

These costs are not reflected in the accounting records but are just as real as explicit costs. For example, if a firm's owner decides to work in the business instead of taking a job that pays $50,000 per year, the implicit cost of the owner's time is $50,000 per year.

It's important for firms to consider both explicit and implicit costs when making business decisions.

By taking into account all costs, a firm can make more informed decisions about how to allocate resources and which projects to pursue.

This helps to ensure that the firm is using its resources in the most efficient and effective way possible.

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Because of traffic congestion near campus, a local taxi company has purchased rickshaws to transport students around the area. This is the first company to do this at your campus. What strategy of the 7S framework is being implemented here

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The strategy of the 7c framework being implemented here is the "Structure" element.

The taxi company is introducing a new mode of transportation, the rickshaws, to address the issue of traffic congestion near campus. This change in the mode of transportation will require the company to restructure its operations to incorporate the use of the rickshaws. This includes hiring new drivers, training them to use the rickshaws, and scheduling the use of the rickshaws during peak times.

Additionally, the company may need to adjust its pricing structure to accommodate the new mode of transportation. By introducing the rickshaws, the company is changing the structure of its operations to improve its service to customers and address a problem in the local transportation system.

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When there are many substitute products available, the price elasticity of demand for a given product will likely be Blank______.

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When there are many substitute products available, the price elasticity of demand for a given product will likely be high.

This is because consumers have many options to choose from and can easily switch to a substitute product if the price of their preferred product increases. As a result, the demand for the original product becomes more sensitive to changes in price.  When there are many substitute products available, the price elasticity of demand for a given product will likely be high. This is because consumers have more options to choose from, making them more responsive to changes in the price of the product. If the price of the product increases, consumers can easily switch to one of the substitute products, leading to a higher price elasticity of demand.

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Each of Proctor & Gamble's product groupings such as beauty and grooming (Crest toothpaste and Gillette razors) or household care (Downy fabric softener and Tide detergent) are examples of a________.

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Each of Proctor & Gamble's product groupings such as beauty and grooming or household care are examples of a product line.

A product line is a group of related products under the same brand marketed by a company. Product lines are often created to meet the needs of a specific target market and can help companies increase sales by offering customers a variety of products to choose from. In the case of Proctor & Gamble, their product lines are aimed at meeting the needs of consumers in specific areas of their lives, such as personal care and household cleaning. By grouping related products under the same product line, Proctor & Gamble can build brand loyalty and create a sense of consistency and reliability among its customers. This can help the company maintain a strong market position and increase its overall revenue. Additionally, product lines can be used as a strategy to differentiate a company's offerings from its competitors, making it easier for customers to recognize and choose their products.

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In 1911, the U.S. government sued Standard Oil, a U.S. company, for violation of antitrust laws. The company broke up into 34 smaller companies. This is an example of

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In 1911, the U.S. government sued Standard Oil for violation of antitrust laws. This is an example of government intervention to break up a monopoly and promote fair competition.

The U.S. government took legal action against Standard Oil, a powerful company that dominated the oil industry at the time, because it violated antitrust laws. These laws aim to prevent business practices that hinder fair competition, create monopolies, and ultimately harm consumers. In this case, Standard Oil was accused of using anti-competitive tactics, such as price fixing and predatory pricing, to maintain its monopoly in the oil market.

To address this issue, the U.S. government filed a lawsuit under the Sherman Antitrust Act, which is a federal law enacted in 1890 to prevent and break up monopolies that restrict trade and limit competition. The lawsuit resulted in the breakup of Standard Oil into 34 smaller, independent companies. This decision was intended to increase competition in the oil industry and protect consumers from unfair business practices.

The breakup of Standard Oil serves as a prominent example of government intervention to promote fair competition and prevent monopolies. It highlights the importance of antitrust laws in regulating businesses and maintaining a healthy, competitive market for the benefit of both consumers and the economy as a whole.

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The lowerofcostormarket rule demonstrates accounting conservatism in action. Question content area bottom Part 1 True False

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TRUE - The lower of cost or market (LCM) rule is an accounting principle that requires companies to report inventory at the lower of its cost or its current market value.

This principle is a reflection of the accounting concept of conservatism, which suggests that companies should be cautious in their financial reporting and should not overstate their assets or income. The LCM rule requires companies to write down their inventory value if the market value is lower than the cost, which is a conservative approach to financial reporting. The lower-of-cost-or-market (LCM) rule is an example of accounting conservatism in action. Accounting conservatism is a principle that guides accountants to choose the most cautious approach when making decisions or estimations in financial reporting. The LCM rule requires that inventory items be reported at the lower of their historical cost or market value. This ensures that potential losses from declining inventory values are recognized early, preventing an overstatement of assets and promoting a cautious approach to financial reporting.

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Which is a good strategy to use after you read to make sure you can remember the most important points

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A good strategy to use after reading to ensure you remember the most important points is summarizing the main ideas and creating a mental map of the content.

After reading, a good strategy to use to ensure that you remember the most important points is to summarize the key ideas in your own words. This can be done through note-taking, creating an outline, or writing a brief summary of the main points. Additionally, it is helpful to actively engage with the material by asking yourself questions and making connections to your own experiences.

Lastly, reviewing the material periodically can also aid in retaining the information. By using these strategies, you can improve your ability to recall important points and enhance your overall comprehension of the material.

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For construction of a civil engineering facility, a contractor has found natural reserves of sand and gravel at Bloomingdale and Valley Springs where he may purchase such material. The unit cost, including delivery from Bloomingdale and Valley Springs, is $5 and $7, respectively. After the material is brought to the site, it is mixed thoroughly and uniformly, and the contract specifications state that the mix should contain a minimum of 30% sand. A total volume of 100,000 m3 of mixed material is needed for the project. The Bloomingdale Pit contains 25% sand and the Valley Springs Pit contains 50% sand. As the new young construction engineer on the project, you are asked to determine how much material should be taken from each pit in order to minimize the cost of material.

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The contractor should take approximately 5,556 m3 of material from Bloomingdale and 27,778 m3 of material from Valley Springs to minimize the cost of the material, subject to the constraint that the mix contains at least 30% sand.

Let x be the amount of material (in m3) taken from the Bloomingdale Pit, and y be the amount of material (in m3) taken from the Valley Springs Pit. Then, we need to minimize the total cost of the material, which is given by:

C(x,y) = 5x + 7y

subject to the constraint that the mix should contain a minimum of 30% sand. The sand content of the mix is given by:

S(x,y) = (0.25x + 0.5y) / (x + y)

To satisfy the constraint, we need to have:

S(x,y) >= 0.3

Multiplying both sides by (x + y), we get:

0.25x + 0.5y >= 0.3(x + y)

0.05x <= 0.1y

x <= 2y

Now, we can set up the optimization problem:

Minimize C(x,y) = 5x + 7y

subject to S(x,y) >= 0.3

and x <= 2y

To solve this problem, we can use the method of Lagrange multipliers. Let L(x,y,λ) be the Lagrangian function:

L(x,y,λ) = 5x + 7y + λ(0.3(x + y) - 0.25x - 0.5y)

Taking the partial derivatives of L with respect to x, y, and λ, and setting them equal to zero, we get:

dL/dx = 5 + 0.05λ = 0

dL/dy = 7 + 0.2λ = 0

dL/dλ = 0.3(x + y) - 0.25x - 0.5y = 0

Solving the first two equations, we get:

λ = -100 for x = 100y

Substituting this into the third equation, we get:

0.3(101y) - 0.25(100y) - 0.5y = 0

y = 25000/9

x = 50000/9

Therefore, the contractor should take approximately 5,556 m3 of material from Bloomingdale and 27,778 m3 of material from Valley Springs to minimize the cost of the material, subject to the constraint that the mix contains at least 30% sand.

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You purchased Butterfly Wing Corporation stock exactly one year ago at a price of $76.50 per share. Over the past year, the stock paid dividends of $2.68 per share. Today, you sold your stock and earned a total return of 15.40 percent. What was the price at which you sold the stock

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The price at which you sold the stock was $85.60 per share. To calculate the price at which you sold the stock, we first need to calculate the total return on your investment.

Butterfly Wing Corporation stock was purchased exactly one year ago at a price of $76.50 per share, and it paid dividends of $2.68 per share. You earned a total return of 15.40 percent when you sold the stock. Let's find the price at which you sold the stock.

Step 1: Calculate the total return in dollars.
Total return = initial investment * total return percentage
Total return = $76.50 * 0.1540 = $11.78
Step 2: Calculate the dividend income in dollars.
Dividend income = dividends per share * number of shares
Dividend income = $2.68 * 1 = $2.68
Step 3: Calculate the capital gain in dollars.
Capital gain = total return minus dividend income
Capital gain = $11.78 - $2.68 = $9.10
Step 4: Calculate the selling price of the stock.
Selling price = Initial investment + capital gain
Selling price = $76.50 + $9.10 = $85.60

Butterfly Wing Corporation stock was sold at a price of $85.60 per share.

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Lox, Stock and Bagel, Inc. issued 50,000 shares of the 100,000 authorized. It has since repurchased 5,000 of its shares. The number of shares outstanding equals ______ shares. Multiple choice question. 50,000

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The number of shares outstanding equals 45,000 shares (50,000 issued - 5,000 repurchased = 45,000 outstanding).

The number of shares outstanding refers to the total number of shares that are owned by shareholders and are currently available for trading on the market. To calculate the number of shares outstanding, we start with the total number of shares issued by the company and then subtract the number of shares that have been repurchased and are no longer held by investors. The number of shares outstanding after repurchasing 5,000 shares will be 45,000 shares.

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Suppose we are interested in the price of a stock in five years, P5. We just paid a dividend of $2.20 and the growth rate is 4%. The required return is 12%. What is the price of the stock in five years

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The price of the stock in five years, P5, can be calculated using the dividend discount model formula: P5 = (D6 / (r - g)), where D6 is the dividend in year 6, r is the required return, and g is the growth rate.

In this case, we are given the dividend paid, D1, which is $2.20. Since we are interested in the price of the stock in five years, we need to calculate the dividend in year 6, D6. We can use the growth rate, which is 4%, to calculate D6 as follows: D6 = D1 * (1 + g)^5 = $2.20 * (1 + 0.04)^5 = $2.74.

We are also given the required return, which is 12%. Therefore, using the formula, we can calculate the price of the stock in five years as follows: P5 = (D6 / (r - g)) = ($2.74 / (0.12 - 0.04)) = $34.25.

The price of the stock in five years, P5, is estimated to be $34.25 based on the given information of the dividend paid, growth rate, and required return.

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suppose marginal propensity to consume (mpc) is 0.7 and there is a $100 increase in autonomous consumption. given this information, real gdp will increase by

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A $100 increase in autonomous consumption with an MPC of 0.7 would result in a $333.33 increase in real GDP.

The marginal propensity to consume (MPC) is the proportion of an increase in income that is spent on consumption. In this case, the MPC is 0.7, which means that for every $1 increase in income, 70 cents will be spent on consumption.
Autonomous consumption refers to the level of consumption that occurs regardless of changes in income. In this case, there is a $100 increase in autonomous consumption, meaning that consumption will increase by $100 regardless of any changes in income.
To calculate the increase in real GDP, we can use the formula:
ΔY = ΔC/ (1-MPC)
where ΔY is the change in real GDP and ΔC is the change in consumption.
Plugging in the values, we get:
ΔY = $100 / (1-0.7)
ΔY = $333.33
Therefore, the increase in real GDP will be $333.33.

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The aggregate expenditure model focuses on the ________ relationship between real spending and ________. Group of answer choices short-run; real GDP short-run; inflation long-run; real GDP long-run; inflation

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The aggregate expenditure model focuses on the short-run relationship between real spending and real GDP. This model is based on the assumption that in the short-run, prices are fixed and that changes in spending will result in changes in real GDP.

The model suggests that there are four components of aggregate spending, including consumption, investment, government spending, and net exports. These components are added together to determine the level of aggregate expenditure in the economy. The aggregate expenditure model is useful for predicting changes in real GDP in the short-run and for understanding the factors that contribute to economic growth or contraction. It can also be used to analyze the impact of fiscal and monetary policies on the economy. However, it is important to note that this model only applies to the short-run and that in the long-run, prices are flexible and changes in spending will result in changes in inflation rather than real GDP. Therefore, for long-run analysis, the aggregate expenditure model is not as useful as the aggregate supply and demand model.

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A stock is currently selling for $78 per share. You could purchase a call with a strike price of $64 for $15. You could purchase a put with a strike price of $64 for $1. Calculate the intrinsic value of the call option.

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The intrinsic value of the call option is said to be $14.

The intrinsic value of a call option is the difference between the current stock price and the strike price of the option. If the stock price is higher than the strike price, the call option has intrinsic value; if the stock price is lower than the strike price, the call option has no intrinsic value.

Given,

The stock price is $78 and the strike price is $64.

To calculate the Intrinsic value of the call option we will use the formula:

Intrinsic value of call option = Stock price - Strike price

Intrinsic value of call option = $78 - $64

Intrinsic value of call option = $14

Therefore, the intrinsic value of the call option is  $14.

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The intrinsic value of the call option is $14. This is calculated by subtracting the strike price from the current stock price.

Intrinsic value represents the difference between the current stock price and the strike price of an option, only when the option is in-the-money. In this case, the stock is currently selling for $78 per share, and the call option has a strike price of $64. Since the stock price is higher than the strike price, the call option is in-the-money. To calculate the intrinsic value, subtract the strike price from the current stock price: $78 - $64 = $14. This means the intrinsic value of the call option is $14. Note that the call option is currently being sold for $15, so there's an additional $1 of extrinsic value, which is the value derived from factors other than the stock price, such as the time until expiration and implied volatility.

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Alina has decided to follow her passion opening a dance studio to teach ballet lessons. She will be taking a pay cut to follow her dream. She makes an annual salary of

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Alina's decision to follow her passion and open a dance studio is a courageous one. While she may be taking a pay cut initially, she will have the opportunity to pursue something that truly makes her happy.

As the saying goes, "Choose a job you love, and you will never have to work a day in your life." It's important for Alina to plan carefully before making the transition to opening her own dance studio. She will need to create a business plan, figure out financing, and determine a marketing strategy to attract students. It's also a good idea for her to connect with other dance studio owners and seek advice from them. While Alina may not make as much money initially, she will have the potential to earn more as her business grows. She can also find ways to supplement her income, such as teaching additional classes or offering private lessons. In addition, the personal satisfaction and joy that comes from doing what she loves may be priceless. In the end, following your passion and doing what you love is often more fulfilling than just making a lot of money. Alina's decision to pursue her dream of opening a dance studio is commendable and she should be proud of herself for taking that leap of faith.

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