Which of these groups of values plugged into the TVM Solver of a graphing calculator will give the monthly payment for a 30-year loan for $265,000 at 5.9% interest, compounded monthly? A. N=360; 1% = 5.9; PV=0; PMT=; FV=-265000; P/Y=12; C/Y=12; PMT END O B. N=30; 1% = 5.9; PV=0; PMT= ; FV=-265000; P/Y=12; C/Y=12; PMT:END O C. N=360, 1% = 5.9; PV=-265000; PMT=; FV=0; P/Y=12; C/Y=12; PMT:END D. N=30; 1% = 5.9; PV=-265000; PMT=; FV=O; P/Y=12; C/Y=12; PMT:END​

Answers

Answer 1

The groups of values plugged into the TVM Solver of a graphing calculator will give the monthly payment for a 30-year loan for $265,000 at 5.9% interest, compounded monthly are,

N=360, 1% = 5.9; PV=-265000; PMT=; FV=0; P/Y=12; C/Y=12; PMT:END.

The correct option is C.

What is compound interest rate?

Compound interest is computed as interest on the principle of an account plus any accrued interest.

Compound interest can be calculated using the following formula:

x = P (1+r/n

,where x = compound interest

P = principal (the initial deposit or loan amount)

r = annual interest rate

n = the number of compounding periods per unit of time

t = the number of time units the money is invested or borrowed for

Given:

TVM Solver of a graphing calculator will give the monthly payment for a 30-year loan for $265,000 at 5.9% interest, compounded monthly.

Then,

N: The overall amount of payments. Calculating this is simple if you multiply the P/Y by the number of years.

I%: Interest rate per year. Enter this rate as a percentage at all times!

Present Value, or PV: This is the sum of your investment or the loan.

PMT: The sum due.

Future Value (FV): This is your desired level of savings or, if you are calculating loans, your projected loan balance at maturity.

P/Y: The quantity of payment intervals per year.

C/Y: The quantity of compounding cycles each year.

N=360, 1% = 5.9; PV=-265000; PMT=; FV=0; P/Y=12; C/Y=12; PMT:END

Therefore,  N=360, 1% = 5.9; PV=-265000; PMT=; FV=0; P/Y=12; C/Y=12; PMT:END.

To learn more about the compound interest rate;

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Step-by-step explanation:

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Answer:

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Answer:

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Step-by-step explanation:

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P.S. smile for me and have a great day!

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Answer:

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Step-by-step explanation:

Answer:

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Step-by-step explanation:

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Step-by-step explanation:

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Answer:

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Step-by-step explanation:

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Step-by-step explanation:

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Answer:

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Answer:

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Answers

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When composing music: For the physiological measure, the critical value for t was larger than the test statistic for the observed data. For the anxiety measure, the critical value for t was larger than the test statistic for the observed data.
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Answers

Answer:

The correct conclusion is;

d) Additional information is needed to draw a proper conclussion

Step-by-step explanation:

The given parameters are;

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Physiological measure Critical t > Test statistic Accept H₀

Anxiety measure Critical t < Test statistic Reject H₀

When composing music;

Physiological measure Critical t > Test statistic Accept H₀

Anxiety measure Critical t > Test statistic Accept H₀

When the test statistic is larger the critical 't'

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Answers

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Answers

Answer:

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Step-by-step explanation:

We solve this question treating the events as Venn probabilities.

I am going to say that:

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Event B: A student is proficient in mathematics.

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This means that [tex]P(A) = 0.82[/tex]

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This means that [tex]P(B) = 0.74[/tex]

65% were found to be proficient in both reading and mathematics.

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[tex]P = 1 - P(A \cup B)[/tex]

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With the values that we have:

[tex]P(A \cup B) = 0.82 + 0.74 - 0.65 = 0.91[/tex]

Then

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219

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Step-by-step explanation:

Find the sum. Enter your answer in the box below as a fraction, using the slash mark ( / ) for the fraction bar.
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Answers

Answer:

5/7

Step-by-step explanation:

2/7 + 3/7

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Answers

Answer:

$64.6

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Expected rate of return and risk - B.J. Gautney enterprises is evaluating a security. One year treasury bills are currently paying 4.3 %. Calculate the investment's expected return and its standard deviation. Should Gautney invest in this security?
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The investment's expected return is _% (round the two decimal places)
The investment's standard deviation is % (round the two decimal places)
Should Gautney invest in this security? (select the best choice below)
a) yes. B.J. Gautney Enterprices should invest in this investment because the return is lower than treasury bill and the level of risk higher than the treasury bill.
B) no. B.J. Gautney Enterprises should not invest in this investment because the return is lower than the treasury bill and the level of risk higher than the treasury bill.

Answers

Answer:

Step-by-step explanation:

[tex]\text{Investment's Expected Return} = (0.20 \times -0.04) + (0.50 \times 0.04) + (0.10 \times 0.07) + (0.20 \times 0.08) \\ \\ = (-0.008)+(0.02)+(0.007) + (0.016) \\ \\ \text{= 0.035}\\ \\ = 3.50\%}[/tex]

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[tex]SD= \sqrt{Var} = \sqrt{0.001665}= 0.0408 \\ \\ =\mathbf{0.04 \ to \ 2 \ d.p}[/tex]

[tex]\text{B) no. B.J. Gautney Enterprises should not invest in this investment because the} \\ \\ \text{return is lower than the treasury bill and the level of risk higher than the treasury bill.}[/tex]

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