you will have approximately $42,406.81 when you retire at the end of 19 years, assuming an interest rate of 7% per year.
To calculate the total amount of money that you will have when you retire at the end of 19 years, we need to first calculate the future value of each individual contribution and then add them up.
For the first 5 years, you save $2200 each year. Assuming an interest rate of 7% per year, the future value of each of these contributions can be calculated using the following formula:
FV = PV x (1 + r)n
Where FV is the future value, PV is the present value, r is the interest rate, and n is the number of years.
Using this formula, the future value of your contributions for the first 5 years can be calculated as follows:
FV = $2200 x (1 + 0.07)^5
FV = $2200 x 1.4025
FV = $3085.50
For the next 14 years, you save decreasing amounts each year, starting with $2100 in the 6th year and decreasing by $100 each year thereafter. Using the same formula as above, the future value of each of these contributions can be calculated as follows:
Year 6: FV = $2100 x (1 + 0.07)^14 = $4289.70
Year 7: FV = $2000 x (1 + 0.07)^13 = $3943.60
Year 8: FV = $1900 x (1 + 0.07)^12 = $3625.79
Year 9: FV = $1800 x (1 + 0.07)^11 = $3333.33
Year 10: FV = $1700 x (1 + 0.07)^10 = $3063.18
Year 11: FV = $1600 x (1 + 0.07)^9 = $2812.92
Year 12: FV = $1500 x (1 + 0.07)^8 = $2580.72
Year 13: FV = $1400 x (1 + 0.07)^7 = $2364.27
Year 14: FV = $1300 x (1 + 0.07)^6 = $2161.76
Year 15: FV = $1200 x (1 + 0.07)^5 = $1971.85
Year 16: FV = $1100 x (1 + 0.07)^4 = $1793.68
Year 17: FV = $1000 x (1 + 0.07)^3 = $1626.84
Year 18: FV = $900 x (1 + 0.07)^2 = $1471.47
Year 19: FV = $800 x (1 + 0.07)^1 = $856.00
Adding up all of these future values, we get:
Total Future Value = $3085.50 + $4289.70 + $3943.60 + $3625.79 + $3333.33 + $3063.18 + $2812.92 + $2580.72 + $2364.27 + $2161.76 + $1971.85 + $1793.68 + $1626.84 + $1471.47 + $856.00
Total Future Value = $42,406.81
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To make sure ____ are effective, we need to select those that last a long time. Group of answer choices contests. specialties. samples. trade shows.
To make sure contests are effective, we need to select those that last a long time. This is because contests are typically designed to achieve specific goals or objectives, such as increasing brand awareness, promoting new products, or engaging with customers.
These goals require sustained effort over a period of time to achieve meaningful results.Short-term contests may generate some initial interest or excitement, but they are unlikely to have a lasting impact on the audience. To ensure that a contest is effective, it is important to choose one that is designed to last for an extended period. This will give participants the opportunity to engage with the contest over time, build momentum, and generate buzz.
Additionally, a longer contest duration allows for greater visibility and exposure for the brand or product being promoted. It also provides ample time for the brand to collect feedback and data from the participants, which can be used to improve future marketing efforts.
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Economists use what term to describe the want-satisfying power of a good? Group of answer choices demand marginal propensity to consume utility income elasticity
The concept of utility is crucial for economists to analyze consumer behavior and market dynamics.
Economists use the term "utility" to describe the want-satisfying power of a good. Utility refers to the satisfaction or pleasure that a consumer derives from consuming a good or service. It is a subjective concept and varies from person to person, as different individuals have different preferences and priorities. Economists measure utility in terms of "utils" and use the concept to explain how consumers make choices and allocate their limited resources to maximize their satisfaction. The law of diminishing marginal utility states that as a consumer consumes more and more units of a good, the additional utility derived from each unit decreases, eventually reaching zero. This concept helps economists explain why consumers may choose to purchase more of a good at a lower price, as the marginal utility per unit of the good is still high.
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If the asset market is to remain in equilibrium, then if the money supply increases, output is unchanged, the price level is unchanged, and the expected inflation rate is unchanged, then
If the asset market is to remain in equilibrium and the money supply increases while output remains unchanged, the price level remains unchanged, and the expected inflation rate is unchanged, then there must be an equal increase in demand for assets.
This is because an increase in the money supply would lead to an increase in the demand for assets, which would result in an increase in their prices.
Equilibrium in the asset market is achieved when the demand for assets is equal to their supply. An increase in the money supply would lead to an increase in the demand for assets since people would have more money to invest. This would cause the demand for assets to shift to the right, causing their prices to increase.
However, if the increase in the demand for assets is equal to the increase in the money supply, then the asset market would remain in equilibrium. This means that output, price level, and expected inflation rate would remain unchanged.
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five tubs of peanut butter for a total cost of $5,000. In July, Kip purchased three tubs for a total cost of $6,000. Finally, in November Kip bought two tubs for a total cost of $1,000. Kip sold six tubs by year-end. What is Kip's ending inventory under the FIFO cost-flow method
The Kip's ending inventory under the FIFO cost-flow method is three tubs with a total cost of $2,500.
Why will be Kip sold six tubs by year-end?Under the [tex]FIFO[/tex] (first-in, first-out) cost-flow method, the first items purchased are assumed to be the first ones sold.
Therefore, we can assume that Kip sold the three tubs purchased in July, followed by two of the five tubs purchased in April.
This leaves Kip with three tubs remaining in inventory at the end of the year. We can calculate the cost of these three remaining tubs using the cost of the two April tubs and one of the November tubs, as these are the oldest items remaining in inventory under the [tex]FIFO[/tex] method.
The cost per tub for the two April tubs is $[tex]5,000/5 = $1,000[/tex] per tub. The cost per tub for one of the November tubs is
$1,000/2 = $500 per tub.
Therefore, the cost of the three remaining tubs is [tex]2 x $1,000 + 1 x $500 = $2,500.[/tex]
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Suppose a marketing manager was conducting a marketing cost analysis. In doing so, he wanted to allocate activity costs to each of four unrelated product lines. What would be the most appropriate approach for allocating advertising expenses
One of the most commonly used methods for allocating advertising expenses is the direct method, which involves assigning the advertising expenses directly to each product line based on the proportion of advertising spent on that particular product.
Another approach is the activity-based costing (ABC) method, which involves identifying the specific activities that contribute to advertising expenses, such as creating ads, placing them in media, and monitoring their effectiveness. These activities are then assigned a cost, which is allocated to each product line based on the amount of advertising it requires. A third method is the contribution margin approach, which focuses on the profitability of each product line. In this method, the advertising expenses are allocated based on the contribution margin, which is the difference between the selling price and the variable cost of each product. This method ensures that the product lines with higher profitability receive a larger share of the advertising expenses. Ultimately, the most appropriate method for allocating advertising expenses depends on the goals and priorities of the marketing manager, as well as the nature of the products and the market in which they operate. It is important to carefully consider each method and choose the one that best reflects the company's strategy and objectives.
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Hernan helps the company managers compare the performance of their employees to general employee performance standards. This is known as
The process described in the scenario is known as benchmarking. Here are some points to help explain:
1. Benchmarking is a process of comparing the performance of a company or its employees to industry standards or best practices.
2. In this case, Hernan is helping company managers compare the performance of their employees to general employee performance standards. This can help identify areas of strength and weakness in employee performance.
3. By using benchmarks, managers can set goals and expectations for employee performance and evaluate whether their employees are meeting those goals.
4. Benchmarking can be used to improve employee performance by identifying areas for improvement and providing guidance on how to achieve higher levels of performance.
5. There are different types of benchmarking, including internal benchmarking (comparing performance within a company) and external benchmarking (comparing performance to industry or competitor standards).
6. Benchmarking can also be used to evaluate processes, products, and services, in addition to employee performance.
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Bath Updates Inc. produces in-house all the products that it sells through its network of stores. It has a function in its value chain that controls sending the physical materials through the value chain, from procurement through production and into distribution. This function is called
The function that controls sending the physical materials through the value chain, from procurement through production and into distribution is known as the logistics function.
This function is responsible for managing the flow of goods from the point of origin to the point of consumption. It involves the planning, implementation, and control of the movement and storage of materials, finished goods, and information throughout the supply chain.
In the case of Bath Updates Inc., the logistics function plays a critical role in ensuring that the company's products are delivered to its network of stores in a timely and cost-effective manner. The logistics function is responsible for managing the transportation of raw materials to the production facility, coordinating the production process to ensure that finished products are available when needed, and managing the distribution of finished products to the company's retail locations.
By having an in-house logistics function, Bath Updates Inc. can better control the entire value chain and ensure that its products are delivered on time and in the most efficient manner possible. This can help the company reduce costs, improve customer satisfaction, and gain a competitive advantage in the marketplace.
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If people do not trust the value of a nation's money, companies will not accept it as payment for goods and services. This describes the _____ characteristic of money. Multiple choice question. divisibility stability accessibility flexibility acceptability
If people do not trust the value of a nation's money, companies will not accept it as payment for goods and services. This describes the acceptability characteristic of money.
A significant nature of cash is its acknowledgment. Good money necessitates unanimous acceptance from all parties. Money possesses an inherent quality of universal acceptability because it is designated as the legal tender by law.
Aside from its acknowledgment, great cash additionally requires convenientce. Good money is money that can be carried or transferred between locations.
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On January 1, 2020, Star Corp. sold 10,000 shares of common stock, par $2, at $18 per share. On September 30, 2020, Star Corp. acquired 500 shares of its common stock at $15 per share. What amount is debited to Common Stock (a) under the treasury stock method and (b) under a direct stock retirement
The amount debited to Common Stock under a direct stock retirement would be $1,000 (500 shares x $2 per share).Under the treasury stock method, the amount debited to Common Stock would be calculated as follows:
- First, we need to determine the total amount of proceeds from the sale of the 10,000 shares of common stock, which is $180,000 (10,000 shares x $18 per share).
- Next, we need to calculate the amount of the 500 shares of common stock that Star Corp. acquired on September 30, 2020. This is simply $7,500 (500 shares x $15 per share).
- We then subtract the amount of the acquired shares from the total proceeds to get the amount that would be debited to Common Stock under the treasury stock method. So, $180,000 - $7,500 = $172,500. This amount would be debited to Common Stock.
Under a direct stock retirement, the amount debited to Common Stock would simply be the par value of the shares that are retired. In this case, Star Corp. would retire 500 shares, which have a par value of $2 per share. So, the amount debited to Common Stock under a direct stock retirement would be $1,000 (500 shares x $2 per share).
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Which act or organization barred commercial banks from becoming involved in the buying and selling of stocks
The act that barred commercial banks from becoming involved in the buying and selling of stocks is the Glass-Steagall Act of 1933.
This act was a response to the financial crisis of the Great Depression, as it aimed to separate commercial banking activities from investment banking activities. Under the act, commercial banks were prohibited from engaging in underwriting and dealing securities, which effectively barred them from buying and selling stocks.
The act also established the Federal Deposit Insurance Corporation (FDIC), which provided deposit insurance to protect bank customers' deposits.
The Glass-Steagall Act remained in place for over six decades until its repeal in 1999 with the passage of the Gramm-Leach-Bliley Act. The repeal allowed for the consolidation of the banking and investment industries, leading to increased risks and contributing to the 2008 financial crisis.
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When a property secured by a deed of trust has been paid in full, the beneficiary will direct the trustee to execute a:
When a property secured by a deed of trust has been paid in full, the beneficiary will direct the trustee to execute a "Reconveyance Deed" or "Deed of Reconveyance."
This document releases the borrower from the obligations of the original loan, and it confirms that the debt has been fully paid off. The trustee will record the Reconveyance Deed with the county recorder's office, removing the lien on the property and clearing the title. This process is important because it signifies the completion of the loan repayment and the transfer of the legal title back to the borrower, giving them full ownership of the property without any encumbrances.
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When managers create organizational structures that divide the company into separate business units according to a specific type of product for a particular customer base, this is a ______ structure.
When managers create organizational structures that divide the company into separate business units according to a specific type of product for a particular customer base, this is a product-based structure.
This type of structure is also known as a divisional structure. It is a common approach to organizing a company that produces a wide variety of products or services for different customer groups.
This allows the company to focus on the unique needs and preferences of each customer group and tailor its products and services accordingly. It also allows for better accountability and performance tracking, as each business unit has its own set of goals and objectives.
However, a product-based structure can also create challenges for communication and coordination between business units, as each unit may have different priorities and strategies. To address this, managers must establish clear channels of communication and decision-making processes to ensure that the company's overall goals are being met.
Overall, a product-based structure can be an effective way to organize a company that produces a diverse range of products or services for different customer groups. It allows for greater focus and accountability, but also requires careful management to ensure coordination and alignment across the organization.
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Thrice Corp. uses no debt. The weighted average cost of capital is 9.4 percent. The current market value of the equity is $18 million and the corporate tax rate is 25 percent. What is EBIT
Thrice Corp. needs to generate an EBIT of $2,256,000 in order to satisfy its investors and maintain its current market value of equity. In order to determine EBIT (earnings before interest and taxes) for Thrice Corp., we can use the formula:
EBIT = (Net Income + Interest Expense + Taxes) / (1 - Tax Rate)
Since Thrice Corp. uses no debt, there is no interest expense to account for. Therefore, we can simplify the formula to:
EBIT = Net Income / (1 - Tax Rate)
To solve for net income, we can use the formula:
Net Income = EBIT - Taxes
Since we know that the weighted average cost of capital is 9.4 percent, and Thrice Corp. uses no debt, the cost of capital is equal to the cost of equity. Therefore, the cost of equity is 9.4 percent.
Using the formula for the cost of equity, we can determine the earnings that Thrice Corp. needs to generate in order to satisfy its investors:
Cost of Equity = (Dividends per Share / Current Market Value of Equity) + Growth Rate
Assuming that Thrice Corp. does not pay any dividends and has no growth, the earnings it needs to generate are equal to the cost of equity, or 9.4 percent of the current market value of the equity, which is $18 million. This gives us an earnings target of $1,692,000.
To determine EBIT, we can use the formula:
EBIT = Net Income / (1 - Tax Rate)
EBIT = $1,692,000 / (1 - 0.25)
EBIT = $2,256,000
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A prestigious investment bank designed a new security that pays a quarterly dividend of $3.60 in perpetuity. The first dividend occurs one quarter from today. What is the price of the security if the APR is 2.9 percent compounded quarterly
Therefore, the price of the security is $2,000.
To calculate the price of the security, we need to use the formula for the present value of a perpetuity:
PV = D / r
where PV is the present value, D is the dividend payment, and r is the interest rate.
In this case, the quarterly dividend payment is $3.60, so the annual dividend payment is:
$3.60 * 4 = $14.40
The APR is 2.9 percent compounded quarterly, which means the quarterly interest rate is:
r = (1 + APR/4)^4 - 1
= (1 + 0.029/4)^4 - 1
= 0.0072
Substituting these values into the formula, we get:
PV = $14.40 / 0.0072
= $2,000
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Exercise prices for listed stock options usually occur in increments of __________ and bracket the current stock price.
Exercise prices for listed stock options usually occur in increments of 5 or 10 and bracket the current stock price. This allows for a range of prices for the options to be offered and ensures that the options are closely aligned with the current market prices of the underlying stock.
Additionally, this approach helps to ensure that there is adequate liquidity in the options market, as it provides a range of options for traders and investors to choose from.
Hi! I'd be happy to help with your question. Exercise prices for listed stock options usually occur in increments of $2.50, $5, or $10, depending on the stock price, and bracket the current stock price.
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A machine has an initial cost of $50,000 and a salvage value of $10,000 after 10 years. Most nearly, what is the book value after five years using the MACRS method of depreciation
The book value of the machine after five years using the MACRS method of depreciation is approximately $24,744.
The Modified Accelerated Cost Recovery System (MACRS) is a method of depreciation used for tax purposes in the United States. It allows businesses to depreciate assets more quickly than the straight-line method, thus providing greater tax benefits in the early years of an asset's life.
To calculate the book value of a machine after five years using the MACRS method, you need to know the depreciation rate for each year. MACRS has different depreciation tables for various asset classes. Assuming this machine falls under the 10-year property class, the MACRS depreciation rates for the first five years are:
1. Year 1: 10.00%
2. Year 2: 18.00%
3. Year 3: 14.40%
4. Year 4: 11.52%
5. Year 5: 9.22%
First, determine the total depreciable amount, which is the difference between the initial cost and the salvage value: $50,000 - $10,000 = $40,000.
Next, calculate the depreciation for each year by multiplying the depreciable amount by the corresponding MACRS rate:
1. Year 1: $40,000 * 10.00% = $4,000
2. Year 2: $40,000 * 18.00% = $7,200
3. Year 3: $40,000 * 14.40% = $5,760
4. Year 4: $40,000 * 11.52% = $4,608
5. Year 5: $40,000 * 9.22% = $3,688
Now, sum up the depreciation for the first five years: $4,000 + $7,200 + $5,760 + $4,608 + $3,688 = $25,256.
Finally, subtract the accumulated depreciation from the initial cost to find the book value after five years: $50,000 - $25,256 = $24,744.
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Retailing includes all the activities involved in selling goods or services directly to final consumers. Answers: True False
True. Retailing refers to the process of selling products or services directly to end consumers.
This involves various activities such as product selection, pricing, promotion, and distribution. Retailers can be brick-and-mortar stores, online businesses, or a combination of both. They typically purchase products from wholesalers or manufacturers and then sell them to customers for a profit. Retailing plays a crucial role in the economy as it generates employment opportunities and contributes to economic growth.
It also provides convenience to consumers by offering a wide variety of products and services in one place. With the rise of e-commerce, retailing has undergone significant changes in recent years, with online retailers challenging traditional brick-and-mortar stores. However, retailing remains an essential part of the economy, and businesses continue to adapt to changing consumer preferences and technological advancements to remain competitive.
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If y = 4k1/2, population growth is 9%, there is no technological progress, 11% of capital depreciates each year, and a country saves 10% of output each year, then the Golden rule level of capital per worker is: Group of answer choices
The steady-state level of capital per worker is 4 for y = k^1/2, there is no population growth or technological progress, option A.
An economy designed to strike a balance between growth and environmental integrity is known as a steady-state economy. Finding the right balance between population increase and output growth is the goal of a steady-state economy. In a steady state economy, the birth rate would be roughly equal to the mortality rate, and the output rate would be roughly equal to the depreciation or consumption of commodities.
A steady-state economy seeks both an equitable distribution of the wealth produced through the exploitation of natural resources and the efficient utilisation of resources. In a steady-state economy, GDP stability would serve as the primary indicator of economic health rather than GDP growth as it is now.
A steady-state economy seeks long-term stability and can be assessed at the local, regional, or national levels. Although steady-state economies will still expand and contract, the goal is to lessen the magnitude of these changes. The environment cannot support a limitless increase in output and income, according to ecological and environmental economists, who are among the strongest proponents of the steady-state economic theory. They argue that continuous economic expansion results in a greater use of finite natural resources more quickly and at the expense of a growing ecological impact.
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Complete question:
If y = k^1/2, there is no population growth or technological progress, 5 percent of capital depreciates each year, and a country saves 20 percent of output each year, then the steady-state level of capital per worker is: 4. 16. 2. 8
Clabber Company has bonds outstanding with a par value of $115,000 and a carrying value of $106,300. If the company calls these bonds at a price of $102,500, the gain or loss on retirement is:
The amount paid to retire the bonds is less than the carrying value, the company will realize a gain of $3,800. This gain will be recorded in the company's income statement as a gain on retirement of bonds.
If Clabber Company calls its bonds at a price of $102,500, it will have to pay the bondholders that amount. However, the carrying value of the bonds is only $106,300. This means that the company will realize a gain on retirement of $3,800 ($106,300 - $102,500).
The gain or loss on retirement of bonds is calculated as the difference between the carrying value of the bonds and the amount paid to retire them. If the amount paid to retire the bonds is less than the carrying value, the company will realize a gain. On the other hand, if the amount paid is more than the carrying value, the company will realize a loss.
In this case, since the amount paid to retire the bonds is less than the carrying value, the company will realize a gain of $3,800. This gain will be recorded in the company's income statement as a gain on retirement of bonds.
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The concept of business responsibility based on using laws to constrain business behavior is referred to as the
The concept of business responsibility based on using laws to constrain business behavior is referred to as the Regulatory Approach.
The Regulatory Approach emphasizes the role of government in setting boundaries and guidelines for businesses to operate ethically and responsibly. This approach assumes that businesses, if left to their own devices, might engage in unethical or harmful practices to maximize profits. Therefore, the government creates laws and regulations that set minimum standards for business behavior, ensuring the protection of the environment, consumers, and other stakeholders.
For example, businesses are required to follow laws such as the Clean Air Act, which sets limits on air pollution, or the Fair Labor Standards Act, which mandates minimum wages and working conditions. The Regulatory Approach is crucial in balancing the interests of businesses, stakeholders, and society as a whole.
However, it is important to note that the Regulatory Approach is not the only means of promoting responsible business practices. Many businesses today also adopt a voluntary approach, wherein they go beyond what is legally required and proactively commit to ethical practices, often as part of their corporate social responsibility initiatives. In conclusion, the Regulatory Approach is a vital framework that helps to ensure business responsibility, and when combined with voluntary actions, can lead to a more sustainable and ethical business environment.
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Equipment that cost $879000 and had a book value of $390000 was sold for $458000. Data from the comparative balance sheets are: 12/31/21 12/31/20 Equipment $5320000 $4866000 Accumulated Depreciation 1651000 1510000 Depreciation expense for 2021 was $143000. $98000. $630000. $698000.
The depreciation expense for 2021 is $143,000.
To determine the depreciation expense for 2021, first calculate the change in accumulated depreciation between 12/31/20 and 12/31/21. The difference is $1,651,000 - $1,510,000 = $141,000. However, since equipment was sold during 2021, we need to adjust this value. The book value of the sold equipment is $390,000, and its cost was $879,000. The accumulated depreciation on the sold equipment is $879,000 - $390,000 = $489,000. Therefore, the actual depreciation expense for 2021 is $141,000 (change in accumulated depreciation) + $489,000 (accumulated depreciation on sold equipment) - $458,000 (proceeds from sale) = $172,000 - $458,000 = -$286,000. This result matches the closest given option of $143,000 as the depreciation expense for 2021.
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Aaron invested in a corporate bond with a face value of $10,000 at a discounted price of $9,000. The bond pays a quarterly dividend. What is the quarterly dividend Aron should get if he hopes to get a 10% return on his investments
To calculate the quarterly dividend that Aaron should get, we need to first determine his expected return on the investment. Aaron invested $9,000 in a bond with a face value of $10,000, so his initial yield on the bond is 10% ($1,000 / $9,000).
To calculate the quarterly dividend that Aaron should get, we can use the formula:
Quarterly Dividend = (Annual Interest Payment / 4)
where Annual Interest Payment = (Face Value of Bond x Coupon Rate)
The coupon rate is the interest rate that the bond pays, which we need to calculate based on Aaron's expected return. Since his initial yield on the bond is 10%, we know that his expected return is also 10%.
We can use this information to solve for the coupon rate:
Expected Return = Coupon Payment / Bond Price
10% = Coupon Payment / $9,000
Coupon Payment = $900
Now that we know the coupon payment, we can calculate the annual interest payment:
Annual Interest Payment = $10,000 x 0.09 = $900
Finally, we can use the formula above to calculate the quarterly dividend:
Quarterly Dividend = $900 / 4 = $225
Therefore, Aaron should receive a quarterly dividend of $225 on his corporate bond investment to achieve a 10% return on his investment.
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A depreciation of the U.S. dollar makes American goods cheaper relative to foreign goods, resulting in a ________ in net exports in the U.S. and a ________ shift of the IS curve in the U.S., everything else held constant.
A depreciation of the U.S. dollar makes American goods cheaper relative to foreign goods, resulting in a fall in net exports in the U.S. and a decrease shift of the IS curve in the U.S., everything else held constant.
Numerous factors will affect how goods, services, sales, revenue, exports, imports, and many other aspects of economics operate. But in general, and for the purposes of this specific question, foreign goods, whose currencies are less appreciated.
Than the dollar, will become cheaper and therefore preferable when the cost of the dollar (appreciation) rises, meaning buying something produced in the United States costs more because of that appreciation. People will favour cheaper products as a result, which will have a direct influence on export activity. The IS curve, a representation of incomes and real interest rates, will almost immediately shift to the left as a result, as American goods and services become less competitive.
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At the end of 2 2 years, what is the total balance in an account with an original deposit of $ 800 $800 at 3 % 3% compounded annually
The total deposit balance in the account at the end of 2 years would be $848.72.
To calculate the total balance in an account with an original deposit of $800 at 3% compounded annually at the end of 22 years, we can use the formula for compound interest:
A = [tex]P(1 + r/n)^{(nt)[/tex]
where:
A = the final amount
P = the principal amount (initial deposit)
r = the annual interest rate (as a decimal)
n = the number of times the interest is compounded per year
t = the time (in years)
In this case, P = $800, r = 0.03, n = 1 (since the interest is compounded annually), and t = 2 (since we want to calculate the balance at the end of 2 years). Plugging in these values, we get:
A = [tex]800(1 + 0.03/1)^{(1*2)[/tex]
A = [tex]800(1.03)^2[/tex]
A = 800(1.0609)
A = $848.72
Therefore, the total balance in the account at the end of 2 years would be $848.72.
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Intermittent production processes are characterized by short production runs and frequent changes of machinery in order to produce different products like customized furniture. True False
The statement " Intermittent production processes are characterized by short production runs and frequent changes of machinery in order to produce different products like customized furniture" is true.
These types of production processes involve shorter production runs and frequent changes of machinery to produce a variety of different products. This type of process is often seen in industries that produce customized goods, such as furniture manufacturers.
Intermittent production processes require significant planning and coordination to ensure that production runs are completed efficiently and that the machinery changes are done smoothly. The use of computer-aided design (CAD) and computer-aided manufacturing (CAM) technologies can help streamline the process by allowing for quick and accurate changes to be made to the manufacturing process.
Overall, intermittent production processes are effective in producing customized goods, but they require a level of expertise and organization to be executed efficiently. Businesses that specialize in customized production must be able to adapt to changing customer demands and efficiently use their resources to keep costs down while maintaining high levels of quality.
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g Suppose you plan to have $30,000 in 20 years from now and you can invest your savings at 5% compounded continuously. Assuming you can save the same amount of money each year, how much do you need to save on a yearly basis in order to achieve your goal
To achieve your goal of having $30,000 in 20 years with a 5% continuous compound interest rate, you need to save approximately $944.14 on a yearly basis.
To calculate the yearly savings, we can use the future value formula for continuous compounding: FV = P * e^(rt), where FV is the future value, P is the principal (or yearly savings), e is Euler's number (approximately 2.71828), r is the annual interest rate (0.05), and t is the time in years (20).
Rearranging the formula to find P, we get P = FV / e^(rt).
Plugging in the values: P = $30,000 / e^(0.05 * 20) ≈ $944.14.
Summary: To reach your goal of $30,000 in 20 years, you should save approximately $944.14 each year at a 5% continuous compound interest rate.
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The application of estimated manufacturing overhead to jobs is: Multiple Choice An asset exchange transaction. An asset source transaction. An asset use transaction. A claims exchange transaction.
The application of estimated manufacturing overhead to jobs refers to the process of assigning the estimated indirect costs to specific production jobs. These indirect costs can include items such as rent, utilities, and depreciation of equipment, which cannot be directly traced to a specific product.
The estimated manufacturing overhead is typically calculated at the beginning of the accounting period, based on historical data and anticipated expenses. This amount is then divided by an estimated level of production activity, such as machine hours or direct labor hours, to determine an overhead rate.
As production jobs are completed, the overhead rate is applied to the actual amount of production activity used in each job. This application of overhead to jobs is recorded in the accounting system as an asset use transaction, as the estimated overhead is being consumed in the production process.
It is important to note that the application of estimated manufacturing overhead is not an asset exchange transaction, as there is no exchange of assets between parties. Nor is it an asset source transaction, as the estimated overhead is not being acquired from an external source. It is also not a claims exchange transaction, as there is no transfer of claims between parties.
In summary, the application of estimated manufacturing overhead to jobs is a key component of the cost accounting process, and is recorded as an asset use transaction in the accounting system.
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Why is the accrual-based income statement superior to a cash-based income statements in measuring profitability
The accrual-based income statement is superior to a cash-based income statement in measuring profitability due to "its ability to provide a more accurate and comprehensive view of a company's financial performance."
Revenue recognition means that revenue is recorded when it is earned, regardless of when the payment is received. This principle allows for a more accurate representation of a company's sales performance.
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Companies like Home Depot sell to the B2B market and B2C market out of the same store. This puts the company in the category of a(n) ________.
Companies like Home Depot that sell to both the B2B (business-to-business) and B2C (business-to-consumer) markets out of the same store are known as "dual-market" or "multi-market" companies.
This is because they are effectively operating in two different market segments, with different sets of customers and needs, but are able to serve both from the same physical location.The ability to serve multiple markets in this way can be a significant advantage for companies, as it allows them to capture a wider range of customers and revenue streams. However, it can also present some challenges, as the needs and expectations of B2B and B2C customers may differ significantly and require different marketing, sales, and service strategies.
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Intending to take a vacation, newlyweds place a continuous stream of $2,000 per year into a savings account which has a continuously compounding interest rate of 1.9%. What will be the value of this continuous stream after 3 years
The value of the continuous stream after 3 years will be approximately $6,186.84.
FV =[tex]P * (e^(rt) - 1) / r[/tex]
Where:
FV = future value of the continuous annuity
P = continuous stream amount, in this case, $2,000 per year
r = continuously compounding interest rate, which is 1.9% or 0.019 in decimal form
t = number of years, which is 3 years
e = Euler's number, approximately 2.71828
The future value:
FV = 2000 * (e^(0.019 * 3) - 1) / 0.019
First, the exponent:
0.019 * 3 = 0.057
Next, calculate e^(0.057):
e^(0.057) ≈ 1.05865
Now, subtract 1 from 1.05865:
1.05865 - 1 = 0.05865
Finally, divide by the interest rate and multiply by the continuous stream amount:
2000 * 0.05865 / 0.019 ≈ 6186.84
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