what is the irr of $50,000 year one, $30,000 year 2 and $80,000 year 3, assuming an initial purchase price of $120,000 and discount rate of 5.75%?

Answers

Answer 1

Using a $120,000 initial purchase price and a discount rate of 5.75%, total irr of $50,000 first year, $30,000 year two, and $80,000 year three is 14.43%.

How would you define "discount explain"?

A purchase price or a percentage deducted from an item's typical selling price is referred to as a discount. Make sure they need all of the items you plan to get before waiting until after the weekend to make a purchase. Discounts for purchasing with cash as opposed to a credit card. Quantity discounts are reductions that promote buying more of a single product.

Briefing :

We can find out IRR using the MS Excel software package

Cash flows as below.

Year                 0            1              2               3

CF            -120000     50000    30000     80000

IRR = 14.43% IRR(D8:G8,)

The use of discount factor provided only arises if we try to calculate MIRR (Modified IRR)

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Related Questions

what are the three most important value drivers that managers can use to create a competitive advantage?

Answers

The correct answer is that The most important value drivers that managers can use to create a competitive advantage are. -complements -product features -customer service.

What is competitive advantage?

Competitive advantage is central to an organization's performance in a competitive marketplace.

Differentiate your company from its competitors and pave the way for higher profit margins, greater return on investment and accumulation of valuable resources.

Competitive advantage comes from the value a company can create for its customers. Sometimes this comes in the form of lower prices than competitors for the same benefits, and sometimes in the form of unique benefits that offset the higher prices.

Ultimately, the value created for the customer must outweigh the initial cost of creating that value for the organization.

There are two types of competitive advantage-> Low cost - when a company can manufacture a product at a lower cost than its competitors.

Differentiation – When an organization can differentiate its products and services in terms of quality, style, customer service, etc. to provide customers with better value than their competitors.

Cost advantage and differentiation is the ability to better manage industry structure, or industry forces (as introduced in Michael Porter's model of five forces) that influence profitability, than competitors.

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What is the name of the legal documents that specify arrangements between partners?

A. General Partnership
B. Fartnership Contract
C. Partnership Agreement
D. Articles of Partnership

Answers

Answer:

C. Partnership Agreement

Explanation:

It's the legal document that dictates the way a business is run and details the relationship between each partner.

A $10,000 federal subsidy per student in higher education would benefit
a. a student by exactly $10,000
b. a university by exactly
c. the student and the university in such a way that they would split the $10,000.
d. the student and the university in such a way that they would each get $10,000.

Answers

A $10,000 federal subsidy per student in higher education would benefit a student by exactly $10,000. The correct option is a.

The federal subsidy for higher education of $10,000 per student would directly benefit each student by giving them $10,000. By lessening the student's financial responsibility, the subsidy aims to increase access to and affordability of higher education. The government normally offers a subsidy to aid students in their pursuit of higher education; however, it is not always directly monetarily advantageous to the university.

Thus, the ideal selection is option a.

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Strategy are formulated even if conflicting policies are not yet
changed. True or False

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True. Strategies are formulated based on the current policies and circumstances, even if there are conflicting policies that have not yet been changed.

A strategy is a plan of action designed to achieve a particular goal or objective, and it is developed based on the current situation and available resources. While conflicting policies may create challenges or limitations, they do not necessarily prevent the formulation of a strategy.

In fact, the process of formulating a strategy may help to identify areas where policies need to be changed or revised in order to better support the desired outcome.

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A greeting card company wants to design an advertisement that invokes affection. Which tag line should it use for this purpose?
OA. "Win the race."
B.
"Show that you care."
OC. "Take pride in your achievement."
D. "Grab an opportunity."

Answers

The tagline that the greeting card company should use to invoke affection is "Show that you care."

This tagline is focused on expressing affection and indicating that the person cares for the recipient, which is directly related to the company's goal of designing an advertisement that invokes affection.

On the other hand, the other options, such as "Win the race," "Take pride in your achievement," and "Grab an opportunity," are more focused on achievement and competition, which are not directly related to the goal of invoking affection.

What is the total cost to conduct a market research survey will $500 base fee plus $3 per question and 1.25per person surveyed? The survey has 13 questions and will be sent to 300 people.

Answers

answer: The survey has 12 .

Explanation:

The concept of a project closeout meeting makes sense, yet many projects do not conduct one. Why do you think this is the case

Answers

The concept of a project closeout meeting is indeed important as it allows project stakeholders to review and evaluate the project's outcomes, lessons learned, and overall success. However, the reason why many projects do not conduct a closeout meeting can be attributed to several factors.

1. Time constraints: Projects often have tight schedules, and as the project nears its end, team members might prioritize completing the remaining tasks rather than allocating time for a closeout meeting.

2. Lack of awareness: Some project managers or team members might not be fully aware of the benefits and importance of a closeout meeting. They may view it as an unnecessary step or fail to recognize its potential impact on future projects.

3. Poor project management practices: In some cases, projects may lack effective project management practices, including a formal project closure process. This can result in the omission of a closeout meeting, as there may be no established procedure for conducting one.

4. Communication breakdown: Projects that face communication challenges may struggle to organize a closeout meeting effectively. If project stakeholders are not aware of the meeting or fail to prioritize it, it may be overlooked or neglected.

To address this issue, project managers should emphasize the importance of project closeout meetings and include them as a standard practice in project management methodologies. Educating team members about the benefits of closeout meetings and setting clear expectations can help ensure their successful implementation.

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YOOOOOOOOOOO just wanted to say

Answers

Answer:

wassup

Explanation:

in the ad/as model with an upward sloping sras curve, if autonomous net exports decreases by $57 billion and the marginal propensity to consume (mpc) is 0.50, then the equilibrium real gdp will change by?

Answers

In the AD/AS model with an upward-sloping SRAS curve, if autonomous net exports decrease by $57 billion and the marginal propensity to consume (MPC) is 0.50, then the equilibrium real GDP will change by $114 billion.

The AD/AS model is a graphical representation of the economy's output, price level, and interest rates, and how they interact. The aggregate demand curve is derived from the equation for aggregate demand, which is the sum of consumption, investment, government spending, and net exports. Aggregate supply, on the other hand, is determined by the willingness of producers to produce output at various price levels. The SRAS curve is upward-sloping, while the LRAS curve is vertical. The intersection of the AD and SRAS curves determines the short-run equilibrium price level and real GDP. The LRAS curve intersects the vertical axis at the natural rate of output, which is the long-run equilibrium real GDP. Since the SRAS curve is upward-sloping, a decrease in autonomous net exports leads to a decrease in the equilibrium real GDP. Here, the MPC is given as 0.50. Autonomous net exports, on the other hand, are reduced by $57 billion. As a result, we can use the multiplier formula to calculate the change in real GDP:

                           Multiplier = 1 / (1 - MPC)

                                           = 1 / (1 - 0.50)

                                            = 2

                         ∆Real GDP = Multiplier x ∆Autonomous Net Exports

                        ∆Real GDP = 2 x (-$57 billion)

                        ∆Real GDP = -$114 billion

Thus, a decrease in autonomous net exports of $57 billion with an MPC of 0.50 in the AD/AS model with an upward-sloping SRAS curve causes the equilibrium real GDP to decrease by $114 billion.

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suppose a 30-year maturity 9% coupon bond paying coupons annually with par value $1,000. the bond currently sells at a yield to maturity of 8%. suppose the market interest rate in two years is 8%. (a) [5pts] what is the price of the bond currently selling? (b) [5pts] suppose this bond is callable in 2 years with call price $1,100. will the bond be called? if yes, calculate the yield to call, compare with the yield to maturity and explain your finding. if no, explain why. (c) [5pts] suppose this bond is callable in 2 years with call price $1,050. will the bond be called? if yes, calculate the yield to call, compare with the yield to maturity and explain your finding. if no, explain why.

Answers

A). Given [n = 60; i = 3.5; FV = 1000; PMT = 40]

Therefore the bond sells for $1,124.72 based on the 3.5% yield to maturity:

Given, now [n = 10; PV = 1124.72; FV = 1100; PMT = 40]

Therefore, the yield to call is 3.368% semi-annually, and 6.736% annually:

B). In this scenario, FV = $1050

Therefore yield to call is 2.976% semi-annually, and 5.952% annually.

With a lower call price, the yield to call is lower.

C). In this case, given [n = 4; PV = 1124.72 ; FV = 1100; PMT = 40]

Hence, Yield to call is 3.031% semi-annually, and 6.062% annually:

A hobby rate is the amount of hobby due in line with length, as a share of the amount lent, deposited, or borrowed (called the fundamental sum). The overall interest on a quantity lent or borrowed depends on the predominant sum, the hobby fee, the compounding frequency, and the duration of time over which it's far lent, deposited, or borrowed.

The once-a-year hobby charge is the price over a period of 12 months. different interest charges practice over exclusive durations, along with a month or a day, however, they're usually annualized. A company borrows capital from a bank to buy belongings for its commercial enterprise. In return, the bank charges the business enterprise hobby. (The lender might also require rights over the new property as collateral.)

A bank will use the capital deposited with the aid of individuals to make loans to their customers. In return, the bank should pay people who've deposited their capital hobby. the quantity of hobby charges depends on the hobby fee and the quantity of capital they deposited.

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Complete Question:

A 30-year maturity, 8% coupon bond paying coupons semi-annually is callable in five years at a call price of $1,100. The bond currently sells at a yield to maturity of 7% (3.5% per half-year):

a. What is the yield to call?

b. What is the yield to call if the call price is only $1,050?

c. What is the yield to call if the call price is $1,100 but the bond can be called in two years instead of five years?

If tax rates decrease as income falls, the tax structure is​

Answers

Regressive taxes are those with tax rates that lower as income rises.

What are tax rates?

The term "tax rates" refers to a progressive tax rate system, in which the amount of tax owed rises as taxable income for an individual or company does.

Regressive taxes are those in which the average tax burden reduces as income increases. Middle- and high-income taxpayers bear a disproportionately large fraction of the tax burden, compared to low-income taxpayers, who bear a negligible amount.

Hence, the significance of the tax rates is aforementioned.

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Emann Systems is considering a project that has a cash flow as: (1,000), 450, 450, 450 for the years 0, 1, 2, 3 respectively. If WACC: 10 %, What is the project's MIRR?

Answers

Answer:

the project's MIRR is 14,20%.

Explanation:

The First Step is to Calculate the Terminal Value at end of year 3.  

Terminal Value (FV) = Sum of (PV x (1 + r) ^ 3 - n)

                                 = 450 x (1.10) ^ 2 + 450 x (1.10) ^ 1 + 450 x (1.10) ^ 0

                                 = 544.50 + 495.00 + 450.00

                                 = 1,489.50

The Next Step is to Calculate the MIRR using a Financial Calculator :

(1,000)         CFj

0          CFj

0          CFj

1,489.50  CFj

Shift IRR/Yr 14,2037 %

Therefore, the MIRR is 14,20%.

Lisa had a formidable task ahead of her; she wanted to prepare an income statement, statement of retained earnings and a balance sheet for the year ended or as of September 30, 2012, whichever was appropriate. In order to prepare these statements, Lisa had assembled information from the accountant, the bank and various departments within the company. She had only 50 minutes to complete the work before her meeting and so she began in a fury. Lisa noted with pride that her company had achieved sales of $487,000, of which only $103,000 had not been collected. To provide this sales level, $330,000 worth of goods had been purchased throughout the year, of which only $68,000 had not been paid for yet. At the beginning of the year, Lisa had noted that there was $82,000 worth of goods in the storeroom and she wondered how much money was invested in the inventory currently on hand. Lisa thought back to her initial decision to purchase the company and remembered that she had paid $25,000 over the book value of the company for a number of reasons. The land was listed at $60,000 and the building and equipment were listed at a cost of $80,000. While leafing through the accountant's notes, Lisa surmised that, as of September 30, 2011, accumulated depreciation on the building and equipment was $10,000. In addition, as of September 30, 2012, marketable securities totalled $60,000 and outstanding liabilities included notes payable of $67,000 and the current portion of the long-term debt of $10,000. Finally, for the fiscal year ending September 30, 2012, general and administrative expenses were $130,000 and the depreciation expense was $5,000. While trying to sort through all of the information, Lisa noted from the bank statements that the long-term portion of the mortgage loan was $113,000 and the debentures ( 5 per cent due 2014) were at $34,000. Lisa knew she couldn't forget about taxes; the company had incurred an income tax expense of $8,000 of which $3,000 was outstanding. In addition, Lisa wanted to satisfy her shareholders and, therefore, she paid $3,000 in dividends to the holders of the $30,000 in common stock. Finally, Lisa had made some headway; for the year ending September 30,2012, net income after tax was $23,000, net operating profit was $31,000 and gross profit was $166,000; as of September 30,2012 , retained earnings were $81,000 and total liabilities and shareholder's equity were $406,000. One last question still plaguing Lisa was how much cash the company had as of September 30, 2012.

Answers

To determine the cash balance, we need to adjust the beginning cash balance based on the net cash provided by operating activities and net cash used in financing activities.

To determine the cash balance as of September 30, 2012, we need to consider the information provided. Here are the relevant details:

1. Net income after tax: $23,000

2. Dividends paid: $3,000

3. Income tax expense: $8,000 (of which $3,000 is outstanding)

4. Accounts receivable (sales not yet collected): $103,000

5. Accounts payable (goods not yet paid for): $68,000

To calculate the cash balance, we need to consider the changes in cash from operating activities, financing activities, and investing activities.

1. Operating activities:

  Net income after tax: $23,000

  Add back non-cash expenses:

  - Depreciation expense: $5,000

  - Increase in accounts receivable: $103,000

  - Increase in accounts payable: $68,000

  - Income tax expense: $8,000 (outstanding)

 

Net cash provided by operating activities: $207,000

2. Financing activities:

  Dividends paid: $3,000

  Net cash used in financing activities: -$3,000

3. Investing activities:

  No specific information is provided regarding investing activities. Hence, we assume no significant cash flows in this category.

To determine the cash balance, we need to adjust the beginning cash balance based on the net cash provided by operating activities and net cash used in financing activities.

Assuming the beginning cash balance is not provided in the given information, we cannot determine the exact cash balance as of September 30, 2012.

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Identify and briefly discuss the three classes of projects usually found in an organization's project portfolio.
(1) Compliance (must do);
(2) Operational;
(3) Strategic

Answers

An organization's project portfolio typically consists of 1) compliance projects, which ensure adherence to legal and regulatory requirements; 2) operational projects, which aim to improve the efficiency of day-to-day operations; and 3) strategic projects, which align with the organization's long-term objectives.

The three classes of projects usually found in an organization's project portfolio are:

1) Compliance (must do) projects: These projects are essential for an organization to meet legal and regulatory requirements, ensuring that the business operates within the established guidelines. Compliance projects may include implementing new safety measures, updating privacy policies, or meeting industry-specific regulations. They are necessary to maintain a company's good standing and avoid potential fines or legal repercussions.

2) Operational projects: These projects focus on improving the organization's day-to-day operations, making them more efficient and cost-effective. Operational projects may include process improvements, system upgrades, or facility expansions. The primary goal is to enhance productivity, reduce costs, and improve the quality of the products or services provided by the organization.

3) Strategic projects: Strategic projects are designed to help an organization achieve its long-term goals and objectives, such as entering new markets, developing innovative products, or building partnerships. These projects are typically more complex and require significant investment and resources. They are driven by the organization's strategic vision and often involve cross-functional collaboration to ensure successful execution.

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Consider the following utility maximization problem; max U(x, y) ==In(1+x) +-In(1+y) subject to 2x+3y=13 4 a. What is the utility maximizing level of x and y? b. Check whether the second-order conditions are satisfied. What is the maximum utility? c. Suppose that the price of commodity x rises from 2 to 2. 25 (i. E. DP = 0. 25) How do the optiumum values of commodity x and commodity y change? Comment on your result. A certain factory produces

Answers

The utility maximization problem involves maximizing the utility function U(x, y) = ln(1+x) - ln(1+y) subject to the budget constraint 2x + 3y = 13. The goal is to determine the optimal values of x and y that maximize utility while satisfying the constraint.

To solve the utility maximization problem, we can use the Lagrange multiplier method. Setting up the Lagrangian equation L(x, y, λ) = ln(1+x) - ln(1+y) + λ(2x + 3y - 13), we can differentiate with respect to x, y, and λ to find the first-order conditions.

a. The utility maximizing levels of x and y can be found by solving the first-order conditions and the budget constraint simultaneously. The specific values will depend on the calculations.

b. To check the second-order conditions, we need to calculate the second derivatives of the Lagrangian. If the second derivatives are negative, then the conditions are satisfied. The maximum utility can be found by substituting the optimal values of x and y into the utility function.

c. When the price of commodity x rises, the optimal values of x and y may change. The specific impact will depend on the calculations. However, it is expected that the quantity of x demanded may decrease due to the higher price, potentially leading to an increase in the quantity of y demanded. The result can be interpreted based on the calculations and the theory of consumer behavior.

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Through which tool does the federal reserve affect money available for banks to loan? discount rate money multiplier open-market operations reserve requirement

Answers

The federal reserve affects money available for banks to loan by using the reserve requirement tool.

What is the reserve requirement in monetary policy?

Reserve requirement is said as the set-aside funds by the commercial banks that they utilize for meeting their liabilities and instant withdrawal from customers.

Therefore, when Fed increases the rate of reserve requirement then banks need to hold the large amount which reduces their ability to loan more funds. It ultimately reduces the money supply and vice-versa.

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Answer:

d or Reserve requirement

Explanation:

flex point 2023

2. A company determines that the cost, in dollars, of producing x items is given by C(x) = 15x + 0.07x". [5] a. Determine the marginal cost function. b. Find the marginal cost at a production level

Answers

a. The marginal cost function is MC(x) = 15 + 0.14x.  b. The marginal cost of producing 100 items is 29 dollars.

To find the marginal cost function and the marginal cost at a production level, we'll first need to determine the derivative of the cost function, C(x) = 15x + 0.07x^2.

a. Determine the marginal cost function:
To find the derivative, we'll apply the power rule: d/dx (x^n) = nx^(n-1).
For the term 15x, the derivative is 15(1)x^(1-1) = 15.
For the term 0.07x^2, the derivative is 2(0.07)x^(2-1) = 0.14x.
Thus, the marginal cost function is MC(x) = 15 + 0.14x.

b. Find the marginal cost at a production level:
To find the marginal cost at a specific production level, plug the value of x (number of items produced) into the marginal cost function. Let's say you want to find the marginal cost at a production level of 100 items. Plug x = 100 into the marginal cost function:
MC(100) = 15 + 0.14(100) = 15 + 14 = 29 dollars.

So, the marginal cost of producing 100 items is 29 dollars.

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1. Use the equation of exchange to answer this question.

If the money supply (M) is $200, velocity of money (V) is 2, price (P) is $5, what is the value of output (Q)?

a. $195

b. $40

c. $80

d. $400

2. The percentage of deposits which banks must keep in their vault to meet the withdrawal needs of depositors has decreased. Which of the following actions by the Federal Reserve could have caused this change?

a. A decrease in the discount rate

b. Lowering of the required reserve ratio

c. An open-market sale of government bonds

d. Issuing of more bonds

Answers

1. The value of output (Q) is $400. 2. Lowering of the required reserve ratio by the Federal Reserve could have caused the decrease in the percentage of deposits that banks must keep in their vault to meet withdrawal needs of depositors.

1. The equation of exchange is given by M V = P Q, where M is the money supply, V is the velocity of money, P is the price level, and Q is the value of output.

To find the value of output (Q), we rearrange the equation as Q = (M V) / P. Plugging in the given values, we have Q = ($200 ×2) / $5 = $400. Therefore, the value of output (Q) is $400, option d.

2. The required reserve ratio is the percentage of deposits that banks are required to keep as reserves.

If the percentage of deposits that banks must keep in their vault to meet withdrawal needs of depositors decreases, it implies a decrease in the required reserve ratio.

The Federal Reserve has the authority to change the required reserve ratio as part of its monetary policy tools.

By lowering the required reserve ratio, the Federal Reserve allows banks to hold a smaller portion of deposits as reserves, which increases their ability to lend and create more money in the economy.

Therefore, option b, lowering of the required reserve ratio, is the action by the Federal Reserve that could have caused the decrease in the percentage of deposits banks must keep in their vault.

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Name the choreographic element that encourages dancers to rely on musical cues, visual connections, and emotional phrasing.

Answers

The choreographic element that encourages dancers to rely on musical cues, visual connections, and emotional phrasing includes the time, energy, and space

What is the meaning of Choreography?

In art, a choreography means the way in which an idea is expressed physically through dance. When developing this concept, the users usually relies on important principles of organization to ensure that the idea takes a clear, appropriate, and aesthetically pleasing form.

These are principles that comprises the basic ingredients for the dancers' movements and patterns and help the choreographer utilize space, express intention and the music, and organize the dancers.

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Name two language features the author uses in order to achieve the purpose of the text


It is recommended that an adult has a minimum of 75 minutes of vigorous aerobic activity a week and, on at least two days a week , perform muscle-strengthening exercises. At Jim's Gym, we recognise the importance of keeping fit and we want to make the experience as comfortable and enjoyable as possible for you. We have a range of state-of-the-art equipment for cardio-vascular workout and muscle building. We also have a 20m pool and a spa. Every week, we run 10 classes ranging from relaxing yoga and pilates to high -energy body pump. If you're looking for a personal training programme, we have a team of six excellent personal trainers with a combined 50 years experience between them. After using our facilities , you can complete your experience with a meal or a drink in our members -only café. We have a choice of membership schemes to suit all: from basic membership to platinum membership entitling you to sign in guests and access all our weekly exercise classes. (See our website for more information.) Why not drop in to arrange your free session and guided walk through all our facilities ? We hope to see you soon.

Answers

Two language features the author uses in order to achieve the purpose of the text are the use of statistics/facts and personalization is used in this.

Who is the author?

"Author can be defined as a person who writes about something and gives the readers or viewers. And other can write a book common novel a play or even and article. It can be above any kind of stuff like information not fictional etc."

the author is using statistics and part to relieves the data of how and what they are doing. Also if the three at the first in personalization you are various information or being given to the customer and after the hours whatever question they have.

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Specialization can help a country's economy by:
O A. reducing the level of division in its labor force.
O B. increasing its overall opportunity costs.
O C. increasing the cost of its voluntary exchanges.
O D. reducing its need to be self-sufficient.

Answers

Answer: reducing its need to be self-sufficient

Answer:

reducing its overall opportunity costs.

Explanation:

what are some common tasks performed by Psychiatrists? (Select four options)

A administering first aid and life support care
B collaborating with other medical professionals
C maintaining patient information and records
D developing diagnostic imaging techniques
E prescribing, directing, or administering psychotherapeutic treatments or medications
F analyzing and evaluating patient data or test findings

Answers

Answer:

B, E and F and explanation I share you other thought about it

Explanation:

Psychiatrists are medical doctors who specialize in the treatment of mental health conditions. Some common tasks performed by psychiatrists include:

Conducting initial evaluations and assessments to diagnose mental health conditionsPrescribing and managing medications to treat mental health conditionsProviding individual, family, or group therapy to help patients manage their mental healthDeveloping and implementing treatment plans for patientsCollaborating with other healthcare providers to coordinate care for patientsProviding crisis intervention and support to patients experiencing mental health emergenciesConducting research to advance the field of psychiatry and improve treatment options for patients.

a type of bond that the issuer may take as long as 30 years to repay

Answers

The type of bond that the issuer may take as long as 30 years to repay is called a long-term bond.

Long-term bonds are financial instruments that typically have a maturity of more than 10 years. Such bonds are referred to as “long-term” because they have longer maturities than intermediate-term bonds, which have maturities of between one and ten years, and short-term bonds, which have maturities of less than one year.

In general, long-term bonds are issued by government agencies and corporations to raise funds to finance capital projects such as the construction of roads, bridges, airports, power plants, and other infrastructure projects, as well as to fund ongoing operations. In addition, long-term bonds are often used to finance mergers and acquisitions, capital expenditures, and other strategic initiatives.

Long-term bonds may have either a fixed or variable interest rate. Fixed-rate bonds pay a fixed amount of interest over the life of the bond, while variable-rate bonds pay a variable amount of interest that is tied to a benchmark interest rate, such as the London Interbank Offered Rate (LIBOR) or the Federal Funds Rate (FFR). Long-term bonds can be bought and sold on the bond market.

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Dominick earned $7.25 per hour until his state raised the minimum wage to $12 per hour, at which time his pay was increased to $12. Which law is the organization abiding by in this scenario

Answers

The law that Dominick's organization is abiding to when they increased his pay is the Fair Labor Standards Act (FLSA).

What does the Fair Labor Standards Act (FLSA) call for?

It states that employees should be treated in a fair manner that is consistent with the work they put in.

The Act makes this clearly by specifying that minimum wage laws should be abided by which was why the organization increased Dominick's wages when the minimum wage was raised.

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Can anyone help me think of an advertisement for a product I’m selling which is a drone.

Answers

Regardless of the variety of options available, all forms of advertising share two objectives: to influence customers so that they become leads or customers.

How to Influence Customers?

Consumer behavior is influenced by four psychological factors: attitude or set of beliefs, perception, learning, and motivation. Behaving in a manner that offers others the opportunity to change (their behavior, attitudes, thoughts, and ways) and/or accommodate your own wishes is one aspect of influencing skills. However, it is important to recognize that others may be unable to, unwilling to, or unprepared to respond to our request to be influenced. Human behavior is influenced by a variety of factors and characteristics. These are distinctions that are unique to the person with whom you are collaborating. Personality traits.

These are things that affect how a person interacts with other people. Institutional elements. Factors that affect the community and Public policy.

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The demand function for a certain product is given by p=55-0.8q. Find the manufacturer's marginal revenue when q=20. a. None of the above

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When q = 20 the manufacturer's marginal revenue is calculated by determining the revenue function and its derivative with respect to q. It is, therefore, found that the manufacturer's marginal revenue is 39.

The revenue function is obtained by multiplying the price (p) by the quantity (q) Revenue = Price * Quantity.

The demand function is given as p = 55 - 0.8q.

Now by substituting the value of q, we get p = 55 - 0.8 * 20.

p = 39.

So, when q = 20, the price p = 39.

Now to calculated revenue = p * q.

Revenue = 39 * 20.

Revenue = 780.

Now, we can calculate the marginal revenue by taking the derivative of the revenue function with respect to q.

Marginal Revenue = d(Revenue) / dq.

Differentiating the revenue function, we get.

Marginal Revenue = d(39q) / dq.

Marginal Revenue = 39.

Therefore, the manufacturer's marginal revenue is 39 .

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On January 1, 2011, Ellsworth Company completed the following transactions (use an 8percent annual interest rate for all transactions):a. Borrowed $2,000,000to be repaid in five years. Agreed to pay $150,000interest each year for the five years.b. Established a plant addition fund of $1,000,000to be available at the end of year 10. A single sum that will grow to $1,000,000will be deposited on January 1, 2011.c. Purchased a $750,000machine on January 1, 2011, and paid cash, $400,000. A four-year note payable is signed for the balance. The note will be paid in four equal year-end payments starting on December 31, 2011.1. In transaction (a), determine the present value of the obligation.2. In transaction (b), what single amount must the company deposit on January 1, 2011? What is the total amount of interest revenue that will be earned?3. In transaction (c), what is the amount of each of the equal annual payments that will be paid on the note? What is the total amount of interest expense that will be incurred?

Answers

In transaction (a), the total present value of the obligation is $2,043,678.14.
In transaction (b), the company must deposit a single sum that will grow to $1,000,000 at the end of year 10. In transaction (c), the amount of each of the equal annual payments that will be paid on the note is $139,258.18.

1. To determine the present value of the obligation in transaction (a), we need to calculate the present value of the $150,000 annual interest payments for five years and the $2,000,000 principal payment to be made at the end of year five.

Using an 8% annual interest rate, the present value of the interest payments is $574,349.58 and the present value of the principal payment is $1,469,328.56. Therefore, the total present value of the obligation is $2,043,678.14.

2. In transaction (b), the company must deposit a single sum that will grow to $1,000,000 at the end of year 10. Using an 8% annual interest rate, the single amount that must be deposited on January 1, 2011 is $463,193.51. The total amount of interest revenue that will be earned is $536,806.49 ($1,000,000 - $463,193.51).

3. In transaction (c), the amount of each of the equal annual payments that will be paid on the note is $139,258.18. The total amount of interest expense that will be incurred is $146,946.34. This is calculated by taking the total interest payable on the note ($249,946.34) and subtracting the interest payable in the first year ($103,000).

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Type the correct answer in the box. Spell all words correctly.
Which technology was used to try and prevent illegal recording, copying, and distribution of movies and TV shows?

The FTC was unsuccessful in their attempt to enforce____
technology to prevent illegal recording, copying, and distribution of movies and television shows.

Answers

The FTC was unsuccessful in their attempt to enforce technology to prevent illegal recording is called Digital Rights Management

The technology that was used to prevent illegal recording, copying, and distribution of movies and TV shows is known as Digital Rights Management (DRM). DRM is a technology that is used to restrict the access or use of copyrighted material. It is a set of access control technologies that aim to restrict the use, copying, and distribution of digital content.

DRM was introduced as a measure to prevent piracy and illegal distribution of copyrighted material. It was designed to protect the rights of content creators and ensure that they receive the rightful compensation for their work. However, despite its effectiveness in preventing piracy, DRM has been widely criticized for its restrictive nature and for limiting the freedom of users to access and use digital content.

The FTC attempted to enforce DRM technology to prevent illegal recording, copying, and distribution of movies and television shows. However, their efforts were largely unsuccessful as DRM technology was often circumvented by hackers and other tech-savvy individuals.

As a result, the use of DRM technology has been largely replaced by other measures such as watermarking and content identification systems that are more effective in preventing piracy and illegal distribution of copyrighted material.

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Zimmerman Auto sells new and used cars. Its assets are as follows: (1) the showroom building, a separate building used to service customer cars, and various parking lots, (2) a nearby acre of land not currently used by the auto dealership, (3) new and used cars and trucks for sale to customers, and (4) a car that is used to provide rides to customers who prefer to wait at home while their cars are serviced. The assets that are classified as plant assets on the company's balance sheet include:
A. (1) and (2)
B. (1) and (4)
C. (1). (2), and (3)
D. (1). (3), and (4)

Answers

Answer:

B. (1) and (4)

Explanation:

Plant assets are tangible assets that have a useful life of more than 1 year, and are used by the company in its normal operations.

The cars available for sale are part of the inventory while the land is considered an investment. The only plant assets are the showroom and surrounding buildings, and the car that provides free rides to customers.

why is workplace diversity so important in today’s business environment?

Answers

Answer:

Explanation:

Workplace diversity is important for several reasons in today's business environment:

Improved Decision Making: A diverse workplace brings together individuals with different perspectives, experiences, and backgrounds, leading to better decision making and problem solving.

Increased Creativity and Innovation: A workplace with a mix of different perspectives can lead to new and innovative ideas, and a more creative approach to problem solving.

Better Representation of Customer Base: A diverse workplace can help to better reflect the demographics of a company's customer base, leading to a better understanding of their needs and preferences.

Enhanced Reputation: Companies that are known for promoting diversity and inclusion are often viewed more favorably by both customers and employees, and may have an advantage in attracting and retaining top talent.

Improved Employee Satisfaction and Retention: A workplace that values diversity and provides equal opportunities for all employees can lead to a more positive and inclusive work environment, resulting in higher levels of employee satisfaction and reduced turnover.

Legal Compliance: Promoting diversity in the workplace is also important from a legal perspective, as there are laws and regulations in place to prevent discrimination in the workplace.

Overall, workplace diversity helps to create a more inclusive and productive work environment, which can lead to increased success for the business.

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