The function in R that produces the residuals is "resid()", option 4 is correct.
This function calculates the residuals of a linear regression model. Residuals represent the differences between the observed values and the predicted values of the dependent variable in the model. By subtracting the predicted values (obtained using the "predict()" function) from the observed values, "resid()" returns a vector of residuals.
These residuals can be used to assess the model's goodness of fit, identify influential data points, or check for violations of assumptions. The other options mentioned are not specific functions for calculating residuals. "error()" is not a built-in function in R, "rstandard()" is used to compute standardized residuals, and "yhat()" is not a recognized function in R for generating residuals, option 4 is correct.
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The complete question is:
Which function in R produces the residuals? Group of answer choices
1 error()
2 rstandard()
3 yhat()
4 resid()
What is the purpose of Journals in the accounting cycle?
A. Provide proof of all transactions
B. Record transactions for a business
C. Determines if credits and debits are equal
D. Records transactions in accounts
Answer:
b. record transactions for business
Explanation:
A journal is a detailed account that records all the financial transactions of a business, to be used for the future reconciling of accounts and the transfer of information to other official accounting records, such as the general ledger.
Explain how international trade, human capital, and physical capital can lead to economic growth.
Answer:
By following points international trade help in human capital and so on
Explanation:
1 International trade increases competition between national and international products
2 It strengthens bilateral and multilateral relationship
3 It enhances employment opportunities and helps in profit from trade sulprus
4 It facilitates specialization in the production of goods and services
5 It encourages national products to increase the quality at lower price.
6. It helps in production firms and companies to expand a large scale due to the entry of their products in international markets
Capital formation leads to the increase rate of savings due to which people can invest their saving in the productive sectors and can earn profit. Capital helps to increase the further wealth. Due to which people can raise their living standards. Country will be prosperous, reduction of poverty takes place in the country, proper mobilization of goods and services will be done properly e.t.c
Hope this helps
Have a great day. Thank you
Keynes believed that the best method for boosting an economy during a recession was to _____ a. increase money supply so that individuals would have more incentive to spend. b. cut government spending and increase taxes to reduce or even eliminate fiscal deficit. c. increase government spending and cut taxes so that consumers could spend more. d. cut both government spending and taxes to reduce government expenditure in the economy. e. increase both government spending and taxes to increase the role of government in the economy.
Answer:
c. increase government spending and cut taxes so that consumers could spend more.
Explanation:
John Maynard Keynes was a British economist born on the 5th of June, 1883 in Cambridge, England. He was famous for his brilliant ideas on government economic policy and macroeconomics which is known as the Keynesian theory. He later died on the 23rd of April, 1946 in Sussex, England.
Keynes believed that the best method for boosting an economy during a recession was to increase government spending and cut taxes so that consumers could spend more. This would lead to an aggregate demand.
Aggregate demand (AD) can be defined as the total quantity of output (final goods and services) that is demanded by consumers at all possible price levels in an economy at a particular time.
Banks do not hold a lot of their assets in the form of cash mainly because of:
a. regulation.
b. the fear of being robbed.
c. the opportunity cost of holding cash, cash does not earn interest.
d. it can encourage employee theft.
Banks do not hold a lot of their assets in the form of cash mainly because of the opportunity cost of holding cash, cash does not earn interest. The correct option is C.
Opportunity costs are the possible advantages that a person, investor, or company forgoes while deciding between two options. It is necessary to weigh the advantages and disadvantages of each choice offered in order to correctly assess opportunity costs.
The interest that could have been made if the cash had been used to buy bonds instead is the opportunity cost of keeping any money balance.
Therefore, due to the opportunity cost of holding cash and cash does not earn interest banks does nor prefer to hold a lot of their assets in the form of cash .
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in regard to resource leveling, why are noncritical path activities generally the first to be delayed?
Noncritical path activities are generally the first to be delayed in resource leveling because they have more flexibility in terms of their start and finish times compared to critical path activities.
Resource leveling is a technique used in project management to address resource constraints and optimize resource utilization. The critical path represents the sequence of activities that determine the project's overall duration. These activities have zero or very little flexibility in terms of their start and finish times, and any delay in critical path activities will directly impact the project's completion time. On the other hand, noncritical path activities have some slack or float, meaning they can be delayed without affecting the project's overall duration. By delaying noncritical path activities, project managers can better allocate scarce resources to critical path activities and ensure that critical tasks are completed on time. Delaying noncritical path activities allows for better resource utilization and avoids overloading resources when they are already stretched thin. It helps to balance resource allocation and ensure that critical activities receive the necessary attention and resources to meet project deadlines.
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Money that you owe the Internal Revenue Service because you did not pay enough in over the year is known as a ________________.
Tax due
Tax return
Tax refund
Tax bill
Answer:
Tax due or tax bill any one of them
Your friend Reggie needs to write a resume and asked for your help. In at least 150 words, create a guide for Reggie. What are the essential parts of the resume? What will he need to include? What will he need to avoid? Include information about how he should organize.
Answer:
Name
Address
Contact Number
Objective
Work Experience
Extra Curricular Activities
School Graduated
Referral
Signature
Explanation:
Simple steps in making a Resume
In a perfectly competitive market, if the market price is $4, how many units will they sell if they charge $4?How many will they sell if they charge over $4? Will they make more profit if they lower their price? Why or why not?
Answer:
In a perfectly competitive market, if the market price for a single unit is $4, then the number of units sold would be 32.
Explanation:
A perfectly competitive market is defined as a market where there are no monopolies - something extremely rare in the real world. However, it is a good example to explain the rules and workings of supply and demand in the market. There are multiple sellers and purchasers in a perfectly competitive market. Sellers earn just enough profit to keep their place in the market. Any more and they would lose their foothold in the marketplace to another company.
If the sellers are capable of producing more, then they can sell more, thus increasing their output. In any case, the economic output would be zero because the price is tangent to the low point on the average total cost curve. The seller has no control over market price because the price is set at equilibrium.
6
A company that is located in the U.S. and sells its product to customers in Mexico is participating in what?
A. Demographics
B. News media
C. The global marketplace
D. Web marketing
Answer:
c
Explanation:
the global marketplace
Answer:
C
Explanation:
got it right on Edge
According to the speaker, what are the three traditional Gs of growth?
Answer:
Consistent, Competitive & Profitable.
Explanation:
correct on edge
The three traditional Gs of growth are Growth, Gratitude, and Giving
What is tradition?The standard of a piece of information being discussed is indicated by tradition. For instance, "Homer is said to have been born on the island of Chios, although many other places have historically claimed him as their own." It may never be possible to confirm or deny this custom.
Growth: In other words, if you develop your workforce, your business will do the same. Don't you make an effort to hire employees that are smarter than you Give them an opportunity to succeed while guiding them while they do so.tradition
Gratitude can take many different forms. Your customers conducting business with you, internal promotions, and improving someone. Investing in a better world and receiving assistance in whatever form are both aspects of gratitude.
Giving: is a straightforward conclusion; you give it your all without holding back. Giving is recognizing the need and taking action to provide assistance in any form that is practical. Giving ultimately causes the business world to whirl. If you do it, other people will too. That's how easy it is.
Therefore, Traditional Gs of growth are Growth, Gratitude, and Giving
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Because Worldcom's accounting fraud was brought to an end with Cynthia Cooper's intervention,
WorldCom investor and employee losses were
Answer:
Explanation:
Less
Do an online search on team members in the workplace. Identify several types of group members. From your experience, identify other types of group members not mentioned in your online search. In four or more paragraphs, illustrate how you, as facilitator, would deal with each type of member. You may use the types mentioned in your research as well as those you identified.
What other things would you do as facilitator to ensure the team ran smoothly and efficiently?
Explanation:
A Guide to Effective Facilitation.
...
A good facilitator will:
Develop a detailed agenda after discussion with organization leaders. ...
Use participants' names. ...
Call on people in the order in which they raise their hands. ...
Make eye contact. ...
Use the ground rules (mutually agreed upon meeting rules for participation) early on.
A competent moderator will:
Following a conversation with the organization's executives, create a thorough agenda.Identify participants by name.As people raise their hands, call on them in that order.Establish eye contact.Use the ground rules, which are shared participation guidelines for meetings, as soon as possible.What is an online search?Online search is the interactive process of looking for and obtaining information from online databases using a computer. With the introduction of quicker databases and smart terminals in the 1980s, interactive searches became feasible. On the other hand, automated batch searching was widely used in the 1960s and 1970s. The bulk of internet searches done now are done via search engines. Supplemental reference transactions are frequently conducted online.
Online search is the interactive process of looking for and obtaining information from online databases using a computer. With the introduction of quicker databases and smart terminals in the 1980s, interactive searches became feasible. On the other hand, automated batch searching was widely used in the 1960s and 1970s. Today, the bulk of queries are made via search engines.
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What is the balance on an amortized loan of $340,000 after the first payment if the interest rate is 6% with a monthly P
Answer:
I think it would be $339,672.00 but not positive
Explanation:
ITS BUSINESS!! Someone help I literally dont know how to do it I have tried over a thousand times trying to figure it out (I will give brainiest I need explanation)
When utilizing Last-In, First-Out (LIFO), the inventory cost is $33,500; when using First-In, First-Out, it is $29,500; and the weighted average cost is $2515.15.
The weighted cost method is what?
You may calculate the average cost of your inventory, per unit, using the weighted average cost method. The cost of goods sold (COGS) divided by the total number of items in your inventory will give you the WAC.
What are the FIFO and LIFO accounting techniques used for?The Last-In, First-Out (LIFO) methodology is based on the notion that the most recent or most recent unit to enter inventory is sold first. According to the First-In, First-Out (FIFO) methodology, the oldest item in inventory should be the first to be sold.
Particulars Purchase amnt sales amnt
Inventory 5 X $2,400 12,000
Purchases 18 X $2,500 45,000
Purchases 10 X $2,600 26,000
Sold 5X 2,400 12,000
7X 2,500 17,500
First in and first out= $12,000 + $17,500= $29,500
Particulars Purchase amnt sales amnt
Inventory 5 X $2,400 12,000
Purchases 18 X $2,500 45,000
Purchases 10 X $2,600 26,000
Sold 10X 2,600 26,000
3 X 2,500 7,500
Last in, first out= $26,000 + $7,500= $33,500
Weighted average cost method= Cost of goods available for sale / Units available for sale
Weighted average cost method= $83,000 / 33= $2515.15
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currently, most applications of collaborative planning, forecasting, and replenishment (cpfr) have been in which industries? multiple select question. apparel food general merchandise agriculture
The most common applications of Collaborative Planning, Forecasting, and Replenishment (CPFR) are found in the apparel, food, and general merchandise industries.
In which industries are the applications of CPFR most prevalent?Explanation: Collaborative Planning, Forecasting, and Replenishment (CPFR) is a supply chain management strategy that focuses on enhancing collaboration and information sharing between trading partners.
While CPFR can be applied across various industries, it has gained significant traction in the apparel, food, and general merchandise sectors.
These industries often deal with complex supply chains involving multiple stakeholders, including manufacturers, distributors, and retailers.
The implementation of CPFR in these industries helps to improve demand forecasting accuracy, optimize inventory levels, streamline replenishment processes, and reduce costs.
The agricultural industry, although involved in the supply chain, may have different characteristics and requirements compared to the other mentioned industries, which might explain its relatively lower adoption of CPFR.
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If a capitalist country were to focus on taking care of underprivileged citizens and bridging the income gap, it would be best described as which economy?
A. communist
B. mixed
C. socialist
D. state
E. command
Answer:
C?
Explanation:
I Don't really know so please don't be mad
If a capitalist country were to focus on taking care of underprivileged citizens and bridging the income gap, it would be best described as a socialist economy. The correct option is C.
How do socialists explain inequality?The competitive and egotistical characteristics of capitalism are to blame for the disparity that exists in society. Socialists disagree that people are born with equal abilities, but they do think that because everyone contributes to society, they should all be paid equally.
Socialist principles include free access to products and services, production for use rather than profit, equal distribution of wealth and material resources among all people, and the end of market competition.
Thus, the ideal selection is option C.
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______ products have low immediate appeal but might benefit consumers in the long run, for instance, bicycle helmets or some insurance products.
Products that have low immediate appeal but might benefit consumers in the long run are known as utilitarian products.
Utilitarian products are goods or services that may not possess immediate appeal or offer instant gratification to consumers. However, these products are designed to provide long-term benefits or fulfill practical needs. Examples of utilitarian products include bicycle helmets, certain insurance products, energy-efficient appliances, or preventive healthcare services. Utilitarian products often prioritize functionality, safety, or long-term value over immediate aesthetic or sensory appeal. While consumers may not initially perceive them as exciting or desirable, they recognize the practical advantages and benefits they offer. For instance, bicycle helmets may not be visually appealing, but they are crucial for ensuring safety and protecting against head injuries during cycling.
The long-term benefits and practicality associated with utilitarian products make them valuable for consumers who prioritize functionality, safety, or long-term planning over immediate gratification. These products serve essential purposes and contribute to the well-being, security, and long-term interests of consumers, even if they may not possess the same immediate appeal as more hedonic or luxury items.
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What are the equilibrium price and quantity of yo-yos?
Price Qd Qs
$1 100 10
$2 80 35
$3 60 60
$4 40 85
$5 20 110
g How are the capital projects and debt service funds reported in the government-wide statement of net position
Capital projects and debt service funds are reported differently in the government-wide statement of net position.
Capital projects funds are used to account for financial resources specifically dedicated to the acquisition or construction of major capital assets, such as buildings, infrastructure, or equipment. In the government-wide statement of net position, the capital projects fund's assets, liabilities, and fund balance are not directly reported. Instead, the capital assets acquired or constructed using the fund are capitalized and reported as assets in the government-wide statement of net position. The related long-term debt issued to finance the capital projects is reported as a liability.
Debt service funds, on the other hand, are used to account for financial resources set aside for the payment of principal and interest on long-term debt. In the government-wide statement of net position, the assets, liabilities, and fund balance of the debt service funds are not directly reported. Instead, the principal and interest payments made from the fund are reflected as expenses in the statement of activities, reducing the net position.
In summary, capital projects funds are reflected indirectly through the capital assets and related long-term debt, while debt service funds impact the statement of activities by recording debt service expenses.
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What are the three questions addressed by financial management?
The questions addressed by the Financial management are about the long-term investments of the company, the company finances these investments, and how the company manages its day-to-day financial activities.
Financial management deals with long-term investment decisions. Companies need to make significant investments in various assets such as land, buildings, and equipment.
The three questions addressed by financial management are:
1. What long-term investments should the company undertake?
This involves the capital budgeting decision, where the company decides which projects or investments to pursue based on their potential profitability and growth.
2. How should the company finance these investments?
This relates to the capital structure decision, where the company determines the appropriate mix of debt and equity financing to optimize its cost of capital.
3. How can the company manage its day-to-day financial activities?
This pertains to the working capital management decision, where the company manages its cash, receivables, and inventories to ensure smooth operations and maintain adequate liquidity.
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which market structure is most likely to result in positive economic profits that cannot be competed away?
Monopolies are the market structure most likely to affect in positive profitable gains that cannot be competed away. A monopoly exists when there's only one dealer of a good or service in a request, which gives the dealer significant pricing power.
Since there are no close backups available for the product, consumers have no choice but to pay the price set by the monopoly. This pricing power allows monopolies to charge advanced prices and earn profitable gains that can not be competed down. Unlike in competitive requests, where profitable gains are temporary, monopolies can maintain their gains in the long run.
Similar high gains can lead to reduced affair, lack of innovation, and a negative impact on consumer interest. thus, governments frequently regulate monopolies to insure fair competition and cover consumers' interests.
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Based on historical figures, how much would you gain or lose by putting your money in a savings account compared to investing in the stock market?
A:You will lose $3.3 to 4 million by putting your money in a savings account compared to investing in the stock market.
B:You will gain $3.3 to 4 million by putting your money in a savings account compared to investing in the stock market.
C:You will lose $4.4 to 5 million by putting your money in a savings account compared to investing in the stock market.
D: You will gain $4.4 to 5 million by putting your money in a savings account compared to investing in the stock market.
You will gain $4.4 to 5 million by putting your money in a savings account compared to investing in the stock market. So, the correct answer is option D.
Due to their security, dependability, and liquidity, savings accounts are a wonderful place to keep money set aside for a future need. Your emergency fund and savings for short-term objectives, such as a trip or house maintenance, can be kept in these accounts.
In addition to having immediate access to your money when you need it, savings accounts frequently provide better interest rates than checking accounts. Even some savings accounts that offer an APY greater than money market accounts may be found. While high-yield savings accounts typically pay approximately 0.6 percent annual percentage yield (APY), the average APY on savings accounts is only 0.06 percent.
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which of the following statements about capitalizing costs is correct? group of answer choices capitalizing costs refers to the process of converting assets to expenses. only the purchase price of the asset is capitalized. capitalizing a cost means to record it as an asset, not as an expense. capitalizing costs results in an immediate decrease in net income.
The correct statement is (c) capitalizing a cost means to record it as an asset, not as an expense.
A cost or expense is capitalized when it is recorded on the balance sheet with the intention of postponing the expense's full realization. In general, capitalization costs is advantageous since businesses can amortise or depreciate them when they incur new assets with long lifespans. Capitalization is the term for this action. The idea of turning an idea into a company or investment is another example of capitalization. Capitalization in finance is a numerical evaluation of a company's capital structure. It can also indicate to commercialise when used in this manner. In corporate accounting, capitalization is utilized to match the timing of cash flows.
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What is one request a borrower can make of a lender if they know they will never be able to pay their full debt?
A. The borrower can ask for fees and penalties to be eliminated.
B. The borrower can ask for a reduction of the interest rate.
C. The borrower can ask to be absolved of some of the debt.
D. The borrower can ask for the monthly payment to be reduced.
The one request a borrower can make of a lender if they know they will never be able to pay their full debt is the borrower can ask for fees and penalties to be eliminated.
What happens if the borrower fails to repay the loan?A loan is known to be a kind of money that is borrowed for a length of time and it is known to be a non-performing asset (NPA).
When the repayment is overdue, the lender can seize the asset of the borrower and when a borrower can make of a lender if they know they will never be able to pay their full debt is the borrower can ask for fees and penalties to be eliminated.
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Answer:
C. The borrower can ask to be absolved of some of the debt
Explanation:
Who owns Good Energy Worldwide?
Good Energy Worldwide is a renewable energy company that specializes in solar panel installations and energy storage solutions. Good Energy Worldwide is a privately held company, which means that it is not publicly traded on a stock exchange.
Good Energy Worldwide is owned by Juliet Davenport. She founded the company in 1999 with the mission to transform the UK energy market by helping homes and businesses to be part of a sustainable solution to climate change. Davenport has been recognized for her work in the renewable energy sector, including being awarded an OBE for services to renewables in 2013.
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Which of the following choices is not a step that can reduce your spending?
a.
eating at home, rather than dining out
b. using budgeted cash only
c. forgoing premium cable TV channels
d. purchasing reduced fat lattes during the week
Out of the given options, you won't reduce your spending by d. purchasing reduced fat lattes during the week.
How can we reduce spending?The best way to reduce spending is by spending less on things that we don't need or that we can do without.
In this case, spending on fat lattes won't be a way to reduce spending because they aren't very significant.
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Dan bought a hotel for $2,600,000 in january 2011. in may 2015, he died and left the hotel to ed. while dan owned the hotel, he deducted $289,000 of cost recovery. the fair market value in may 2015 was $2,800,000. the fair market value six months later was $2,850,000.
a. what is the basis of the property to ed?
Answer:
$2,800,000
Explanation:
Given that
Purchased a hotel for $2,600,000
The Deducted amount is $289,000
Fair market value in may 2015 is $2,800,000
Six months later, its value is $2,850,000
Based on the above information,
The computation of the basis of the property to ed is shown below:
It should be equivalent to the fair market value i.e. $2,800,000 and hence, the same is to be considered
All other values should be ignored
What kind of risks can exist in a business?
A business may have a/an _________ or a/an _________ risks.
1a fulfilled
1b internal
1c distinct
2a unfulfilled
2b merged
2c external
A business may have internal risk or external risks. Hence the above blank is filled. A business usually takes steps to measure the limitations in the business tormented.
What is an Internal Risk and External Risks?Internal Risk is one wherein a business, an organization, or an institute is based on the fact that people have been working within the business and suppose the business loses some important assets. It is a loss internally for the business and is also called Internal Risk. Internal Risks can be also like some individual from within the business secretly supplying Business leads to other competitors this is known as Internal Risk.
Whereas External Risks are those that are being carried over some time and are continuously in the process of directly competing with the external markets or business institutes. External Risks include direct loss of the company in the market. This is known as the External Risk.
Hence, the above statement is correct.
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John works for Roth Inc., a mining firm, which strictly adheres to the employment rules as prescribed by the labor commission. The firm employs individuals only above the age of 23 for occupations that could pose safety hazards. In this scenario, which of the following social responsibilities is fulfilled by Roth?
A. Philanthropic responsibility
B. Economic responsibility
C. Legal responsibility
D. Superordinate responsibility
Hi! In this scenario, the social responsibility fulfilled by Roth Inc., a mining firm that strictly adheres to employment rules prescribed by the labor commission and only employs individuals above the age of 23 for hazardous occupations, is C. Legal Responsibility.
Legal responsibility involves complying with laws and regulations that govern how businesses should operate. By adhering to the employment rules set by the labor commission and considering the safety of their employees, Roth Inc. is demonstrating their commitment to legal responsibility.
They are ensuring that their hiring practices are in line with the laws and prioritizing the well-being of their workers.
In contrast, philanthropic responsibility refers to voluntary activities that benefit society, such as charitable donations or community involvement.
Economic responsibility involves maximizing profits and providing a return on investment for stakeholders, while superordinate responsibility refers to going above and beyond legal obligations to have a positive impact on society and the environment.
In summary, Roth Inc. fulfills its legal responsibility by following the labor commission's employment rules and ensuring the safety of its employees through appropriate age restrictions for hazardous occupations.
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(a) An amount of $100 is deposited into an account at the end of the 1st year, after which payments of $200, $400, $600,... are deposited at the end of every 2 years, that is, there will be a payment of $200 at time 3, a payment of $400 at time 5, and so on. The last payment will be made at the end of the 15th year. Determine the present value if the annual effective rate of interest is 2%. Round your answer to the nearest cent. [7] (b) An annuity-due consists of a first payment of $100, with subsequent payments increased by 7% over the previous one until the 10th payment, after which subsequent payments are level at the amount of the 10th payment. If the effective rate of interest is 7% per payment period, determine the present value of this annuity-due with 20 payments. Round your answer to the nearest cent
The present value of the series of uneven cash flows and the annuity-due with increasing and level payments can be calculated by discounting each cash flow back to the present using the respective effective rates of interest.
(a) To calculate the present value of the series of uneven cash flows, we need to discount each cash flow back to the present using the given annual effective rate of interest of 2%. The first cash flow of $100 at the end of the 1st year does not need to be discounted since it is already at the present time. The subsequent cash flows of $200, $400, $600, and so on, occur every 2 years. We can treat these cash flows as a series of regular cash flows of $200 at the end of every 2 years. We can use the present value of an ordinary annuity formula to calculate the present value of these cash flows:
Present Value = \($100 + $200/(1 + r)^2 + $200/(1 + r)^4 + $200/(1 + r)^6 + ... + $200/(1 + r)^30\)
where r is the annual effective rate of interest (2% in this case). By substituting the values and calculating the sum, we can find the present value of this series of cash flows.
(b) For the annuity-due with increasing payments followed by level payments, we need to calculate the present value of each payment and then sum them up to find the total present value. The first payment is $100 and subsequent payments increase by 7% over the previous one until the 10th payment. After the 10th payment, subsequent payments remain constant at the amount of the 10th payment. We can use the present value of an annuity-due formula to calculate the present value of these cash flows:
Present Value = \($100/(1 + r) + ($100 * (1 + g))/(1 + r)^2 + ($100 * (1 + g)^2)/(1 + r)^3 + ... + ($100 * (1 + g)^10)/(1 + r)^11 + ($100 * (1 + g)^10)/(1 + r)^12 + ... + ($100 * (1 + g)^10)/(1 + r)^30\)
where r is the effective rate of interest (7% per payment period) and g is the growth rate of subsequent payments (7% in this case). By substituting the values and calculating the sum, we can find the present value of this annuity-due with 20 payments.
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