assume you purchase a new machine for $20,000 that will return a savings of approximately $5,000 per year for an expected five-year period of time. at the end of this five-year period, you can sell the machine for $1,000 (salvage value). the annual depreciation of the machine is $4,000.00 calculate the annual rate of return (arr). a. 5% b. 3.5% c. 20% d. 4%

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Answer 1

At the end of this five-year period, you can sell the machine for $1,000 (salvage value). The annual depreciation of the machine is $4,000.00 with an annual rate of return of 6%. Here option E is the correct answer.

In this case, the initial investment is the cost of the machine, which is $20,000. The average annual profit is calculated by taking into account the annual savings that the machine provides, the annual depreciation of the machine, and the salvage value of the machine at the end of its useful life.

The annual savings provided by the machine is $5,000. The annual depreciation of the machine is $4,000. The salvage value of the machine at the end of its useful life is $1,000. Since the machine has a useful life of 5 years, we can divide the salvage value by 5 to get an average annual value.

So, to calculate the average annual profit, we subtract the annual depreciation from the annual savings and add the average annual value of the salvage value: ($5,000 - $4,000) + ($1,000 / 5) = $1,200.

Finally, we can calculate the ARR by dividing the average annual profit by the initial investment and expressing it as a percentage: ($1,200 / $20,000) * 100% = 6%.

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Complete question:

assume you purchase a new machine for $20,000 that will return a savings of approximately $5,000 per year for an expected five-year period of time. at the end of this five-year period, you can sell the machine for $1,000 (salvage value). the annual depreciation of the machine is $4,000.00 calculate the annual rate of return (arr).

a. 5%

b. 3.5%

c. 20%

d. 4%

e. 6%


Related Questions

which of the following are rights of common shareholders? choose 3 answers. transferable ownership voting on matters such as election of directors and proposals for mergers or liquidation opportunity to inspect corporate books and records priority for having debts paid from the liquidating company's assets

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Transferable ownership, voting on matters such as election of directors and proposals for mergers or liquidation, and opportunity to inspect corporate books and records are the rights of common shareholders. Options A, B, C are the correct answers.

An individual, organization, or institution that has common shares in a firm has a stake in the company and is referred to as a common shareholder. Together with the right to receive common dividend distributions, this will also grant the holder the power to vote on corporate matters including board elections and company policy. Options A, B, C are the correct answers.

Voting takes place during the company's annual meeting. If a shareholder is unable to vote in person, they may cast a vote by proxy and mail their ballot. Common shareholders own a stake in a part of the company's assets. A shareholder has the right to exchange their share on such a market since they have the power to transfer ownership. Normally, a company is sued in a shareholder class-action lawsuit. Options A, B, C are the correct answers.

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the practice in which companies frequently come out with new models of a product that make existing models obsolete is an ethical issue related to new-product development and is termed multiple choice bait-and-switch. time to market. planned obsolescence.

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The ethical issue related to new-product development in which companies frequently come out with new models of a product that make existing models obsolete is termed "planned obsolescence". Option (3)

Planned obsolescence is an ethical issue related to new-product development where companies intentionally design products to become obsolete or unusable within a certain period. This practice is intended to encourage consumers to replace their current products with newer models, thus generating more sales and revenue for the company.

While planned obsolescence can be seen as a strategic business practice, it can be considered unethical because it creates unnecessary waste, puts financial strain on consumers, and contributes to environmental degradation. Moreover, this practice can lead to a loss of consumer trust and loyalty towards the company, ultimately negatively affecting their reputation and future sales.

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Full Question: the practice in which companies frequently come out with new models of a product that make existing models obsolete is an ethical issue related to new-product development and is termed multiple choice

bait-and-switch. time to market. planned obsolescence.

due to rapid technological evolution, many dot-com companies have been created, been briefly successful, and failed in a relatively short period of time. those that have remained have had to be responsive to their ever-changing external environments. as a rule, you would expect dot-com companies to have a(n) design.

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Due to the fast pace of technological development, numerous dot-com companies have emerged, achieved brief success, and failed relatively quickly. As a rule, you would expect dot-com companies to have a matrix design.

Due to the rapid advancements in technology, the emergence of dot-com companies is a common occurrence, with many of these companies achieving brief success before succumbing to failure. As such, these companies are typically designed in a matrix structure, with teams consisting of multidisciplinary professionals who work together to create innovative solutions.

These solutions help the business stay competitive in the ever-changing market. In order to stay ahead of the competition, dot-com companies need to remain agile and continuously look for ways to improve their processes, products, and services.

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whole grain bakery purchases an industrial bread machine for $24,000. in addition to the purchase price, the company makes the following expenditures: freight, $1,400; installation, $2,800; testing, $900; and property tax on the machine for the first year, $480. what is the initial cost of the bread machine?

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Purchase price refers to the amount of money that is paid by a buyer to acquire a product, service, or asset.

The purchase price is an important consideration for both the buyer and the seller as it can impact the profitability of the transaction for each party. The initial cost of the bread machine can be calculated by adding the  of the machine with all the additional expenditures associated with it.

Purchase price of the bread machine = $24,000

Freight cost = $1,400

Installation cost = $2,800

Testing cost = $900

Property tax for the first year = $480

So, the total initial cost of the bread machine will be:

$24,000 + $1,400 + $2,800 + $900 + $480 = $29,580.

Therefore, the initial cost of the bread machine for Whole Grain Bakery is $29,580.

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the strategy of require the creation of a third-party legal entity, whereas the strategy of do not. group of answer choices licensing agreements; joint ventures strategic alliances; joint ventures joint ventures; strategic alliances franchising agreements; strategic alliances

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The strategies that require the creation of a third-party legal entity are joint ventures, while the strategies that do not require the creation of a third-party legal entity are strategic alliances.

What is joint venture?

A joint venture is a business arrangement in which two or more parties agree to pool their resources to achieve a specific goal. A new legal entity is created to carry out the joint venture, and each party typically contributes assets, capital, or expertise to the venture. The joint venture is governed by a separate agreement, and the parties share the risks and rewards of the venture.

What is strategic alliances?

On the other hand, a strategic alliance is a business arrangement in which two or more parties agree to work together to achieve a specific goal, but they do not create a new legal entity. Instead, the parties remain separate legal entities and enter into a contractual agreement that outlines the terms of their cooperation. Strategic alliances are less formal and less binding than joint ventures, and each party maintains control over its own assets and operations.

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Complete question is: The strategies that require the creation of a third-party legal entity are joint ventures, while the strategies that do not require the creation of a third-party legal entity are strategic alliances.

because consumers value differentiated products or product variety, group of answer choices in the long run, monopolistically competitive firms earn an economic profit. monopolistically competitive industries are efficient. the inefficiency due to excess capacity is offset. society must be more efficient with monopolistic competition than with perfect competition.

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In the long run, monopolistically competitive firms earn an economic profit because consumers value differentiated products or product variety. Hence, the correct option is the first one.

Monopolistic competition is a market structure in which many companies offer products or services that are similar but not identical. They are not perfect substitutes. Firms in monopolistic competition sell differentiated goods, and they have some market power. They face a downward-sloping demand curve because consumers are willing to pay different prices for different products.

In the long run, monopolistically competitive firms can earn an economic profit because consumers value differentiated products or product variety. The inefficiency due to excess capacity is offset. However, it is incorrect to say that monopolistically competitive industries are efficient, and society must be more efficient with monopolistic competition than with perfect competition.

In conclusion, the long-run economic profit of firms in monopolistic competition is due to the existence of differentiated products or product variety. However, this market structure is not as efficient as perfect competition.

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Graphically illustrate and discuss what happens to the statically efficient rate of output when there is: a) a technical change in the mode of production, such as new satellite-based resource exploration techniques; b) population or income growth; c) a new substitute technology; d) a change in consumer tastes and preferences away from some dimension of the product, e.g., plastic straws/bottles.

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a) rate of output when shifts upward b) Population or income growth shifts the demand curve to the right c) New substitute technology : demand curve to shift to the left d) Change in consumer tastes and preferences : the demand for the product decreases.

.

Technical change in the mode of production: With new satellite-based resource exploration techniques, the production function shifts upward, as it increases the productivity of the resources being used. This leads to a higher statically efficient rate of output, as the new technology allows for more efficient production.


Population or income growth: As population or income increases, the demand for products rises, which shifts the demand curve to the right. This leads to a higher statically efficient rate of output to meet the increased demand.


New substitute technology: If a new substitute technology is introduced, the demand for the original product may decrease, causing the demand curve to shift to the left. This results in a lower statically efficient rate of output, as less of the original product is demanded.



Change in consumer tastes and preferences: If consumers shift their preferences away from a certain product, such as plastic straws/bottles, the demand for the product decreases. This causes the demand curve to shift to the left, leading to a lower statically efficient rate of output, as less of the product is needed to satisfy consumer preferences.


The statically efficient rate of output can change based on various factors, such as technical changes in production, population or income growth, new substitute technologies, or shifts in consumer preferences. These factors influence the demand and supply curves, which in turn determine the statically efficient rate of output.

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problem 3. present value your crazy uncle tommy tutone recently passed away. ac- cording to his will, you are to receive a payment of $8675309 in 39 months. assume that you can invest money at an apr of 6.0% with quarterly compounding. what is the present value of this payment

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The present/current value of the payment is $6893556.22 following the principle of Compound interest.

To find out the present value using the ideals and rules of Compound interest we have to take a formula into consideration that deals with both interest rate, compounding regularity, and time.

 PV = [tex]\frac{FV}{(1 +r/n)x^{nx} }[/tex]

Here, PV = present value, FV = future value, r = annual interest, n = the number of times interest has been compounded and x =  the number of years in time format.

PV = [tex]\frac{8675309}{(1+0.006/4)^{(4*39/12)} }[/tex]

PV= $6893556.22

The present/current value of the payment is $6893556.22 following the principle of Compound interest.

This amount is invested daily at a 0.6% rate and inflected as a quarterly compound interest to reach the future payment of $8675309 in a time of 39 months.

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a factory produces 1000 units a month. if design capacity is 3000 and efficiency is 50%, what are utilization and effective capacity?

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The utilization is 33.33% and effective capacity is 1500 units per month.

Utilization is the ratio of actual output to design capacity, expressed as a percentage. In this case, actual output is 1000 units per month and design capacity is 3000 units per month, so the utilization is:

Utilization = (Actual output / Design capacity) x 100% = (1000 / 3000) x 100% = 33.33%

Effective capacity is the maximum output that can be achieved under current operating conditions. Since efficiency is given as 50%, effective capacity is half of the design capacity:

Effective capacity = Efficiency x Design capacity = 0.5 x 3000 = 1500 units per month.

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the pacemaker potential, also called the prepotential, is a result of group of answer choices na inflow. na outflow. k inflow. k outflow. ca2 inflow.

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The pacemaker potential, also called the prepotential, is a result of Na+ inflow. Here option A is the correct answer.

The pacemaker potential, also known as the prepotential, is a specialized type of electrical activity found in certain cells of the heart, such as the sinoatrial (SA) node. It is responsible for initiating the electrical impulses that drive the heartbeat and maintains the normal rhythm of the heart.

The pacemaker potential is the result of a slow, spontaneous depolarization of the cell membrane, which occurs during the diastolic phase of the cardiac cycle. This depolarization is caused by a gradual influx of positively charged ions, mainly calcium (Ca2+) and sodium (Na+), and a gradual efflux of potassium (K+) ions.

This gradual influx of positive ions, especially Na+ and Ca2+, makes the membrane potential progressively more positive until it reaches a threshold level that triggers the opening of voltage-gated calcium channels, leading to an action potential and contraction of the heart muscle.

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Complete question:

The pacemaker potential, also called the prepotential, is a result of group of answer choices

A - NA inflow.

B - NA outflow.

C - K inflow.

D - K outflow.

D - CA2 inflow.

if a student does an internship in a specific service line, their full-time offer will likely be for the same service line. true false

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The statement is True. That if a student does an internship in a specific service line, their full-time offer will likely be for the same service line.

When a student does an internship in a specific service line, they're generally exposed to the knowledge, skills, and expertise needed for that particular service line. As a result, their full- time offer is likely to be for the same service line since they're formerly familiar with the work and have demonstrated their capacities in that particular area during their internship. Numerous companies concentrate on training interns specifically for a position in a particular service line.

To enrich their performance and to insure they are a good fit for the part, making it more likely for the pupil to admit a full- time offer in that specific service line after completing their internship.Thus it's generally true that a pupil's full- time offer is likely to be for the same service line as their internship.

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bryan wants to target the market for his pool cleaning service. he has thoroughly studied his customers. what other information does bryan need?

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If Bryan has thoroughly studied his customers, he may already have a good understanding of their demographics, location, preferences, and buying behavior. However, to effectively target the market for his pool cleaning service, he may need to gather additional information such as:

Competition: Bryan should research his competitors to understand their strengths, weaknesses, pricing strategies, and marketing approaches. This information will help him identify gaps in the market that he can exploit to differentiate his service and attract more customers.

Industry trends: Bryan should keep track of the latest trends and developments in the pool cleaning industry. This information will help him stay ahead of the curve and adapt his service to meet the changing needs and preferences of his customers.

Marketing channels: Bryan should identify the most effective marketing channels to reach his target market. This could include online advertising, social media, word-of-mouth referrals, direct mail, or local publications. By understanding which channels his customers are most likely to use, Bryan can allocate his marketing budget more effectively.

By gathering and analyzing this additional information, Bryan can refine his targeting strategy and increase the effectiveness of his marketing efforts.

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question content areaautomobiles generally have a 3-year cost recovery period under the modified accelerated cost recovery system (macrs). true false

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Areaautomobiles generally have a 3-year cost recovery period under theModified Accelerated Cost Recovery System (MACRS).The given statement is true because they are classified as 5-year property according to the tax code.

This means that they are subject to a 5-year depreciation schedule, which is modified by the MACRS system. The MACRS system uses a method called double-declining balance depreciation, which results in a higher depreciation expense in the early years of the property's life and a lower expense in the later years. This is designed to provide a more accurate reflection of the property's declining value over time.

However, the system also includes a provision called the half-year convention, which assumes that property is placed in service halfway through the first year of ownership. This means that the first year of depreciation is calculated using only half of the full-year depreciation rate, resulting in a 3-year recovery period for automobiles. Overall, the 3-year recovery period is intended to provide a reasonable estimate of the useful life of an automobile for tax purposes. So therefore the answer is true.

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9. if the company pursues the investment opportunity and otherwise performs the same as last year, what roi will it earn this year? (round your percentage answer to 1 decimal place (i.e .1234 should be entered as 12.3))

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Without knowing the species of the investment opportunity, it is impossible to accurately predict the ROI the company will earn this year. The ROI will depend on the amount of investment, the expected return on investment, and the performance of the company's other operations.

Owners can evaluate their investments and compare the performance of one asset to other assets using the mathematical technique known as ROI. Sometimes extra tactics are added to a ROI calculation to establish a rationale for a particular proposal. In order to calculate ROI, subtract the asset's initial cost from its final value, divide the result even by cost of the investment, and then multiply the result by 100. ROI has several applications. While calculating ROI, the starting point is subtracted from the current value and the result is multiplied by the starting point.

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if the company pursues the investment opportunity and otherwise performs the same as last year, what ROI will it earn this year?

which of the following is an advantage of selling through an intermediary or partner? question 18 options: the partner gets the upside potential. cash flow is more predictable if the entrepreneur has a licensing agreement. the entrepreneur is able to manage user data and experience. the entrepreneur has control over branding, pricing, and relationship with customers. all of these are correct.

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The advantage of selling through an intermediary or partner is B. cash flow is more predictable if the entrepreneur has a licensing agreement.

This option presents several benefits for the entrepreneur. With a licensing agreement, the entrepreneur receives regular royalty payments based on sales or usage, ensuring a steady income. This predictability in cash flow can help the entrepreneur better manage finances and plan for the future. Additionally, selling through an intermediary or partner allows the entrepreneur to leverage the partner's resources, expertise, and existing customer base. This can lead to increased market reach and the potential for greater sales.

However, it's important to note that some of the other options have drawbacks. For instance, A. the partner gets the upside potential, implies that the entrepreneur might not enjoy the full benefits of their product's success. Similarly, C. the entrepreneur is able to manage user data and experience, and D. the entrepreneur has control over branding, pricing, and relationship with customers, are aspects that can be limited or compromised when working with an intermediary or partner.

In conclusion, while there are trade-offs associated with selling through an intermediary or partner, the predictability in cash flow resulting from a licensing agreement makes it an advantageous option for entrepreneurs. Therefore, the correct option is B.

The question is incomplete, Find the full content below:

which of the following is an advantage of selling through an intermediary or partner? question 18 options:

A. the partner gets the upside potential.

B. cash flow is more predictable if the entrepreneur has a licensing agreement.

C. the entrepreneur is able to manage user data and experience.

D. the entrepreneur has control over branding, pricing, and relationship with customers.

E. all of these are correct.

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the demand curve faced by the monopolist part 2 a. has greater price elasticity of demand as close substitutes for the monopoly product are developed. b. has lower price elasticity of demand as close substitutes for the monopoly product are developed. c. is always inelastic

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The demand curve faced by the monopolist has lower price elasticity of demand as close substitutes for the monopoly product are developed. The answer is OPTION B  

A demand curve is a graph that depicts the connection between the cost of a product or service and the volume demanded over a predetermined period of time. Demand curves can be used to comprehend the quantity-price relationships for customers in a specific market, such as corn or soybeans.

The relationship between price and desire is graphically depicted by the demand curve. The graphs display the amount and price of the commodity on the X- and Y-axes, respectively. It complies with the rule of demand in economics. The law of demand states that when a product's price drops, desire rises and vice versa. The answer is OPTION B  

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clementine county's assets have a market value of $8,000,000 and a duration of 27 at the current market interest rate of 5.5%. use the duration formula to estimate the value of the assets if the market interest rate changes from 5.5% to 4.9%. group of answer choices 9.356 million 9.107 million 9.012 million 9.228 million

Answers

The following is an estimate of the assets' change in value based on the duration formula:

Percentage change in asset value = - Duration × (Percentage change in interest rate)

= -27 × (-0.0091)

= 0.2457

Hence, a loss of 24.57% in asset value is predicted to occur (0.2457).

We can multiply the assets' existing market value by the anticipated percentage change to determine their new worth:

New asset value = $8,000,000 × (1 - 0.2457)

= $8,000,000 × 0.7543

= $6,034,400

As a result, if the market interest rate drops from 5.5% to 4.9%, the estimated value of the assets is roughly $6,034,400.

In response, $6.0344 billion (rounded to the nearest hundredth)

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if the u.s. interest rate is 4% and the u.k. interest rate is 1%, according to the irp, the future exchange rate premium should approximately be

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If the U.S. interest rate is 4% and the U.K. interest rate is 1%, the expected change in the exchange rate between the U.S. dollar and the British pound would be approximately 3%.

According to the International Fisher Effect (IFE), the expected change in the exchange rate between two currencies should be equal to the difference in the interest rates between the two countries.

For example, if the current spot exchange rate between the U.S. dollar and the British pound is 1 USD = 0.75 GBP, the future exchange rate based on the IRP would be 1 USD = 0.75 GBP × (1 + 3%)

= 0.7725 GBP.

However, it is important to note that the IRP assumes that there are no restrictions on capital flows and that there are no transaction costs or risks associated with exchanging currencies. In practice, these factors can affect the actual exchange rate movement, leading to deviations from the expected exchange rate based on the IRP.

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the most important strategic issue for companies to resolve when competing in international markets is multiple choice finding out about the regulation process and political and capital requirements. deciding which price strategy to follow. avoiding the risks of shifting exchange rates. choosing either a global, transnational, or international strategy. determining whether to standardize or customize the company's offerings.

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The most important strategic issue for companies competing in international markets is determining whether to standardize or customize their offerings. So, correct option is E.

This decision will have a significant impact on a company's success in foreign markets, as it affects their ability to appeal to local customers and compete with local businesses.

Standardization involves offering the same products or services in all markets, regardless of cultural, linguistic, or other differences. This approach offers benefits such as economies of scale, simplified operations, and consistent branding.

However, it can also limit a company's ability to appeal to local tastes and preferences, leading to lower sales and profits.

Customization, on the other hand, involves adapting products or services to meet the specific needs and preferences of local customers. This approach offers benefits such as increased customer satisfaction and loyalty, and a competitive advantage over local businesses. However, it can also be costly and complex to implement.

In order to make an informed decision on whether to standardize or customize offerings, companies must conduct thorough market research and analyze factors such as cultural differences, local competition, and consumer behavior.

Once a strategy has been chosen, companies must also develop effective implementation plans to ensure success in foreign markets.

Overall, the decision to standardize or customize offerings is a critical strategic issue for companies competing in international markets and requires careful consideration and planning.

Therefore, correct option is E.

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joe gets cold feet and doesn't show up for his wedding to sara. sara and her parents have spent $30,000 on the wedding. if sara sues joe she will probably

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If Sara sues Joe, she will probably seek to recover the $30,000 spent on the wedding.

If Sara sues Joe after he didn't show up for their wedding, she will probably win a breach of contract lawsuit. The reason is that Sara and her parents have already spent $30,000 on the wedding. Therefore, the best option for her is to sue him. This is the answer to the given question. However, there are certainly other things to consider before reaching any conclusion. Such as Sara and Joe can have a prenuptial agreement that determines what should happen to the money that has already been spent in case of a breakup. So, one must keep this in mind while answering this question.
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what is comparative advantage? a. the ability of laissez-faire capitalism to produce more goods and services than other forms of regulated capitalism b. the balance of power and influence between political and economic systems c. the tendency for tariffs to be more economically effective than quotas d. the ability for a country to produce a particular good or service relatively more efficiently than other countries

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Answer:

D. the ability for a country to produce a particular good or service relatively more efficiently than other countries

Explanation:

Comparative advantage is the ability of an individual or group to carry out a particular economic activity (such as making a specific product) more efficiently than another activity.

Comparative advantage is the ability for a country to produce a particular good or service relatively more efficiently than other countries.

This concept is a fundamental principle in international trade and is based on the idea that countries should specialize in producing goods or services in which they have a comparative advantage.


The concept of comparative advantage was first introduced by the British economist David Ricardo in the early 19th century. It explains that a country has a comparative advantage in producing a good or service if it can produce that good or service at a lower opportunity cost compared to other countries.

Opportunity cost refers to the value of the next best alternative that must be given up in order to produce a particular good or service.


For example, let's consider two countries, Country A and Country B, which can both produce cars and computers.

If Country A can produce cars at a lower opportunity cost than Country B, and Country B can produce computers at a lower opportunity cost than Country A, then each country has a comparative advantage in producing one of the goods.



In this case, it is more efficient for Country A to specialize in producing cars and Country B to specialize in producing computers. Both countries can then trade the goods they specialize in, leading to a more efficient allocation of resources and higher overall global production.


To summarize, comparative advantage is a key concept in international trade that explains how countries can benefit from specializing in the production of goods or services where they have a relative efficiency advantage compared to other countries.

This specialization allows for increased global production and mutually beneficial trade between countries.

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A $2,400 term loan has a 10% annual interest rate. What is the monthly payment? A) $32 B) $24 C) $12 D) $20

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D)$20

The monthly payment for a $2,400 term loan with a 10% annual interest rate is $20. This can be calculated using the following formula:

Monthly Payment = (loan amount * monthly interest rate) / (1 - (1 + monthly interest rate)^-months)

Since the annual interest rate is 10%, the monthly interest rate is 10%/12 = 0.00833. The loan has a term of 1 year, so the number of months is 12.

Using the formula for a loan of $2,400 with an interest rate of 0.00833, the monthly payment is ($2,400 * 0.00833) / (1 - (1+ 0.00833)^-12) = $20.

Therefore, the monthly payment for a $2,400 term loan with a 10% annual interest rate is $20.

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if the current rate of interest is 8% apr, then the future value of an investment that pays $250 per quarter and lasts 20 years is closest to

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If the current rate of interest is 8% apr, then the future value of the investment is $12,422.56

Future Value of investment = $250

Rate = 8% = 0.08

n = 4 (quarterly compounding)

t = 20

The future value represents the total sum of money that will ultimately increase if it is deposited today at a certain interest rate.

Calculating the future value -

[tex]FV = Pmt x ((1 + r/n)^(nt) - 1) / (r/n)[/tex]

Substituting the values -

FV = [tex]$250 x ((1 + 0.08/4)^(80)- 1) / (0.08/4)[/tex]

FV = $250 x (1.993809 - 1) / 0.02

FV = $250 x 49.69024

FV = $12,422.56

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one of the reasons there is no one-growth strategy for china is group of answer choices the regions have no link to the central government. each region in china is at a different stage economically. the inability to prevent the privatization of its state-owned enterprises. each region within china is completely isolated from other regions. the complete absence of autonomy in the various regions of china.

Answers

One of the reasons there is no one-growth strategy for china is each region in china is at a different stage economically. So, correct option is B.

China is a vast country with diverse regions that vary significantly in terms of their economic development, resource endowment, and population. Hence, there cannot be one single growth strategy that would fit all regions of China.

The central government's development policies have primarily focused on the coastal regions and the urban areas, which are more economically developed than the rural regions.

However, inland and rural regions require different development strategies that can cater to their specific needs. For instance, the western region requires infrastructure development to attract foreign investment, while the central region needs to strengthen its industrial base to compete with the coastal regions.

Therefore, the Chinese government has implemented a "differentiated development strategy," which aims to provide region-specific development policies, catering to each region's unique characteristics. These policies include infrastructure investment, tax incentives, and financial support to boost regional development.

Thus, the absence of a one-growth strategy for China reflects the country's diverse economic landscape and the need for specific development policies to promote sustainable economic growth.

Therefore, correct option is B.

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john runs a clothing factory. when an employee strike goes on for two weeks, he decides to hire people to replace striking employees in order to reduce his losses. the people john hires to replace the striking employees are called

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The people John hires to replace striking employees in order to reduce his losses are called strikebreakers or replacement workers.

A strikebreaker is a worker who is hired to replace an employee who is on strike, usually to keep the company functioning while the strikers are out. These individuals are hired to perform the tasks of the striking employees, thus allowing the business to continue operating and reduce its losses. A strikebreaker is also referred to as a replacement worker, scab labor, or traitor worker.

During labor disputes, strikebreakers are frequently used by employers to undermine labor union bargaining power. Strikebreakers are often regarded as disloyal by other employees and by the union since they are undermining the union's ability to achieve its objectives.

As a result, striking employees frequently treat strikebreakers with hostility and may physically attack them. However, hiring strikebreakers is not illegal, but it is seen as a violation of the principle of collective bargaining.

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financial reporting refers to: select one: a. the application of analytical tools to general-purpose financial statements. b. the communication of financial information useful for decision making. c. general-purpose financial statements only. d. ratio analysis only. e. profitability.

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With Financial reports, you can dissect company deals, track changes, and make opinions. This is variant B.

Financial reporting refers to the provision of fiscal information useful for decision- timber.

fiscal reporting is the process of preparing financial statements that expose an association's fiscal condition to interested parties, including operations, investors, creditors, and controllers. fiscal reporting is a crucial process for companies and investors because it provides important information that shows fiscal performance over time.

Government and private controllers also oversee fiscal reporting to insure fair dealings, stipends and finances. The income statement is the most important element of fiscal reporting. This element shows a detailed breakdown of your company's profit( or loss) over a specified period of time.

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three joint tenants share interest in a property. if one joint tenant's share is sold, the new owner will be a

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If one joint tenant's share is sold, the new owner will be a tenant in common with the remaining joint tenants, as they will hold an individual interest in the property.

When one of the joint tenants sells their share in the property, the purchaser becomes a tenant in common rather than a joint tenant, according to the concept of joint tenancy. This implies that, even though the three people have equal rights to the land, each person's share is held separately. Furthermore, each party is free to sell their share of the land without the consent of the others in a tenancy in common.

Joint tenancy is a kind of ownership in which two or more individuals share equal rights to a piece of property. Each tenant holds an undivided share of the land, which means they each have equal rights to the entire property, not just one specific portion. In addition, joint tenancy includes the right of survivorship, which means that if one tenant dies, their share of the land passes to the remaining tenants.

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brad operates a wholesale company that specializes in providing a wide variety of services to its customers, which are all restaurants. he carries a wide assortment of restaurant equipment and cookware. brad's business is a

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Brad's business is a specialty-line wholesaler. Therefore, the correct option is D.

In the given scenario, Brad operates a wholesale company that specializes in providing a wide variety of services to its customers, which are all restaurants. He carries a wide assortment of restaurant equipment and cookware. Brad's business is a specialty-line wholesaler.

Specialty-line wholesalers, also known as single-line wholesalers, are wholesalers that specialize in a particular line of products or a single product category. These wholesalers specialize in a particular industry, market segment, or customer group. They offer an extensive range of merchandise to their customers.

A specialty-line wholesaler focuses on providing a specific type of product, in this case, restaurant equipment and cookware, to a specific target market, which are restaurants. This type of wholesaler is specialized in their offerings and caters to the unique needs of their customers, ensuring they have access to a wide variety of relevant products and services.

Hence, in Brad's case, his business specializes in providing a wide variety of services to its customers, which are all restaurants. Thus, Brad's business is a specialty-line wholesaler. The correct answer is option D.

Note: The question is incomplete. The complete question probably is: Brad operates a wholesale company that specializes in providing a wide variety of services to its customers, which are all restaurants. He carries a wide assortment of restaurant equipment and cookware. Brad's business is a a. general-line wholesaler. b. mail-order wholesaler. c. rack jobber. d. specialty-line wholesaler. e. limited-service wholesaler.

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what percentage of gross food and beverage sales is used in determining the amount of tips that an employer must report as allocated to employees? a.10 percent b.12 percent c.15 percent d.8 percent e.none of these choices are correct.

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The percentage of gross food and beverage sales used in determining the amount of tips that an employer must report as allocated to employees is 8 percent.

In order to understand what is meant by the term 'allocated' in relation to the tipped employees, it is important to know what is meant by tipped employees.A tipped employee is a worker who usually earns a wage that is below the minimum wage because their income is expected to be supplemented by tips. The tip income must be reported to the employer and may be allocated to all or some of the employees in the establishment. The allocation rate is 8% of the total sales of food and beverages. When tips are allocated, the employer is responsible for paying the taxes on the allocated tip income. Tips that are not allocated are the responsibility of the employee to report and pay taxes on, subject to IRS guidelines.

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pro forma financial statements are used for . group of answer choices cash budgeting preparing financial statements profit planning auditing

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Pro forma financial statements are used for profit planning in business. These statements are forward-looking projections of a company's financial performance, based on anticipated future events such as sales forecasts, expense projections, and investment decisions.

They provide a basis for estimating future revenues, costs, and profitability, which are crucial for developing budgets and financial plans. Pro forma financial statements are not used for cash budgeting, preparing financial statements, or auditing purposes, but rather serve as a tool for businesses to plan and strategize their financial activities.

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