carlos corporation purchased an asset (a machine) worth $800,000, which is expected to last 8 years. each year, the machine is expected to facilitate production and the sale of 5,000 units which will be sold at $50 per piece. the variable expenses per unit amount to $36.5. assuming the company follows the straight line method of depreciation and that the tax rate in the market is 40%, compute the after-tax cash flow in the 3rd year of operations.

Answers

Answer 1

Given the following data: Carlos Corporation purchased an asset (a machine) worth $800,000, which is expected to last 8 years.

Each year, the machine is expected to facilitate production and the sale of 5,000 units which will be sold at $50 per piece. The variable expenses per unit amount to $36.5. Assuming the company follows the straight-line method of depreciation and that the tax rate in the market is 40%, compute the after-tax cash flow in the 3rd year of operations. Calculation: Depreciation expense is the same for each year since it's a straight-line method.

The total depreciation expense is equal to Total depreciation expense = (Asset cost – Salvage value) / Useful life= (800,000 – 0) / 8= 100,000 per year

The total sales revenue is given by the following formula: Total Sales revenue = (Selling price per unit) × (Number of units sold)= ($50/unit) × (5,000 units)= $250,000The variable expenses are given by the following formula: Variable expenses = (Variable cost per unit) × (Number of units sold)= ($36.5/unit) × (5,000 units)= $182,500

Now, let’s calculate the earnings before interest and taxes (EBIT) by using the following formula:

EBIT = Total sales revenue – Variable expenses – Depreciation expense= $250,000 – $182,500 – $100,000= -$32,500.The company is facing a loss, but it will get the tax benefits for the loss. The tax shield (tax savings) is given by the following formula:Tax shield = (Tax rate) × (Amount of loss)= (0.4) × ($32,500)= $13,000.The after-tax cash flow is given by the following formula: After-tax cash flow = EBIT + Depreciation expense – Taxes= -$32,500 + $100,000 – $13,000= $54,500

Therefore, the after-tax cash flow in the 3rd year of operations is $54,500.

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Related Questions

Assume the economy is operating at P1Y2.
Which of the following would cause a shift to bring the economy to P3Yf?

Real wages fall.
Productivity increases.
Personal income taxes increase.
Transfer payments decrease.
A major hurricane hits the southeastern United States.

Assume the economy is operating at P1Y2.Which of the following would cause a shift to bring the economy

Answers

The decrease in aggregate demand would also reduce productivity and lead to a decrease in output and employment.

What is employment?

Employment is an agreement between two parties, usually based on a contract, where work is exchanged for compensation, such as wages, salary, or commission. Employment is typically for a fixed period of time, and the employer usually has the right to dismiss an employee for a legitimate reason. Employment typically involves an exchange of services, knowledge, skills and experience for remuneration. Employment can be either full-time, part-time, or casual, depending on the type of job and the agreement between the employer and the employee.
A major hurricane hitting the southeastern United States would cause a shift to bring the economy to P3Yf as it would reduce aggregate demand in the affected areas, resulting in a decrease in consumption and investment spending. This would lead to a contraction in output and employment, resulting in a decrease in real wages, a decrease in transfer payments, and an increase in personal income taxes.

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Which of the following is an owner of a fee simple absolute NOT able to do...? Lease the property to another Pledge the property as security of a debt Build beyond the property line of the land Grant an easement

Answers

Answer:

Correct Answer:

4. Build beyond the property line of the land

Explanation:

Fee simple absolute is an estate in land, which is a form of freehold ownership. It is a way that real estate and land may be owned in common-law countries. And, also is the highest possible ownership interest that can be held in real property.

which types of investment products typically are used in an investing-for-income strategy? multiple choice all of the answers are correct. stocks and bonds bonds and certificates of deposit stocks none of the answers are correct.

Answers

Purchasing dividend-paying securities is part of an income investing plan.

What is an example of an investment?

Investments that are owned include equities, estate development, and precious metals. The purchaser anticipates that their worth will rise over time. An investment is making a loan. Savings accounts and bonds are all forms of borrowing that accrue interest for the investor over time.

Investment? What do you mean?

An investment is something that is purchased with the goal of earning money or gaining fame. A purchase of goods that won't be used straight away but will later be used to generate wealth often described to with an investment in the future of the economy.

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Question #4
Generally, when receiving a business card from an international
business person you should:
O Set the card aside so you can study it later.
O Thank the person for giving you their card.
O Immediately place the card in your pocket.
O Carefully review the card and then put it in a special place.

Answers

Generally, when receiving a business card from an international business person, you should B. Thank the person for giving you their card.

 

Expressing gratitude remains the first courtesy practice in any business meeting, much more an international business meeting.

 

After expressing gratitude for the card, you can later study and thoroughly review it before putting it in your international cardholder.

 

Thus, the first reaction after receiving a business card from an international business person is Option B.

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3
what is not example of an Internal Stakeholder?
-
O
Owner
Customers
Manager
Employees
None of the Above

Answers

Answer:Imagine you’re Charlie in Willy Wonka and the Chocolate Factory.

This whole business is all yours! Run around it, eat all the free snacks, enjoy all of the delicious, owning-your-own-business feelings. And then get into work the next day and realize…

Who actually does all of the stuff here? Who’s actually running this place?

Well you, of course. But not just you. Many people have personal and financial interests in your business, and those people are called stakeholders.

What types of stakeholders do you need in business? In this post you get to learn:

The 10 types of stakeholders you meet in business

Stakeholder vs. shareholder – have you been referencing the wrong one?

What types of stakeholders are there?

No, that’s not a typo. Each of the types of stakeholders in a business are categorized in 3 ways:

Internal or external

Primary or secondary

Direct or indirect

Internal stakeholders are, as the name suggests, stakeholders that exist inside a business. These are stakeholders who are directly affected by a project, such as employees.

External stakeholders are those who have an interest in the success of a business but do not have a direct affiliation with the projects at an organization. A supplier is an example of an external stakeholder.

Explanation:

Tickets to a fundraiser are $14 if purchased ahead of time and $25 if purchased at the door. The total amount raised from all ticket sales was $625. If eleven tickets were purchased at the door, how many tickets were purchased ahead of time?.

Answers

25 tickets

($14)(25)=$350
($25)(11)=$275
$350+$275= $625

Why would you want to claim an exemption on your pay stub?.

Answers

The possible reason why a person would want to claim an exemption on their pay stub is:

To reduce taxable income

What does it mean to claim an exception to a pay stub?

This means that a person's paycheck is exempt from federal taxation and this can be done for different reasons such as a married couple that files for joint tax return.

With this in mind, one of the reasons for claiming an exempt on their paystub is that they want to reduce their taxable income even though this gives them fewer restrictions to claiming it.

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Which of these events would indicate a movement along a supply curve for batteries? (SSEMI22
DOK: 2)
A. Workers at a major battery factory go on strike and stop production.
B. A new law requires battery manufacturers to spend more money on environmentally-sound trash
disposal.
C. The price of eight AA batteries increases from $3.50 to S3.95 a set.
D. A new trade agreement enables stores to import foreign batteries.

Answers

Answer:

C. The price of eight AA batteries increases from $3.50 to S3.95 a set.

Explanation:

A product's price change is the sole reason for movement along the supply curve. The supply curve demonstrates the relationship between the price and the supply of a product. As per the law of supply, suppliers will supply more at higher prices.

A supply curve shows the volume that supplies will be ready to supply at different prices. An increase or decrease in price will cause the quantity of supply to change, as indicated by movement along the supply curve.

In an economy in which decisions are guided by prices and individual self-interest, there is:.

Answers

In an economy in which decisions are guided by prices and individual self-interest, there is the potential to achieve production efficiency.

What is production efficiency?

This has to do with that maximum capacity that exists where production would not be able to take [place without lowering the production capacity of others.

This is the stage where self interest may come in and people make their decisions based on the price in the market.

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You invested $9,000 at the end of each half-year for 7 years in an investment fund. At the end of year 7, if the balance in the fund was $144,000, what was the nominal interest rate compounded semi-annually? 0.00 % Round to two decimal places ← Question 8 of 10 SUBMIT QUESTION >

Answers

Therefore, the nominal interest rate compounded semi-annually for this investment is 0.00%.

To determine the nominal interest rate compounded semi-annually, we can use the future value formula for regular deposits. Given that you invested $9,000 at the end of each half-year for 7 years and the balance in the fund at the end of year 7 was $144,000, we can calculate the nominal interest rate.

Let's denote the nominal interest rate as r. The future value formula for regular deposits is:

FV = P * [(1 + r/n)^(nt) - 1] / (r/n),

where FV is the future value, P is the regular deposit amount, r is the nominal interest rate, n is the number of compounding periods per year, and t is the number of years.

In this case, P = $9,000, FV = $144,000, n = 2 (since it is compounded semi-annually), and t = 7.

By rearranging the formula and solving for r, we get:

r = [(FV / P) * (r/n)] / [(1 + r/n)^(nt) - 1].

Substituting the given values, we have:

r = [($144,000 / $9,000) * (r/2)] / [(1 + r/2)^(2*7) - 1].

By using numerical methods or trial and error, we find that the nominal interest rate r that satisfies this equation is approximately 0.00% (to two decimal places).

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Question 7

0. 04

The purchase of savings bonds by individuals allows the U. S. Government to:

O make sure that the burden of the national debt is spread more equitably

O concentrate on microeconomics strategy

eliminate crowding out

balance supply and demand

create a perfect competition

Answers

The purchase of savings bonds by individuals allows the U.S. Government to make sure that the burden of the national debt is spread more equitably.

Savings bonds are a form of debt that the U.S. Government issues to finance its operations. When individuals purchase savings bonds, they are effectively loaning money to the government, which it can then use to fund various programs and initiatives. This helps to spread the burden of the national debt across a larger group of people, rather than concentrating it among a smaller number of investors or lenders.

The other options listed (concentrating on microeconomic strategy, eliminating crowding out, balancing supply and demand, and creating perfect competition) are not directly related to the purchase of savings bonds by individuals and are therefore not accurate answers to this question.

The purchase of savings bonds by individuals allows the U.S. Government to eliminate crowding out.

Crowding out could be a phenomenon that happens when government borrowing drives up intrigued rates, which in turn leads to a diminish in private investment.

This may happen since when the government borrows cash, it increments the request for loanable reserves, which drives up intrigued rates.

As intrigued rates rise, businesses have gotten to be less willing to contribute since the cost of borrowing gets to be more costly.

The purchase of investment funds bonds by people gives the government a source of financing that does not require it to borrow cash from the open.

This implies that the government does not need to drive up intrigue rates, which can offer assistance to anticipate swarming out

So the one is to eliminate crowding out.

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Prompt
Preparing to get a job isn't easy, but it isn't necessarily hard either. This process is about you developing as a person, and
noticing the things you've learned, overcome, and accomplished, even as a young adult. One crucial aspect is the interview.
Many times you're being interviewed informally, and people are trying to size up how you handle stress and difficult
situations
Describe one of your strengths and one of your weaknesses, and then tell a story that can help you show both your strength
and your weakness in a positive light. For example: One weakness I have is that when I get into a project I can completely
forget about everything else in life. I work almost too hard, some people say, but I just get consumed with performing and
creating solutions. So I have to remind myself to also focus on my own needs, and I've had to learn to invest in myself. One
way I did that was to get a gym membership, which helps me build a better, healthier lifestyle for myself.

I WILL CASH AP YOU IF YOU ANSWER THIS CORRECTLY✨✨✨✨

Answers

My strengths: Dependable, honest, leadership, integrity, compassion, committed, driven
Ex. I am currently a self-employed entrepreneur running my own business full time. I am still very young, but living my dreams since graduating college. It requires commitment, leadership, etc.
My weaknesses: Taking on more than I can handle
Ex. Working hard too the point I feel overwhelmed or things out of order (unbalanced). I need to make things less stressful as an entrepreneur.

Billkin Company Income Statement For the year ended December 31, Year1 & 2 (dollars in thousands) Year 1 Net sales Less: Cost of goods sold Gross Margin Less: Operating expenses Operating Income Less: Interest expense Income before taxes Less: Income taxes (50%) Net income 75,000.00 52,500.00 22,500.00 11,452.00 11,048.00 400.00 10,648.00 5,324.00 5,324.00 Year 2 50,000.00 35,000.00 15,000.00 10,000.00 5,000.00 400.00 4,600.00 2,300.00 2,300.00 Billkin Company Statement of Retained Earnings For the year ended December 31, Year1 & 2 (dollars in thousands) Year 1 Balance, beginning of period Net income Total Less:Preferred dividends Dividends to common stockholders Balance, ending of period 5,324.00 5,324.00 5,324.00 Year 2 5,324.00 2,300.00 7,624.00 224.00 1,000.00 6,400.00 Billkin Company Comparative balance sheets For the year ended December 31, Year1 & 2 (dollars in thousands) Current Assets Cash Marketable securities Accounts Receivable Inventories Other Total Current Assets Property and equipment Land Buildning and equipment Total long-term assets Total Assets Current Liabilities Notes payable, short term Accounts payable Current maturity of long term debt Accrued payables Total current liabilities Long term liabilities Bonds payable, 10% Total liabilities Stockholder's equity Preferred stock, $25 par, 7% Common stock, $2 par Additional paid in capital Retained earnings Total Equity Total liabilities and stockholder's equity Assets Year 0 Year 1 6,000.00 2,500.00 500.00 2,000.00 5,000.00 10,000.00 3,000.00 800.00 1,500.00 12,300.00 19,000.00 6,000.00 6,000.00 5,000.00 5,000.00 11,000.00 11,000.00 23,300.00 30,000.00 Liabilities and Stockholder's Equity 2,800.00 3,000.00 5,000.00 5,800.00 400.00 400.00 1,500.00 1,876.00 9,700.00 11,076.00 4,000.00 4,000.00 13,700.00 15,076.00 3,200.00 3,200.00 1,600.00 1,600.00 4,800.00 4,800.00 5,324.00 9,600.00 14,924.00 23,300.00 30,000.00 Year 2 1,600.00 1,600.00 8,000.00 10,000.00 800.00 22,000.00 4,000.00 6,000.00 10,000.00 32,000.00 3,200.00 6,400.00 400.00 2,000.00 12,000.00 4,000.00 16,000.00 3,200.00 1,600.00 4,800.00 6,400.00 16,000.00 32,000.00 Instruction: 1 Compute all ratios for YEAR 1 AND YEAR 2 that are found in Liquidity Leverage Profitability ratios 2 Create an overall analysis of the company's performance based on the ratios computed. Make sure analysis is holistic, meaning encompassing the whole company and the relationship of the accounts and their movements. This should help you understand why the company performed such way.

Answers

The analysis of Billkin Company performance shows that the company's liquidity deteriorated in year 2, and profitability also declined. However, the company's leverage position improved, and it was efficiently using its assets and equity to generate income.

The following are the calculations of different ratios for the given years,Year 1 ratios:

1. Liquidity Ratios

Current Ratio= Current Assets/Current Liabilities= 10,000/9,700= 1.03

Acid-test Ratio= (Cash+ Marketable Securities +Accounts Receivable)/Current Liabilities

= (6,000+2,500+500)/9,700= 0.91

Inventory Turnover= Cost of Goods Sold/ Inventory= 52,500/2,000= 26.25 times

2. Leverage Ratios

Debt-to-Equity Ratio= Total Debt/ Total Equity= (9,700+4,000)/14,924

= 1.10

Interest Coverage Ratio= Earnings before Interest and Taxes/ Interest Expense= 11,048/400= 27.62 times

3. Profitability Ratios

Net Profit Margin= Net Income/ Net Sales= 5,324/75,000= 0.07

Return on Total Assets= Net Income/Total Assets= 5,324/23,300= 0.23

Return on Equity= Net Income/Total Equity= 5,324/14,924= 0.36Year 2 ratios:

1. Liquidity Ratios

Current Ratio= Current Assets/Current Liabilities= 1,600/12,000=

0.13

Acid-test Ratio= (Cash+ Marketable Securities +Accounts Receivable)/Current Liabilities

= (1,600+8,000+10,000)/12,000

= 1.58

Inventory Turnover= Cost of Goods Sold/ Inventory

= 35,000/800

= 43.75 times

2. Leverage Ratios

Debt-to-Equity Ratio= Total Debt/ Total Equity= (12,000+4,000)/16,000= 0.875

Interest Coverage Ratio= Earnings before Interest and Taxes/ Interest Expense

= 5,000/400= 12.5 times

3. Profitability Ratios

Net Profit Margin= Net Income/ Net Sales= 2,300/50,000

= 0.046

Return on Total Assets= Net Income/Total Assets

= 2,300/32,000

= 0.072

Return on Equity= Net Income/Total Equity

= 2,300/16,000

= 0.144

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To develop the main points for a speech on a question of value, you should ask
a а "How do you know?"
b. "Why is this good or bad?"
С "Why is true?"
d "How is this better than what we have now?"

Answers

Answer: B

Explanation:

Are personal property taxes indirect or direct taxes?
A: indirect
B: direct

Answers

The answer should be B
the answer would be B :)

as the price of milk increases, what would reasonably be expected to happen to the equilibrium price and equilibrium quantity of cereal? (milk and cereal are complements.)

Answers

As the price of milk increases, it would reasonably be expected that the equilibrium price of cereal would decrease, while the equilibrium quantity of cereal would also decrease.

Milk and cereal are considered complementary goods, meaning they are often consumed together. When the price of milk rises, it leads to a decrease in the demand for milk. As a result, consumers may choose to purchase less milk, which in turn reduces the demand for cereal as consumers are likely to reduce their consumption of cereal when they consume less milk.

With a decrease in the demand for cereal, the equilibrium price of cereal would decrease as suppliers adjust their prices to attract buyers. Additionally, the equilibrium quantity of cereal would also decrease as producers would reduce their output in response to the lower demand.

Therefore, an increase in the price of milk would have a downward effect on both the equilibrium price and equilibrium quantity of cereal, reflecting the complementary relationship between the two goods.

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Think of an example of a time that you experienced or that you heard about when consumer perception influenced demand. What were the effects of this perception?

Answers

One example of when consumer perception influenced demand is when the concept that Japanese made cars were more durable than Chinese cars.

What were the effects of this perception?

This perception tended to increase the demand for not just Japanese cars but for Japanese products.

It is believed that Japanese are very strong on quality and excellent processes, hence the high quality of their products.

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How do market demands relate to needs and wants?A. Wants and demands are​ equivalent, and both satisfy needs at the same rate.B. Needs, wants, and demands all describe the same state in the customer.C. Demands result in customers needing and wanting a particular product.D. Needs are satisfied by​ wants, and buying power converts wants into demand.E. Needs and wants outweigh demands in the​ customer's mind.

Answers

Market demands relate to needs and wants as a needs are satisfied by​ wants, and buying power converts wants into demand. The correct option is (D).

What are the market demands?

The need for a specific product and who wants to buy it are described by market demand. How willing buyers are to pay a specific price for a specific commodity or service will determine this. Price rises as market demand does as well.

Even if a buyer might want something, he might not be able to satisfy that need.

Customer demand for a need or want is indicated by their willingness and ability to purchase it.

Therefore, market demands relate to needs and wants as a needs are satisfied by​ wants, and buying power converts wants into demand.

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Who takes Personal Finance???

Answers

Explanation:

I can try and learn it really quickly...?

The class will be divided into five groups. With the teacher's guide, each group should suggest a business that they want to put up. Each group should then justify their choice of business. Each group will discuss among the members the environment that should be studied in terms of the location they decided to choose. Based on the environmental analysis, the group members should identify all the factor that need to be studied in the specific environment/location.

Answers

Each group will suggest a business idea and justify their choice based on their interests, market demand, and potential profitability. They will then discuss the specific location for their business and conduct an environmental analysis to identify factors that need to be studied.

In the first paragraph, each group can briefly mention the type of business they want to put up, such as a restaurant, tech startup, clothing boutique, fitness center, or any other business idea that interests them. They should provide a concise justification for their choice, highlighting factors like market demand, personal passion, unique selling proposition, or potential profitability.

In the second paragraph, the group members will discuss the specific location for their business and conduct an environmental analysis. They need to identify and examine various factors that can influence the success of their business in that particular location. This analysis can include factors such as local competition, target market demographics, economic conditions, regulatory environment, infrastructure, availability of resources, cultural considerations, and any other relevant factors. By studying these environmental factors, the group can gain insights into the opportunities, challenges, and potential risks associated with their chosen location.

Overall, the aim is for each group to select a business idea that aligns with their interests and has potential in the market. They should then analyze the specific location's environmental factors to make informed decisions and develop strategies that maximize their chances of success. This exercise helps students understand the importance of market research, environmental analysis, and strategic planning in business development.

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How do individuals benefit from having health insurance? Why is health insurance likely to become a bigger and more complex issue in the future?

Answers

Answer: Individuals benefit from health insurance because it's helps them pay off health debt when they may not have the funds at the moment to do so, especially in cases where the bills can be very expensive.

Explanation:

Health insurance could be described as insurance that covers the health bills of individuals when they are sick or have an accident.

Individuals benefit from health insurance because it's helps them pay off health debt when they may not have the funds at the moment to do so, especially in cases where the bills can be very expensive.

Health insurance would likely be a problem in the future due to the cost. Health bills can be very expensive, especially when it involves illness that require lots of operations or much bills to pay. This has made organizations begin to withdraw the benefits of health insurance for their staff.

The Cost of Capital: Introduction
Companies issue bonds, preferred stock, and common equity to raise capital to invest in capital budgeting projects. Capital is a necessary factor of production, and like any other factor, it has a cost. This cost is equal to the -Select-security analyst'smarginal investor'scompany vendor'sItem 1 required return on the applicable security. The rates of return that investors require on bonds, preferred stocks, and common equity represent the costs of those securities to the firm. Companies estimate the required returns on their securities, calculate a weighted average of the costs of their different types of capital, and use this average cost for capital budgeting purposes.
The firm's primary financial objective is to -Select-minimizemaintain the initial level ofmaximizeItem 2 shareholder value. To do this, companies invest in projects that earn -Select-more thanless thanequal toItem 3 their cost of capital. So, the cost of capital is often referred to as the -Select-crossoverhurdleindifferenceItem 4 rate: When calculating the weighted average cost of capital (WACC), our concern is with capital that must be provided by -Select-managersvendorsinvestorsItem 5 —interest-bearing debt, preferred stock, and common equity. -Select-Notes payableAccounts payableLong-term debtItem 6 and accruals, which arise spontaneously from operations when capital budgeting projects are undertaken, are not included as part of total invested capital because they do not come directly from investors.
Which of the following would be included in the calculation of total invested capital? Choose the response that is most correct.
a) Notes payable
b) Taxes payable
c) Retained earnings
d) Responses a and c would be included in the calculation of total invested capital.
e) None of the above would be included in the calculation of total invested capital.

Answers

Calculation of total invested capital required rate of return is equal marginal investors.

------------------------------------------------

Primary financial objective maximize share holders value.

--------------------------------------------------

Projects earn More than Cost of capital.

----------------------------------------------

Cost of capital is also called as Hurdle rate.

------------------------------------------------------

Investors

------------------------------------------

Accounts Payable.

-------------------------------

Notes payable.

Total Invested Capital means, at any time of determination, the sum of, without duplication,

(i) the total amount of equity contributed to the Company as set forth on the March 31, 1996 consolidated balance sheet of the Company, plus

(ii) the aggregate net cash proceeds received by the Company from capital contributions or the issuance or sale of Equity Interests (other than Disqualified Equity Interests but including Equity Interests issued upon the conversion of convertible Indebtedness or from the exercise of options, warrants or rights to purchase Equity Interests (other than Disqualified Equity Interests)) subsequent to the Issue Date, other than to a Restricted Subsidiary, plus

(iii) the aggregate net cash proceeds received by the Company or any Restricted Subsidiary from the sale, disposition or repayment of any Investment made after the Issue Date and constituting a Restricted Payment in an amount equal to the lesser of

(a) the return of capital with respect to such Investment and (b) the initial amount of such Investment, in either case, less the cost of the disposition of such Investment, plus

(iv) an amount equal to the consolidated net Investment on the date of Revocation made by the Company and/or any of the Restricted Subsidiaries in any Subsidiary that has been designated as an Unrestricted Subsidiary after the Issue Date upon its redesignation as a Restricted Subsidiary in accordance with Section 4.16, plus

(v) Total Consolidated Indebtedness, minus

(vi) the aggregate amount of all Restricted Payments.

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In which way can podcasts be organized when used by organizations? check all that apply.

Answers

Podcasts are an amazing strategy for building endow with your clients since they grant you to share your authority and data. It can similarly help you with getting an investigation from your group and show that you care about their necessities.

Ways of organizing podcasts used by an organization are :-

Associations embraced podcasting for sound or video messages that needn't bother with a live presence yet offer a heartfelt human face.

System to impart draw-out information that doesn't require affiliation.

It can also override costlier live video visits.

They are featured on media locales, association passageways, or shared on web diaries and long-range relational correspondence objections.

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please answer me comm​

please answer me comm

Answers

Answer:

i do not know what that says

Explanation:

Your handwriting is good but they way you write is kinda hard to understand homes

How important is money

Answers

Answer:

very important

Explanation:

money is a global income source for everyone. we all have different types but it is all still money. now say one country got rid of money and had people pay for stuff using other things. if china did that lots of different countries wouldn't be able to get stuff from there unless they had so much of that product they could just give it up.

true or false: with interest-only loans, the principal is never repaid.

Answers

The statement is false. With interest-only loans, the borrower is only required to make interest payments for a certain period of time, typically between 5 and 10 years.

However, after the interest-only period ends, the borrower is then required to make payments that include both principal and interest. This means that the principal will eventually be repaid, but it may take longer than it would with a traditional amortizing loan where principal and interest payments are made simultaneously.

It's important to note that interest-only loans can be risky for borrowers who are not prepared for the increased payments when the interest-only period ends, or for those who may not be able to afford the higher payments due to a change in financial circumstances.

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Pepsico is acquiring which energy drink company in a 3. 85 billion dollar deal?.

Answers

Pepsico is acquiring Rockstar Energy Drink in a 3.85 billion dollar deal. This acquisition was announced on March 11, 2020, and is expected to be completed in the first half of 2020, pending regulatory approval.

Rockstar Energy Drink was founded in 2001 and has since become a popular brand of energy drinks, with a variety of flavors and formulations. The brand has a strong presence in the United States and is also sold in several other countries.Pepsico's acquisition of Rockstar Energy Drink is part of the company's strategy to expand its portfolio of products and reach new consumers. The energy drink category is a growing market, and Pepsico sees this acquisition as an opportunity to tap into this trend.Pepsico already has a presence in the energy drink market with its Mountain Dew Kickstart and Game Fuel brands, but the acquisition of Rockstar Energy Drink will give the company a stronger foothold in this category. Additionally, Pepsico plans to leverage Rockstar's distribution network and brand recognition to further grow its energy drink business.

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Which type of worker would most likely be able to begin work after receiving a high school degree and completing
an on-the-job apprenticeship?
A. a miner
B. a forester
C. a conservationist
D. a park worker

Answers

D. A park worker I believe
D: a park worker because it’s most suited after receiving a high school degree and completing an on-the-job apprenticeship.

For each scenario, calculate the cross-price elasticity between the two goods and identify how the goods are related. Please use the midpoint method when applicable, and specify answers to one decimal place. A 20% price increase for Product A causes a 10% decrease in its quantity demanded, but no change in the quantity demanded for Product B.

Answers

Answer:

No relation

Explanation:

The computation of the cross elasticity of demand is shown below:

= Percentage change in quantity demanded ÷ Percentage change in price

here the price is increased by 20% for product A

But there is no change in the quantity demanded for product B

So, the cross elasticity of demand is

= 0 ÷ 20%

= 0

Therefore there is no relation between two products or goods


Which type of networking doesn't require a password to access

Answers

A Wi-Fi network connection with Wi-fi protected setup (WPS) for a home or a small environment doesn't require a password to access the networking system.

What is a password?

Password is a code that helps in securing the data maintained on a computer or laptop. it also helps in securing the data from any unauthorized access.

WPS is a kind of network security that enables a protected wireless network for a home or a small surrounding. It allows a faster network connection between a router and any portable wireless device.

Therefore, the Wi-Fi network with WPS security requires no password to access the network.

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