the amount of equal annual lease payments shamrock would demand from mtba is $8,993.87.
to calculate the amount of annual lease payments, we can use the formula for calculating the present value of an annuity:
la = (rv - pv x f) / a
where:
la = amount of equal annual lease paymentsrv = residual value ($7,000)
pv = present value of the equipment ($65,000)f = factor for annuity of $1 at 11% for 9 years (from the factor table)
a = annuity factor for 11% for 9 years (from the factor table)
using the given values, we can calculate the annuity factor for 11% for 9 years as 6.80117 and the factor for annuity of $1 at 11% for 9 years as 6.49188.
plugging these values into the formula:
la = ($7,000 - $65,000 x 6.49188) / 6.80117la = ($7,000 - $422,869.60) / 6.80117
la = -$415,869.60 / 6.80117la ≈ -$61,060.97
since the amount of annual lease payments cannot be negative, we take the absolute value:
la ≈ $61,060.97 97, which can be rounded to $8,993.87.
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Blossom, Inc., is considering investing in a new production line for eye drops. Other than investing in the equipment, the company needs to increase its cash and cash equivalents by $10,000, increase the level of inventory by $15,000, increase accounts receivable by $25,000, and increase accounts payable by $5,000 at the beginning of the project. Blossom will recover these changes in working capital at the end of the project 6 years later. Assume the appropriate discount rate is 8 percent. What are the present values of the relevant investment cash flows? (Do not round intermediate calculations. Round answer to 2 decimal places, e.g. 15.25.)Present value in dollars rounded to 2 decimal places
Cash flow at the end of the project = $ 26,938.31 (rounded to 2 decimal places)
Given data;
Initial investment
Cash & Cash Equivalents = $ 10,000
Increase in Inventory = $ 15,000
Increase in Account Receivable = $ 25,000
Increase in Account Payable = $ 5,000
Cash flow at the end of the project
Year 1 = $ 0
Year 2 = $ 0
Year 3 = $ 0
Year 4 = $ 0
Year 5 = $ 0
Year 6 = $(10,000 + 15,000 + 25,000 - 5,000)
= $ 45,000
Discount Rate = 8%
The present value of cash flows can be calculated using the following formula;
PV = CFn / (1 + r)n
Where;
CFn = Cash Flow at the end of n period
r = Discount Rate (WACC)
We will calculate the present value of each cash flow;
PV of Cash & Cash Equivalents
PV = $ 10,000 / (1 + 0.08)⁰⁰
PV = $ 10,000
PV of Increase in Inventory
PV = $ 15,000 / (1 + 0.08)⁰⁰
PV = $ 15,000
PV of Increase in Account Receivable
PV = $ 25,000 / (1 + 0.08)⁰⁰
PV = $ 25,000
PV of Increase in Account Payable
PV = $ 5,000 / (1 + 0.08)⁰⁰
PV = $ 5,000
PV of Cash flow at the end of Year 6
PV = $ 45,000 / (1 + 0.08)⁶
PV = $ 26,938.31
Therefore, the present values of the relevant investment cash flows are;
Cash & Cash Equivalents = $ 10,000
Increase in Inventory = $ 15,000
Increase in Account Receivable = $ 25,000
Increase in Account Payable = $ 5,000
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boi, why am i alive.-
Answer: so you can grow older
Explanation:
Which option best serves the community as a whole, not just some members?
O A. Virtue Approach
O B. Justice Approach
O C. Rights Approach
O D. Common Good Approach
The option that best serves the community as a whole, prioritizing the overall well-being and welfare of all members, is the Common Good Approach. It promotes fairness, equity, inclusivity, and considers the impact on marginalized groups and future generations when making decisions about resource allocation or public policies, creating a more just and harmonious society.
The option that best serves the community as a whole, not just some members, is the D. Common Good Approach. This approach focuses on promoting the overall well-being and welfare of all members of the community, rather than prioritizing the interests of a select few.
The Common Good Approach recognizes that in order for a community to thrive, it is essential to prioritize the common good and work towards the betterment of everyone. This means taking into account the needs and interests of all individuals and ensuring that policies and actions benefit the entire community.
For example, when making decisions about resource allocation or public policies, the Common Good Approach considers the impact on all members of society, including marginalized groups and future generations. It emphasizes fairness, equity, and inclusivity in order to create a more just and harmonious society.
In summary, the Common Good Approach is the best option for serving the community as a whole because it focuses on promoting the well-being of all individuals and ensuring that policies and actions benefit everyone in the community. It prioritizes fairness, equity, and inclusivity, leading to a more just and harmonious society.
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which of the following is the recommended optimization strategy for line items that are performing and delivering above goal?
When it comes to line items that are performing and delivering above goal, the recommended optimization strategy would depend on the specific advertising goals and objectives of the campaign.
One possible strategy could be to maintain the current targeting and bidding strategy in order to continue the positive performance of the line item. However, it is also important to monitor the performance closely to ensure that the positive results are sustained over time.
Another strategy could be to increase the budget allocated to the line item in order to further capitalize on its success and potentially reach a larger audience. This can be particularly effective if the line item is part of a larger campaign and there is room in the overall budget to increase spend on high-performing components. Additionally, it may be worth exploring additional optimization tactics such as ad copy testing or audience segmentation to further enhance the performance of the line item.
Ultimately, the key is to continuously evaluate the performance of the line item and adjust strategies accordingly in order to ensure that advertising goals and objectives are met. It is important to strike a balance between maintaining what is working well and continuing to innovate and optimize for better results.
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how evade taxes pls tell me how to evade taxes i am only nine years old and need not pay taxes cause i hate taxes, taxes are for nerds
Answer:
you simply cease to do your legal documentation
Explanation
you dont have taxes until u have a job
What other considerations do manufacturers have when deciding on the dimensions of the cans, besides minimizing the amount of material used
Answer:
Imagine that you are an engineer for a soda company, and you are tasked with finding the most economical shape for its aluminum cans. You are given a set of constraints: the can ust hold a volume V of liquid and be a cylindrical shape of height h and radius r, and you need to minimize the cost of the metal required to make the can.
(a) First, ignore any waste material that is discarded during the manufacturing process and just minimuze the total surface area for a given volume V. Using this constraint, show that the optimal dimensions are achieved when h = 2t.
(b) Next, take the manufacturing process into account. Materials for the cans are fut from flat sheets of metal. The cylindrical sides ar made form curved rectangles, and rectangles can be cut from sheets of metal with virtually no waste. However, when the disks of the top and bottom of the can are cut from flat sheets of metal, there is significant waste material. Assume that the disks are cut from squares with side lengths of 2r, so that one disk is cut out of each square in a grid. Show that in this case the amount of material is minimized when: h÷r = 8÷π ≈2.55 .
(c) It is far more efficient to cut the disks from a tiling of hexagons than from a tiling of squares, as the former leaves far less waste material. Show that if the disks for the lids and bases of the cans are cut from a tiling of hexagons, the optimal ratio is h ÷ r = 4√3 ÷ π ≈ 2.21 . Hint: The formula for the area of a hexagon circumscribing a circle of radius r is A = 6r ^2 ÷ √3.
(d) Look at a variety of aluminum cans of different sizes from the supermarket. Which models from problems a-c best approximate the shapes of the cans? Are the cans actually perfect cylinders? Are there other assumptions about the maufacture of the cans that we should take into account? Do a little bit of research, and write a response to answer some of these questions by comparing our models to the actual dimensions used.
Explanation:
did u get it if yes give me brilliant star
the inventory costing method that matches each unit of inventory with its actual cost is referred to as the _____ method.
Answer: Specific Identification
Make a conditional relative frequency table for the columns of movie type. Determine which statement has the strongest association. Do you prefer watching a comedy, a drama, or a thriller movie? Comedy Drama Thriller Row Totals Males 40 23 56 119 Females 21 45 18 84 Column Totals 61 68 74 203 Females prefer drama movies. Males prefer comedy movies. Males prefer thriller movies. Females prefer comedy movies.
Based on the results of the survey, the statement with the strongest association would be Females prefer drama movies
The strongest association would be the one with the highest percentage of preference out of the total number of either men of women.
Females who prefer drama= Number of females who prefer drama / Total number of females x 100%
= 45 / 84 x 100%
= 54%
Males who prefer comedy= 40 / 119 x 100%
= 34%
Males who prefer thriller= 56 / 119 x 100%
= 47%
Females who prefer comedy= 21 / 84 x 100%
= 25%
In conclusion, the strongest association is that Females prefer drama.
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Answer:
A.) Females like Drama Movies
Explanation:
Took the test.
In which countries do people prefer discussing business during meals?
Answer:
china
Explanation:
if your traveling to china on business do not discuss business during meals .
Answer:
Always send a thank-you note following a hosted meal.in Philippines
A company introduces a new technology product to the market. it sets the product’s price at the highest price it thinks customers will pay. Which type of pricing strategy is the company using?
A company introduces a new technology product to the market. it sets the product’s price at the highest price it thinks customers will pay. the type of pricing strategy is the company using is
skim pricingWhat is pricing strategy?
Price is the value assigned to a good or service and is determined by a complicated series of calculations, research, and risk-taking skills.
A pricing strategy considers factors such as market conditions, consumer willingness to pay, competition activity, trade margins, and input costs, among others. Target audiences include the specified clients and rival businesses.
Depending on the industry and business model at hand, many pricing models are often utilized, including value-based, competitor-based, cost-plus, and dynamic pricing.
Skimming is a pricing technique that involves setting initial product prices high and then lowering them as competitors enter the market. Penetration pricing is the reverse of skim pricing.
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money market securities a) are short term. b) are highly marketable.
Both options (a) and (b) are correct for money market securities. Money market securities are short-term financial instruments with a maturity period typically less than one year.
They are designed to provide liquidity and short-term financing options for borrowers and investors.
b) Money market securities are highly marketable, meaning they can be easily bought and sold in the financial markets. They are considered to have high liquidity due to their low risk and widespread acceptance in the financial industry.
Money market securities include instruments such as Treasury bills, commercial paper, certificates of deposit, repurchase agreements, and short-term government and corporate bonds. These securities are often used by investors and institutions to park excess funds or seek short-term investment opportunities while preserving capital and maintaining liquidity.
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PLEASE HELP ME ANSWER EACH QUESTION! IM GIVING ALL MY POINTS!
BRAINLIEST!
1.) For every problem-solving activity, it’s crucial that no less than five alternatives be considered.
True
False
2.)Clarifying the issues of a problem is the _____ step in the problem-solving process.
first
seventh
sixth
second
3.)Recognizing a problem exists and taking actions to resolve it is an example of _____.
compromise
initiative
diplomacy
communication
4.)A(n) _____ is an unbiased third party used to make suggestions to a group that is having difficulty resolving a problem.
mediator
judge
arbitrator
diplomat
5.)Respecting others, valuing their perspective, and being sensitive to their concerns is _____.
a leader
diplomatic
an arbitrator
unbiased
Answer:
1. True
2. First
3. Initiative
4. Arbitrator
5. Unbiases
What taxes and withholdings take the biggest bite out of the amount of your paycheck?.
The taxes and withholdings take the biggest bite out of the amount of your paycheck is the federal income tax.
What is Federal income tax?
This is the largest source of revenue of the government and it is usually collected by the federal government.
It is usually based on annual earnings for individual and businesses in which a percentage is deducted.
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Many civilizations used barter systems to exchange goods. What was one negative aspect about using this type of system?
A. It required the understanding of math because of the complex economic formulas that were used, including laws for early
types of Interest rates and fines for violating economic rules.
B. It required that both parties had plenty of Shekels to spend because this was the important currency for early civilizations.
C. It required a lot of government interference to keep the exchanges fair and equitable for both parties.
D. It required individuals to meet face to face in order to exchange products, which made it difficult for small, Isolated societies to
trade with other groups.
Answer:
It required individuals to meet face to face in order to exchange products, which made it difficult for small, isolated societies to trade with other groups.
Explanation:
Gradpoint
Many civilizations used barter systems to exchange goods. The negative aspect of using this type of system it required individuals to meet face-to-face in order to exchange products, which made it difficult for small, Isolated societies to trade with other groups. The correct option is D.
What is a barter system and why was it used?The barter system, which has been around since ancient times, is the oldest form of commerce. Before the creation of monetary currency, people exchanged goods and services for one another. The act of exchanging goods between two or more parties without the use of money is known as the barter system.
The inability to make deferred payments, the absence of a standard unit of measurement, the difficulty of storing goods, and the absence of double coincidence of wants are additional drawbacks of the barter system.
Thus, the ideal selection is option D.
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What is another term for liability?
A. asset
B. notes
C. debt
D. accounts
Answer:
Another term for liability is debt, because both of these terms are accountable for money charges and assist needed :3
Explanation:
:3
A specific group of potential customers toward which a venture aims its marketing plan is known as a(n)?
A specific group of potential customers toward which a venture aims its marketing plan is known as a target market.
The target market represents a segment of the overall market that shares similar characteristics, needs, and preferences. Identifying and understanding the target market is crucial for effective marketing strategies and resource allocation.
The target market is typically defined based on various factors such as demographics (age, gender, income, location), psychographics (lifestyle, values, interests), behavior (buying habits, usage patterns), and other relevant criteria. By focusing on a specific target market, a venture can tailor its marketing efforts, messages, and offerings to resonate with the identified customers.
Having a well-defined target market enables a venture to optimize its marketing budget, refine product features, position the brand effectively, and develop targeted promotional campaigns. By understanding the needs and preferences of the target market, a venture can deliver value and build stronger customer relationships, leading to increased customer satisfaction and ultimately higher chances of success in the market.
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what happens when ethanol is refluxed with acidified sodiumheptaoxodiochromate(4) solution for a long time
Answer:
1-butanol
Explanation:
A coating machine costs $125,000. The coating solution costs $.15 per piece. You expect the coating machine to coat 50,000 parts over its useful life. What is the machine cost per part?
Answer:
$17.50
Explanation:
Cost of 50,000 times coating solution:
15 * 50,000 = 750,000 ($)
So 750,000 + 125,000 = 875,000 ($) ← Total cost
Single cost is 875000 ÷ 50,000 = 17.5 ($)
Where can you locate the Function Library group?
View tab of the ribbon
Formulas tab of the ribbon
File tab of the ribbon
Insert tab of the ribbon
Answer:
I can locate the function library group on formulas tab of the ribbon.
You locate the Function Library group on the Formulas tab of the ribbon. The correct option is B. Select the Formulas tab on the Ribbon to open the Function Library. Look for the Group Function Library.
What is the library function answer?Predefined functions are library functions. The developer includes some built-in functions to help the user work. We don't need to write our own code for some operations. We can simply use one of the library functions to complete our task.
The formulas tab contains a function library. The function library on the formulas tab is a great place to start learning about functions. Here you can search for and select Excel functions. The Function Library Group enables the user to use all of the formulas in Excel. The function is automatically inserted in the selected cell.
Thus, the ideal selection is option B.
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my business i love doing nails if ya'll don't know i love help ya'll nails free
Hmm......... Nice nice. :)
Please help me. I will mark you as brainliest !!
The rule of supply and demand says that
A. as price increases, demand decreases
B. supply and demand both increase with price
C. as demand increases, price increases
D. as demand decreases, price increases
Answer:
The answer is C
Explanation:
Let's say that we have 100 cars unique in the world and each car's value is 10000$. Now, let's say that you have 3 cars like the last ones, 3 cars unique in the world? You won't sell them at 10000$, you have to increase the price because the cars are very rare.
Governments often set price floors in an effort to protect:
A producers from high market prices
B producers from low market prices
C consumers from low market prices
D consumers from high market prices
Answer:
B) Producers from low market prices
Explanation:
Price floors are usually used in order to ensure that the market price of a commodity does not fall below a level that would threaten the financial existence of producers of the commodity.
Answer:
B) Producers from low market prices
you purchase one microsoft december $145 put contract for a premium of $8.10. what is your maximum possible profit? assume each contract is for 100 shares.
The strike price of the option is $145. Therefore, your maximum possible profit is: ($145 - $0 - $8.10) x 100 = $13690.
When you purchase a put option, you have the right, but not the obligation, to sell the underlying stock at a specific price (strike price) by a certain expiration date. In this case, you purchased a December $145 put contract on Microsoft for a premium of $8.10.
The maximum possible profit from buying a put option is equal to the strike price minus the premium paid. In this case, the strike price is $145 and the premium paid is $8.10 per share, or $810 for the entire contract (100 shares per contract x $8.10 per share).
If the price of Microsoft stock falls below the strike price of $145 by expiration date, you can exercise the option and sell the stock at $145, even though the market price may be lower. Your profit would be the strike price of $145 minus the premium paid of $8.10, or $136.90 per share ($145 - $8.10).
If the price of Microsoft stock is higher than the strike price of $145 by expiration date, the option will expire worthless and your maximum loss will be limited to the premium paid of $8.10 per share or $810 for the entire contract.
Therefore, your maximum possible profit from buying one December $145 put contract on Microsoft for a premium of $8.10 is $13,690 ($136.90 profit per share x 100 shares per contract).
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calculate the total cost of land if the purchase price was $150,000; the real estate broker commission were $10,000, and the demolition cost for the old building was $5,000.
The total cost of land will be 165,000 if the purchase price was $150,000; the real estate broker commission were $10,000, and the demolition cost for the old building was $5,000.
The total variable and fixed costs of a batch of goods or services are determined using the total cost formula. For calculating the overall cost of a product or product line, these data may be helpful.
Calculating the average total cost is a crucial step in your accounting process when pricing your goods and services. Making sure your product prices are high enough to cover both your variable and fixed costs is done in this stage. The total cost formula assists firms in calculating their overall operating costs.
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what international monetary system did the dollar standard replace? a. currency basket standard b. ruble standard c. pound standard d. gold standard
The dollar standard replaced the gold standard as the international monetary system after World War II. So, the correct option is d. gold standard.
Prior to the adoption of the dollar standard, countries used gold as a means of settling international transactions. However, the gold standard was seen as unstable and inflexible, especially during the Great Depression, which led to countries abandoning the gold standard.
The Bretton Woods Agreement of 1944 established the dollar standard, which made the US dollar the world's reserve currency and tied it to gold at a fixed rate. Under this system, countries could exchange their dollars for gold at the US Treasury, which provided stability for international trade and finance.
However, the dollar standard eventually collapsed in the 1970s due to inflation and the US's inability to maintain the fixed exchange rate, leading to the emergence of a floating exchange rate system.
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The highest yielding savings accounts are paying historically low interest rates, so Maria is only able to get a 1% annual interest rate for her savings account. Assuming interest rates do not change, use the Rule of 72 to approximate how many years it will take for her to DOUBLE her money in this account?
Using the rule of 72 it is going to take Maria a period of 72 years in order to be able to double the money that is in her account.
What is the rule of 72?This is the term that is used to refer to the rule that helps to tell us of the number of years that would be needed in order to be able to double the amount of invested money of a person.
The formula for the rule of 72 is given as
t = 72 / r
where
t = years
r = rate in percentage
Hence we can say that
72 / 1%
Hence the period that it would take to double the money would be 72 years.
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Determine the characteristic for each market segment. This segment contains a common element that unifies its members. This segment contains an element that separates it from other segments. This segment is based on the response of members with a certain outlook. distinction arrowRight homogeneity arrowRight reaction
Answer:
Market segmentation is a marketing term that refers to aggregating prospective buyers into groups or segments with common needs and who respond similarly to a marketing action. Market segmentation enables companies to target different categories of consumers who perceive the full value of certain products and services differently from one another.
KEY TAKEAWAYS
Market segmentation seeks to identify targeted groups of consumers to tailor products and branding in a way that is attractive to the group.
Markets can be segmented in several ways such as geographically, demographically, or behaviorally.
Market segmentation helps companies minimize risk by figuring out which products are the most likely to earn a share of a target market and the best ways to market and deliver those products to the market.
With risk minimized and clarity about the marketing and delivery of a product heightened, a company can then focus its resources on efforts likely to be the most profitable.
Explanation: I was Just taking a test on this
Answer:
Got this correct on the Test.
Explanation:
distinction--->this segment contains an element that separates it from other segments.
homogeneity--->this segment contains a common element that unifies its members.
reaction--->this segment is based on the response of members with a certain outlook.
QUESTION 4 of 10: A stadium manager has signed five acts this year with a combined revenue projection of $1,000,050. The cost for these is
expected to average $85,000 per act. How much profit margin does the stadium expect this last year?
a) $575,050
b) $750,000
c) $1,250,000
d) $1,720,000
For the manufacturing firm, tier 2 suppliers provide ______________ with components. A.the manufacturing firm's competitors B.tier 3 suppliers C.tier 1 suppliers D.distribution centers
For the manufacturing firm, tier 2 suppliers provide tier 1 suppliers with components. Hence, Option C is correct.
What is the meaning of suppliers?A supplier is a person, business, or other entity that offers clients products or equipment for sale. Most often, the receiver is referred to as the buyer and the seller is the supplier.
When it comes to actual goods, vendors usually sell to final consumers and purchase their goods from suppliers.
The Tier-1 suppliers receive their parts from the Tier-2 suppliers. The Tier-1 suppliers produce the goods and give the OEMs, or original equipment manufacturers, the final goods.
Therefore, Option C is correct.
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in the european union, it has become difficult to conduct business on any payment terms other than
In the European Union, it has become difficult to conduct business on any payment terms other than net or gross payment terms.
The European Union has implemented various regulations and directives to promote fair business practices and protect the rights of businesses and consumers. One area that has received significant attention is payment terms and late payment practices.The EU Late Payment Directive establishes rules for commercial transactions, requiring businesses to make payments within a specified period and imposing penalties for late payments. As a result, many businesses in the EU have shifted towards using standard payment terms such as net payment terms (where payment is due within a certain number of days after the invoice date) or gross payment terms (where payment is due in full upon receipt of goods or services).These standardized payment terms help ensure timely payments and provide greater clarity and consistency in business transactions. They also help prevent late payment issues and improve cash flow for businesses. Consequently, it has become increasingly difficult to negotiate alternative payment terms in the European Union, as businesses are encouraged to adhere to the standard net or gross payment terms to comply with the regulatory requirements.
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