Initial Investment, Timing of Cash Flows, Cost of Capital,Expected Returns, Risk impact the output of the irr calculation
The Internal Rate of Return (IRR) is used to measure and compare the profitability of different projects or investments. The result of the IRR calculation can be affected by several factors that have an impact on the output.What impacts the output of the IRR calculation?The output of the IRR calculation is influenced by the following factors:1. Initial Investment: The initial investment amount is the amount of capital that is needed to begin a project or investment. The IRR calculation takes into account the size of the initial investment and the expected returns that will be generated by the project. A higher initial investment will usually lead to a lower IRR.
2. Timing of Cash Flows: The timing of cash flows can have a significant impact on the IRR calculation. If the cash flows are received earlier in the project, the IRR will be higher. If the cash flows are received later in the project, the IRR will be lower.3. Cost of Capital: The cost of capital is the rate of return that is required by investors to invest in a project. The higher the cost of capital, the lower the IRR will be.4. Expected Returns: The expected returns that will be generated by the project also have an impact on the IRR calculation. A higher expected return will usually lead to a higher IRR.5. Risk: The level of risk associated with a project or investment can also affect the IRR calculation. The higher the risk, the higher the required rate of return will be, which will lower the IRR.Therefore, these are the factors that impact the output of the irr calculation.
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This is for the Globalization Trend Quick Check. (Economics B, Lighthouse Connections)
1) Which of the following correctly describes globalization?(1 point)
A) Globalization is the increase in income inequality within developed countries.
B) Globalization is the process of decreasing per-unit costs with increasing production.
C) Globalization is the process of integration among individuals, businesses, and governments.
D) Globalization is the increase in the value of knowledge and information within an economy.
2) Which of the following is an example of economies of scale?(1 point)
A) A business increases its production of widgets, and the cost of producing each widget decreases.
B) A business increases its production of widgets, and the total cost of production decreases.
C) A business decreases its production of widgets, and the total cost of production decreases.
D) A business decreases its production of widgets, and the cost of producing each widget decreases.
3) Which of the following explains why many small businesses struggle to compete with larger firms?(1 point)
A)Small businesses are unable to offer the same variety of products that larger firms are able to produce.
B) Small businesses are unable to specialize to the degree that larger firms are able to.
C) Small businesses are unable to provide the kinds of products that consumers want.
D) Small businesses are unable to sell their goods at the higher prices set by larger firms.
4) Which of the following is true of a market economy?(1 point)
A) There are no forms of government control or intervention.
B) It inhibits the influence of free trade and exchange on the free market.
C) There are no countries in the world currently transitioning to a market economy.
D) It opens the country's markets to international importing and exporting.
5) Which of the following is true of the economic transition process from a command economy to a market economy?(1 point)
A) The nation changes its fundamental economic organization and begins to minimize the amount of entirely new free market institutions.
B) The nation will attempt to stabilize its economy by establishing various monetary and fiscal policies, reducing market volatility and stimulating economic growth.
C) Individuals and institutions rely more and more on the instruction of and distribution by other people and organizations.
D) The country's markets become less open to international importing and exporting.
Based on the trends of globalization, the following are true:
C) Globalization is the process of integration among individuals, businesses, and governments.A) A business increases its production of widgets, and the cost of producing each widget decreases.A)Small businesses are unable to offer the same variety of products that larger firms are able to produce.A) There are no forms of government control or intervention.B) The nation will attempt to stabilize its economy by establishing various monetary and fiscal policies, reducing market volatility and stimulating economic growth.What does globalization mean?Globalization refers to the tendency of the world to become increasingly integrated across borders.
This means that individuals, businesses and governments, begin to work together more often in order to increase production and market reach.
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Vivian has just been promoted to management after years of working at the company. She is very excited, but nervous to now be the boss of several of her colleagues. What would be good advice for her
Answer:
Trust her gut and stay calm under any circumstances
Regrading the management, the good advice for her would be take a learning orientation approach which engages in self-development.
What do you mean by the management?In order to achieve desired goals and objectives, a person or group of people must be challenged and managed, according to the concept of management.
In management, efficiency is the ability to complete tasks effectively and economically. In order to provide measurable results, tasks must be completed within predetermined deadlines.
All parties involved in the business, such as the government, consumers, and employees, should have their interests taken into account by management. For the organization, managers are in charge of setting and achieving goals.
Therefore, the regrading the management, the good advice for her would be take a learning orientation approach which engages in self-development.
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inflation in argentina between 1988 and 1989 was 3078%. if a typical item in the argentine gdp cost 100 australs in 1988, how much did the typical item cost in 1989? a) 3078 australs b) 3178 australs c) 307.8 australs d) 317.8 australs
The cost of a typical item in 1989, after an inflation rate of 3078%, will be 3178 australs.
Calculation of Inflate rate:
Formula of the Inflation Rate is -
Inflation Rate = \(\frac{Current CPI - Previous CPI}{Previous CPI}\) x 100
where, CPI = consumer price index
Let, previous CPI = X
Inflation Rate = 3078%
3078 = \(\frac{X-100}{100}\) x 100
3078 = X - 100
X = 3178 australs
Hence, the 1989 cost will be 3178 murals.
What is Inflation?
Inflation is defined as a rise in prices that results in a loss of purchasing power over time. The average cost increase of a basket of selected goods and services over time can reflect the rate at which purchasing power declines.
The increase in prices, which is often expressed as a percentage, means that a unit of currency buys less than it did previously. Inflation is distinguished from deflation, which occurs when prices fall while purchasing power rises.
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Hope has negotiated $50,000 price on a new BMW. The manufacturer is offering $4,000 rebate or zero%, four year financing. She is able to get 6%, four-year financing from her credit union If Hope has $5,000 for down payment and she plans to finance $45,000 over four years, should she take the rebate or the zero% financing? (6 points) xample of how to show your work: FCF2014 = NOPAT2014-(TNOC2014 - TNOC2013) NOPAT2014=EBIT2014 * (1-t) - 60,884*(1-.4) - $36,530.40 NOW 2014-OPCA2014-OPCL2014-(Cash+AR+Inv)2014-AP+Accruals)2014 =(91,450+103,365+38,444) - (30,761+30,477) = $172,021 Therefore, TNOC2014=NOW2014+NFA2014=172,021+67,105 - $239,186
Comparing the two options, taking the zero% financing would result in a lower total cost of $41,000 compared to $51,800 with the rebate. Therefore, Hope should choose the zero% financing option.
To determine whether Hope should take the rebate or the zero% financing, we need to compare the total cost of each option.
If Hope takes the $4,000 rebate, she will still need to finance $45,000. At 6% interest for four years, the total interest paid over the loan term would be:
Interest = Principal x Rate x Time
Interest = $45,000 x 0.06 x 4
Interest = $10,800
So, with the rebate, the total cost would be:
Total cost = Principal + Interest - Rebate
Total cost = $45,000 + $10,800 - $4,000
Total cost = $51,800
On the other hand, if Hope chooses the zero% financing, there would be no interest cost. The total cost would simply be the financed amount minus the rebate:
Total cost = Principal - Rebate
Total cost = $45,000 - $4,000
Total cost = $41,000
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3. The owner of a specialty delicatessen buys baskets, decorates and fills them with food items, and
sells them as one of the products in the shop. The entrepreneur sells an average of 130 baskets a
month The basket supplier charges $0.50 per basket. The entrepreneur would like to reduce his
variable costs and has found a basket supplier who will charge only $0.40 per basket. How much
will the delicatessen owner save in a year by changing suppliers?
Answer:
$156
Explanation:
he old price per basket is $0.50 per basket
the new supplier has a price of $0.40 per basket
Savings per basket is $0.10 ($.50- $0.40)
The average sales per month are 130 baskets.
The average savings per months will be
=$0.10 x 130
=$13
yearly savings will be
=$13 x 12 months
=$156
Colleen Donnelly filed charges with the Equal Employment Opportunity Commission (EEOC) against her employer, Yellow Freight, for sex discrimination. After she filed the charges, Colleen received notice from the EEOC that she had 90 days to bring suit. This 90day period was a procedure for claims under the federal Civil Rights Act of 1964. Within that period Donnelly did indeed file suit but in an Illinois state court under an Illinois statute that also prohibits such discrimination. After the 90day period had expired, however, she tried to transfer the suit to a federal court. Yellow Freight defended claiming that she could not make such a transfer as the 90day period had expired for federal actions. Should she be allowed to go forward with her suit? Why or why not? (Donnelly v. Yellow Freight System, Inc., 874 F.2d
She should not be allowed to go forward with her suit because 90-day period for filing had expired when she attempted to transfer the suit to a federal court.
Should Donnelly be allowed to go forward with her suit?Donnelly ability to proceed with her lawsuit depends on the evidence presented, so, if she can provide sufficient evidence to support her claim that she was subjected to gender discrimination and harassment in the workplace, then, she should be allowed to proceed with her suit.
Burt, hHowever, Illinois state court could not hear federal claims, and therefore, she missed the deadline for bringing a suit in a federal court. She could only proceed with her suit under the Illinois statute. so, she should not be allowed to go forward with her suit.
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Which of the following is an
example of an operative
employee?
Explanation:
I just did this yesterday!
its assembled line worker
which pricing strategy should retailers use to tap into consumer excitement about buying something at a special low price for a limited time
Retailers should use the "flash sale" pricing strategy to tap into consumer excitement about buying something at a special low price for a limited time.
"Flash sale" is a pricing strategy used by retailers to offer discounts on products for a limited time, often ranging from a few hours to a few days.
The purpose of this strategy is to create a sense of urgency among customers and encourage them to make a purchase quickly, while also capitalizing on their excitement about getting a good deal.
One of the main benefits of using a flash sale strategy is that it can create a sense of excitement and anticipation among customers.
By announcing a limited-time sale, retailers can generate buzz around their products and create a sense of urgency among shoppers who are eager to take advantage of the discounted prices.
Another advantage of the flash sale strategy is that it can help retailers move inventory quickly, particularly for items that may be slow-moving or overstocked.
By offering discounts for a limited time, retailers can entice customers to buy products they may have otherwise overlooked, while also reducing the need to keep excess inventory on hand.
In addition, flash sales can help retailers attract new customers and retain existing ones. Offering a limited-time sale can create a sense of exclusivity and reward customers for their loyalty.
Additionally, customers who may have been on the fence about making a purchase may be more likely to buy if they see that the product is on sale for a limited time.
Overall, the flash sale pricing strategy can be an effective way for retailers to tap into consumer excitement about buying something at a special low price for a limited time.
However, it's important for retailers to use this strategy thoughtfully and strategically to avoid overusing it or alienating customers with constant sales.
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How do style guides differ from one another? Select all that apply. Some have rules for documenting sources; some do not. They address the needs of different academic disciplines. They include different guidelines. There are no differences between style guides.
Answer:
Option B. They address the needs of different academic disciplines
Option C. They include different guidelines.
Explanation:
Option A is incorrect because all of the writing style guides have rules for documenting sources, for example, the Harvard style says the name of the article or book must in italic format.
Different Writing Style Guides are used for different disciplines. For example, AP Style is used for stuff associated with Journalism based writings, APA is used for social sciences, MLA Style is used for literature, etc. So every writing style guide deals with a separate academic disciplines. Hence the option B is correct here.
Option C is correct because all of these writing style have different guidelines.
Option D is incorrect because there is a difference between style guides otherwise we don't have bunch of writing styles.
Answer: b & c
Explanation:
got a 100%
What are the normal procedures to verify before replacing a system boad on a sever or storage product?
Therefore, before replacing a system board on a server or storage product, it is important to identify the issue, back up data, check warranty status, research compatibility, power off and disconnect, ground yourself, replace the system board, and reassemble and test the product.
To verify before replacing a system board on a server or storage product, there are several normal procedures you should follow:
1. Identify the issue: Before replacing the system board, it is important to identify the problem accurately. Check for error messages, run diagnostic tests, and gather information about any symptoms or issues being experienced.
2. Backup data: Before making any hardware changes, it is essential to back up important data to prevent data loss in case of any unforeseen complications during the replacement process.
3. Check warranty status: Verify the warranty status of the server or storage product. If the product is still under warranty, contact the manufacturer or service provider to initiate a warranty claim instead of replacing the system board yourself.
4. Research compatibility: Ensure that the replacement system board is compatible with the server or storage product. Check the product documentation, consult manufacturer resources, or reach out to technical support for guidance if necessary.
5. Power off and disconnect: Power off the server or storage product and disconnect it from the power source. Also, disconnect any peripheral devices connected to the system board, such as hard drives or network cables.
6. Ground yourself: Before touching any components inside the server or storage product, ground yourself by wearing an anti-static wrist strap or by touching a grounded metal surface. This helps prevent static electricity damage to sensitive components.
7. Replace the system board: Carefully remove the old system board from the server or storage product, following the manufacturer's instructions. Install the new system board, ensuring all connections are secure.
8. Reassemble and test: After replacing the system board, reassemble the server or storage product, reconnect all cables, and power it back on. Run diagnostic tests or perform a functionality check to ensure the replacement was successful.
In summary, before replacing a system board on a server or storage product, it is important to identify the issue, back up data, check warranty status, research compatibility, power off and disconnect, ground yourself, replace the system board, and reassemble and test the product. Following these procedures helps ensure a successful replacement without causing further damage or data loss.
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Sam is getting his bachelor's degree. During some of his course work, he honed his research skills and learned to
exhibit confidence while presenting to an audience. Which career has Sam most likely been preparing for?
The correct answer is Journalism
Explanation:
Journalism is one of the careers that most require the use of communicative and research skills. This is because journalists are expected to gather information about important local, national and global events, which requires the use of research skills, and later they are expected to communicate the information precisely, concisely, and confidently, which requires the use of communicative skills. In this context, the career Sam is preparing for is journalism because this is the only one from the options that would require Sam to research and then communicate information confidently.
Answer:
D. Journalism
Explanation:
regarding earnest money deposits, a broker a) must report to the irs the receipt of more than $5,000 in cash. b) must deposit the funds within one business day after receipt. c) may not accept a postdated check under any circumstances, because such instruments are illegal in florida. d) is not responsible if the check fails to clear, provided the broker deposited the check within three business days.
Earnest money refers to the deposit paid by a buyer to a seller, reflecting the good faith of a buyer in purchasing a home.
When must a broker deposit earnest money?In our market, the escrow business must receive the earnest money deposit three days after the offer is accepted. Although the earnest money deposit could potentially be held by the broker, most brokerages work to keep client money separate from their own. A sort of deposit given by homebuyers to sellers is known as an earnest money deposit, or EMD. EMD is paid by buyers to sellers of real estate and other public and private projects. It is typically a little sum given to the seller as a sign of interest in purchasing real estate. Neither party may hold the earnest money deposit in a dishonest manner. This means that the deposit should be released as soon as feasible in the absence of a legitimate, reasonable demand.To learn more about broker deposit refer to:
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Another oil refiner is offering to trade you 10,150 bbls of alaska north slope (ans) crude oil for 10,000 bbls of west texas intermediate (wti) crude oil. Assuming you currently have 10,000 bbls of wti crude, the added benefit (cost) to you if you take the trade is closest to:
If you were to accept the trade, the added benefit to you would be approximately $37,625 ($787,625 - $750,000).
To determine the added benefit or cost of the trade, we need to compare the market values of Alaska North Slope (ANS) crude oil and West Texas Intermediate (WTI) crude oil.
As of April 2023, the price of ANS crude oil is $77.50 per barrel, while the price of WTI crude oil is $75.00 per barrel. The 10,150 bbls of ANS crude oil would be worth approximately $787,625 ($77.50 x 10,150 bbls), while the 10,000 bbls of WTI crude oil would be worth approximately $750,000 ($75.00 x 10,000 bbls).
The oil prices are subject to fluctuations and can change rapidly based on various factors such as global events, supply and demand, and economic conditions.
The actual benefit or cost of the trade may be different depending on the prevailing market conditions at the time of the trade.
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The visual enhancement of any drawing through color, value, and texture
Answer:
That would be the composition of a work.
Source:
"The arrangement of elements within a work of art."
https://www.tate.org.uk/art/art-terms/c/composition
1) Why do consumers have rights when making purchases in the marketplace?
A) Consumers need to be encouraged to spend more money.
B) Consumers face many more government regulations than producers.
C) Consumers are more important to the economy than producers.
D) Fairness and honesty are vital to a healthy economy.
Answer:
a
Explanation: i got it right
You have the opportunity to purchase a 25-year, $1,000 par value bond that has an annual coupon rate of 9%. If you require a YTM of 7.6%, how much is the bond worth to you?
The bond is worth approximately $506.71 , given your required yield to maturity of 7.6%.
How to Calculate the Worth of Bond?To reckon the present profit of the bond, we need to discount the future cash flows (coupon fees and the face value) at the necessary yield to adulthood (YTM) of 7.6%. The formula for the present profit of a bond is:
PV = C × (1 - (1 + r)⁽⁻ⁿ⁾) / r + F / (1 + r)ⁿ
Where:
PV = Present value of the bond
C = Annual advertisement payment
r = Yield to adulthood (YTM)
n = Number of years to adulthood
F = Face value of the bond
Let's plug in the given principles:
Coupon payment (C) = 9% of $1,000 apparent worth of something = $90
Yield to maturity (r) = 7.6% or 0.076
Number of age to adulthood (n) = 25
Face value (F) = $1,000
PV = $90 × (1 - (1 + 0.076)⁽⁻²⁵⁾) / 0.076 + $1,000 / (1 + 0.076)²⁵
Now, let's reckon the present advantage:
PV = $90 × (1 - 1.076)⁻²⁵⁾/ 0.076 + $1,000 / 1.076²⁵
PV = $90 × (1 - 0.1937) / 0.076 + $1,000 / 1.076²⁵
PV = $90 × 0.8063 / 0.076 + $1,000 / 1.076²⁵
PV = $72.57 + $434.14
Adding the two principles:
PV = $72.57 + $434.14
PV = $506.71
Therefore, the bond is worth nearly $506.71 to you, given your necessary yield to adulthood of 7.6%.
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Which of the following taxpayers in most likely to have income or loss from a passive activity? Jerald- He is a general partner in a financial planning business, and he manages the day-to-day operations of the business Holly- She in a full-time employee at a limited liability law partnership. Robert- He is a self-employed legal consultant, and he spent 500 hours during the current your doing legal work. He also owns rental property and he spent 900 hours making repairs and management decisions relating to his rental property Judy- She has invested in a limited partnership that designs specialty t-shirts, but she does not actively participate in any business or management activities
Passive activity is any activity in which the taxpayer does not actively participate.
Taxpayers with passive activities have income or losses that are treated differently than income or losses from non-passive activities. They are generally not fully deductible in the current tax year but are carried forward to future years and used to offset future passive activity income.
The passive activity rules limit the taxpayer's ability to deduct passive activity losses against income from other sources. Judy is most likely to have income or loss from a passive activity. She has invested in a limited partnership that designs specialty t-shirts, but she does not actively participate in any business or management activities.
Because Judy does not actively participate in the business, the partnership's income or loss is considered passive income or loss. As a result, Judy's ability to deduct losses from her investment is subject to the passive activity rules.
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HELP LOTS OF POINTS!!
Which information in the accounts payable subsidiary journal is entered after
the amount of credit or debit?
A. The name of the vendor
B. The terms of the sale
C. The balance
D. The date
Answer:
D
Explanation:
Answer: the balance
Explanation: because
when someone familiar with each task estimates what percent of the task has been completed or how much of the task remains, they are creating a method for assigning costs to the baseline called the
This approach helps in monitoring progress and controlling project costs effectively.
When someone familiar with each task estimates what percent of the task has been completed or how much of the task remains, they are creating a method for assigning costs to the baseline called the Earned Value Management (EVM) technique. EVM is a project management methodology that helps project managers to track the actual progress of the project against the planned schedule and budget. It provides an accurate picture of the project's performance by comparing the actual cost and schedule performance with the planned performance.
EVM helps to determine whether a project is on track, over budget, or behind schedule, and helps to forecast the project's future performance. In summary, EVM is a powerful tool that helps project managers to make informed decisions and take corrective action when necessary to ensure the successful completion of the project.
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Which of the following is a good example of inflation? OA. You get a flat tire on your car. OB. You work three jobs in order to pay your bills It cost you $50 to gas up your car this month. But last month it cost you OC. $85 It cost you $85 to gas up your car this month. But last month it only cost OD you S50
Answer: C.) It cost you $85 to gas up your car this month but last month it only cost you $50
Explanation:
It is July 16. A company has a portfolio of stocks worth $100 million. The beta of the portfolio is 1. 2. The company would like to use the CME December futures contract on the S&P 500 to change the beta of the portfolio to 0. 5 during the period July 16 to November 16. The index futures price is 2,000 and each contract is on $250 times the index.
A) What position should the company take?
B) Suppose that the company changes its mind and decides to increase the beta of the portfolio from 1. 2 to 1. 5. What position in futures contracts should it take?
To raise the beta to 1.2, the company must take a stake and purchase 280 Bse 500 future deals.
What does "company" mean?A company is a legal body created by a group of people to conduct and manage a business enterprise, whether it be commercial or industrial. Depending just on corporate legislation of its jurisdiction, a corporation may be set up in a variety of ways for tax & financial liability reasons.
What makes it a firm, and why?A firm is the name given to a business because its personnel want to produce value. The Latin language is where the term "produce," which meaning to lead forth bring forth, originates. The term "company" first appears in Old French, where it meant camaraderie or compaignie. The term "business" also has Old English roots, when busy and -ness are combined.
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in one paragraph, explain the impact of working capital management on the business’s operations. provide examples to support your claims
Working capital management plays a crucial role in a business' tasks as it straightforwardly influences the organization's liquidity, benefit, and in general productivity.
Effectively managing working capital guarantees that an organization has adequate assets to cover its momentary commitments and functional costs. For example, advancing the administration of records receivable can assist with further developing income by diminishing the time it takes to gather installments from clients.
For instance, arranging ideal installment terms with providers can improve income by stretching out an opportunity to pay solicitations. Then again, unfortunate working capital administration can prompt liquidity limitations, botched open doors, and expanded acquiring costs.
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anyone can do this?
I love your profile pic ( ༎ຶŎ༎ຶ )
Answer:
Her car
Explanation:
She would have to give up the title of her car because she is borrowing money from a title pawn lender. She'd borrow up to 100-5,000, then she's have to give up her title to her car.
a entry to a liability account decreases the account balance
Answer:
Asset accounts. A debit increases the balance and a credit decreases the balance. Liability accounts. A debit decreases the balance and a credit increases the balance.
Explanation:
The CFO of Foodie Inc. is continually receiving capital funding requests from its division managers. These requests are seeking funding for positive net present value projects. The CFO continues to deny all funding requests due to the financial situation of the company. Apparently, the company is: Multiple Choice operating at maximum capacity. operating at the accounting break-even point. operating with zero leverage. facing hard rationing. operating at the financial break-even point.
Answer:
facing hard rationing.
Explanation:
Since the CFO continues to deny the request related to the funding because of the financial situation of the company so this represent that the company is facing high rationing that means there is a high demand but the supply is less
So according to the given situation, the last 2nd option is correct
And, the same would be relevant
You are told that if you invest $11,000 per year for 23 years( all payments made at the end of each year) you will have accumulated $366,000 at the end of the period What annual rate of return is the investment offering.
Answer:
3.2%
Explanation:
this is an ordinary annuity:
future value of an ordinary annuity = annual payment x future value annuity factor
$366,000 = $11,000 x future value annuity factor
future value annuity factor = $366,000 / $11,000 = 33.2727
you can solve this in two ways:
the first is with a lot of math work in order to solve the following equation
33.2727 = [(1 + i)²³ - 1] / i
or
you can use an annuity calculator (available online) which will yield 3.2%
What is the value in year 3 of a $700 cash flow made in year 6 if interest rates are 10 percent?
The answer is 525.92$ is the value in year 3 of a $700 cash flow made in year 6 if interest rates are 10 percent.
Calculation-
We will use Future value formula to find out the value of cash flow made-
Value in =FV×(1(1+r)n)
=$700×(1(1+0.10)3)
=$525.92
Where,
FV = Future value
r = Rate of interest
n = Number of years
Therefore, the cash flow made after 3 years is calculated as $525.92.
What do you think constitutes interest?Interest is the cost that you incur when you lend money or when you pay a fee to borrow money. As a yearly percentage of the loan amount, interest is most frequently expressed. Known as this percentage, the interest rate on the debt is.
An example of interest is what?Example: For instance, if a borrower took out a $1,000 loan at 2% interest and accrued $100 in interest, the total interest for that calendar year would be $22. It's because interest is paid on a sum of $1100, which comprises the principle ($1000) and interest ($100) that has accumulated.
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In what position would you find pennies in a cash drawer?
a. Top right section
C. Bottom right section
b. Top left section
d. Bottom left section
WWW
on an income statement, the revenues are more than the expenses this result in cash flow from ------- activities a. investing b. financing c. operating d. marketing
On an income statement, if the revenues are greater than the expenses, it results in cash flow from operating activities. This is because revenues and expenses are part of operating activities, while investing activities deal with investments in long-term assets, and financing activities deal with changes in liabilities and equity.
However, it is worth noting that the income statement is just one part of the cash flow statement. While the income statement records a company's revenues and expenses over a period of time, the cash flow statement reports a company's cash inflows and outflows over the same period. The cash flow statement consists of three sections: operating activities, investing activities, and financing activities.
The cash flow from operating activities shows how much cash a company generates or uses from its core operations, while investing activities show how much cash is used or generated by buying or selling long-term assets. Financing activities show how much cash is used or generated from changes in liabilities and equity.
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How Social Media can Destroy Your Finances
Answer:
You buy unnecessary items that have no purpose later on, or you buy an over expensive item that you cant seem to pay back later on in other circumstances