14. Samantha receives a starting salary offer of $105,000 for Year 1 . If inflation is 5% each year, what must her salary to be to have the same purchasing power in Year 5, Year 10 , Year 15, Year 20? (5 Points)

Answers

Answer 1

To calculate Samantha's salary in Year 5, Year 10, Year 15, and Year 20, taking into account an annual inflation rate of 5%, we can use the concept of present value and future value.

The future value of an amount can be calculated using the formula: Future Value = Present Value * (1 + Inflation Rate)^Number of Years Let's calculate Samantha's salary for each year: Year 5 Future Value = $105,000 * (1 + 0.05)^ Future Value = $105,000 * (1.05)^5 Future Value = $128,031.38 Therefore, Samantha's salary needs to be approximately $128,031.38 in Year 5, $162,889.46 in Year 10, $207,892.81 in Year 15, and $265,329.38 in Year 20 to have the same purchasing power as the initial offer of $105,000 in Year 1, considering a 5% annual inflation rate.

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Related Questions

You have been tasked with creating the project charter for your new project to formally
authorize the project in your company. In this context, what should be done FIRST
Develop Project Management Plan
Identify a project manager for the project
Acquire Project Team
Integrate the work of the project with the ongoing operations of the performing organization

Answers

The project charter is a document that formally authorizes a project or phase. It formally identifies a project manager for the project and integrates the work of the project with the ongoing operations of the performing organization. It provides the project manager with the authority to apply organizational resources to project activities.

The project charter is a statement of the scope, objectives, and participants of a project. It is the first stage in the project planning process and helps to establish a framework for project management. A project charter should contain the following information:• Project name and description• Project scope and objectives• Key stakeholders and their roles and responsibilities• Project sponsor and project manager• Project duration and key milestones• Resource requirements• Budget and cost estimates• Risk management plan• Communication plan• Change management planIn conclusion, the project charter is an important document that provides the project manager with the authority to apply organizational resources to project activities. It integrates the work of the project with the ongoing operations of the performing organization and helps to establish a framework for project management.

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How significant is a country’s geographic location in
determining its long-term economic development?

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A country's geographic location can have a significant impact on its long-term economic development. Factors such as proximity to markets, access to resources, transportation routes, and climate can shape a country's economic potential.

A country's geographic location plays a crucial role in determining its long-term economic development. Proximity to markets and trade routes can provide advantages in terms of access to customers and international trade. Countries located close to major economic centers or transportation hubs may have better opportunities for economic growth and development.

Geographic location also affects a country's access to natural resources. Countries with abundant resources like minerals, oil, or arable land may have a comparative advantage in certain industries and can benefit from resource extraction and agricultural activities. Additionally, climate and topography can influence a country's agricultural productivity, tourism potential, and renewable energy resources. Countries with favorable climates and natural attractions may attract tourists and benefit from the tourism industry, contributing to economic growth.

However, it is important to note that while geographic location can provide advantages, it is not the sole determinant of economic development. Factors such as government policies, institutions, human capital, infrastructure, and technological advancements also play crucial roles in shaping a country's long-term economic growth. Therefore, while geographic location can be significant, other factors must also be considered for a comprehensive understanding of a country's economic development.

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Shares in Growth Corporation are selling for $55 per share. There are currently 8 million shares outstanding. The stock has a 3 - for - 1 stock split.
How many shares will be outstanding after the split? Please state your answer in millions and rounded to 2 decimal places.
Outstanding shares = million
What will be the price per share after the split? Enter your answer rounded to two decimal places.
Price per share =

Answers

After the 3-for-1 stock split, the number of shares outstanding will be 24 million shares (8 million shares multiplied by 3).

The price per share after the split can be calculated by dividing the original price ($55) by 3, resulting in a price per share of $18.33.

After the 3-for-1 stock split, the number of shares outstanding will increase from 8 million to 24 million shares. This means that each existing shareholder will receive 2 additional shares for every 1 share they currently hold.

As for the price per share after the split, it will be adjusted accordingly to maintain the overall market value of the company. In this case, since the stock was trading at $55 per share before the split, after the split, the price per share will be divided by 3. Therefore, the price per share will be $18.33.

Overall, the stock split increases the number of shares outstanding and adjusts the price per share to make it more affordable for investors while maintaining the market capitalization of the company.

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the direct threat of climate change to marine habitat is

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Marine habitats are directly under risk from climate change in a big and complex way. Marine habitats are at serious risk from rising ocean temperatures brought on by global warming.

Increased temperatures can cause coral to bleach, harming or obliterating the important coral reefs that provide home for a variety of animals. Climate change also influences the amount and distribution of marine organisms, upsetting the delicate balance of marine food chains and causing changes in entire ecosystems. Another effect of climate change is rising sea levels, which can lead to coastal erosion, the loss of crucial breeding habitats for marine creatures, and greater vulnerability to storms and flooding. Because calcium carbonate formation is hampered by ocean acidification, which is brought on by seawater absorbing too much carbon dioxide, shellfish, corals, and other marine life are all at risk.

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The accounting equation must balance before and
after every accounting transaction.
True
False

Answers

The statement is true. To maintain accurate financial records, it is crucial for the accounting equation to balance before and after every accounting transaction.

The accounting equation is a fundamental principle in accounting that states that assets must equal liabilities plus equity. It is represented as:

Assets = Liabilities + Equity

This equation must always balance before and after every accounting transaction to ensure the accuracy of financial records. Here's an explanation of each component:

Assets: These are the resources owned by a business, such as cash, inventory, equipment, or accounts receivable.

Liabilities: These are the obligations or debts of a business, including loans, accounts payable, or accrued expenses.

Equity: It represents the owner's interest in the business, including retained earnings and contributed capital.

For every transaction, there is an impact on at least two elements of the equation. For example, if a company purchases inventory on credit, it increases the assets (inventory) and liabilities (accounts payable) simultaneously, maintaining the balance of the equation.

To maintain accurate financial records, it is crucial for the accounting equation to balance before and after every accounting transaction. This balance ensures that the resources of a business (assets) are financed by either external sources (liabilities) or internal sources (equity). Therefore, the statement is true.

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Investment banks like Morgan Stanley or Goldman Sachs:

collect deposits and relend the cash to corporations and individuals.
help companies sell their securities to investors.
lend to corporations and investors in commercial real estate.
design and sell insurance policies for businesses.

Answers

Investment banks like Morgan Stanley or Goldman Sachs help companies sell their securities to investors.

They provide advice on how to structure and price securities.

They underwrite securities, which means they guarantee that a certain number of securities will be sold.

They help to market securities to investors.

In addition to helping companies sell securities, investment banks also provide other services, such as:

Advising on mergers and acquisitions

Raising capital for governments

Trading securities

Providing financial research

Investment banks make money by charging fees for their services. The fees they charge can be significant, especially for large and complex transactions.

Here are some additional details about how investment banks help companies sell securities to investors:

They conduct research on the company and its industry.

They develop a marketing plan for the securities.

They contact potential investors and pitch the securities to them.

They monitor the trading of the securities after they are issued.

Investment banks play an important role in the financial markets. They help companies raise capital, which allows them to grow and expand. They also help to facilitate mergers and acquisitions, which can help to create more efficient and competitive businesses.

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the firm intrinsic Suppose a company is considering the following project, where all of the dollar figures are in thousands of dollars. In year 0 the project requires $14150 as initial cost which depreciated by using straight line method over 8 years and there is a salvage value of 3000 in the last year. The project is forecast to generate sales of 3500 units in the first year rising by 500 units for every year to the last year. The inflation rate is forecast to be 2.2%, 2.4%, 2.6 %, 2.8%, 3.0%, 3.2%, 3.4% and 3.6% from year 1 to 8 respectively. The real cost of capital is forecast to be 7.7%, 7.8%, 7.9%, 8.2%, 8.4%, 8.5%, 8.7% and 9% from year 1 to 8 respectively. The tax rate is forecast to be constant 28%. Sales revenue per unit is forecast to be $11.10 in year 1 and grow with inflation. Variable cost per unit is forecast to be $6.8 in year 1 and grow with inflation. Cash fixed costs are forecast to be $4020 in year 1 and then grow with inflation. What is the project NPV?solution on excel

Answers

The project's net present value (NPV) is $47,812.

The NPV of the project is calculated by discounting the cash flows generated by the project using the real cost of capital. The initial cost of $14,150 is depreciated over 8 years using the straight-line method, resulting in an annual depreciation expense of $1,431.25. The salvage value of $3,000 is received at the end of year 8.

The sales revenue per unit starts at $11.10 in year 1 and increases with inflation. The variable cost per unit starts at $6.8 in year 1 and also grows with inflation. The cash fixed costs start at $4,020 in year 1 and increase with inflation. The tax rate is constant at 28%.

To calculate the NPV, the annual cash flows are determined by subtracting the variable costs and fixed costs from the sales revenue, and then applying the tax rate to the resulting cash flow. The cash flows are then discounted using the real cost of capital for each respective year. Finally, the present values of all the cash flows are summed up to obtain the NPV of the project, which in this case is $47,812.

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C11Q4C11Q4 Coffee purchases green
coffee beans from various suppliers and then roasts the coffee
beans in its roasting facility. LOADING... ​(Click the icon to view
the manufacturing​ information.

Answers

Coffee purchases green coffee beans from suppliers and roasts them in its facility. This process represents the coffee bean supply chain, involving steps from harvesting to packaging, shipping, roasting, and distribution to consumers.

Coffee purchases green coffee beans from various suppliers and then roasts the coffee beans in its roasting facility. This process can be seen as a coffee bean supply chain. The supply chain consists of suppliers, distributors, and a roasting facility. The steps involved in the supply chain are as follows:

Step 1: Harvesting the coffee beans

Step 2: Cleaning and grading the beans

Step 3: Packaging the beans

Step 4: Shipping the beans to the suppliers

Step 5: Suppliers store the beans until they are ready to be roasted

Step 6: Coffee purchases the beans from the suppliers

Step 7: Coffee roasts the beans at their roasting facility

Step 8: Coffee packages the roasted beans

Step 9: Coffee ships the packaged roasted beans to distributors and retailers

Step 10: Distributors and retailers sell the coffee to consumers.

Therefore, the above processes form the coffee bean supply chain followed by Coffee.

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Communication Accommodation Theory claims that people sometimes adjust their speech style away from one another in some circumstances. Explain this phenomenon using examples of real language in use in English or Vietnamese.

Answers

Communication Accommodation Theory (CAT) suggests that individuals may adjust their speech style to either converge or diverge from others, depending on social and contextual factors.

Convergence occurs when speakers adopt similar speech patterns, while divergence involves intentionally diverging from the speech style of others.In English, convergence can be observed when someone adopts a regional accent or dialect to fit in with a particular social group. Divergence can also be seen in English conversations. If a person wants to emphasize their distinctiveness or assert their social identity, they may intentionally diverge from the speech style of others.

For instance, a university professor might use more technical language and complex sentence structures during a lecture, setting themselves apart from the students and establishing their authority.

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Fixed manufacturing overhead costs that can be avoided if CMCBs are not made 320,000 320,000 Fixed manufacturing overhead costs of plant depreciation, incurance and adminictration that rannot he avnided even if Variable manufacturing costs Svenson manufactured 8,000 CMCBs in 2017 in 40 batches of 200 each. In 2018 , Svenson anticipates needing 10,000 CMCBs. The CMCBs would be produced in 80 batches of 125 each. The Minton Corporation has approached Svenson about supplying CMCBs to Svenson in 2018 at $300 per CMCB on whatever delivery schedule Svenson wants. 1. Calculate the total expected manufacturing cost per unit of making CMCBs in 2018. 2. Suppose the capacity currently used to make CMCBs will become idle if Svenson purchases CMCBs from Minton. On the basis of financial considerations alone, should Svenson make CMCBs or buy them from Minton? Show your calculations. 3. Now suppose that if Svenson purchases CMCBs from Minton, its best alternative use of the capacity currently used for CMCBs is to make and sell special circuit boards (CB3s) to the Essex Corporation. Svenson estimates the following incremental revenues and costs from CB3s:
Total expected incremental future revenues
Total expected incremental future costs


$2,000,000
$2,150,000

On the basis of financial considerations alone, should Svenson make CMCBs or buy them from Minton? Show your calculations. Requirement 1. Calculate the total expected manufacturing cost per unit of making CMCBs in 2018. Requirement 1. Calculate the total expected manufacturing cost per unit of making CMCBs in 2018. Requirement 2. Suppose the capacity currently used to make CMCBs will become idle if Svenson purchases CMCBs from Minton. On the basis of financial considerations alone, should Svenson make CMCBs or buy them from Minton? Show your calculations.

Answers

Since buying CMCBs from Minton would cost $300 per unit, the total cost of purchasing 10,000 CMCBs would be $3,000,000.

CMCBs in 2018, we need to consider the fixed and variable costs associated with manufacturing the CMCBs.

The fixed manufacturing overhead costs that cannot be avoided are $320,000, while the fixed manufacturing overhead costs that can be avoided if CMCBs are not made are also $320,000.

The variable manufacturing cost per unit can be calculated as follows:

For 2017:

Svenson manufactured 8,000 CMCBs in 40 batches of 200 each, so the total number of batches is 40.

The variable manufacturing cost per batch is $1,500, which includes direct materials, direct labor, and variable overhead costs.

Therefore, the variable manufacturing cost per unit is $1,500/200 = $7.50.

For 2018:

Svenson anticipates needing 10,000 CMCBs in 80 batches of 125 each, so the total number of batches is 80.

The variable manufacturing cost per batch is still $1,500.

Therefore, the variable manufacturing cost per unit is $1,500/125 = $12.

The total expected manufacturing cost per unit of making CMCBs in 2018 can be calculated as follows:

Total expected manufacturing cost per unit = Fixed manufacturing overhead costs + Variable manufacturing cost per unit

= $320,000 (fixed overhead costs that cannot be avoided) + $320,000 (fixed overhead costs that can be avoided) + $12 (variable manufacturing cost per unit)

= $652 per unit.

Requirement 2: If the capacity currently used to make CMCBs will become idle if Svenson purchases CMCBs from Minton, then Svenson should compare the cost of making CMCBs to the cost of buying them from Minton.

The cost of buying CMCBs from Minton is $300 per unit.

The total expected manufacturing cost per unit of making CMCBs in 2018 is $652 per unit.

Therefore, on the basis of financial considerations alone, Svenson should buy CMCBs from Minton as it would be cheaper than making them in-house.

Note that this analysis does not take into account any non-financial factors, such as quality control, lead times, or the impact on employees.

Requirement 3: If Svenson purchases CMCBs from Minton, its best alternative use of the capacity currently used for CMCBs is to make and sell special circuit boards (CB3s) to the Essex Corporation. Svenson estimates the following incremental revenues and costs from CB3s:

Total expected incremental future revenues = $2,000,000

Total expected incremental future costs = $2,150,000

To determine whether Svenson should make CMCBs or buy them from Minton, we need to compare the incremental contribution margin of making CB3s to the cost of buying CMCBs from Minton.

The incremental contribution margin of making CB3s can be calculated as follows:

Incremental contribution margin = Total expected incremental future revenues - Total expected incremental future costs

= $2,000,000 - $2,150,000

= -$150,000

This means that making CB3s would result in a loss of $150,000.

Since buying CMCBs from Minton would cost $300 per unit, the total cost of purchasing 10,000 CMCBs would be $3,000,000.

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Suppose that Algebia has a GDP of approximately CS\$23.31 billion produces Copper. Algebia being a member of WTO wishes to trade with Sweden whose GDP is US\$ 530.9 billion and produces manufactured products. As a trade policy expert, explain: a) Whether or not trade between the two nations could be mutually beneficial ( 5 marks) b) The theory that would best support trade between the two nations and why. (5 Marks) c) Why developing countries like Algebia sometimes object that free trade that will lead them to specialize in primary products like copper

Answers

Trade between Algebia and Sweden could be mutually beneficial, as both countries have different comparative advantages in producing different goods.

The theory of comparative advantage best supports trade between the two nations, as it suggests that countries should specialize in producing goods in which they have a lower opportunity cost.

Developing countries like Algebia may object to free trade that leads to specialization in primary products like copper due to concerns about over-reliance on volatile commodity prices and limited diversification of their economies.

Trade between Algebia and Sweden could be mutually beneficial because both countries have different comparative advantages. Algebia specializes in producing copper, while Sweden specializes in manufacturing products.

By engaging in trade, Algebia can export copper to Sweden, which requires it for manufacturing, while Sweden can export its manufactured products to Algebia.

The theory that best supports trade between Algebia and Sweden is the theory of comparative advantage. According to this theory, countries should specialize in producing goods in which they have a lower opportunity cost. In this case, Algebia has a comparative advantage in producing copper, while Sweden has a comparative advantage in manufacturing products.

Developing countries like Algebia may object to free trade that leads to specialization in primary products like copper due to several reasons. Firstly, primary products often have volatile prices in the international market, making the economy vulnerable to price fluctuations and external shocks.

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Pick a product/service that you would like to sell internationally; - Briefly discuss the 4 P's of Marketing; - Identify/Rationalize a market (country) where you would like to sell your chosen product/service; - Make a decision about taking on a partner; - If you decide not to work with a partner, discuss 3 (three) reasons supporting your decision; - Would you go for a Greenfield/Brownfield Investment? Why? - How/Why would Foreign Direct Investment be helpful in your business idea? - If you decide to go with a partner, choose the type of partnership (Joint Venture or Merger). Rationalize your response. Minimum Requirement: 800 Words Everyone must have an individual product/service, a point of international entry and a separate plan for International Entry. (You are not supposed to discuss any existing companies/brands

Answers

Product/Service: Organic Skincare Products, The 4 P's of Marketing: Product. Price,Place, Promotion, Market Choice: Germany.

The 4 P's of Marketing:

Product: The organic skincare products will include a range of facial cleansers, moisturizers, serums, and masks made from natural and sustainable ingredients, free from harmful chemicals.

Price: The products will be positioned as premium, reflecting the high-quality ingredients and sustainable production methods, while remaining competitive within the target market.

Place: The initial target market will be Germany, known for its strong demand for organic and eco-friendly products. Distribution channels will include online platforms, local organic stores, and select beauty retailers.

Promotion: The marketing strategy will focus on highlighting the natural and sustainable aspects of the products, leveraging social media, influencer collaborations, and eco-conscious marketing campaigns.

Market Choice: Germany

Germany has a well-established market for organic and eco-friendly products, with a growing consumer demand for sustainable skincare options. The country has a high level of environmental consciousness, strict regulations on product quality, and a well-developed distribution network for organic goods. The target market in Germany offers a favorable environment for the introduction of organic skincare products, with consumers willing to pay premium prices for high-quality and eco-friendly options.

Decision on Partner:

Considering the complexities of international market entry, partnering with a local distributor or retailer in Germany would be beneficial. A partner with knowledge of the local market, established distribution channels, and consumer preferences can provide valuable insights, help navigate regulatory requirements, and facilitate market penetration.

Reasons for Not Choosing a Partner:

a) Control: By not working with a partner, the business retains full control over its operations, decision-making, and brand image.

b) Flexibility: Without a partner, the business has the flexibility to adapt its strategies, pricing, and product offerings based on market dynamics and changing consumer preferences.

c) Cost Efficiency: Partnering with a local distributor or retailer may involve additional costs such as distribution margins, marketing support, and coordination expenses. Managing operations independently can help optimize cost efficiency.

Greenfield/Brownfield Investment:

A greenfield investment would be preferred for entering the German market. This approach involves establishing a wholly new operation, such as a manufacturing facility or a dedicated distribution network. By starting from scratch, the business can tailor its operations to suit local requirements, incorporate sustainable practices from the beginning, and build a strong brand presence.

Foreign Direct Investment (FDI):

FDI would be helpful in this business idea as it allows for a long-term commitment to the foreign market, providing opportunities for growth, expansion, and deeper integration into the local economy. It enables the business to establish a physical presence, create jobs, transfer technology and knowledge, and build relationships with local stakeholders, fostering trust and credibility.

Partnership Type: Joint Venture

A joint venture would be suitable for entering the German market. Collaborating with a local skincare company or retailer can leverage their existing market knowledge, distribution network, and customer base. It allows for shared resources, risks, and expertise, enabling faster market penetration and greater access to local consumer insights. A joint venture also facilitates cultural integration and reduces regulatory barriers, leading to a smoother entry into the market.

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As the bookkeeper for a company, you have varying bill amounts from a vendor each month. Which of the following preferences options will ensure that the transactions get coded consistently to the correct expense account?

Automatically recall last transaction

Deposit money from vendor payment.

Prefill accounts for vendor based on past entries.

Redirect to specified expense account.

Answers

Prefill accounts for vendor based on past entries. This option ensures consistent coding by automatically populating the expense account based on previous transactions with the same vendor.

It reduces errors and saves time for the bookkeeper, as they don't need to manually enter the account each time. By relying on historical data, this preference promotes consistency and accuracy in expense tracking, streamlining the bookkeeping process and maintaining reliable financial records.

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Simple Corp. has one bond issue oustanding, with a maturity of 10.5 years, a coupon rate of 3.1% and a yield to maturity of 4.6%. Simple Corp.'s average tax rate is 18% and its marginal tax rate is 32%.
What is the (pre-tax) cost of debt?
What is the after-tax cost of debt?

Answers

The (pre-tax) cost of debt is 3.20% and the after-tax cost of debt is 2.18%.

Simple Corp. has one bond issue outstanding, with a maturity of 10.5 years, a coupon rate of 3.1%, and a yield to maturity of 4.6%.

Simple Corp.'s average tax rate is 18% and its marginal tax rate is 32%.

Find out the pre-tax cost of debt and the after-tax cost of debt.

The formula for the cost of debt before taxes is as follows:

r_d = (C + ((F-P)/n)) / ((F+P)/2)

here:rd= cost of debt before taxes

C= Annual coupon payment

F= Par value of the bond

P= Price of the bond

n= Number of years to maturity

For the given data:C = 3.1% of F; F = $1,000; r_d = 4.6%; n = 10.5 years

Therefore, 31 = (0.031 × 1000)

C = Annual coupon payment,

F = Par value of the bond,

r_d = Yield to maturity,

P = Price of the bond, and n = Number of years to maturity.

So, 4.6 = (31 + ((F-P)/10.5)) / ((F+P)/2)

Also, F-P = 1000-Price of the bond.

To solve for the Price of the bond, multiply both sides by ((F+P)/2). T

hus, we get:((F+P)/2) × 4.6 = 31 + ((F-P)/10.5) × ((F+P)/2)

Now solve for P to get P = $966.10The pre-tax cost of debt is:

r_d = (C + ((F-P)/n)) / ((F+P)/2)= (31 + ((1000-966.10)/10.5)) / ((1000+966.10)/2)

= 3.20%

Now that we have found the pre-tax cost of debt, we will find the after-tax cost of debt:

The after-tax cost of debt = Pre-tax cost of debt x (1 - tax rate)

Pre-tax cost of debt = 3.20%

Tax rate = Marginal tax rate = 32%

Thus,After-tax cost of debt = 3.20% x (1 - 0.32)

After-tax cost of debt = 2.18%

Therefore, the (pre-tax) cost of debt is 3.20% and the after-tax cost of debt is 2.18%.

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Tiffany is considering investing in one of two investment projects. She has two options: The first project is conducted by the Australian government, which generates a certainty profit of $70k, and the second project is managed by a private firm which generates $85k an hour with a 50 percent chance and $45k an hour with 50 percent chance. Assume that Tiffany can only invest in one project, helping her in making decisions in the following scenarios. (Hint: you can ignore the unit k when calculating the value)
(a) Suppose Tiffany's utility of a payment x is u(x)=1.5⋅ ​ x. Which project will she prefer according to the expected utility theory? (remain two digits for decimals)
(b) Now suppose Tiffany takes the worst possible remuneration out of the two projects as her reference point. Her value function is v(x)=1.5⋅ x for gains and v(−x)=−3⋅ ∣−x∣ for losses. Which project would she prefer? Does her choice change if she instead takes the best possible remuneration out of the two projects as her reference point? Provide all the steps of the calculations.

Answers

(a) Tiffany will invest in the Australian government project since it has a higher predicted utility. (b) Tiffany's value function suggests investing in the Australian government initiative because it's more valuable. Project 2 would return 85 or 45 with a 50% chance. (EV) -105.

(a) Tiffany will prefer investing in the project conducted by the Australian government as it yields a higher expected utility. According to the expected utility theory, Tiffany will prefer the project that yields the highest expected utility. Let's find out which project that is.
Option 1: The expected utility of investing in the project conducted by the Australian government is:
u(70) = 1.5  × 70 = 105.
Option 2: The expected utility of investing in the project managed by the private firm is:
EU = (0.5  × u(85)) + (0.5  × u(45))
EU = (0.5  × 1.5  × 85) + (0.5  × 1.5  × 45)
EU = 82.5
Therefore, Tiffany will prefer investing in the project conducted by the Australian government as it yields a higher expected utility.

(b) Now let's consider Tiffany's value function v(x) which is v(x)=1.5⋅ x for gains and v(−x)=−3⋅ ∣−x∣ for losses.
Investing in Project 1 yields a gain of 70. Therefore, its value is v(70) = 1.5  × 70 = 105.
Investing in Project 2 yields either a gain of 85 or a gain of 45, each with a 50% probability. Therefore, its value is:
v(85) = 1.5  × 85 = 127.5
v(45) = 1.5  × 45 = 67.5
EV = (0.5  × v(85)) + (0.5  × v(45))
EV = (0.5  × 127.5) + (0.5  × 67.5)
EV = 97.5
Therefore, according to Tiffany's value function, she would prefer investing in the project conducted by the Australian government as it yields a higher value.

If Tiffany takes the best possible remuneration out of the two projects as her reference point, then investing in Project 1 would yield a loss of -30 (since 100 is the best possible outcome). Its value is therefore v(-30) = -3  × 30 = -90.
Investing in Project 2 would yield a gain of either 85 or 45, each with a 50% probability. Therefore, its value is:
v(85-100) = v(-15) = -3 × 15 = -45
v(45-100) = v(-55) = -3  × 55 = -165
EV = (0.5  × v(-15)) + (0.5  × v(-55))
EV = (0.5  × -45) + (0.5  × -165)
EV = -105

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________ is the income that a business owner retains after paying all the expenses associated with the operation of the business.

Answers

The income that a business owner retains after paying all the expenses associated with the operation of the business is known as "net income".

Net income is also referred to as profit, earnings, or the bottom line. The term "bottom line" is used because it typically appears at the bottom of a company's income statement. It is calculated by subtracting all of a company's expenses from its total revenue.

Net income is a crucial aspect of a company's financial health, as it provides an accurate depiction of how profitable the company is. A positive net income indicates that the company is generating revenue that exceeds its expenses, while a negative net income indicates that the company is losing money.

A company with a consistently positive net income is considered financially stable, while a company with a negative net income may be at risk of bankruptcy.

In conclusion, net income is a fundamental metric in business accounting that measures the financial health of a company and provides insights into its profitability.

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Which of the following statements is TRUE?

Statement 1: The future value of an annuity and the present value of an annuity will both increase as you increase the interest rate.

Statement 2: The present value of a single cash flow to be received at some point in the future decreases as you increase the interest rate, but the present value of an annuity increases as you increase the interest rate.

Statement 3: The present value of a cash flow to be received at some point in the future will decrease as you increase the length of time between now and when the cash flow is received.

Multiple Choice

Statement 1 only

Statement 2 only

Statement 3 only

Statements 1 and 2 only

Statements 1 and 3 only

Statements 2 and 3 only

Answers

Statement 2 is the true statement. The present value of a single cash flow decreases as the interest rate increases, while the present value of an annuity increases as the interest rate increases.

Statement 1 is false. The future value of an annuity and the present value of an annuity do not increase as the interest rate increases. In fact, both the future value and the present value of an annuity decrease as the interest rate increases. This is because a higher interest rate implies a higher discount rate, which reduces the value of future cash flows.

Statement 3 is also false. The present value of a cash flow to be received in the future does not decrease as the length of time between now and when the cash flow is received increases. The present value is influenced by the discount rate, which is determined by the interest rate. Therefore, the present value may increase or decrease depending on the interest rate, regardless of the time period between now and the receipt of the cash flow.

Statement 2 is true. The present value of a single cash flow decreases as the interest rate increases because a higher discount rate reduces the value of future cash flows. On the other hand, the present value of an annuity increases as the interest rate increases because the higher discount rate enhances the value of regular cash flows received over time.

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An investor expects a stock to sell for $100 in exactly one year. The stock will not pay a dividend in the next year. After some research, the investor estimates the firm's beta as 1.20, the risk free rate at 1.50%, and the market portfolio risk premium at 6.00%. Given this information and expected price, how much can the investor pay today for this stock to earn his required return? $84.77 $94.08 $92.00 $90.70 $82.87

Answers

The investor can pay a maximum of $92.00 today for the stock to earn his required return.

To determine the present value of a stock's expected future price, we need to calculate the required return using the Capital Asset Pricing Model (CAPM). The CAPM takes into account the risk-free rate, the stock's beta, and the market portfolio risk premium.

In this case, the investor expects the stock to sell for $100 in one year, and the estimated beta is 1.20. The risk-free rate is 1.50%, and the market portfolio risk premium is 6.00%. By calculating the required return, we can determine the maximum price the investor can pay today for the stock.

Explanation:

The required return can be calculated using the CAPM formula:

Required Return = Risk-Free Rate + Beta × Market Portfolio Risk Premium

In this case, the risk-free rate is 1.50%, and the beta is 1.20. The market portfolio risk premium is 6.00%. Substituting these values into the formula, we can calculate the required return:

Required Return = 1.50% + 1.20 × 6.00% = 1.50% + 7.20% = 8.70%

To determine the maximum price the investor can pay today, we need to discount the expected future price by the required return. Using the formula for present value:

Present Value = Future Value / (1 + Required Return)

Substituting the values:

Present Value = $100 / (1 + 8.70%) = $100 / 1.087 = $92.00 (rounded to two decimal places)

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4. An increase in income will cause:
Select one:
a. a decrease in the supply of reserves.
b. an increase in the demand for currency.
c. an increase in the supply of central bank money.
d. a decrease in the demand for currency.
e. an increase in the supply of reserves.
5. Suppose there is a simultaneous tax increase and open market sale of bonds. Which of the following must occur as a result of this?
Select one:
a. Output increases.
b. Output decreases.
c. The interest rate increases.
d. The interest rate decreases.
e. Both output and the interest rate increase.
6. A decrease in the reserve ratio, θ, will cause:
Select one:
a. A decrease in reserves.
b. An increase in the monetary base.
c. An increase in the money multiplier.
d. A decrease in the monetary base.
e. A decrease in the money multiplier.

Answers

4.  b. an increase in the demand for currency.

An increase in income generally leads to an increased demand for currency.

As individuals and businesses experience higher income levels, they tend to have more purchasing power and engage in increased economic activity. This, in turn, raises the demand for currency to facilitate transactions and meet the higher demand for goods and services.

5.  c. The interest rate increases.

A simultaneous tax increase and open market sale of bonds is likely to reduce the amount of money available in the economy . As taxes increase, households and businesses have less disposable income to spend, leading to a decrease in aggregate demand. Additionally, an open market sale of bonds by the central bank reduces the money supply. These actions put upward pressure on interest rates as the demand for money decreases. Higher interest rates are an outcome of reduced spending and a tighter monetary policy.

6.  c. An increase in the money multiplier.

The reserve ratio refers to the percentage of deposits that banks are required to hold as reserves. A decrease in the reserve ratio, represented by θ, reduces the amount of reserves banks need to hold against their deposits. As a result, banks have more excess reserves, which they can use to extend loans and increase the money supply. This leads to an increase in the money multiplier, as a smaller amount of reserves can support a larger amount of money creation through the banking system. Consequently, a decrease in the reserve ratio stimulates lending and increases the money supply in the economy.

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your coworker created a workbook with a list of names

Answers

The workbook with a list of names enables my coworker to efficiently organize, manipulate, and analyze the data for various purposes, such as tracking, assigning tasks, and generating reports.

My coworker has created a workbook containing a list of names. A workbook is a file format commonly used in spreadsheet applications, such as Microsoft Excel or Sheets, to organize and manipulate data. The list of names within the workbook can serve various purposes, depending on the specific context.

The names could represent a roster of employees, clients, or participants in a project or event. They might be used for tracking attendance, assigning tasks, or generating reports. The workbook can include additional columns to store accompanying information, such as contact details, job titles, or any other relevant data.

With the list of names in the workbook, my coworker can perform various operations like sorting, filtering, and analyzing the data. They can also utilize formulas or functions to calculate statistics, create charts, or automate certain tasks. The workbook provides a convenient and organized structure to manage and work with the list of names efficiently.

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Harvesting an SBU refers to
diversifying its product portfolio
folding it into another SBU
drawing cash from it
transferring its products to another SBU
investing in it

Answers

Harvesting an SBU (Strategic Business Unit) involves drawing cash from it by reducing investment and diverting resources to other areas of the organization. It can also refer to diversifying the product portfolio, folding the SBU into another unit, or transferring its products to another SBU.

Harvesting an SBU is a strategic approach taken by organizations when they decide to reduce or phase out investment in a particular business unit. This can be done for several reasons, such as declining profitability, changing market conditions, or a shift in the organization's overall strategic direction.

One way to harvest an SBU is by drawing cash from it. This involves reducing or eliminating further investments in the SBU and redirecting the available resources to more promising areas of the organization. By limiting future investment, the organization aims to maximize short-term cash flow and returns while minimizing ongoing costs.

Another approach to harvesting an SBU is through diversification of its product portfolio. This entails expanding the range of products or services offered by the SBU to tap into new markets or customer segments. By diversifying the product portfolio, the organization aims to generate additional revenue streams and mitigate risks associated with a single product or market.

Alternatively, harvesting can involve folding the SBU into another existing unit within the organization. This consolidation allows for streamlining operations, reducing costs, and leveraging synergies between the two units.

Furthermore, harvesting may involve transferring the products or services of the SBU to another more suitable business unit within the organization. This transfer ensures that the products continue to be offered and supported, but under a different operational structure that may better align with the organization's strategic objectives.

Overall, harvesting an SBU encompasses various strategies such as drawing cash, diversifying the product portfolio, folding it into another unit, or transferring its products to optimize financial returns, operational efficiency, and strategic alignment within the organization.

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Pharmaceutical Benefits Managers (PBMs) are intermediaries between upstream drug manufacturers and downstream insurance companies. They design formularies (lists of drugs that insurance will cover) an

Answers

Under the non-strategic view of bargaining, assuming a PBM is negotiating with two nondrowsy allergy drug manufacturers, Claritin and Allegra, the PBM would earn a surplus of $24 million, while each drug company would earn a surplus of $40 million. However, if the two drug companies merge, the bargaining outcome is likely to change.

When the two drug companies merge, they consolidate their resources, market share, and bargaining power. This increased market power gives the merged drug company a stronger position in negotiations with the PBM.

As a result, the post-merger bargaining outcome is likely to be more favorable for the merged drug company.

The PBM, aiming to include a wider variety of drugs on its formulary at low prices, may face a more challenging negotiation process.

The merged drug company can leverage its larger product portfolio to negotiate better terms, potentially demanding higher prices or more favorable conditions for inclusion on the formulary.

With their increased market power, the merged drug company could command a larger share of the surplus created by including the drugs on the PBM's formulary, reducing the PBM's surplus in the process.

Therefore, under the non-strategic view of bargaining, the PBM would still earn a surplus, but it may be lower than in the previous scenario. Simultaneously, the merged drug company would likely achieve a higher surplus, benefiting from their increased bargaining strength resulting from the merger.

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The complete question is:

Pharmaceutical Benefits Managers (PBMs) are intermediaries between upstream drug manufacturers and downstream insurance companies. They design formularies (lists of drugs that insurance will cover) and negotiate prices with drug companies. PBMs want a wider variety of drugs available to their insured populations, but at low prices. Suppose that a PBM is negotiating with the makers of two nondrowsy allergy drugs, Claritin and Allegra, for inclusion on the formulary. The “value” or “surplus” created by including one nondrowsy allergy drug on the formulary is $80 million, but the value of adding a second drug is only $24 million.

Assume the PBM bargains by telling each drug company that it's going to reach an agreement with the other drug company.

Under the non-strategic view of bargaining, the PBM would earn a surplus ofmillion, while each drug company would earn a surplus ofmillion.

Now suppose the two drug companies merge. What is the likely postmerger bargaining outcome?

Under the nonstrategic view of bargaining, the PBM would earn a surplus ofmillion, while the merged drug company would earn a surplus ofmillion.

What is Case Mix; What is PDPM (see the Modern Health Care link)
What is Value Based Purchasing (Pay for Performance)
What is a Spend Down?
What is the Community Spouse Resource Allowance?

Answers

Case mix refers to the variety and complexity of medical conditions among a group of patients, PDPM is a payment model for skilled nursing facilities, value-based purchasing links .

Case Mix:

Case mix refers to the variety and complexity of medical conditions and treatments among a group of patients or residents within a healthcare facility. It is a measure used to assess the resource utilization and severity of illness in a specific patient population. Case mix is often used in healthcare settings to determine appropriate staffing levels, allocate resources, and establish reimbursement rates.

PDPM (Patient-Driven Payment Model):

PDPM is a payment model implemented by the Centers for Medicare and Medicaid Services (CMS) for skilled nursing facilities (SNFs) in the United States. It is designed to determine Medicare reimbursement rates based on the individual needs and characteristics of each patient. Under PDPM, payment is determined by various factors such as the patient's diagnosis, functional status, and comorbidities, rather than the volume of services provided.

Value-Based Purchasing (Pay for Performance):

Value-based purchasing is a payment approach in healthcare where reimbursement is tied to the quality and value of services provided, rather than solely based on the quantity or volume of services. It aims to incentivize healthcare providers to deliver high-quality care and achieve positive patient outcomes. In value-based purchasing programs, providers may receive financial rewards or penalties based on their performance on quality measures, patient satisfaction, and cost-efficiency.

Spend Down:

Spend down refers to the process of reducing an individual's assets or income to meet the eligibility requirements for Medicaid or other means-tested programs. It involves spending or using resources in a way that brings the individual's financial resources below the threshold set by the program. The purpose of a spend down is to ensure that individuals with limited financial means can qualify for necessary healthcare or social services.

Community Spouse Resource Allowance:

The Community Spouse Resource Allowance (CSRA) is a provision in Medicaid eligibility rules that allows the spouse of a Medicaid applicant to retain a certain amount of assets or income while the other spouse seeks Medicaid coverage for long-term care services. The CSRA protects a portion of the couple's joint assets or income for the spouse who does not require long-term care, enabling them to maintain a certain level of financial stability and quality of life. The specific CSRA amount may vary depending on state Medicaid regulations and the individual's circumstances.

In summary, case mix refers to the variety and complexity of medical conditions among a group of patients, PDPM is a payment model for skilled nursing facilities, value-based purchasing links reimbursement to quality and value of care, spend down is the process of reducing assets to qualify for means-tested programs, and the Community Spouse Resource Allowance protects assets for the spouse of a Medicaid applicant seeking long-term care services.

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When making a real estate investment decision, whether refinancing or investing in a property, which decision rule should be used to make investment decisions in the event of conflict between decision rules?
a Payback Period
b Cap Rate
c IRR
d NPV

Answers

False, When preparing a bank reconciliation, adjustments are made to both the bank side and the ledger (book) side.

A bank reconciliation is a process of comparing the bank statement with the company's cash records to identify any differences. Adjustments on the bank side can include accounting for outstanding checks, deposits in transit, and bank fees.

On the ledger side, adjustments may involve recording bank service charges, interest earned, and correcting transaction recording errors. Both sides must be adjusted to ensure the bank balance and the book balance are in agreement. This reconciliation process ensures the accuracy and consistency of financial records between the company's books and the bank statement.

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Choose the most appropriate statement with regard to best interests duty and related obligations?
a. Best interests duty and related obligations are applicable when financial advice is provided to customers.
b. Best interests duty and related obligations are applicable when general advice is provided to retail clients.
c. Best interests duty and related obligations are applicable when personal advice is provided to retail clients.
d. Best interests duty and related obligations are applicable only to financial service providing entities.

Answers

The most appropriate statement with regard to best interests duty and related obligations is that best interests duty and related obligations are applicable when personal advice is provided to retail clients.

The Best Interests Duty (BID) is a standard set by Australian law that financial advisers must satisfy when giving advice to consumers. The Best Interests Duty refers to a licensee's obligation to put a client's best interests ahead of its own and, if necessary, prioritize the client's interests over its own, in the provision of advice to retail clients. The personal advice must be provided based on a proper inquiry into the client's situation and financial objectives. The adviser must tailor the advice given to the client's specific circumstances. Therefore, Best interests duty and related obligations are applicable when personal advice is provided to retail clients.

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Several prominent artists refuse to perform in solidarity with the Black Lives Matter movement. This decreases the supply for live music. Because supply decreases, quantity decreases and price increases.

True or False

Answers

Several prominent artists refuse to perform in solidarity with the Black Lives Matter movement. This decreases the supply of live music. Because supply decreases, quantity decreases, and price increases. The statement is False.

The statement contains a few inaccuracies. Firstly, the refusal of several prominent artists to perform in team spirit with the Black Lives Matter motion would likely have a confined impact on the overall delivery of stay track. While it can bring about the absence of those precise artists, it does not always translate to a lower inside the universal delivery of the live tracks. There are several different artists and performers who can fill the distance and maintain to provide stay song stories.

Secondly, the lower in delivery, in this situation, might now not always cause a decrease in quantity and an increase in fee. If the demand for stay songs remains regular or decreases, the decrease in supply may additionally simply bring about a decrease in amount and probably a lower rate to attract a smaller target market. The relationship among supply, quantity, and charge is inspired by the aid of each supply and call-for factor, and it can not be assumed that a lower supply will continually lead to a growth in rate.

Overall, whilst the refusal of a few artists to perform in unity with a social movement can also have sure effects, it's far essential to remember the broader dynamics of the marketplace and the complexities concerned in determining the impact on delivery, quantity, and fee in the live song enterprise.

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Which of the following is false?
Group of answer choices
O Prospecting takes a lot of knowledge but hardly any creativity.
O It helps to be your customer; imagine yourself in your prospect’s shoes and think about where you would go for information.
O Knowing your ideal customer and where he/she is likely to go for information will allow you to choose the best prospecting sources for your business.
O Prospecting is one of those jobs that is never truly finished.
O It is helpful to draw on a number of sources about the places where you find your leads.

Answers

The false statement among the options provided is: Prospecting takes a lot of knowledge but hardly any creativity.

Prospecting, the process of identifying and pursuing potential customers or leads, requires a combination of knowledge and creativity. While knowledge is essential to understand the target market, customer preferences, and effective prospecting techniques, creativity is equally important in developing innovative approaches, thinking outside the box, and crafting compelling strategies to attract and engage potential customers.

The other statements are true:

"It helps to be your customer; imagine yourself in your prospect's shoes and think about where you would go for information." This highlights the importance of empathy and putting oneself in the prospect's position to understand their needs, behaviors, and information-seeking habits.

"Knowing your ideal customer and where he/she is likely to go for information will allow you to choose the best prospecting sources for your business." This emphasizes the significance of understanding the target audience and their preferred channels or platforms to effectively target and reach potential customers.

"Prospecting is one of those jobs that is never truly finished." Prospecting is an ongoing process as new leads and opportunities constantly emerge, and businesses need to continuously identify and engage with potential customers.

"It is helpful to draw on a number of sources about the places where you find your leads." Utilizing multiple sources of information about the places where leads can be found enhances the breadth and depth of prospecting efforts, enabling businesses to gather diverse insights and target prospects from various channels or locations.

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This will need to be your heading for Question 5. The company has issued 8 million ordinary shares. It has just paid a dividend of $4 million. That dividend is expected to grow at a rate of 29 percent per annum for the next three years, then at a rate of 15 percent in the 4th year and at a rate of 3.3 percent per annum forever after that. Assuming a required rate of return of 13.21 percent, calculate the current market price of the share. Explain the difficulties of calculating the intrinsic value of the share (Use a max of 200 words for the explanation).

Answers

The current market price of the share is $41.65.

To calculate the current market price of the share, we need to determine the present value of all the future dividends. Given that the company has issued 8 million ordinary shares and has just paid a dividend of $4 million, we can calculate the initial dividend per share as $4 million divided by 8 million, which equals $0.50 per share.

In the first three years, the dividend is expected to grow at a rate of 29 percent per annum. Using the dividend growth formula, we can calculate the dividends for each of the next three years as follows:

Year 1: $0.50 * (1 + 0.29) = $0.645

Year 2: $0.645 * (1 + 0.29) = $0.833

Year 3: $0.833 * (1 + 0.29) = $1.073

Next, in the fourth year, the dividend growth rate drops to 15 percent. So, we can calculate the dividend for the fourth year as:

Year 4: $1.073 * (1 + 0.15) = $1.234

After the fourth year, the dividend growth rate becomes a constant 3.3 percent per annum. We can calculate the perpetual growth dividend using the constant growth formula:

Perpetual Dividend: $1.234 * (1 + 0.033) / (0.1321 - 0.033) = $12.269

Now, we have the dividend amounts for each year. To find the present value of these dividends, we discount each year's dividend using the required rate of return of 13.21 percent. Then, we sum up all the present values to find the intrinsic value of the share.

Year 1 Present Value: $0.645 / (1 + 0.1321) = $0.568

Year 2 Present Value: $0.833 / (1 + 0.1321)^2 = $0.648

Year 3 Present Value: $1.073 / (1 + 0.1321)^3 = $0.759

Year 4 Present Value: $1.234 / (1 + 0.1321)^4 = $0.773

Perpetual Present Value: $12.269 / (0.1321 - 0.033) = $110.057

Finally, we sum up all the present values:

Intrinsic Value = $0.568 + $0.648 + $0.759 + $0.773 + $110.057 = $112.805

Thus, the current market price of the share is $112.805 / 8 million = $41.65 per share.

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ABC Co. is considering a project that has the following cash flow data. What is the projecrs paytack? 2) Song's inc, is considering a project that has the following cash flow and WacC data. What is the project's NPV? Note that if a project's projected NPV is negative, it should be cojected.

Answers

For the first project, the payback period will be calculated based on the provided cash flow data. For the second project, the net present value (NPV) will be determined using the cash flow and weighted average cost of capital (WACC) data. If the NPV is negative, the project should be rejected.

a. To calculate the payback period for ABC Co.'s project, you need the cash flow data, which is not provided in the question. The payback period is the length of time it takes for the project to recoup its initial investment. It is calculated by adding up the cash inflows until the cumulative cash inflow equals or exceeds the initial investment. The year at which this happens is the payback period.

b. To calculate the NPV for Song's Inc. project, you need the cash flow data and the weighted average cost of capital (WACC). The NPV is a measure of the project's profitability, representing the difference between the present value of cash inflows and the present value of cash outflows. If the NPV is positive, it indicates that the project is expected to generate more value than its cost and is considered favorable. If the NPV is negative, it suggests that the project's value is less than its cost and should be rejected.

Without the specific cash flow data and the WACC, it is not possible to provide the exact payback period or NPV for the projects. However, the calculations can be performed using the given data and the appropriate formulas to determine the payback period for the first project and the NPV for the second project.

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If equity increased by $15 000 and total liabilities increased by $35 000 over a period, by how much must total assets have changed?
a. $50 000 decrease
b. $20 000 increase
c. $20 000 decrease
d. $50 000 increase

Answers

The increase in total assets is $50,000. Hence, option (d) $50 000 increase is correct.

Given data: Equity increased by $15 000 and total liabilities increased by $35 000.

To find: By how much must total assets have changed?

Total assets = Equity + Total liabilities

We can find the increase in total assets by adding the increase in equity to the increase in total liabilities.

Total assets increase = Increase in Equity + Increase in Total liabilities

Total assets increase = $15,000 + $35,000Total assets increase = $50,000

The increase in total assets is $50,000. Hence, option (d) $50 000 increase is correct.

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