Journalizing Installment Notes On the first day of the fiscal year, a company issues $39,000, 10%, four-year installment notes that have annual payments of $12,303. The first note payment consists of $3,900 of interest and $8,403 of principal repayment. a. Journalize the entry to record the issuance of the installment notes. If an amount box does not require an entry, leave it blank. Cash ✓ Notes Payable ✓ b. Journalize the first annual note payment. If an amount box does not require an entry, leave it blank. Interest Expense Notes Payable Cash

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Answer 1

Correct journal entries for the issuance of installment notes are Cash (debit) and Notes Payable (credit). For the first annual note payment, the journal entries are Interest Expense (debit), Notes Payable (debit), and Cash (credit).

Journalizing the issuance of installment notes when a company issues installment notes, the first thing that they will do is record the entry for the issuance of the installment notes. This entry involves debiting Cash for the amount received and crediting Notes Payable for the face value of the note.

The journal entry to record the issuance of the installment notes is as follows: Journal Entries Date Account Titles and Explanation DebitCredit Installment Notes 39,000  Cash39,000   b. Journalizing the first annual note payment when a company makes a payment on an installment note, a portion of the payment is applied to principal reduction, while the remaining part goes towards interest expense.

The first note payment consists of $3,900 of interest and $8,403 of principal repayment. The journal entry to record the first annual note payment is as follows: Journal Entries Date Account Titles and Explanation DebitCredit Interest Expense3,900  Notes Payable8,403  Cash12,303 Therefore, the correct answer is: Cash and Notes Payable, respectivelyInterest Expense, Notes Payable, and Cash, respectively

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Related Questions

the relative price inelasticity of demand for agricultural products has resulted in

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higher food prices even when there is an increase in supply. Agricultural products, being necessities, have a relatively inelastic demand, meaning that changes in price have a smaller impact on consumer demand.

As a result, when there is an increase in the supply of agricultural products, the price does not decrease significantly, leading to higher food prices. The relative price inelasticity of demand for agricultural products can be attributed to several factors. Firstly, food is a basic need, and consumers are less likely to reduce their consumption even in the face of price increases.

The price inelasticity of demand also affects the behavior of agricultural producers. With relatively inelastic demand, producers have less incentive to increase supply in response to price changes, as the price elasticity of demand is low. In conclusion, the relative price inelasticity of demand for agricultural products leads to higher food prices even when there is an increase in supply, as consumer demand is less responsive to price changes.

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TRUE / FALSE. 1. Payment from negotiating bank under a L/C is final and cannot be reclaimed.
2. If a credit is subject to UCP 600 and doesn't indicate whether it is irrevocable
or not, it is a revocable L/C.
3. A draft showing "Pay to Mary White and debit my No.2 account" represents
an unconditional order to pay.
4. Once a draft is accepted, its primary debtor is changed from drawer to acceptor.
5. An uncrossed cheque implies that the cheque amount should be paid into a bank account and can not be exchanged for cash over the counter.
6. For a confirmed credit, the confirming bank holds the same liability as the issuing bank.
7. If the remittance is made by a banker's demand draft, this payment is based on bank credit.
8. The drawer of the draft used under L/C is generally the issuing bank.
9."Dishonor"means the refusal to the acceptance or payment of a duly presented draft.
10. In L/C, the advising bank is responsible for examining the documents presented by the beneficiary.

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TRUE / FALSE are as follows:

1. Payment from negotiating bank under a L/C is final and cannot be reclaimed.True
2. If a credit is subject to UCP 600 and doesn't indicate whether it is irrevocable or not, it is a revocable L/C.False
3. A draft showing "Pay to Mary White and debit my No.2 account" represents an unconditional order to pay.False, A draft showing "Pay to Mary White and debit my No.2 account" represents a conditional order to pay.
4. Once a draft is accepted, its primary debtor is changed from drawer to acceptor.True
5. An uncrossed cheque implies that the cheque amount should be paid into a bank account and cannot be exchanged for cash over the counter.False
6. For a confirmed credit, the confirming bank holds the same liability as the issuing bank.True
7. If the remittance is made by a banker's demand draft, this payment is based on bank credit.True
8. The drawer of the draft used under L/C is generally the issuing bank.False
9. "Dishonor" means the refusal to the acceptance or payment of a duly presented draft.True
10. In L/C, the advising bank is responsible for examining the documents presented by the beneficiary.False

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as a consumer electronics retailer, how would you appeal to "up and comers"?

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We would appeal to "up and comers" by offering a curated selection of cutting-edge and affordable products, providing personalized recommendations, and hosting educational workshops and events.

As a consumer electronics retailer targeting "up and comers," we would focus on a few key strategies. Firstly, we would curate our product selection to include the latest and most innovative gadgets and devices at affordable prices, catering to the budget-conscious nature of this demographic. Secondly, we would invest in a personalized recommendation system that takes into account individual preferences, allowing us to suggest products tailored to each customer's unique needs and interests.

Lastly, we would host educational workshops and events to empower and engage with our customers, offering opportunities to learn new skills, explore emerging technologies, and foster a sense of community. By combining these approaches, we aim to provide a compelling and tailored shopping experience for "up and comers."

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What would wages payable and unearned revenue be?

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Wages Payable:This refers to the amount of money that a company owes to its employees for the time they have spent working. The company records a wage payable to recognize the liability that will be paid to the employees in the future period when the company prepares its payroll.

Unearned Revenue: Unearned revenue is a liability account, which refers to money that a company has received from its customers but hasn’t earned it yet.

It is money that a company has collected for goods or services that it hasn’t delivered yet. It arises when a customer pays for a product or service upfront, and the company has not yet provided the product or service.

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Which of the following is NOT usually a responsibility of the Human Resources department of a company? a. Designing the scope and nature of jobs in the business b. Recruiting and interviewing people for jobs c. Designing compensation and benefits plans for workers d. Shipping finished products from warehouses to customers e. Writing job descriptions

Answers

The correct option is: d. Shipping finished products from warehouses to customers

Explanation:

The Human Resources department of a company primarily focuses on managing the organization's human capital and ensuring the well-being and development of its employees. While they play a crucial role in various aspects of employee management, such as job design, recruitment, compensation, and benefits.

they are not typically responsible for shipping finished products from warehouses to customers. This responsibility usually falls under the domain of the operations or logistics department, which handles the physical distribution and transportation of goods.

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TRUE / FALSE. "asap
Question 2 [CLO-6] While Present Worth is a very popular metric in estimating a project's profitability, it can't be used alone in evaluation. O True O False"

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The statement given "While Present Worth is a very popular metric in estimating a project's profitability, it can't be used alone in evaluation. " is false because present Worth can be used as a standalone metric in project profitability evaluation.

Present Worth is a commonly used metric in project profitability evaluation, and it can be used as a standalone measure. However, it is recommended to consider other metrics as well to obtain a comprehensive evaluation. By incorporating additional evaluation criteria such as internal rate of return, payback period, and net present value, a more informed decision can be made regarding the project's financial viability and profitability. Therefore, while Present Worth is valuable, it is not the only factor to consider in project evaluation.

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aviation incorporated has 135,000 shares authorized, 125,000 shares issued and no treasury stock. determine the number of shares outstanding:
a. 240,000. b. 0 c. 10,000. d. 125,000. e. 115,000.

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Aviation incorporated has 135,000 shares authorized, 125,000 shares issued and no treasury stock. The number of shares outstanding is 125000.

The number of shares outstanding represents the total number of shares that have been issued by the company and are held by investors. In this case, Aviation Incorporated has 125,000 shares issued, which means that these shares have been distributed to shareholders.

Since there is no mention of any shares being repurchased or held as treasury stock, we can assume that all the issued shares are still outstanding.

Therefore, the number of shares outstanding for Aviation Incorporated is 125,000, as stated in the given information.

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Consider that your firm participates in a highly competitive market for a homogeneous good that is currently in equilibrium. The market price is $30. All the firms have identical cost structures and the market quantity is 35,000 units per month. Your firm currently pays $5000 per month for its production facility and it is maximizing its profit from the sale of this good. In addition, your firm's cost structure is described by the following equations: AVC=2+0.05q and MC = 2 + 0.1q

How many units is your firm currently producing?

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To determine the number of units your firm is currently producing, we need to find the quantity at which marginal cost (MC) equals market price (P). In equilibrium, firms produce where MC equals the market price to maximize their profits.

Given:

Market price (P) = $30

Cost structure:

AVC = 2 + 0.05q (Average Variable Cost)

MC = 2 + 0.1q (Marginal Cost)

To find the quantity, we set MC equal to P and solve for q:

MC = P

2 + 0.1q = 30

Subtract 2 from both sides:

0.1q = 28

Divide by 0.1:

q = 280

Therefore, your firm is currently producing 280 units.

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which are the three main reasons firms make acquisitions? multiple select question. to increase potential for legal repercussions to preempt rivals to gain access to new distribution channels and markets to reduce flexibility to gain access to a new capability or competency

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The three main reasons firms make acquisitions are To preempt rivals, To gain access to new distribution channels and markets, To gain access to a new capability or competency.

1. To preempt rivals: Acquiring a company can be a strategic move to prevent competitors from gaining an advantage. By acquiring potential competitors or companies operating in a similar market space, a firm can consolidate its position, strengthen its market share, and create barriers to entry for rivals.

2. To gain access to new distribution channels and markets: Acquisitions allow firms to expand their reach and access new customer segments by acquiring companies with established distribution networks or entering new geographic markets. This strategic move enables faster market penetration and growth by leveraging the existing customer base and distribution channels of the acquired company.

3. To gain access to a new capability or competency: Acquiring a company can provide access to valuable resources, technologies, or expertise that the acquiring firm may not possess internally. By acquiring a company with a specific capability or competency, a firm can enhance its own competitive advantage, accelerate innovation, or enter new product or service segments.

To be clear, the other options mentioned, such as increasing potential for legal repercussions and reducing flexibility, are not the primary reasons firms make acquisitions. The focus is primarily on gaining a competitive edge, expanding market presence, and accessing new capabilities or distribution channels.

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For each of the following independent circumstances, calculate both the FUTA and SUTA tax owed by the employer: NOTE: For simplicity, all calculations throughout this exercise, both intermediate and final, should be rounded to two decimal places at each calculation.
An employer in Albuquerque, New Mexico, employs two individuals, whose taxable earnings to date (prior to the current pay period) are $8,350 and $21,400. During the current pay period, these employees earn $3,350 and $1,700, respectively. The applicable SUTA tax rate is 1%, and the New Mexico SUTA threshold is $23,400.

Answers

The total amount of taxes (SUTA and FUTA) owed by the employer is $432.

In this scenario, the employer is based in Albuquerque, New Mexico, and employs two individuals. During the current pay period, these employees earned $3,350 and $1,700, respectively. Prior to the current pay period, their taxable earnings were $8,350 and $21,400.

The applicable SUTA tax rate is 1%, and the New Mexico SUTA threshold is $23,400.

The taxable earnings for each employee are as follows:

Employee 1: $8,350 + $3,350 = $11,700

Employee 2: $21,400 + $1,700 = $23,100

Since the New Mexico SUTA threshold is $23,400 and Employee 2's taxable earnings are above this amount, the employer must pay the SUTA tax on the full $23,100.

The calculation of the SUTA tax and FUTA tax is as follows:

Employee 1: $11,700 x 1% = $117 SUTA tax owed

Employee 2: $23,100 x 1% = $231 SUTA tax owed

Total SUTA tax owed = $117 + $231 = $348

FUTA tax is calculated on the first $7,000 of taxable earnings for each employee.

Therefore, the FUTA taxable earnings for each employee are

:Employee 1: $7,000

Employee 2: $7,000

The FUTA tax rate is 0.6%. Thus, the FUTA tax owed for each employee is:$7,000 x 0.6% = $42

Therefore, the total FUTA tax owed is $42 + $42 = $84.

Finally, the total amount of taxes (SUTA and FUTA) owed by the employer is $348 + $84 = $432.

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________ focuses on studying customer behavior and perceptions in order to provide the business intelligence necessary to identify new opportunities and to provide superior customer service.

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Customer intelligence focuses on studying customer behavior and perceptions in order to provide the business intelligence necessary to identify new opportunities and to provide superior customer service

Customer intelligence refers to the practice of gathering and analyzing customer information and data to extract insights. Businesses use these insights to tailor their strategies and customer interactions in a way that maximizes customer satisfaction and revenue growth.

Customer intelligence also involves the systematic collection and evaluation of customer feedback, interactions, behaviors, and other relevant data points. By analyzing these data points, companies can identify patterns and trends in customer behavior that can help them make better decisions and increase customer satisfaction.

Customer intelligence involves the following activities:

Data collection

Customer segmentation

Customer profiling

Behavioral analysis

Competitive analysis

Market analysis

Benefits of Customer Intelligence:

Improved customer segmentation

Increased customer engagement

Improved customer retention

Improved customer acquisition

Improved sales revenue

Gives insight into customer needs and preferences

Conclusion: The term that focuses on studying customer behavior and perceptions in order to provide the business intelligence necessary to identify new opportunities and to provide superior customer service is Customer intelligence.

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The Caffeine Coffee Company uses the modified internal rate of return. The firm has a cost of capital of 9 percent. The project being analyzed is as follows ($38,000 investment): Use Appendix A and Appendix B for an approximate answer but calculate your final answer using the formula and financial calculator methods.

Year Cash Flow
1 $20,000
2 19,000
3 12,000
What is the modified Internal rate of return? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places.)
Internal rate of return____%

Answers

Using Excel Funtions, MIRR and IRR we get the MIRR = 14.12% and IRR = 17.82%. Thus the internal rate of return is 17.82%.

The internal rate of return (IRR) is a formula for estimating the rate of return on an investment. The computation does not take into account external variables like the risk-free rate, inflation, the cost of capital, or financial risk, hence the name "internal."

Ex-post or ex-ante applications of the approach are both possible. The IRR is a projection of a potential prospective annual rate of return when used ex-ante. It evaluates the real investment return of a past investment when applied ex post. It is also known as the yield rate or the discounted earnings rate of return (DCFROR).

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QUESTION 3 Psychological contracts are based on: trust commitment need satisfaction loyalty All of the answers listed Hygiene factors are part of the theory of motivation. two-factor equity expectancy goal-setting need QUESTION 5 Providing recognition to employees for significant achievements at work would help satisfy their needs. self-actualization esteem belonging and love Osafety and security physiological 00

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3. The correct option is "All of the answers listed."Psychological contracts are based on trust, commitment, need satisfaction, and loyalty. This means that they are composed of many aspects that can be found in various categories.

For instance, trust and commitment belong to the loyalty category, while need satisfaction has to do with the need satisfaction category. All the choices listed are necessary elements that make up a psychological contract.

5. The correct option is "self-actualization, esteem, belonging and love."Providing recognition to employees for significant achievements at work would help satisfy their needs. Maslow's theory of motivation outlines the various needs that people have.

According to Maslow, there are five levels of needs: physiological, safety and security, belonging and love, esteem, and self-actualization. When employees are recognized for their achievements, their esteem and self-actualization needs are satisfied, which results in them feeling fulfilled and valued.

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Three months ago, you purchased a stock for $72.74. The stock is currently priced at $79.16. What is the EAR on your Investment? Multiple Choice a. 35.30% b. 43.92% c. 8.83% d. 32.36% e. 40,26%

Answers

The EAR on your investment is approximately 35.43%. Option a

How to calculate the the EAR on your Investment

To calculate the Effective Annual Rate (EAR) on your investment, we need to consider the price change of the stock over the three-month period. Here are the steps to calculate the EAR:

Calculating the rate of return on the investment:

Rate of return = (Ending value - Beginning value) / Beginning value

Rate of return = ($79.16 - $72.74) / $72.74

Rate of return = $6.42 / $72.74

Rate of return ≈ 0.0883 or 8.83%

Calculating the EAR using the rate of return:

EAR = (1 + Rate of return)^n - 1

Where n is the number of compounding periods in a year.

Since the investment period is three months, and there are 12 months in a year, the number of compounding periods in a year (n) is 12/3 = 4.

EAR = (1 + 0.0883)^4 - 1

Calculating this expression:

EAR ≈ 0.3543 or 35.43%

Therefore, the EAR on your investment is approximately 35.43%.

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______ stock is the number of shares that a corporation's charter allows it to sell. multiple choice question.

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Authorized stock is the number of shares that a corporation's charter allows it to sell.

Authorized stock represents the maximum number of shares that a company is legally permitted to issue according to its corporate charter or articles of incorporation. This limit is established at the time of the company's formation and can only be changed through an amendment to the charter. The authorized stock sets the upper boundary for the total number of shares that can be offered to investors or shareholders.

It's important to note that the authorized stock does not necessarily reflect the actual number of shares issued by the company. The issued shares may be a fraction of the authorized stock, depending on the company's capital structure and financing decisions. The authorized stock provides flexibility for the company to issue additional shares in the future if required for various purposes like fundraising, acquisitions, or employee stock compensation.

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Suppose you get a job at MICROVIEW, a small manufacturer of TV sets installed in cars and boats. Business has declined recently, foreign rivals from emerging markets are increasing competition, and management is worried. Because MICROVIEW does all its manufacturing in Canada and the United Kingdom, it lacks cost advantages, and its prices are relatively high. After studying the problem, you conclude that MICROVIEW should move much of its production to Mexico, but senior management knows little about FDI.

Prepare a report to management using an evidence-based approach and:

Analyse the current geographical and competitive situation of MICROVIEW. Also explain why MICROVIEW should be interested in foreign manufacturing and recommend which type of FDI MICROVIEW should use in Mexico. ALSO Explain the advantages and disadvantages the venture should expect from manufacturing in Mexico?

Answers

Analysis of the current geographical and competitive situation of MICROVIEW a small manufacturer of TV sets installed in cars and boats, has seen a decline in business recently from emerging markets.

MICROVIEW does all its manufacturing in Canada and the United Kingdom, it lacks cost advantages, and its prices are relatively high. A foreign manufacturing process for MICROVIEW would be beneficial because it will help to lower the cost and increase the profit for the business. The move will not only increase the profit but also help MICROVIEW to compete with other companies. Therefore, the business should consider moving much of its production to Mexico. Analyzing why MICROVIEW should be interested in foreign manufacturingA foreign manufacturing process for MICROVIEW will be beneficial as it will help to lower the cost and increase the profit for the business. The move will not only increase the profit but also help MICROVIEW to compete with other companies. The benefits of foreign manufacturing include reduced cost of production, the opportunity to enter new markets, the opportunity to use local resources and labor and also helps to reduce transportation costs which leads to more affordable products. Therefore, it is a good choice for MICROVIEW to consider foreign manufacturing.The type of FDI MICROVIEW should use in MexicoMICROVIEW should use the horizontal FDI type in Mexico. This type of foreign direct investment allows MICROVIEW to produce the same products or offer the same services in the foreign country as they do at home. Therefore, the company will still be able to maintain the same production process, quality, and branding.Advantages and disadvantages the venture should expect from manufacturing in Mexico.

Advantages of Manufacturing in Mexico:
The labor cost in Mexico is very low which means that MICROVIEW will be able to save a lot of money on labor cost.
MICROVIEW can also benefit from low energy costs and other raw materials required for the production process.
Manufacturing in Mexico also provides an opportunity for the company to access new markets in the region.
MICROVIEW can take advantage of the tax incentives provided by the Mexican government for foreign investors.

Disadvantages of Manufacturing in Mexico:MICROVIEW will have to deal with different laws and regulations which can be complex.There might be a language barrier that could create communication issues between employees of MICROVIEW and the local workforce in Mexico.The company may also face challenges related to logistics and transportation to export its products.

In conclusion, by moving much of its production to Mexico, MICROVIEW can take advantage of the low cost of labor, energy, and other raw materials in Mexico. The company can also benefit from the tax incentives provided by the Mexican government. MICROVIEW should use the horizontal FDI type in Mexico. However, there are some disadvantages that the company may face such as language barriers, complex laws and regulations, and transportation challenges. Nevertheless, the advantages of manufacturing in Mexico for MICROVIEW outweigh the disadvantages.

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CASE STUDY PEFORMING ROR ANALYSIS FOR 3D PRINTER AND IIOT TECHNOLOGY Background Software used in 3D printer systems manufactured by Spectrum LASER Corp. is currently able to automatically develop hollows, shells, and "tree supports" to save development time. Network printing for use on multiple machines and at different locations globally is available. New software, called JIT II, is being beta tested that will allow IIoT-type (Industrial Internet of Things) connections between machines at distant locations. When onboard monitoring sensors detect that a part is about to fail, or it is time to replace one of several high-profile parts, the JIT II software will automatically queue the part's manufacturing code onto a 3D printer that is detected to be locally idle or ready. The company believes it can design and produce the JIT II software, the 3D printers, and the accompanying computer equipment necessary to place this technology in a wide variety of harsh environments-chemically toxic to humans, in flight, underground in mines, on the ocean floor, in war-torn areas, etc. Information For this case, we will analyze the available computers that can provide the server function necessary to make this interlinking available and successful. The first cost and other parameter estimates, including expected contribution to annual net cash flow, are summarized below. Server 1 Server 2 First cost, $ 101,694 200,000 50,000 year 1, plus 5000 per year for years 2, 3, and 4 (gradient Net cash flow, $/ye 35,000 70,000 maximum for years 5 on, even if the server is replaced Life, years 3 or 4 5 Case Study Exercises Use spreadsheet analysis to determine the following: 1. If the MARR = 12%, which server should be selected? Use the PW or AW method to make the selection. For server 1 use 3 and 4 and for server 2 use 5 years. Note that you have to use LCM. 2. Use incremental ROR analysis to decide between the servers at MARR = 12%.

Answers

Hence, the results obtained through both the methods are contradictory. The difference is due to the difference in assumptions between the two methods. In the PW method, it is assumed that cash flows are reinvested at MARR, while in the ROR method, it is assumed that cash flows are reinvested at the internal rate of return (IRR) of the investment. So, the company needs to consider all factors and select a suitable server.

CASE STUDY PEFORMING ROR ANALYSIS FOR 3D PRINTER AND IIOT TECHNOLOGY

In the given case study, the company is considering the installation of JIT II software, the 3D printers, and the accompanying computer equipment necessary to place this technology in a wide variety of harsh environments.

For this case, we will analyze the available computers that can provide the server function necessary to make this interlinking available and successful.

The first cost and other parameter estimates, including expected contribution to annual net cash flow, are summarized below:

Server 1 Server 2First cost, $ 101,694 200,00050,000 year 1, plus 5000 per year for years 2, 3, and 4 (gradient)Net cash flow,

$/ye 35,000 70,000 maximum for years 5 on, even if the server is replaced

Life, years 3 or 4 5 The following analysis is done for MARR = 12%.1.

If the MARR = 12%, which server should be selected?

Use the PW or AW method to make the selection. For server 1 use 3 and 4 and for server 2 use 5 years.

Note that you have to use LCM.

The formula used for the calculation is:

PW = F / (1 + r) n

where,

F = Future worth value of the cash flow, which is the sum of the present worth of the net cash flow (NCF) for all years,

r = Rate of interest,

n = Number of years

For server 1, Present worth of Net cash flow (PWNCF) at the end of year 4, gradient for year 2, 3, and 4 = 35000

[(P/A, 12%, 3) + 0.23(P/G, 12%, 3)]

PWNCF at end of year 4 = 35000 [(P/A, 12%, 3) + 0.23(P/G, 12%, 3)]

= 35000 [(2.4018) + 0.23 (8.2069)]

= $132,321.86

Present worth of first cost (PWFC) of server 1 = $101,694.

Present worth of PWFC and PWNCF of server 1 (PW1) = $101,694 + $132,321.86

= $234,015.86.

For server 2, PWNCF for year 5 to infinity = 70000 / 0.12

= $583,333.33 (approx.)

PWFC of server 2 = $200,000.

PWNCF for year 1 to 4, gradient = 50,000 + 5000 (P/G, 12%, 5-4) + 5000 (P/G, 12%, 5-3) + 5000 (P/G, 12%, 5-2)

= 50,000 + 9,322.03 + 7,483.22 + 6,022.98

= $72,828.23

Present worth of PWFC and PWNCF of server 2 (PW2) = $200,000 + $72,828.23 + $583,333.33

= $856,161.56.

Since PW1 < PW2, Server 1 should be selected.2.

Use incremental ROR analysis to decide between the servers at MARR = 12%.

The formula for ROR is:

ROR = LWRR + (H – L) (IRRH – LWRR) / (IRRH – IRRL)

where, L = Lower investment amount,

H = Higher investment amount,

LWRR = Lower worth-rate-of-return,

IRRH = Internal rate of return of higher investment amount,

IRRL = Internal rate of return of lower investment amount,

ROR for incremental analysis = 12% + [($200,000 - $101,694) x (IRR2 - 12%) / (IRR2 - IRR1)]

ROR for incremental analysis = 12% + [($200,000 - $101,694) x (25.69% - 12%) / (25.69% - 16.11%)]

= 18.02%

Since ROR for incremental analysis > MARR, Server 2 should be selected.

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Section B: Scenario Based Question Use the IRAC method to answer the following legal problem. 1. Vin wants to sell his house which is situated in a high-demand area for RM 1.8 million. In February 2022 he made the offer to several people stating that the offer will remain open until 31st March 2022. An interested buyer must sign an acceptance letter and pay a deposit of RM200.000 at the same time to show his/ her serious intention. Both the acceptance letter and the deposit money must be handed to Vin's lawyer on or before 31st March. Diesel wishes to buy the house. On March 2nd, he went to the lawyer's office, signed the letter, and told them that he will bank the money in three days' time. On March 3rd, Vin's lawyer contacted Diesel telling him that vin has decided to revoke the offer. Diesel who is really looking forward to owning the house wishes to sue Vin for breach of contract. Discuss whether a valid contract has been formed between Vin and Diesel. (7 Marks) • Issue Rules . Application conclusion Y 5 G B H N U M K O V L Alt Gr foru P V .. P Sym -- 14 Te Lah Break 2

Answers

Issue: Whether a valid contract has been formed between Vin and Diesel. Rules:An agreement arises when the offer is accepted by the offeree. The offeror is entitled to withdraw the offer at any time before it is accepted, and revocation of an offer may be communicated directly or indirectly.

Application: Vin is interested in selling his house situated in an area with high demand for RM 1.8 million. In February 2022, he made an offer to many people, stating that the offer will remain open until March 31, 2022. An interested buyer must sign an acceptance letter and pay a deposit of RM200,000 to Vin's lawyer on or before March 31. Diesel wants to purchase the house. He went to the lawyer's office on March 2nd and signed the letter, informing them that he would deposit the money in three days.

On March 3rd, Vin's lawyer informed Diesel that Vin has decided to revoke the offer. Diesel, who is looking forward to owning the house, wishes to sue Vin for breach of contract. Diesel can sue Vin for breach of contract because a valid contract was created between them.The essential elements of a contract are agreement, consideration, intention to create legal relations, capacity, and legality. Vin, as the offeror, made a valid offer by stating that it would remain open until March 31st. The offer was accepted by Diesel, the offeree, by signing the acceptance letter and paying the deposit fee. Both parties were therefore bound by the contract's terms and conditions until March 31st when the offer was supposed to be withdrawn.

Even if Diesel had not paid the deposit, the acceptance of the offer by Diesel was adequate to create a binding agreement. Vin's lawyer, on the other hand, communicated the revocation of the offer to Diesel on March 3rd. However, this was too late since the acceptance of the offer had already been completed by Diesel on March 2nd. Vin had no right to revoke the offer after it had been accepted by Diesel. Vin's revocation of the offer was therefore ineffective, and he breached the contract's terms and conditions.Conclusion:Therefore, Diesel can sue Vin for breach of contract.

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Problem 12-1 (algo) Identify which of the three functions of money is most relevant in the following situations. a. A business traveler does an online search of fares offered by airlines for her upcoming trip. The most relevant function of money in this situation is as a (Click to select) + b. A borrower uses an electronic transfer to pay off a debt to a friend. The most relevant function of money in this situation is as a means of exchange c. A bondholder cashes a Canada Savings Bond and keeps the proceeds for a time in currency. The most relevant function of money in this situation is as a (Click to select) + d. A reader compares prices of electronic and hard copy versions of a new book. The most relevant function of money in this situation is as a (Click to select) ♦ e. A cafe customer uses currency to pay for a cup of coffee. The most relevant function of money in this situation is as a (Click to select) + f. A retailer temporarily keeps monthly sales revenue in a business bank account. The most relevant function of money in this situation is as a (Click to select) ♦

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Problem 12-1 (algo) Identify which of the three functions of money is most relevant in the following situations. The three functions of money are means of exchange, store of value, and unit of account. The most relevant function of money in the following situations is:

a. A business traveler does an online search of fares offered by airlines for her upcoming trip. The most relevant function of money in this situation is as a unit of account.

b. A borrower uses an electronic transfer to pay off a debt to a friend. The most relevant function of money in this situation is as a means of exchange.

c. A bondholder cashes a Canada Savings Bond and keeps the proceeds for a time in currency. The most relevant function of money in this situation is as a store of value.

d. A reader compares prices of electronic and hard copy versions of a new book. The most relevant function of money in this situation is as a unit of account.

e. A cafe customer uses currency to pay for a cup of coffee. The most relevant function of money in this situation is as a means of exchange.

f. A retailer temporarily keeps monthly sales revenue in a business bank account. The most relevant function of money in this situation is as a store of value.

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If there is a very strong correlation between two variables, then the coefficient of correlation must be _____.
a. much larger than 1, if the correlation is positive
b. much smaller than 1, if the correlation is negative
c. Both answers are correct
d. None of the above

Answers

If there is a very strong correlation between two variables, then the coefficient of correlation must be much larger than 1, if the correlation is positive and much smaller than 1, if the correlation is negative. Hence, the correct option is C.

The coefficient of correlation, often represented as "r," measures the strength and direction of the linear relationship between two variables. It ranges from -1 to +1, where -1 indicates a perfect negative correlation, +1 indicates a perfect positive correlation, and 0 indicates no correlation. When there is a very strong correlation, it means that the variables are highly related.

This can be either a strong positive correlation or a strong negative correlation. Therefore, the coefficient of correlation must be either much larger than 1 (if the correlation is positive) or much smaller than -1 (if the correlation is negative).

Hence, the correct option is C.

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You are investigating a savings account that is offered by 2 different banks.

Bank A is offering 0.464% interest per month, compounded monthly.

Bank B is offering an effective annual interest rate of 6.50%

Answers

In the given case, Bank B must be chosen as it offers a higher interest rate, with higher returns on the savings account.

It is required to determine Bank A's effective yearly interest rate in order to compare the two savings accounts that Bank A and Bank B provide.

For Bank A:

Monthly interest rate -

= 0.464%

= 0.464/100

= 0.00464

Calculating the effective annual interest rate for Bank A -

Effective annual interest rate = (1 + Monthly interest rate)^Number of compounding periods - 1

[tex]= (1 + 0.00464)^12 - 1[/tex]

= 0.0568 or 5.68%

Comparing the effective annual interest rates -

Bank A: Effective annual interest rate = 5.68%

Bank B: Effective annual interest rate = 6.50% ( Already given)

Comparing the two banks' effective annual interest rates, Bank B provides a higher rate of 6.50%, while Bank A offers 5.68%. Because Bank B provides a greater interest rate and the possibility for bigger earnings on the savings account, it must be picked.

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Complete Question:

You are investigating a savings account that is offered by 2 different banks.

Bank A is offering 0.464% interest per month, compounded monthly.

Bank B is offering an effective annual interest rate of 6.50%

Which bank must be chosen ?

Summarize the current state of the economy (AS-AD curves).
Explain proposed fiscal, monetary, and legislative
changes.
Identify the economic impact of the fiscal, monetary and
legislative changes.
Det

Answers

The economy is in a state of recovery after experiencing a sharp downturn in response to the COVID-19 pandemic. Both the Aggregate Supply and Aggregate Demand curves were adversely impacted by this shock, with supply disruptions and a drop in aggregate demand caused by job losses, low consumer confidence, and supply chain interruptions.

Monetary policy has been employed in an effort to mitigate these negative effects. The Federal Reserve Bank has taken several steps to support the economy, including lowering interest rates to near-zero levels, expanding its asset purchases, and providing liquidity to the financial system. Fiscal policy is a broad term that encompasses a variety of government actions, including tax policy, government spending, and regulations. The CARES Act is a notable example of recent fiscal policy, providing funding for small businesses, households, and state and local governments. Legislative changes that may have an economic impact include changes to trade policy, immigration policy, and environmental regulations.

It is difficult to predict the precise economic impact of these changes, but economists generally agree that expansionary fiscal and monetary policies can help boost the economy, while legislative changes may have a more mixed effect.

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You are asked to audit a project on Patient Life Cycle Management in a reputed hospital . How will you conduct the audit and what data you would like to collect during the audit process?

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The series of actions an auditor must take in order to complete an audit engagement with a client is known as the audit process. The nature of the audit engagement will determine the particular steps that must be taken.

An audit of a project on Patient Life Cycle Management in a reputable hospital requires the following steps to be followed:-

The first stage of an audit is to identify the objectives and scope of the audit. This stage will entail the use of patient life cycle management to identify areas of concern.

The second step is to collect and analyze data. In this phase, auditors will use a wide range of techniques to gather and examine data that will aid them in making assessments. The objective of data analysis is to recognize any significant variations, anomalies, or irregularities. It is also necessary to determine the root causes of the anomalies observed and to assess their implications. The auditors must analyze the data they have gathered for accuracy and completeness.

The third step is to assess the hospital's internal control systems. During the audit, auditors may investigate hospital procedures and processes for identifying, evaluating, and responding to internal control hazards. As a result, auditors should evaluate the adequacy of internal controls and recommend modifications where necessary. The objective of this process is to ensure that the internal control system is sufficient and effective.

Finally, the audit report is prepared. After collecting data, assessing internal control systems, and conducting any additional testing, the audit report is written. The audit report should be concise and professional, outlining the audit's objectives, methodology, and findings. Recommendations for changes should be included in the report, as well as follow-up action that will be required to address the findings.

The data that will be collected during the audit process will include the following:-

Patient Information: The records of the patients have to be checked, analyzed, and ensure that the information is kept confidential.

Patient Safety: The hospital must ensure patient safety, and its policies should be in line with the healthcare requirements.

Patient Services: The audit must examine the services provided to patients in the hospital in terms of quality, safety, and effectiveness.

Patient Medical Records: The medical records must be checked to ensure they contain accurate information and are maintained as required.

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List reasons why economists should not consider GDP an effective measure of the standard of living in a country. Why do economists do not consider GDP an effective measure of the standard of living in a country?

Answers

The Gross Domestic Product (GDP) has been used as an indicator of economic growth in a country, and yet, it is not an effective measure of standard of living.

This is because the GDP does not consider non-monetary aspects of life, and so does not reflect the quality of life in a country. Some of the reasons why economists do not consider GDP an effective measure of the standard of living are:Firstly, the GDP does not measure the distribution of income.

This means that although a country might have a high GDP, the income inequality may be very high. Thus, the GDP does not consider the welfare of the majority.Secondly, the GDP does not measure the value of unpaid work such as housework or volunteer work.

This means that even though people are contributing to their communities, this is not recognized in GDP.Thirdly, the GDP does not measure the social and environmental factors that are important for a good standard of living such as health, education, environmental quality, and access to clean water.

Thus, the GDP does not account for the long-term welfare of the country.

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please fast
The following comparative balance sheet is given for Estern
Co.: Assets Dec 31, 2021 Dec.31, 2020 $58,500 $351,000 Cash 72,000
63,000 Notes Receivable 81,000 121,500 Supplies & Invento
The following comparative balance sheet is given for Estern Co. Assets Dec 31, 2021 Dec 31, 2020 Canl $58,500 $351,000 72,000 Notes Receivable 63,000 81,000 121,500 Supplies & Inventory Prepaid expens

Answers

There are three asset accounts in the comparative balance sheet given for Estern Co: cash, notes receivable, and supplies & inventory.

The cash account's balance is $58,500 at the end of December 31, 2021, compared to $351,000 at the end of December 31, 2020. The notes receivable balance is $72,000 at the end of December 31, 2021, compared to $63,000 at the end of December 31, 2020. The supplies & inventory balance is $81,000 at the end of December 31, 2021, compared to $121,500 at the end of December 31, 2020.

A balance sheet is a financial statement that provides a snapshot of a company's financial position at a specific point in time. It presents the company's assets, liabilities, and shareholders' equity. The balance sheet provides insights into a company's liquidity, solvency, and financial health. It is often used by investors, creditors, and other stakeholders to assess a company's financial position and make informed decisions.

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An example of manufacturing overhead costs would be O Direct Materials O CEO's Salary O Wage of factory supervisor O Direct Labor O Raw Materials O Utility expense on corporate offices

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An example of manufacturing overhead costs would be Utility expense on corporate offices.

Manufacturing overhead costs refer to all the indirect costs that are not included in direct materials and direct labor. These costs include utilities, rents, salaries, and insurance. Manufacturing overheads are the indirect costs that are not included in direct labor or direct materials. These expenses are necessary to keep the manufacturing process running but cannot be directly attributed to a single product.

The manufacturing overhead costs could include but are not limited to; Electricity and lighting costs Rent of the manufacturing building Property taxes and insurance on the manufacturing building Depreciation of the manufacturing equipment and tools Maintenance of the manufacturing equipment and tools Corporate office salaries Security costs (guards)Quality control testing and salaries

Direct materials refer to the raw materials that are used to make a product. These materials can be traced to the finished product, and they have a significant impact on the cost of production. Direct labor is the cost of the wages of employees who work directly on the manufacturing process. This can include assembly line workers or machine operators.

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a) Illustrate and explain the Gross Domestic Product (GDP) and unemployment for Malaysia for the years 2018-2021 using graphs. b) Identify the macroeconomic problems that Malaysia is currently facing and discuss how the Malaysian government and Bank Negara Malaysia can mitigate the identified macroeconomic problems.

Answers

a) Malaysia's macroeconomic problems include the impact of the COVID-19 pandemic, income inequality, and environmental challenges. The Gross Domestic Product (GDP) and unemployment trends for Malaysia from 2018-2021 can be illustrated using graphs to visualize the economic performance and labor market conditions during this period.

b) To address these macroeconomic problems, the Malaysian government and Bank Negara Malaysia can implement various measures. They can introduce fiscal policies such as stimulus packages, financial assistance, and infrastructure investments to support affected industries and stimulate economic growth. Additionally, monetary policies like adjusting interest rates and implementing liquidity measures can encourage borrowing and investment. To mitigate income inequality, progressive taxation, social welfare programs, and skills development initiatives can be implemented. Lastly, environmental challenges can be tackled through sustainable development policies and investments in renewable energy. These measures aim to foster inclusive and sustainable economic growth in Malaysia.

a) The Gross Domestic Product (GDP) and unemployment in Malaysia for the years 2018-2021 can be illustrated using line graphs. The GDP graph will show the trend in economic output, while the unemployment graph will depict the changes in the unemployment rate over the specified period.

In the GDP graph, we can observe the annual GDP growth rate or GDP in constant prices (adjusted for inflation) for each year. The line will indicate the direction and magnitude of economic growth or contraction. If the line is upward-sloping, it signifies positive GDP growth, while a downward-sloping line indicates a decline in economic output.

The unemployment graph will display the unemployment rate, which represents the percentage of the labor force that is unemployed. A rising trend in the line suggests an increase in unemployment, while a declining trend indicates a decrease in unemployment.

b) Currently, Malaysia is facing several macroeconomic problems. One key issue is the economic impact of the COVID-19 pandemic, which has led to reduced economic activity, job losses, and disruptions in supply chains. To mitigate this, the Malaysian government and Bank Negara Malaysia can implement fiscal and monetary policies. The government can provide stimulus packages to support affected industries, offer financial assistance to businesses and individuals, and invest in infrastructure projects to stimulate economic growth and job creation.

Monetary policy tools, such as adjusting interest rates and implementing liquidity measures, can be employed by Bank Negara Malaysia to encourage borrowing and investment, stimulate consumer spending, and maintain price stability.

Another macroeconomic problem in Malaysia is income inequality. The government can address this by implementing policies that promote equitable income distribution, such as progressive taxation, social welfare programs, and skills development initiatives to enhance employability and income-earning potential.

Additionally, Malaysia faces environmental challenges, particularly in relation to deforestation and climate change. The government can implement sustainable development policies, invest in renewable energy, promote environmentally-friendly practices, and encourage responsible resource management to mitigate these issues.

Overall, a combination of fiscal and monetary policies, along with targeted measures to address income inequality and environmental concerns, can help Malaysia navigate its macroeconomic challenges and foster sustainable and inclusive economic growth.

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Sectors of the external environment and the five forces of competition.

How and why are Environmental and Industry analyses relevant to Starbucks overall.

Answers

Environmental and Industry analyses are important to the overall success of Starbucks because they provide an understanding of the external environment that the company operates in and help to identify the key opportunities and threats that are likely to impact the business.

The external environment consists of several sectors including economic, social, political, legal, and technological factors, which can influence the performance of the business.

In addition, the five forces of competition model developed by Michael Porter provides a framework for analyzing the competitive environment in which Starbucks operates. The five forces include the threat of new entrants, bargaining power of suppliers, bargaining power of buyers, threat of substitute products or services, and rivalry among existing firms. By analyzing these factors, Starbucks can better understand the competitive landscape and develop strategies to gain a competitive advantage. Starbucks operates in the retail coffee and snacks industry, which is highly competitive with several large players such as Dunkin’ Donuts and McDonald’s.

By conducting environmental and industry analyses, Starbucks can identify key trends and developments in the industry and adapt its strategy accordingly. For example, if a new competitor enters the market, Starbucks can respond by introducing new products or services to maintain its competitive position.

Furthermore, environmental analysis can help Starbucks to anticipate changes in consumer preferences and adjust its strategy to meet evolving demand.

In conclusion, Environmental and Industry analyses are relevant to Starbucks overall because they provide an understanding of the external environment and help the company to identify key opportunities and threats. Through analyzing the five forces of competition, Starbucks can gain a better understanding of the competitive landscape and develop strategies to gain a competitive advantage.

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All else equal, which of the following would reduce the value of the multiplier for an economy? Select one: O An increase in the marginal propensity to import O b. An increase in the marginal propensi

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The option that would reduce the value of the multiplier for an economy is an increase in the marginal propensity to import (option a).

In economics, the multiplier is a factor that quantifies the effect of an increase in the autonomous spending on total spending. It is calculated as the ratio of the change in the equilibrium level of national income to a change in autonomous expenditure.

An increase in the marginal propensity to import will reduce the value of the multiplier for an economy since it will increase the import of goods and services. This will, in turn, decrease the level of aggregate demand and the overall spending. Therefore, the multiplier will be reduced because an increase in the marginal propensity to import would reduce the amount of new spending that is injected into the economy. The correct option is an increase in the marginal propensity to import.

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Item 4
Problem 6-52 (LO 6-4)
Jordan took a business trip from New York to Denver. She spent two days in travel, conducted business for nine days, and visited friends for five days. She incurred the following expenses:
Airfare $ 510
Lodging 3,100
Meals 775
Entertainment of clients 620
Required:
How much of these expenses can Jordan deduct?

Answers

The deductible amount of the expenses incurred by Jordan on her business trip are calculated to be  $22,076.  Therefore, the answer is $22,076.

The deductible amount of the expenses incurred by Jordan on her business trip can be calculated as follows:

Airfare: Non-deductible as personal expenses.

Lodging: 7 × $3100 = $21700 (100% deductible)

Meals: $775 × 16/75 = $166 (50% deductible)

Entertainment of clients: $620 × 50% = $310 (50% deductible)

Thus, the total amount that Jordan can deduct is $22076 (21700 + 166 + 310). Therefore, the answer is $22,076.

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