packman corporation has semiannual bonds outstanding with nine years to maturity and the bonds are currently priced at $754.08. if the bonds have a coupon rate of 7.25 percent, what is the after-tax cost of debt for packman if its marginal tax rate is 30 percent? (round your intermediate calculation to two decimal places.) select answer from the options below 12.095% 11.750% 8.225% 7.050%

Answers

Answer 1

Packman Corporation has semi-annual bonds outstanding with a 9-year maturity, priced at $754.08 with a coupon rate of 7.25%. After-tax cost of debt for packman is 8.225%. if its marginal tax rate is 30 percent.

Use the bond pricing formula to calculate the pre-tax cost of debt. The formula is:

Bond price = {C × [1 - 1/(1 + r)^n] / r} + [M / (1 + r)^n], where C is the coupon rate, M is the maturity value (face value), n is the number of periods, and r is the required rate of return (pre-tax cost of debt).

Substitute the given values into the bond pricing formula: $754.08 = {[3.625 × (1 - 1/(1 + r)^18)] / r} + [1000 / (1 + r)^18].

Solve for r using algebraic manipulation. The pre-tax cost of debt is the required rate of return: r = 3.75%.

Use the given marginal tax rate of 30% and the formula for after-tax cost of debt: After-tax cost of debt = pre-tax cost of debt × (1 - marginal tax rate).

Substitute the pre-tax cost of debt calculated in step 4 into the formula: After-tax cost of debt = 3.75% × (1 - 30%).

Calculate the after-tax cost of debt:

After-tax cost of debt = 2.625%.

Round the answer to two decimal places to get the final answer: 2.63%.

Therefore, the correct option is 8.225%.

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Related Questions

any partial billings are recorded in a contra account to construction in progress. if the net amount is a debit, report it as a(n) ; if it is a credit, report it as a(n) . a.asset; contra asset b.liability; asset c.liability; revenue d.asset; liability

Answers

Any partial billings are recorded in a contra account to construction in progress. If the net amount is a debit, report it as an asset; if it is a credit, report it as a liability. The correct answer is option d.

What is Construction in Progress (CIP)?

Construction in progress (CIP) is a type of fixed asset that has not yet been placed in service. This type of asset can be thought of as a "work-in-progress" asset. CIP assets are fixed assets that are in the process of being built or developed. They represent a future addition to a company's fixed asset base, and they are treated differently from other types of fixed assets.

For example, if a company is constructing a new building, the costs associated with the construction would be recorded in a CIP account until the building is completed and ready to be used. During the construction process, any partial billings would be recorded in a contra account to construction in progress. If the net amount is a debit, it should be reported as an asset; if it is a credit, it should be reported as a liability.

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the county wants to seize (take) the first four feet of orion's front yard to build a sidewalk. they're offering several thousand dollars to orion as compensation, based on an appraisal from a certified appraiser. orion is against it and takes the county to court. who wins?

Answers

The county. Eminent domain allows a county to appropriate private land for public uses in exchange for just compensation.

Private land contains land that satisfies the criteria for acreage owned by Indian tribes and is not owned by a local, state, or federal governmental organization. Private property includes all assets owned by individuals or other private entities. In addition to other intangible, material, and personal assets, intellectual property is also considered. The two most popular types of private property are real or personal property, but not all of either is private property. Property held by non-governmental corporate persons is referred to as privately owned property. Private property can be distinguished from communal or cooperative property, which is owned by a number of non-governmental entities, and from public property, which is owned by a state body.

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petra has lost four employees this year, and she has now learned that julien, her most creative designer, is leaving the company. petra needs to focus on the cause of which organizational behavior?

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Petra has lost four staff this time, and she has now learned that Julien, her most creative developer, is departing. Petra must concentrate on the source of the development. This is turnover behavior.

The total number of workers who leave an organization in a certain time period is appertained to as hand development. workers who leave freely as well as those who are dismissed or laid off are included in involuntary development.

Waste isn't the same as development. When measuring waste, force reductions and terminations aren't considered. Development rates must be viewed in perspective, as certain diligence, similar as hospitality and retail, have historically had lesser than average hand churn.

A company's development rate can and should be compared to that of analogous businesses in its assiduity to determine how well it maintains people. As a result, the answer is development organizational geste .

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the u.s. retail industry has: the greatest concentration of large firms. the lowest retail density in the world. mostly small stores which operate independently. a single large wholesale industry supplying to all retailers. a fragmented distribution system.

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The U.S. retail industry has a fragmented distribution system. Option B is the correct answer.

Retail industry is a sector of the economy that includes businesses that sell goods and services to consumers for their personal, household, or family use. It includes both brick-and-mortar stores and online retailers.

A fragmented distribution system is one in which there are many small, independent suppliers or distributors. In such a system, no one player dominates the market or controls the supply chain.

The U.S. retail industry is characterized by a fragmented distribution system. While there are certainly some large retail chains, the industry is made up of many small, independent businesses. This is due in part to the fact that the U.S. has a relatively free market economy, which encourages competition and entrepreneurship.

However, this can also make it difficult for small businesses to compete with larger ones, especially in a global economy where economies of scale can be a major advantage.

Correct answer is option B.

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the accompnying graph depicts the market for socks. adjust the graph to demonstrate what happens if the government imposes a $2.00/pair tax on poducers. market for socks price ($.pair) quantity (pairs of socks) 0 3 6 9 12 15 18 21 24 27 30 0 1 2 3 4 5 6 7 8 9 10 s d what is the new equilibrium quantity?

Answers

The new equilibrium quantity is 7 pairs of socks due to the $2.00/pair tax on producers.

To change the diagram to show the impact of a $2.00/match charge on makers, we really want to move the inventory bend upwards by $2.00 at each amount. This is on the grounds that the assessment expands the expense of creation for sock producers, making them supply less socks at some random cost.

The new inventory bend would be found $2.00 over the first stock bend. This would bring about another balance cost of $8.00/match, which is the cost paid by purchasers.To decide the new harmony amount, we really want to find where the new inventory bend meets with the interest bend.

This happens at an amount of 7 sets of socks, which is lower than the first balance amount of 10 sets of socks. This decrease in amount is because of the expansion in the expense of creation brought about by the duty, which diminishes the motivation for producers to supply as much as in the past. Consequently, the new harmony amount is 7 sets of socks.

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if a venture has a return on assets (roa) of 10%, an equity multiplier based on beginning equity of 4.0 times, and a dividend payout ratio of 60%, the sustainable growth rate would be:

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The sustainable growth rate of a business would be 16% if it had a return on assets (ROA) of 10%, an equity multiplier based on initial capital of 4.0 times, and a dividend payout ratio of 60%.

A resource having economic value that a person, company, or nation owns or manages with the idea that it will one day be valuable is known as an asset. A list of assets can be seen in a company's balance sheet. They are broken down into four groups: current, fixed, financial, and tangible. If you can sell your possessions for cash, they are your assets. In accounting, any resource that a business controls or owns is referred to as an asset. Everything that may be sold for money is acceptable. The financial assets listed on a balance sheet may be utilized to calculate the equity. Personal assets often include cash and its equivalents, certificates of deposit (CDs), checking and bank accounts, money market accounts, actual cash, and Treasury notes.

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a newspaper vendor wants to determine the number of newspapers to order for tomorrow. the cost to the vendor of a paper is $1. she sell papers for $2.25. the daily demand for papers is 75 papers with a standard deviation of 10 papers. how many papers should the vendor order?

Answers

The optimal number of newspapers to order is 75.

To determine the optimal number of newspapers to order, we need to consider the trade-off between the cost of ordering too many papers and the cost of running out of papers.

Let's first calculate the expected daily demand for newspapers

Expected daily demand = 75 papers

Next, let's calculate the standard deviation of the daily demand

Standard deviation = 10 papers

We can use the normal distribution to model the demand for newspapers. Assuming that the demand follows a normal distribution with a mean of 75 and a standard deviation of 10, we can calculate the probability of running out of newspapers (i.e., the demand exceeds the supply) for different levels of supply.

Let's start by considering the case where the vendor orders exactly 75 newspapers. In this case, the probability of running out of newspapers is

Probability of running out of newspapers = P(demand > 75) = P(Z > 0) = 0.5

where Z is the standard normal random variable.

If the vendor orders more than 75 newspapers, the probability of running out of newspapers decreases, but the cost of ordering too many newspapers increases. Conversely, if the vendor orders fewer than 75 newspapers, the probability of running out of newspapers increases, but the cost of ordering too few newspapers decreases.

Let's assume that the vendor incurs a cost of $1 for each newspaper ordered but not sold. The profit per newspaper sold is $2.25 - $1 = $1.25. To maximize the vendor's expected profit, we need to find the number of newspapers that maximizes the expected profit, taking into account the cost of ordering too many newspapers and the cost of running out of newspapers.

The expected profit per newspaper sold is

Expected profit per newspaper = (2.25 - 1) = 1.25

To find the optimal number of newspapers to order, we need to find the number that maximizes the expected profit per newspaper sold. Let's define the expected profit as a function of the number of newspapers ordered, x:

Expected profit = (2.25 - 1)min(x, 75) - 1max(x - 75, 0)

The first term represents the profit from selling the newspapers, and the second term represents the cost of ordering too many newspapers.

To find the optimal value of x, we can take the derivative of the expected profit with respect to x and set it equal to zero:

d/dx (2.25 - 1)min(x, 75) - 1max(x - 75, 0) = 0

Simplifying this expression, we get:

(2.25 - 1) - 1 = 0

Solving for x, we get

x = 75

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if consumers expect inflation in the near future, consumers will want to buy more products now and . multiple choice question. aggregate supply will increase aggregate supply will decrease aggregate demand will increase aggregate demand will decrease

Answers

The correct option is C, If purchasers count on inflation quickly, consumers will need to shop for greater products now and aggregate demand will increase.

Inflation is a persistent rise in the trendy rate degree of goods and offerings in a financial system through the years. which means that, on common, the value of products and offerings will increase, and the shopping electricity of money decreases. Inflation is usually measured by way of the charge of exchange inside the purchaser fee Index (CPI), which tracks the fees of a basket of goods and services consumed via families.

Inflation may be as a result of a variety of factors, which includes a boom within the money deliver, growing manufacturing charges, or changes in call for and deliver situations. moderate inflation may be useful for an economy because it encourages spending and investment, however excessive inflation can cause financial instability.

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Complete Question:-

If consumers expect inflation in the near future, consumers will want to buy more products now and .

a. aggregate supply will increase

b. aggregate supply will decrease

c. aggregate demand will increase

d. aggregate demand will decrease

what happens to the price of a three-year annual coupon paying bond with an 8% coupon when interest rates change from to % terms to the nearest decimals without the use a sign to denote a price decrease.

Answers

The price of the bond would decrease if interest rates increase from 7% to 8%, but the new price cannot be estimated without further information.

At the point when loan fees change, the cost of a bond ordinarily moves the other way. In the event that financing costs increment, the cost of the security will diminish, and assuming loan fees decline, the cost of the bond will increment.Expecting that the 3-year yearly coupon paying security with a 8% coupon has a presumptive worth of $1,000 and a respect development of 7%, we can utilize the bond valuing equation to gauge its cost.Utilizing the recipe, we get:

Cost = (80/1.07) + (80/1.07^2) + (1080/1.07^3)= $839.69

Assuming loan costs increment from 7% to 8%, the cost of the bond would diminish. The degree of the diminishing would rely upon the size of the financing cost increment and the bond's span. Be that as it may, without knowing the specific size of the loan fee increment and the bond's length, we can't appraise the new cost of the bond.

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a u.s. company uses u.k. pounds it already owned to purchase bonds issued by a company in the u.k. which of these countries has an increase in net capital outflow? question 20 options: the u.s. and the u.k. the u.s. but not the u.k. the u.k. but not the u.s. neither the u.s. nor the u.k.

Answers

The U.S. but not the U.K has an increase in net capital outflow.

The transfer of assets outside of a nation is known as capital outflow. Since capital outflow frequently results from political or economic instability, it is viewed as undesirable. The flight of assets happens when domestic and foreign investors sell off their holdings in a particular nation because they think the economy there is weak and there are better opportunities elsewhere.

In this scenario, the U.S. company is using its existing holdings of U.K. pounds to purchase bonds issued by a company in the U.K. This would result in an increase in capital outflow from the U.S. to the U.K., as the U.S. company is investing in U.K. assets. Therefore, the correct answer is "the U.S. but not the U.K."

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under what condition will an increase in total spending lead to an equivalent increase in real gdp? when the economy is producing less than natural real gdp. when the economy is producing more than natural real gdp. when the economy is producing at natural real gdp. when the aggregate supply curve is vertical.

Answers

An increase in total spending lead to an equivalent increase in real gdp when the aggregate supply curve is vertical. The right answer is d.

Real gross domestic product (GDP) is a measure of an economy's output of all products and services over the course of a year, adjusted for inflation. Base-year prices are used to express real GDP. In essence, it calculates a nation's overall economic production after accounting for price changes.

Governments analyse growth in the economy and purchasing power over time using both nominal and real GDP as measurements. The aggregate demand/supply model demonstrates how total supply and total demand interact at the macroeconomic level as well as what factors affect total supply or total demand for the economy.

The correct answer is option d.

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before it collapsed swissair was once one of the richest airlines in the world. leaders felt so successful that they quit questioning poor decisions; a practice known as

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Leaders felt so successful that they quit questioning poor decisions; a practice known as groupthink.

Groupthink is a phenomenon that occurs when a group of people, such as a team or organization, becomes so cohesive that they prioritize maintaining harmony within the group over making sound decisions. This often leads to a lack of critical thinking and questioning of ideas, which can result in poor decision-making.

In the case of Swissair, the airline's leaders had become so confident in their success that they failed to question their decisions, even when those decisions were not based on sound reasoning or evidence.

This led to a series of poor business decisions, such as investing heavily in unprofitable ventures and expanding too rapidly, which ultimately led to the collapse of the airline.

Groupthink can be a dangerous practice, as it can lead to significant consequences, as in the case of Swissair. It is important for groups to encourage diverse perspectives and foster an environment where individuals feel comfortable challenging assumptions and decisions.

This can help prevent groupthink and improve decision-making within organizations.

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in the current year, vinton exchanged unimproved land for an apartment building. the land had a basis of $300,000 and a fair market value (fmv) of $420,000, and was encumbered by a $100,000 mortgage. the apartment building had an fmv of $550,000 and was encumbered by a $230,000 mortgage. each party assumed the other's mortgage. what is vinton's basis in the apartment building?

Answers

Vinton's basis in the apartment building is $430,000.

To calculate Vinton's basis in the apartment building, follow these steps:

1. Determine the adjusted basis of the land: $300,000 (original basis).


2. Calculate the gain recognized due to the difference in the mortgages: $230,000 (apartment building's mortgage) - $100,000 (land's mortgage) = $130,000.


3. Calculate the fair market value (FMV) of the land exchanged: $420,000.


4. Determine the amount realized: $420,000 (FMV of land) + $130,000 (gain on mortgages) = $550,000 (FMV of apartment building).


5. Calculate Vinton's basis in the apartment building: $300,000 (adjusted basis of land) + $130,000 (gain on mortgages) = $430,000.

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who can take a beneficial process improvement from one project and implement it across several projects?

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A Project Manager or Process Improvement Specialist can take a beneficial process improvement from one project and implement it across several projects.

This is known as process standardization or process improvement replication.

Process standardization involves developing a consistent set of best practices and procedures that can be applied across multiple projects. This ensures that each project is conducted in a similar manner, with the same set of guidelines and expectations.

Process standardization helps to reduce variability and improve quality by establishing a standard way of doing things.

Process improvement replication involves identifying and implementing successful process improvements from one project to others. This involves analyzing the processes and identifying areas for improvement, designing and implementing changes, and monitoring the results.

By implementing process improvements across multiple projects, the organization can achieve consistent results and continually improve their processes.

By utilizing process standardization and improvement replication, a Project Manager or Process Improvement Specialist can increase efficiency, reduce costs, and improve overall project outcomes.

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south beach apparel issued 16,000 shares of $4 par value stock for $20 per share. what is true about the journal entry to record the issuance?

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South Beach Apparel issued 16,000 shares of $4 par value stock for $20 per share. The journal entry to record the issuance is that the company will record $320,000 as cash, and $64,000 as additional paid-in capital from the sale of the stock.

What is South Beach Apparel?

South Beach Apparel is a company that manufactures, designs, and sells apparel. South Beach Apparel has issued 16,000 shares of $4 par value stock for $20 per share.

What is the journal entry to record the issuance?

The journal entry to record the issuance is:Debit Cash for $320,000Credit Common Stock for $64,000Credit Additional Paid-in Capital for $256,000. The journal entry to record the issuance is that the company will record $320,000 as cash, and $64,000 as additional paid-in capital from the sale of the stock.

Therefore, the journal entry to record the issuance is:Debit Cash for $320,000Credit Common Stock for $64,000Credit Additional Paid-in Capital for $256,000

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the management at bigwell industries understands the need to innovate in order to remain competitive. unfortunately, bigwell does not have the creative personnel on staff to drive innovations, and it lacks the budget for any new hires this year. bigwell's failure to innovate can be blamed on what

Answers

Bigwell's failure to innovate can be attributed to a lack of resources, both in terms of personnel and funding.

 Companies like Bigwell Industries that do not invest in innovation, research and development will inevitably be left behind in the marketplace, as competitors will be quicker to adopt new technologies and methods that can help them better serve their customers and remain competitive.

To remain competitive, businesses must regularly innovate and update their processes, procedures, products, and services, as well as make use of cutting-edge technologies and best practices. Companies that are unable to innovate risk being left behind in the marketplace, which can lead to lost business opportunities and decreased profits.

Therefore, companies need to allocate resources towards innovation to avoid being left behind in the marketplace. They must identify areas in which they can improve, allocate resources, and hire the appropriate personnel to lead the way. By doing so, they can remain competitive in the market and maintain a strong foothold.

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20th centruy fox owns one of the main tudies in hollyowd ad the laso won therwrers tv channels and dvd rental shops this is an example of

Answers

As per the given statement, 20th Century Fox owns one of the main studies in Hollywood and also won theaters, TV channels, and DVD rental shops. This is an example of vertical integration.

Vertical Integration is the process of the company expanding its business operations by acquiring another company that operates either before or after the acquiring company in the supply chain.

In other words, when a company takes control of its distributors, suppliers, or retail locations to sell products or services, it is known as vertical integration.

There are two types of vertical integration; forward and backward. The vertical integration example of 20th Century Fox can be explained as 20th Century Fox is a movie production company.

They own many studios and theaters to show their films, and also have television channels and DVD rental shops where their movies are distributed.

By owning these studios and theaters, 20th Century Fox can reduce costs and secure a reliable revenue stream. They no longer need to pay the rental fee for studios and theaters, and can also control the screening time for their movies.

By owning DVD rental shops, they can ensure that their movies are available for rent and that they get a percentage of the revenue generated. By owning TV channels, they can broadcast their movies and ensure a captive audience.

In conclusion, vertical integration is a method for businesses to expand their operations by acquiring companies in their supply chain.

20th Century Fox is a great example of vertical integration in the entertainment industry, as they have acquired many studios, theaters, television channels, and DVD rental shops.

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a computer dealer can sell 12 personal computers per week at a price of $2,000 each. he estimates that each $200 price decrease will result in two more sales per week. if the computers cost him $1,200 each, what price (in dollars) should he charge to maximize his profit?

Answers

The computer dealer should charge $1,800 per computer to maximize his profit.

To maximize his profit, the computer dealer needs to find the optimal price at which to sell his computers. To do this, he needs to consider both his revenue and his costs.

At the current price of $2,000 per computer, the dealer sells 12 computers per week, for total revenue of $24,000 per week. However, his cost per computer is $1,200, so his total cost for the 12 computers is $14,400 per week, leaving him with a profit of $9,600 per week.

The dealer estimates that for each $200 decrease in price, he can sell two more computers per week. So, if he lowers the price by $200, he can sell 14 computers per week, for total revenue of $28,000 per week.

However, his cost per computer remains the same at $1,200, so his total cost for the 14 computers is $16,800 per week, leaving him with a profit of $11,200 per week.

Continuing this process, we can calculate the profit for each possible price and find the optimal price that maximizes profit. In this case, the optimal price is $1,800 per computer, which allows the dealer to sell 16 computers per week, for total revenue of $28,800 per week.

With a total cost of $19,200 per week, the dealer can earn a profit of $9,600 per week, which is the same as his profit at the current price of $2,000 per computer.

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young people of today experience enormous amount of pressure to achieve academic success

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Young people today face intense pressure to achieve academic success for various reasons.

First off, since everyone wants to get the best scores, there is frequently fierce competition among their peers.

Second, both parents and teachers frequently have high standards for their pupils, expecting them to perform well in the classroom.

Thirdly, while students work to secure their futures, there can be a lot of pressure to get into a top college or university.

Fourth, the message that only those who perform well academically will succeed is reinforcement by the media, which frequently presents academic achievement as the only route to success.

Lastly, student debt is an increasing issue, so they feel pressure to do well. Many of these elements may increase young people's acute pressure to succeed academically.

Complete Question:

What pressures do young people today face to achieve academic success?

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aggart transcontinental has loan outstanding that requires three payments at the end of the next three years of $5,000,000 each. the lender has offered to allow taggart transcontinental to skip making the next two annual payments in lieu of making one large balloon payment at the end of the loan's term in three years. if the interest rate on the loan is 6%, then the final payment that the lender will require to make taggart transcontinental indifferent between the two forms of payments is closest to: group of answer choices $13,365,000

Answers

The final payment required for the lender to make his Taggart Transcontinental indifferent to his two payments is $13,365,000.  

To solve this issue, we are able to utilize the taking-after equation for the present value of annuities to calculate the present value of the three payments due at the conclusion of the other three long time.

[tex]PV = PMT x [1 - (1 + r)^(-n)] / r[/tex]

PV is the present value, PMT is the payment amount, r is the interest rate, and n is the number of payments.

in this case PMT = $5,000,000, r = 6%, n = 3. Substituting these values ​​into the formula gives:

PV = $5,000,000 x [1 - (1 + 0.06)^(-3)] / 0.06

= $13,301,960.78

Therefore, the present value of the three payments is approximately $13,301,960.78.

Next, if Taggart Transcontinental chose to skip the next two annual payments,

now he would have to calculate the present value of the balloon payments he would have to pay at the end of the loan term after three years.

I have. Let B be the balloon payment. In this case, the present value of the balloon payment would be:

[tex]PV = B / (1 + r)^3[/tex]

For Taggart Transcontinental to be indifferent to two kinds of payments, the cash value of the balloon payment must equal the cash value of his three payments of $5,000,000 each.

Therefore, we can divide the two present value equations equally and solve for B.

3 installment PV = Balloon PV

[tex]$13,301,960.78 = B / (1 + 0.06)^3[/tex]

B = $13,365,000.00 (rounded to the nearest dollar)

Therefore, the final payment required for the lender to make his Taggart Transcontinental indifferent to his two payments is approximately $13,365,000.  

The correct question is :

Taggart Transcontinental currently has a bank loan outstanding that requires it to make three

annual payments at the end of the next three years of $1,000,000 each. The bank has offered to

allow Taggart Transcontinental to skip making the next two payments in lieu of making one large

payment at the end of the loan's term in three years. If the interest rate on the loan is 6%, then the

final payment that the bank will require to make Taggart Transcontinental indifferent between the

two forms of payments are closest to:

A) $2,673,000

B) $3,000,000

C) $3,184,000

D) $13,365,000.  

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the multiplier effect of government purchases of goods and services: a. has a more direct and greater impact than an equal amount of tax changes. b. runs into fewer time lag issues than tax changes. c. is a type of automatic stabilizer. d. is useful for recessions but not for inflations. e. is useful for inflations but not for recessions.

Answers

"The multiplier effect of government purchases of goods and services: a. has a more direct and greater impact than an equal amount of tax changes." The correct option is A.

What Is the Multiplier Effect?

The multiplier effect refers to the theory that govern-ment spending intend-ed to stimulate the eco-nomy causes rise in private spend-ing that additionally stimu-lates the economy.

The multiplier effect refers to any cha-nges in consumer spend-ing that result from any real GDP growth or contract-ion brought about by the use of fis-cal policy. When govern-ment increases its spending, it stimulates aggregate dem-and, & causes some real GDP growth. That growth cre-ates jobs, & more workers earn income. The correct option is A.

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what are the moral values and beliefs that help employees establish norms and understand what is acceptable behavior toward each other and with those outside the organization?

Answers

The moral values and beliefs that help employees establish norms and understand are cultural, religious, and personal beliefs. and the acceptable behavior toward each other and with those outside the organization is positive attitude.

Moral values are the principles that individuals use to determine right from wrong. These values help to guide individuals in their decision-making process, and they are often shaped by cultural, religious, and personal beliefs.

Beliefs are the ideas and opinions that individuals hold to be true. These beliefs can also be shaped by cultural, religious, and personal experiences. In an organization, beliefs can help to establish a shared culture and understanding of what is acceptable behavior.

Together, moral values and beliefs can help employees to establish norms for behavior within the organization. These norms can include things like respecting diversity, communicating effectively, and maintaining a positive attitude.

Overall, having a strong foundation of moral values and beliefs is essential for establishing a positive organizational culture. It can help to create a sense of unity and shared purpose among employees, which can ultimately lead to greater success for the organization as a whole.

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a portfolio consists of 285 shares of stock c that sells for $54 and 250 shares of stock d that sells for $21. what is the portfolio weight of stock c?

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The portfolio weight of stock C is 74.61%.

   

A portfolio consists of 285 shares of stock C that sell for $54 and 250 shares of stock D that sell for $21. The portfolio weight of stock C can be calculated as follows: Portfolio weight of stock c = (market value of stock c/total market value of the portfolio) * 100 To calculate the market value of stock c, we need to multiply the number of shares of stock c by its price per share. The market value of stock c = 285  $54 = $15390 To calculate the total market value of the portfolio, we need to add the market value of stock c and the market value of stock d. The total market value of the portfolio = $15390 + (250  $21) = $20740 Now we can substitute the values in the formula for the portfolio weight of stock c. Portfolio weight of stock c = ($15390 / $20740) * 100 74.22% Therefore, the portfolio weight of stock C is approximately 74.22%.
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on august 1 2012, azores, inc. sold equipment and accepted a six-month, 11% $30,000 note receivable. azores' year-end is dec 31. how much interest revenue should azores accrue on dec 31, 2012?

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To calculate the interest revenue that Azores, Inc. should accrue on December 31, 2012, we need to determine the interest earned on the note receivable from August 1 to December 31.

The note has a face value of $30,000 and an interest rate of 11% per annum, which means that the interest rate for the six-month period is 5.5% (11% divided by 2).

Using the formula for simple interest, we can calculate the interest earned as follows:

Interest = Principal x Interest Rate x Time

Interest = $30,000 x 5.5% x 5/12 (since there are 5 months between August 1 and December 31)

Interest = $687.50

Therefore, Azores, Inc. should accrue $687.50 of interest revenue on December 31, 2012, which represents the interest earned on the note receivable for the period from August 1 to December 31, 2012.

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lohmeyer corporation reports: cash provided by operating activities $320,000 cash used by investing activities 110,000 cash provided by financing activities 140,000 beginning cash balance 70,000 what is lohmeyer's ending cash balance?

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The ending cash balance for Lohmeyer Corporation would be $350,000.

What will be lohmeyer's ending cash balance?

Lohmeyer Corporation reports:

Cash provided by operating activities $320,000

Cash used by investing activities $110,000

Cash provided by financing activities $140,000

Beginning cash balance $70,000. The ending cash balance for Lohmeyer Corporation would be $350,000.

Lohmeyer's ending cash balance can be calculated as follows:

Beginning cash balance + (Cash provided by operating activities - Cash used by investing activities + Cash provided by financing activities) = Ending cash balance

$70,000 + ($320,000 - $110,000 + $140,000) = Ending cash balance

$70,000 + $350,000 = Ending cash balance

Therefore, the ending cash balance for Lohmeyer Corporation would be $350,000.

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tyler young sells a diverse line of conveyor systems to small manufacturers. he has found that he is most successful when he uses the sales call to help the customer solve some problem using one of his products. tyler probably relies on the

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Tyler Young sells a diverse line of conveyor systems to small manufacturers. He has found that he is most successful when he uses the sales call to help the customer solve some problem using one of his products. Tyler probably relies on the problem-solving approach.

The problem-solving approach is a sales approach that emphasizes assisting customers in identifying and solving issues with the assistance of a good or service. A seller who uses this approach spends time discovering the customer's needs and then customizes a solution to meet those needs.

The problem-solving approach has a customer-first mentality, with the salesperson putting the customer's needs ahead of their own in order to develop a long-term partnership.

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in schedule rating, each building is individually rated on several factors. one factor refers to the quality of the city's water supply and fire department, and the risk control devices installed in the building. this factor is called

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In schedule rating, every building receives a unique rating based on a number of variables. One consideration is the caliber of the city's fire department and water supply, as well as the risk management tools provided inside the structure. This element is known as protection.

"Uncertainty of the occurrence of an event that might generate economic losses" is the definition of "risk" in the context of insurance. What sorts of risk are there? Additional types of risk include fundamental risk, specific risk, speculative risk, and pure risk.

Via an insurance policy, which the insurance provider accepts for the policyholder in return for a charge, or insurance premium, and which will pay for worker injuries and property damage, risk is most frequently transferred.

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king costume uses a periodic inventory system. the company started the month with 6 masks in its beginning inventory that cost $7 each. during the month, king costume purchased 55 additional masks for $9 each. at the end of the month, king counted its inventory and found that 3 masks remained unsold. using the lifo method, its cost of goods sold for the month is:\

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The cost of goods sold for the month using the LIFO method is $434.

In a periodic inventory system, the cost of products sold is determined at the end of a given period. During the period, the business owner does not record the cost of items sold but rather records the total sales revenue. Instead of keeping track of inventory levels throughout the period, inventory levels are only monitored at the end of the period.

To determine the cost of goods sold for the month using the LIFO method, the company will start with the last masks bought and work its way back to the beginning. As a result, 55 of the most recent masks purchased will be sold first. The remaining 1 of the starting inventory and 2 of the most recent inventory would be used to complete the sale.

Cost of 55 masks purchased at $9 each:

55 x $9 = $495

Cost of 1 mask from the beginning inventory:

1 x $7 = $7

Cost of 2 masks from the most recent inventory:

2 x $9 = $18

Total cost of goods sold:

$495 + $7 + $18 = $520

Cost of goods sold using the LIFO method:

$520 - $86 (3 masks at $9 each) = $434

Therefore, the cost of goods sold for the month using the LIFO method is $434.

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ceiling fan ltd is a monopolist. at its current production and sales levels, it has marginal revenue is $2.00 and marginal cost is $3.00. ceiling fan could maximize profits/ minimize losses by:

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Ceiling Fan Ltd should reduce its production and sales levels to increase its marginal revenue above its marginal cost and maximize its profits.

As a monopolist, Ceiling Fan Ltd has the power to set the price of its product. To maximize profits, it should produce at the level where its marginal revenue equals its marginal cost. In this case, the marginal cost is higher than the marginal revenue, which means that Ceiling Fan Ltd is not currently maximizing its profits.

To increase its profits, Ceiling Fan Ltd should reduce its production and sales levels. This will cause its marginal revenue to increase, as it will be able to charge a higher price due to the reduced supply. Eventually, its marginal revenue will equal its marginal cost at a lower production level, maximizing its profits.

This strategy may lead to a decrease in total revenue, but it will be offset by the decrease in total costs due to the reduced production. It is important to note that this strategy may not be sustainable in the long run, as competitors may enter the market and drive down prices.

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the main problem of fee-for-service is that doctors have an incentive to: question 1 options: a) overcharge the insurance company. b) limit medical procedures. c) decrease office hours. d) have patients return for unnecessary visits.

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The main problem of fee-for-service is that doctors have an incentive to have patients return for unnecessary visits (option d).

Fee-for-service is a healthcare model in which medical providers, such as physicians and hospitals, charge fees for each service they offer, such as an office visit, a test, or a medical procedure. The fee-for-service model incentivizes providers to administer more services because they are paid per service rather than a fixed amount for a patient's overall care.

This can result in over-treatment, such as prescribing unnecessary medications or conducting needless tests or procedures, which can be harmful to patients and increase healthcare costs. Additionally, this system can encourage doctors to have patients return for unnecessary visits, which can lead to a waste of time and resources while exposing patients to needless tests or procedures.

Therefore, the main problem of fee-for-service is that doctors d) have an incentive to have patients return for unnecessary visits.

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