When Marilyn Monroe died, ex-husband Joe DiMaggio vowed to place fresh flowers on her grave every Sunday as long as he lived. The week after she died in 1962, a bunch of fresh flowers that the former baseball player thought appropriate for the star cost about $6. Based on actuarial tables, "Joltin' Joe" could expect to live for 25 years after the actress died. Assume that the EAR is 11.4 percent. Also, assume that the price of the flowers will increase at 3.3 percent per year, when expressed as an EAR. Assuming that each year has exactly 52 weeks, what is the present value of this commitment? Joe began purchasing flowers the week after Marilyn died.

Answers

Answer 1

Answer: $3,338.56.

Explanation:

Given, EAR = 11.4 percent =0.114

Weekly interest rate=[tex]\dfrac{EAR}{\text{Number of weeks in a year}}=\dfrac{0.114}{52}=0.00219[/tex]

Growth rate of price of flowers = 3.3 % per year

Weekly growth rate=[tex]\dfrac{0.033}{52}=0.00063[/tex]

Star Cost (C)= $6

Time period (t)= 25 years

= 25 x 52 = 1300 weeks

Required formula for growing annuity :

[tex]PV=\dfrac{C}{r-g}[1-(\dfrac{1+g}{1+r})^t][/tex],

where C = Star cost

r = rate per period

g= growth rate

t = time period

[tex]PV=\dfrac{6}{0.00219-0.00063}[1-(\dfrac{1+0.00063}{1+0.00219})^{1300}]\\\\=\dfrac{6}{0.00156}[1-(0.998443408934)^{1300}]\\\\=(3846.15384615)[1-0.13197471131]\\\\=(3846.15384615)(0.86802528869)\approx\$3338.56[/tex]

Hence, the  present value of this commitment = $3,338.56.


Related Questions

Assume Highline Company has just paid an annual dividend of $ 1.03. Analysts are predicting an 10.5 % per year growth rate in earnings over the next five years. After​ then, Highline's earnings are expected to grow at the current industry average of 5.3 % per year. If​ Highline's equity cost of capital is 8.7 % per year and its dividend payout ratio remains​ constant, for what price does the​ dividend-discount model predict Highline stock should​ sell?

Answers

Answer:

The stock should sell for $40.04 today

Explanation:

The current price per share or the fair price can be calculated using the two stage growth model of DDM or Dividend Discount Model. The DDM values a stock based on the present value of the expected future dividends from the stock. The price today can be calculated as follows,

P0 = D1 / (1+r) + D2 / (1+r)^2 + ... + Dn / (1+r)^n  +  [Dn * (1+g2) / (r - g2)] / (1+r)^n

Where,

g1 is the initial growth rateg2 is the constant growth rateD1 is the dividend expected for the next period calculated as D0 * (1+g1)r is the required rate of return

P0 = 1.03 * (1+0.105) / (1+0.087)  +  1.03 * (1+0.105)^2 / (1+0.087)^2  +  ....  +  

1.03 * (1+0.105)^5 / (1+0.087)^5  +  

[(1.03 * (1+0.105)^5 * (1+0.053)) / (0.087 - 0.053)] / (1+0.087)^5

P0 = $40.04

See the attached photo for the calculation of present values (PV) of dividend for year 1 to 5 dividends.

From the attached photo, we have:

Previous year dividend in year 1 = Dividend just paid = $1.03

Total of PV of dividends from year 1 to year 5 = $4.8973404048370

Year 5 dividend = $1.53562911214375

Therefore, we have:

Year 6 dividend = Year 5 dividend * (100% + Constant dividend growth rate) = $1.53562911214375 * (100% + 5.3%) = $1.61701745508737

Price at year 5 = Year 6 dividend / (Cost of capital - Constant dividend growth rate) = $1.61701745508737 / (8.7% - 5.3%) = $47.5593369143344

PV of price at year 5 = Price at year 5 / (100% + Cost of capital)^Number of years = $47.5593369143344 / (100% + 8.7%)^5 = $31.3392118720597

Therefore, we have:

Current stock price = Total of PV of dividends from year 1 to year 5 + PV of price at year 5 = $4.8973404048370 + $31.3392118720597 = $36.24

Therefore, the price the dividend-discount model predicts Highline stock should sell is the Current stock price of $36.24.

Learn more here: https://brainly.com/question/14980006.

10. You recently sold 200 shares of Apple stock to your brother. The transfer was made through a broker, and the trade occurred on the NYSE. This is an example of:

Answers

Answer:

A secondary market transaction

Explanation:

Secondary market transaction: In this transaction, the transaction which is already issued to the public are sold by another investors.

In this type market, the investors buy and sell securities which are theirs . It is what most people typically think of as the "stock market," though stocks are also sold on the primary market when they are first issued.

So in the question, the transfer was made through a broker which implies it deals in the secondary market.

Primary market transaction: In this transaction, the company directly sells the new stocks, bonds, etc to the public for the first time.

Future market transaction: This is the transaction which occurs in the near future to buy some specific quantities at the future price.

_______ is a political strategy for managers to exercise power unobtrusively. Controlling uncertainty Being irreplaceable Generating resources Building alliances Relying on objective information

Answers

Answer:

Controlling uncertainty

Explanation:

calculate the net present value of a business deal that cost $2500 today and will return $1500 at the end of this year. use interest rate of 13%

Answers

Answer:

NPV= -$1,172.57

Explanation:

Giving the following information:

Initial investment= $2,500

Cash flow= $1,500

Discount rate= 13%

To calculate the net present value (NPV), we need to use the following formula:

NPV= -Io + ∑[Cf/(1+i)^n]

NPV= -2,500 + (1,500/1.13)

NPV= -1,172.57

Wolverine Company financial statements included the effects of these errors: Reported Net Income for Year 1 was $20,000. Reported Net Income for Year 2 was $18,000. Indicate the error in 12/31/2 Retained Earnings:

Answers

Answer:

Net income year 2 = $21,300

Explanation:

I looked for the missing information and found this:

Year            Depreciation overstated         Prepaid expense omitted

1                              $2,500                                $2,000

2                             $4,000                                $2,700

If your question doesn't include the same values, just adjust the answer.

Year 2's net income = net income (year 2) + overstated depreciation (year 2) + omitted prepaid expenses (year 1) - omitted prepaid expenses (year 2) = $18,000 + $4,000 + $2,000 - $2,700 = $21,300

Abburi Company's manufacturing overhead is 55% of its total conversion costs. If direct labor is $45,900 and if direct materials are $27,200, the manufacturing overhead is:

Answers

Answer:

Manufacturing Overheads = $56100

Explanation:

The conversion cost defined simply is the cost involved in turning the raw material or direct material into the finished products. Conversion cost is calculated by adding the direct labor cost and the manufacturing overhead cost.

Conversion cost = Direct labor + Manufacturing overheads

As we know that the manufacturing overhead is 55% of conversion cost, then the direct labor cost is 45% of conversion cost.

If 45% of conversion cost is $45900, then the total conversion cost will be,

Conversion cost = 45900 * 100/45   = $102000

Manufacturing Overheads = 102000 - 45900  = $56100

Answer the question on the basis o the amounts of all nonlabor resources are fixed.
No. of workers Units of output
0 0
1 40
2 90
3 126
4 150
5 165
6 180
Assume that Number of Us Out Diminishing marginal returns become evident with the addition of the:________,
A) sixth worker.
B) fourth worker.
C) third worker.
D) second worker

Answers

Answer:

B

Explanation:

Dinmishing marginal returns occurs when as more units of labour is added, marginal output declines.

marginal output is change in total output as more units of labour are employed.

Marginal output = total output 2 - total output 1

total output = number of workers x units of output

If a firm raises capital by selling new bonds, it could be called the "issuing firm," and the coupon rate is generally set equal to the required rate on bonds of equal risk.
1. True
2. False

Answers

Answer: True

Explanation:

An issuing firm is an organization which registers, and then sells security like bonds and stocks on the primary market.

It should be noted that when a firm raises capital through the sale of new bonds, they can be also referred to a the issuing firm, and the coupon rate is usually set to be equal to the required rate on bonds of equal risk.

The aggregate demand and aggregate supply model is a useful simplification of the macroeconomy used to explain short-run fluctuation in economic activity around its long-run trend.
a) The vertical axis of a diagram of the aggregate demand and aggregate supply curves measures which of the following?
A. An economy's price level.
B. The amount of a particular representative good produced in the economy.
C. The price of a particular representative good produced in the economy.
b) Which of the following are reasons that the short-run aggregate supply curve slopes upward?
A. As the price level rises, firms expand their production because they can sell their output for more money.
B. As the price level rises, firms find it more profitable to hire workers at any given wage.
C. As the price level rises, firms decrease their investment, because it is more expensive to purchase capital.

Answers

Answer:

The correct answers are:

a) A. An economy's price level.

b) A. As the price level rises, firms expand their production because they can sell their output for more money.

Explanation:

On the one hand, in this type of economic model, the aggregate supply and demand represent the economy's price and quantity level regarding the output of the country as a whole. Therefore that in the vertical axis of the diagram the curves measures the price level of the economy and in the horizontal axis the curves measure the output that the economy produces at that given price.

On the other hand, the slope of the aggregate supply is upward because of the same reason as it is in the supply curve, because of the law of the supply, that states that there is a direct relationship between the price of the good an its quantity offered. Thefore that when the price level rises the firms will produce more because they can sell their production at a higher price.

We want to send all of our high-value customers a special VIP gift. We are defining high-value customers as those who have made at least 1 order with a total value (not including the discount) equal to $10,000 or more. We only want to consider orders made in the year 2016. Who would we send the gift to? (Show customer ID, name, the order, and the total order amount.)

Answers

Answer:

Customer ID HANAR

Customer Name Hanari Carnes

Order ID 10981

Total Amount 15810.00

Explanation:

Companies focus on Customer retention policies for high valued customers. The companies do not want to upset their high valued clients and lose a great part of their sales from these customers. In this question all the high valued customers are sent gifts by the company who has shop for $10,000 or more from the company this year. From the given list we have sorted the high valued customers based on this criteria.

A bridge on a prominent public roadway in the city of Springfield, Ohio, was deteriorating and in need of repair. The city posted notices seeking proposals for an artistic bridge design and reconstruction. Bridges by Madison LLC, owned and managed by Madison Mason and his wife, May Mason, decided to submit a bid for a decorative concrete project that incorporated artistic metalwork. They contacted Pablo Hand, a local sculptor who specialized in large-scale metal designs, to help them design the bridge. The city selected their bridge design and awarded them the contract for a commission of $184,000. Bridges by Madison and Hand then entered into an agreement to work together on the bridge project. Bridges by Madison agreed to install and pay for concrete and structural work, and Hand agreed to install the metalwork at his expense. They agreed that overall profits would be split, with 25 percent to Hand and 75 percent going to Bridges by Madison. Hand designed numerous metal pig sculptures that were incorporated into colorful decorative concrete forms designed by May Mason, while Madison Mason performed the structural engineering. The group worked together successfully until the completion of the project. Suppose Hand had entered into an agreement to rent space in a warehouse that was close to the bridge so that he could work on his sculptures near the location at which they would eventually be installed. He entered into the contract without the knowledge or consent of Bridges by Madison. In this situation, would a court be likely to hold that Bridges by Madison was bound by the contract that Hand entered? Help please here is the multiple choices

Answers

Answer:

Bridges by Madison and Hand

Agreement by Hand for a Warehouse:

1. Yes - when they agreed to work together, this implied that they would agree to be liable for each other's contracts.

Explanation:

This is especially as far as this joint project is concerned.  Since the purpose of the warehouse was to further and fulfill the project, the agreement entered into by hand for a warehouse affects Bridges by Madison.

In a joint venture, every aspect of the project's lifetime is shared: shared profits, shared losses, shared rewards, shared risks, shared obligations and responsibilities, shared rights and privileges until the end of the project, which also ends the joint venture, unless there is a binding agreement to the contrary.  In such a case, Hand would not have been a joint-venturer but a sub-contractor.

Division A reported income from operations of $975,000 and total service department charges of $675,000. As a result, a.consolidated net income was $300,000 b.the gross profit margin was $300,000 c.income from operations before service department charges was $1,650,000 d.net income was $300,000

Answers

Answer:

c.income from operations before service department charges was $1,650,000

Explanation:

We can see from the information in the question, that income from operations and service department charges sum a total of $1,650,000

Gross income before service department charges = $975,000 + $675,000

                                                                                    = $1,650,000

Vaughn Manufacturing incurs the following costs to produce 10700 units of a subcomponent: Direct materials $8988 Direct labor 12091 Variable overhead 13482 Fixed overhead 16200 An outside supplier has offered to sell Vaughn the subcomponent for $2.85 a unit. If Vaughn accepts the offer, it could use the production capacity to produce another product that would generate additional income of $3600. The increase (decrease) in net income from accepting the offer would be

Answers

Answer:

Buying the subcomponent will increase income by $7,666.

Explanation:

Giving the following information:

Units= 10,700

Production costs:

Direct materials $8,988

Direct labor $12,091

Variable overhead $13,482

An outside supplier has offered to sell Vaughn the subcomponent for $2.85 a unit.

Additional income=  $3,600

To calculate which one is better, we need to determine the total cost of both options. We will not take into account the fixed costs.

Production:

Total cost= 8,988 + 12,091 + 13,482= $34,561

Buy:

Total cost= 10,700*2.85 - 3,600= $26,895

Buying the subcomponent will increase income by $7,666.

Katie Simpson: Do you have time to meet this afternoon? Carl Mendoza: Sure. What’s up? Katie Simpson: We need to finalize the Bakersfield offer. 2:00? Carl Mendoza: 2:00 is perfect. I’ll come by your office then. Katie Simpson: Great. Thanks! Does the preceding IM transcript apply professional best practices? Yes No

Answers

Answer:

Yes

Explanation:

Based on the given details of the conversation that transpired between Katie Simpson and Carl Mendoza we can vividly say that  the preceding IM transcript apply professional best practices reason been that Katie Simpson who is the caller went straight to point  to the main reason why she called the receiver which is Carl Mendoza, And during the course of the preceding TRANSCRIPT the proper use of grammers and words , spelling, full stop, exclamation mark and question mark were on point and  accurate.

As the manager of Margarita Mexican​ Restaurant, you must deal with a variety of business transactions. Provide an explanation for the following​ transactions:
A. Debit Equipment and credit Cash.
B. Debit Dividends and credit Cash.
C. Debit Wages Payable and credit Cash.
D. Debit Equipment and credit Common Stock.
E. Debit Cash and credit Unearned Revenue.
F. Debit Advertising Expense and credit Cash.
G. Debit Cash and credit Service Revenue.

Answers

Answer:

A. Debit Equipment and credit Cash.

You purchase equipment and you pay in cash.

B. Debit Dividends and credit Cash.

You paid cash dividends.

C. Debit Wages Payable and credit Cash.

You paid wages that you owed to your employees. Generally wages are paid at the end of the week and not all months end on a weekend. So you must record wages payable until you actually pay the wages.

D. Debit Equipment and credit Common Stock.

You received equipment in exchange for common stock.

E. Debit Cash and credit Unearned Revenue.

You received cash in advance for some food that you will deliver in the future.

F. Debit Advertising Expense and credit Cash.

You incurred in advertising costs and you paid them in cash.

G. Debit Cash and credit Service Revenue.

You sold meals and your clients paid you in cash.

Jasper makes a $25,000, 90-day, 7% cash loan to Clayborn Co. Jasper's entry to record the collection of the note and interest at maturity should be: (Use 360 days a year.)

Answers

Answer: B) Debit Cash $25,437.50, credit Interest Revenue $437.50; credit Notes Receivable $25,000.

Explanation:

The interest revenue for the period of 90 days will be;

= 25,000 * 7% * [tex]\frac{90}{360}[/tex]

= $437.50

Total to be received

= 25,000 + 437.50

= $25,437.50

The entry to record will therefore be;

DR Cash $25,437.50

CR Interest Revenue $437.50

CR Notes Receivable $25,000

An aging of a company's accounts receivable indicates that the estimate of uncollectible accounts totals $6,400. If Allowance for Doubtful Accounts has a $1,300 debit balance, the adjustment to record the bad debt expense for the period will require a

Answers

Answer:

Debit to Bad Debt Expense for $7,700

Explanation:

Based on the information given we were told that company's accounts receivable shows the estimate of uncollectible accounts totals of the amount of $6,400 while the Allowance for Doubtful Accounts has the amount of $1,300 as the debit balance. This means that the adjustment to record the bad debt expense for the period will require a

Debit to Bad Debt Expense for $7,700 Calculate as:

Dr Bad Debts 7700

(6300+1300)

Cr To Allowance for Doubtful Accounts 7700

Wanda contracted to sell Mike 100 boxes of ball bearings.The contract did not specify a place of delivery.The ball bearings now reside at Wanda's place of business.Wanda refuses to ship the 100 boxes to Mike,and Mike refuses to come to Wanda's place of business to pick them up.Who is right? Why?

Answers

Answer:

Wanda is right since the contract did not specify a place of delivery

Explanation:

Wanda is right, since the contract did not specify the place of delivery or whether Wanda is expected to deliver the bearing to Mikes place.

If it is in Wanda terms of business that normally boxes above 100 when purchased, delivery is free and he defaults, then he is wrong, but in this case it was not specified who will bear the cost of shipping, and it is not in Wanda terms of business that delivery is free, so Wanda is right in my own opinion.

Find an example of a company's aggregate planning strategy. You can use the strategy from the firm where you currently work or where you have worked in the past; you can conduct an Internet search or use the Hunt Library resources.

Answers

Explanation:

An aggregate planning strategy can be defined as the implementation of new strategic action plans used in a company whose objective is to balance supply and demand through the implementation of material resources, sales, promotions, products, etc.

This planning occurs in the short term, and is usually carried out when a company has the capacity to meet a certain market offer, such as consumer demand for an innovative product.

Aggregated planning is a good strategy when the company considers maximizing its profits, so in order to achieve the expected result, market demand must be thoroughly analyzed, the company's operational capacity, risks, budget and other essential variables.

A soft drink factory for example can carry out a promotional campaign in the style buy 1 light 2 to increase its demand, therefore you must be aware that your productive force will be able to meet the demand, in addition to analyzing the strategic results in order to ascertain the effectiveness planning.

Green Moose Industries is a company that produces iBooks, among several other products. Suppose that Green Moose Industries considers replacing its old machine used to make iBooks with a more efficient one, which would cost $1,800 and require $250 annually in operating costs except depreciation. After-tax salvage value of the old machine is $600, while its annual operating costs except depreciation are $1,100. Assume that, regardless of the age of the equipment, Green Moose Industries’s sales revenues are fixed at $3,500 and depreciation on the old machine is $600. Assume also that the tax rate is 40% and the project’s risk-adjusted cost of capital, r, is the same as weighted average cost of capital (WACC) and equals 10%.

Based on the data, net cash flows (NCFs) before replacement are___________ and they are constant over four years.

Answers

Answer:

Based on the data, net cash flows (NCFs) before replacement are $1,680 and they are constant over four years.

Explanation:

annual operating costs before replacement = $1,100

sales revenue = $3,500

depreciation of old machine = $600

tax rate = 40%

net cash flow = [(revenues - current cost - depreciation) x (1 - tax rate)] + depreciation = [($3,500 - $1,100 - $600) x (1 - 40%)] + $600 = $1,680 per year

Identity which of the following are project resources that can be managed: (choose all that apply)
buildings the company owns
cash from the company
team member skills
problems the team encounters
the finished product

Answers

Answer: 1,2,3

Explanation:

According to the project resources that can be managed are buildings the company owns, cash from the company, and team member skills.

Project resources are components required for the proper completion of a project.

They include people, equipment, money, time, and knowledge - in short, whatever you would need from project planning through project delivery.

These are divided into three categories: work, materials, and expenses.

The project manager defines resource needs to determine the resources required to complete the project's task.

Therefore, the correct option is as follows:

Buildings the company ownsCash from the companyTeam member skills

To know more about the project resources, visit:

https://brainly.com/question/13783563

#SPJ2

James is an agreeable and emotionally stable person. A _______ , he inspires his employees to believe in the changes he wants to make to the organization.
a) transformational leader
b) transactional leader

Answers

Answer:

transformational leader

The Apple stock’s price is $112.92 on 8/1/15 and becomes $110.30 on 9/1/15. In August, Apple gives a dividend of $0.52 per share. What is the holding period monthly return for Apple in August?

Answers

Answer:

The holding period monthly return for Apple in August is -2.00%.

Explanation:

Holding period return (HPR) refers to total return that is received by an investor when he holds an asset or portfolio of assets over a period of time.

The holding period return is generally expressed as a percentage can be estimated using the following formula:

HPR = [Income + (P1 - Po)] / Po ....................... (1)

Where;

Income = Dividend = $0.52

P1 = End-of-period value = $110.30

Po = Initial value = $112.92

Substituting the values into equation (1), we have:

HPR = [$0.52 + ($110.30 - $112.92)] / $112.92

HPR = [$0.52 - $2.62] / $112.92

HPR = -$2.10 / $112.92

HPR = -0.02, or -2.00%

Therefore, the holding period monthly return for Apple in August is -2.00%.

Wolford Department Store is located in midtown Metropolis. During the past several years, net income has been declining because suburban shopping centers have been attracting business away from city areas. At the end of the company’s fiscal year on November 30, 2017, these accounts appeared in its adjusted trial balance.

Accounts Payable $34,304
Accounts Receivable 22,016
Accumulated Depreciation's Equipment 87,040
Cash 10,240
Common Stock 44,800
Cost of Goods Sold 786,304
Freight-Out 7,936
Equipment 200,960
Depreciation Expense 17,280
Dividends 15,360
Gain on Disposal of Plant Assets 2,560
Income Tax Expense 12,800
Insurance Expense 11,520
Interest Expense 6,400
Inventoryv 33,536
Notes Payable 55,680
Prepaid Insurance 7,680
Advertising Expense 42,880
Rent Expense 43,520
Retained Earnings 18,176
Salaries and Wages Expense 149,760
Sales Revenue 1,157,120
Salaries and Wages Payable 7,680
Sales Returns and Allowances 25,600
Utilities Expense 13,568

Additional data: Notes payable are due in 2021.

Required:
Prepare a multiple-step income statement. (List other revenues before other expenses.)

Answers

Answer:

                                 Wolford Department Store

                                        Income Statement

                          For the year ended November 30. 2017

Sales Revenue

Total sales                                                                       $1,157,120

Less Sales return                                                            $25,600

Net Sales Revenue                                                        $1,131,520  

Less : Cost of goods sold                                               $786,304

Gross  Profit                                                                    $345,216

Operating Expenses

Selling Expenses

Freight out                                      $7,936

Advertising expenses                   $42,880

Administrative expenses

Depreciation Expenses                 $17,280

Salaries and wages Expenses      $149,760

Rent Expenses                                $43,520

Utilities Expenses                            $13,568

Insurance Expenses                        $11,520

Total Operating Expenses                                               $286,464

                                                                                           $58,752

Other Income and Expenses

Gain on disposal of equipment        $2,560

Less: Interest Expenses                    $11,520

Net Other Income and Expenses                                      -$8,960

Less: Income Tax Expenses                                               $12,800

Net Income                                                                          $36,992

Rediger Inc., a manufacturing Corporation, has provided the following data for the month of June. The balance in the Work in Process inventory account was $40,000 at the beginning of the month and $26,000 at the end of the month. During the month, the Corporation incurred direct materials cost of $58,600 and direct labor cost of $33,400. The actual manufacturing overhead cost incurred was $54,800. The manufacturing overhead cost applied to Work in Process was $54,600. The cost of goods manufactured for June was:

Answers

Answer:

$160,600

Explanation:

The computation of the cost of goods manufactured is shown below:

= Direct material cost + direct labor cost + manufacturing cost applied + beginning work in process - ending work in process

= $58,600 + $33,400 + $54,600 + $40,000 - $26,000

= $160,600

Hence, the cost of goods manufactured for June is $160,600

The valuation of marketable securities on the balance sheet requires the securities on the balance sheet requires the separation of investment securities into three categories: held to maturity: trading securities and securities available for sale trading and securities available for sale.
a. True
b. False

Answers

Answer: True

Explanation:

The valuation of marketable securities on the balance sheet requires the securities on the balance sheet requires the separation of investment securities into three categories.

The categories are held to maturity which are the securities that are bought and then kept until they mature; the trading securities and then the securities that are available for sale.

At the beginning of the current fiscal year, the balance sheet of Hughey Inc. showed stockholders' equity of $523,000. During the year, liabilities increased by $28,000 to $232,000; paid-in capital increased by $37,000 to $174,000; and assets increased by $259,000. Dividends declared and paid during the year were $46,000.
Required:
Calculate net income or loss for the year.
Stockholders’ Equity
Assets = Liabilities + PIC + RE
Beginning = + + $260,000 SE
Changes 130,000 = 11,000 + 20,000 +
Ending = $116,000 + $90,000 +

Answers

Answer:

net income = $240,000

Explanation:

beginning stockholders' equity $523,000

beginning liabilities $204,000, ending liabilities $232,000 ($28,000 increase)

beginning paid in capital $137,000, ending $174,000 ($37,000 increase)

assets increased by $259,000

dividends $46,000

assets = liabilities + equity

beginning assets = $204,000 + $523,000 = $727,000

ending assets = $727,000 + $259,000 = $986,000

ending equity = ending assets - ending liabilities = $986,000 - $232,000 =  $754,000

beginning equity = beginning paid in capital + retained earnings

beginning retained earnings = $523,000 - $137,000 = $386,000

ending equity = ending paid in capital + retained earnings

ending retained earnings = $754,000 - $174,000 = $580,000

ending retained earnings = beginning retained earnings + net income - dividends

$580,000 = $386,000 + net income - $46,000

net income = $580,000 + $46,000 - $386,000 = $240,000

The economic prosperity enjoyed by _____ during the 1980s and 1990s strained the world trading system and created the demand for increased protectionist measures.

Answers

Answer: Japan

Explanation:

The economic prosperity enjoyed by Japan during the 1980s and 1990s strained the world trading system and created the demand for increased protectionist measures.

This was due to the fact that the trade that took place between the United States and Japan between these years brought about some deficits in trade for United States while bringing prosperity for Japan and this led to some trade restrictions.

In terms of the global value system, when Kodak shifted manufacturing to China, what position did China then take in the system, relative to the U.S.

Answers

Answer: b. Upstream

Explanation:

The Upstream part of a company's value chain is the part closest to the suppliers and the raw materials they supply to the firm while the downstream relates to how the goods are distributed and sold after produced.

As such, the firm's manufacturing plants are closer to its Upstream value chain portion. When Kodak therefore shifted manufacturing to China, it made China more upstream than the United States as China now dealt more with Kodak suppliers and inputs than the US, who were now more downstream as the consumers.

Suppose the real rate is 2.1 percent and the inflation rate is 3.4 percent. What rate would you expect to see on a Treasury bill? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

Answers

Answer:

5.57%

Explanation:

The real rate is 2.1 percent

The inflation rate is 3.4 percent

To find the rate which is to be expected on a treasury bill we have to apply the fishers equation

1+R= (1+r)(1+h)

Therefore, the rate on the treasury bill can be calculated as follows

1+R= (1+r)(1+h)

r= 2.1%

= 2.1/100

= 0.021

h= 3.4%

= 3.4/100

= 0.034

R= (1+r)(1+h)-1

= (1+0.021)(1+0.034)-1

= (1.021×1.034)-1

= 1.0557-1

= 0.0557×100

= 5.57%

Hence the rate expected on the treasury bill is 5.57%

Other Questions
The risk-free interest rate is 3.7% per year, the market risk premium is 5.6% per year, and a stocks beta is 0.84. What is the stocks annual expected return? Question 16 options: A) 9.8% B) 8.4% C) 9.1% D) 9.5% E) 8.7% HELPPPP FIRST GET BRAINLLEST Measure the difference between the lower quartile of Data Set A and the lower quartile of Data Set B. Round to the nearest tenth when performing all operations. A pyramid has a square base with sides 8" and a slant height of 5". Total Area = 144 square units 200 square units 224 square units On a 100km track , a train travels the first 30km with a speed of 30km/h . How fast the train travel the next 70 km if the average speed for the entire journey is 40km/h? Please answer this question now Mai invests $20,000 at age 20. She hopes the investment will be worth $500,000 when she turns 40. If the interest compounds continuously, approximately what rate of growth will she need to achieve her goal? Round to the nearest tenth of a percent. 1. A las siete de la maana yo(estar + levantarse).2. Yo(estar+ or) msica.3. Eva y ngela(estar + trabajar) en un campamento.4. Mis primos(estar + acampar) en la sierra.5. Jess(estar + nadar) en el lago.6. Pablo_(estar + comer) pizza con sus amigos.7.Abriendo(estar + abrir) la puerta para entrar al saln de clases.I8. Lupe y yoleemos(estar + leer) el peridico.9. Consuelo(estar + gritar) al ver una serpiente.10. Vosotros(estar + comprender) la gramtica. A population consists of 8 items. The number of different simple random samples of size 3 that can be selected from this population is Read the passage from the opinion of the court in Brown v. Board of Education, written by Justice Warren. Which statement best describes the passage (c) An object of mass 100 kg is accelerated uniformly from a velocity of 15m/s to 20 m/s in 10 s.Calculate the initial and final momentum of the object.Also, find the magnitude of the force exerted on the object. An article reports that when each football helmet in a random sample of 34 suspension-type helmets was subjected to a certain impact test, 24 showed damage. Let p denote the proportion of all helmets of this type that would show damage tested in the prescribed manner.Required:a. Calculate a 99% Cl for p. b. What sample size would be required for the width of a 99% Cl to beat most .10, irrespective of p ? What effect will replacing x with (x+7) have on the graph of the equation y=x^2? A. slides the graph 7 units down B. slides the graph 7 units right C. shrinks the graph by a factor of 7 D. Slides the graph 7 units left Please answer this in two minutes the outside world has been walled off. American pop music is illegal here and you can get executed for watching soap operas. This is not a make-believe world in a science fiction novel. It's a 46,000 square mile nation hanging off the east coast of China. It is one of the poorest nations in the world and it is armed with nuclear weapons. It is North Korea. Immediately to the south lies a nation with one of the world's richest economies. About one-third of all phones and TVs are made here. The people of this nation are among the world's most educated. Unemployment is low, job security is high, and workers in this nation enjoy the highest salaries in Asia. It is South Korea. The people of this nation share origins with their northern neighbor, but they have since grown far apart. The Democratic People's Republic of Korea (known to Westerners as North Korea) was founded in 1945 after World War II. Their neighbor at the end of the Korean Peninsula, South Korea or the Republic of Korea, was established at the same time. These two nations have an unusual history. For one thing, they have technically been at war since 1950. Though they were born at the same time, these two countries had different parents. The United States supported South Korea in its infancy. China and the Soviet Union supported North Korea. The U.S. and the Soviet Union may have ended World War II as allies, but they had different ways of organizing their societies. The U.S. is a capitalist country. That means that some people are rich and some people are poor. Resources are distributed unevenly. Business are owned by private entities. The Soviet Union claimed to have a communist system. That means that everybody supposedly gets the same. Resources are distributed more evenly. Business are owned in "common" by the government. These two superpower nations raised North and South Korea in their own images. The two Koreas went to war in 1950. The North attacked and took over much of South Korea. But the United States jumped in and pushed the North Koreans back to the Chinese border. Then China got involved and pushed the Americans and South Koreans back. The nations agreed to a ceasefire. Millions of people were dead and the living returned to their original boundaries. The war never officially ended, though combat has ceased for the most part. After the war, South Korea was one of the poorest nations in the world. In 1960 the average citizen made $79 a year. The country did not have a lot of natural resources to sell, but they did have many hardworking people. During the 1960s, the country began manufacturing labor-intensive products. Selling these products to people in other nations made South Korea rich. They now have one of the largest and most thriving economies in the world. As of 2012, the average South Korean citizen makes around $32,020 a year. The economy of North Korea is dramatically different. Since it's birth in the 1940s, North Korea has been one of the most secluded countries in the world. They promote an idea of self-reliance that they call Juche. Under this idea, they do little to no trading with other nations. Up until the 1980s, they received large cash infusi what is the value of x if e^3+6=8 A city counsel has a square lot to place a playground. They plan to place a diagonal of trees to create two distinct play areas. To determine if there is enough money in the budget, they needs to know the distance. If the length of each side of the lot is 45 m, how long is the diagonal? At what frequency f, in hertz, would you have to move the comb up and down to produce red light, of wavelength 600 nm In how many ways can you put seven marbles in different colors into four jars? Note that the jars may be empty. Use the adjective econmico: Viajar en carro es_____________.Viajar en tren es ________________ que viajar en carro. Viajar en bus es ____________________. if the current in the circuit decreases, what does that mean about the rate at which the charge(and voltage) change in a capacitor? 2. the exponent of the exponential function contains RC for the given circuit. who's is a constant. use units R and C to find units of RC. write ohms in terms of volts and amps and write farads in terms of volts and coulombs. Simplify units of RC are__________