Which of the following matters would an auditor most likely communicate to those charged with governance?
a. The effects of significant accounting policies adopted by management in emerging areas for which there is no authoritative guidance.
b. Difficulties encountered in achieving a satisfactory response rate from the entity's customers in confirming accounts receivables.
c. A list of negative trends that may lead to working capital deficiencies and adverse financial ratios.
d. The level of responsibility assumed by management for the preparation of the financial statements.

Answers

Answer 1

Answer:

C. The effects of significant accounting policies adopted by management in emerging areas for which no authoritative guidance exists.

Explanation:

Financial auditors are ones that are involved in reviewing of financial statements as well documents or data of a company or organization. Information is gathered from financial reporting systems, balance sheet and other data's of the company. It should be noted that an auditor would most likely communicate the effects of significant accounting policies adopted by management in emerging areas for which no authoritative guidance exists

to those charged with governance


Related Questions

If production in the economy is efficient, then changes in market prices:___________

Answers

Answer: d.Move us along the perimeter of the PPC

Explanation:

The Production Possibilities Curve (PPC) is used to demonstrate the concept of scarcity and trade-offs by showing different combinations of output of two goods give certain resources.

As the goods use the same resources, increasing the output of one good reduces the output of the other. The PPC therefore shows the optimal level of resource utilization. If production is efficient, it will follow this optimal level by moving along the perimeter of the PPC.

The BEST way to __________________ a customer is right then and there at that moment!

Answers

Answer:

serve

Explanation:

hope that helps

(-)

The following labor standards have been established for a particular product:

Standard labor-hours per unit of output 8.1 hours
Standard labor rate $14.40 per hour

The following data pertain to operations concerning the product for the last month:

Actual hours worked 8,700 hours
Actual total labor cost $129,195
Actual output 1,000 units

What is the labor rate variance for the month?

a. $3,915 U
b. $450 U
c. $3,915 F
d. $450 F

Answers

Answer:

Direct labor rate variance= $3,915 unfavorable

Explanation:

Giving the following information:

Standard labor rate $14.40 per hour

Actual hours worked 8,700 hours

Actual total labor cost $129,195

To calculate the direct labor rate variance, we need to use the following formula:

Direct labor rate variance= (Standard Rate - Actual Rate)*Actual Quantity

Actual rate= 129,195/8,700= 14.85

Direct labor rate variance= (14.4 - 14.85)*8,700

Direct labor rate variance= $3,915 unfavorable

Identify at least two ways in which the Apple corporate income statement differs from a partnership income statement.

Answers

Answer:

1. Salary attributable to a Partner

2. Interest on Capital

3. Share of Residual Profit

Explanation:

The Financial Statements for all businesses are prepared much in the same way in most respects. It is only after calculation of the Profit for the Year that a change may take place.

The Partnership should show a share of profit in a special account known as the Appropriation Account. Here the heading will be Salary attributable to a Partner, Interest on Capital and Share of residual Profit

The above items are only seem in the partnership income statement and not in a corporate income statement.

Suppose Sally borrows $1,000 from Harry for one year and agrees to pay a nominal interest rate of 10%. When she borrows the money, both she and Harry expect an inflation rate of 5%.
The expected real interest rate on the loan is _______ %.Suppose that when Sally pays back the loan after one year, the actual inflation rate turns out to be 2%. The actual real interest rate on the loan is ________ %.a. If the inflation rate turned out to be higher than expected, then:_________. b. But if inflation turned out to be lower than expected, then:________.

Answers

Answer:

The expected real interest rate on the loan is 5%.Suppose that when Sally pays back the loan after one year, the actual inflation rate turns out to be 2%. The actual real interest rate on the loan is 8%.

a. If the inflation rate turned out to be higher than expected, then: the real interest rate would be lower than expected.

b. But if inflation turned out to be lower than expected, then: the real interest rate would be higher than expected.

Explanation:

Expected real interest rate = nominal interest rate - expected inflation = 10% - 5% = 5%

Actual interest rate = nominal interest rate - actual inflation rate = 10% - 2% = 8%

Yield rate to maturity for zero coupon bonds are currently quoted at 8.5% for one-year maturity, 9.5% for two-year maturity, and 10.5% for three-year maturity. Let i be the one-year forward rate, deferred one year, implied by current yields of these bonds.Calculate i.

Answers

Answer: 10.5%

Explanation:

As i is the one-year forward rate, it can be calculated thus:

= (1 + Two-year maturity rate)² / ( 1 + one-year maturity rate) - 1

= (1 + 9.5)²/ (1 + 8.5%) - 1

= 10.5%

At the end of business on September 1, the total displayed on the cash register tape shows $1,059 of cash sales for the day. However, when the clerk and the supervisor count the cash in the register, the count reveals that $1,050 was actually collected from customers.
Complete the following journal entry by selecting the account names and dollar amounts from the drop-down menus.
Date Account Title Debit Credit
Sept. 1 select select select
select select select
select select: select

Answers

Answer:

Debit Cash for $1,050; Debit Cash over and short for $9; and Credit Sales for $1,059.

Explanation:

The journal entries will look as follows:

Date            Account Title                         Debit ($)             Credit ($)  

Sept 1          Cash                                           1,050

                   Cash over and short (w.1)               9

                   Sales                                                                      1,059

                   To record cash over and short for the day.                            

Working:

w.1:    Cash over and short = Cash recorded - Actual cash collected  = $1,059 - $1,050 = $9

After a significant economic recession, prices and investing activity in the stock market began trending consistently upward six years ago. In the last three months, this trend has reversed and prices have fallen steadily. How are the past three months of the stock market classified? a. Primary bear market b. Secular bull market c. Primary bull market d. Secular bear market

Answers

Answer: Primary bear market

Explanation:

A primary bear market is when the stock market has a downward movement of decline in price. Such decline in price usually takes place for about two months and above.

Also for a primary bear market, the price decrease is about twenty percent or more. This is typically caused by several economic ills like recession.

enabling bank feeds in quickbooks online accountant

Answers

what is the question?

Suppose you make $200,000 per year before the 3% raise. Rather than spend more money, you take your additional salary and buy $6,000 of Microsoft stock. Suppose the stock increases in value, and you can sell it next year for $6,600. Therefore, you have a $600 capital gain, or a 10% return on your investment. Suppose the tax rate on capital gains is 50%. After taxes, your capital gain is_______.
Given the scenario from Part 1, which of the following inflation costs have you experienced?
a. shoe-leather costs.
b. tax distortions.
c. wealth redistribution .
d. money illusion.

Answers

1. After the 50% taxes on your capital gain, your capital gain reduces to $300.

2. The inflation cost that you have experienced by paying a capital gain tax is c. wealth redistribution.

Wealth redistribution can occur when a part of a taxpayer's earnings is paid in taxes.  The inflation costs witnessed in the scenario are not shoe-leather costs, tax distortions, or money illusion.

Data and Calculations:

Earnings per year = $200,000

Increase in earnings = 3%

Investment in Microsoft stock = $6,000

Proceeds from sale of investment = $6,600

Short-term capital gains = $600 ($6,600 - $6,000)

Assumed tax rate on the capital gains = 50%

Capital gain after taxes =$300 ($600 x (1 - 50%)

Thus, your net capital gain (after the deduction of capital gains tax of 50%) is $300.

Learn more: https://brainly.com/question/5719457

Which of the following would be considered a capital expenditure?
A. Paying interest on a construction bond from previous periods
B. Paying city inspection fees for new equipment
C. Making lease payments on assets used during construction
E. Making a mortgage payment for a new building

Answers

Answer:

B. Paying city inspection fees for new equipment

Explanation:

Capital expenditure is an expense incurred by the business to maintain its fixed assets with an objective to increase its efficiency. Any additions and improvements in fixed assets is an capital expenditure.

City inspection is required to evaluate the working condition of the asset and any fees paid for it, is a capital expenditure.

Interest payment on construction bonds, lease rental payments of assets and mortgage interest on asset is a liability payable in intervals and all they are operating expense and not considered to be capital expenditure.

In 2020, Monty Corporation had net cash provided by operating activities of $486,000, net cash used by investing activities of $976,000, and net cash provided by financing activities of $627,000. At January 1, 2020, the cash balance was $348,000. Compute December 31, 2020, cash. Cash, December 31, 2020

Answers

Answer:

Monty Corporation

Computation of Cash at December 31, 2020:

$485,000.

Explanation:

a) Data and Calculations:

Net cash provided by operating activities = $486,000

Net cash used by investing activities =         (976,000)

Net cash provided by financing activities = $627,000

Net cash inflow =                                           $ 137,000

January 1, 2020 Cash balance                       348,000

December 31, 2020 Cash balance              $485,000

b) The above implies that Monty made more (cash inflow) cash of $137,000 between January 1, 2020 and December 31, 2020.  This is added to the January 1, 2020 cash balance to arrive at the December 31, 2020 cash balance.

Suppose the U.S. yield curve is flat at 4% and the euro yield curve is flat at 3%. The current exchange rate is $1.50 per euro. What will be the swap rate on an agreement to exchange currency over a 3-year period

Answers

Answer:

$4.24287 million per year

Explanation:

Missing question:  The swap will call for the exchange of 1 million euros for a given number of dollars in each year.

For structured three separate forward contracts of the exchange of currencies, the forward price could be found as follows

Forward exchange rate * $1 million error = Dollar to be received

Year 1 = 1.50*(1.04/1.03) * 1 million euros

Year 1 =  1.514563106796117 * 1 million euros

Year 1 =    $1.5145 million

Year 2 = 1.50*(1.04/1.03)^2 * 1 million euros

Year 2 = 1.529267602978604 * 1 million euros

Year 2 = $1.5293 million

Year 3 = 1.50*(1.04/1.03)^3 * 1 million euros

Year 3 = $1.5441 million

The number of dollars each year is determined by computing the present value:

= 1.5145 / 1.04 + 1.5293 /(1.04)^2 +1.5441 / (1.04)^3

= 1.45625 + 1.41392 + 1.3727

= $4.24287 million per year

A change in location with respect to a reference point is ___
PLEASE HELP!!!

Answers

Answer:

Motion.

Explanation:

Motion can be defined as a change in location with respect to a reference point.

This ultimately implies that, motion would occur as a result of a change in location (position) of an object with respect to a reference point or frame of reference i.e where it was standing before the effect of an external force.

Mathematically, the motion of an object is described in terms of acceleration, time, distance, speed, velocity, displacement etc.

If bonds are issued at a premium, the stated interest rate is a.higher than the market rate of interest b.too low to attract investors c.lower than the market rate of interest d.adjusted to a higher rate of interest

Answers

Answer:

a.higher than the market rate of interest

Explanation:

If bonds are issued at a premium, the stated interest rate is higher than the market rate of interest.

- If the company issues the binds at a premium, it means that the company is getting more money than the face value of the bond.

- This happens because the demand for the bind is high in the market.

- The demand is high because the company offers higher interest rate as compared to market interest rate.

- If the bonds are issued at a discount, then the stated interest rate is lower than the market interest rate.

Meng Co. maintains a $300 petty cash fund. On January 31, the fund is replenished. The accumulated receipts on that date represent $80 for office supplies, $160 for merchandise inventory, and $20 for miscellaneous expenses. There is a cash shortage of $8. Based on this information, the amount of cash in the fund before the replenishment is:

Answers

Answer:

$48

Explanation:

Calculation for the amount of cash in the fund before the replenishment

First step is to calculate the cash balance

Cash balance=$300-($80+160+$20)

Cash balance=$300-$260

Cash balance=$40

Now let calculate amount of cash in the fund before the replenishment

Cash before replenishment=$40+$8

Cash before replenishment=$48

Therefore the amount of cash in the fund before the replenishment is: $48

When cities pass laws limiting the rent landlords can charge on apartments, the laws usually apply to existing buildings and exempt any buildings not yet built. Advocates of rent control argue that this exemption ensures that rent control does not discourage the construction of new housing. Evaluate this argument in light of the time-inconsistency problem.

Answers

Answer:

This situation represents an example of the time-inconsistency problem because the policymakers are likely to change their minds in the future, and either impose rent control to new housing as well, or to abolish all rent control laws.

In the first situation, the policymakers would be swayed by those arguing against the policy exception for new housing, while in the latter, the policymakers would simply find out that the policy is ineffective.

H has a group major medical coverage through his employer. H's premiums paid are:______

Answers

Answer:

H has a group major medical coverage through his employer. H's premiums paid are:______

non-taxable.

Explanation:

The premiums paid by H's employer on behalf of H are non-taxable employee benefits.  They are also not taxable to H's employer as long as the amount is considered a reasonable business expense. According to the IRS, health insurance plans are not subject to Social Security, Medicare, and FUTA taxes, or federal income tax withholding.

Indicate whether each of the following actions represents foreign direct investment or foreign portfolio investment. Foreign Direct Investment Foreign Portfolio Investment Buying a corporate bond in a foreign country Opening up a factory in a foreign country Which of the following is more likely to engage in foreign direct investment?A. A corporation B. An individual investor

Answers

Answer: See explanation

Explanation:

A foreign direct investment is simply referred to as an investment that is made by an economic entity in one country into a particular business that is been situated in another country.

A foreign portfolio investment has to do with the holding of financial assets like bonds, stocks, and cash equivalents in another country.

Based on the.abive explanation,

Buying a corporate bond in a foreign country - This is a foreign portfolio investment

Opening up a factory in a foreign country - This is a foreign direct investment.

It should also be noted that a corporation is more likely to engage in foreign direct investment while the individual can engage in the foreign portfolio investment.

Jubilee's Bakery is budgeting cash for 2017. The cash balance at December 31, 2016, was $6,000. Jubilee's Bakery budgets 2017 cash receipts at $81,000. Estimated cash payments include $44,000 for inventory, $34,000 for operating expenses, and $15,000 to expand the store. Jubilee's Bakery needs a minimum cash balance of $13,000 at all times. Jubilee's Bakery expects to earn net income of $76,000 during 2017. What is the final result of the company's cash budget for 2017?
A. Must arrange new financing for $19,000
B. There is $19,000 available for additional investments.
C. Pay off $38,000 of debt.
D. There is $38,000 available for additional investments.

Answers

Answer: B. There is $19,000 available for additional investments.

Explanation:

Cash Receipts both Estimated and available

= Beginning balance + budget receipts

= 6,000 + 81,000

= $87,000

Cash payments

= 44,000 + 34,000 + 15,000

= $93,000

Additional financing required = Cash receipts - Cash payment - minimum cash balance

= 87,000 - 93,000 - 13,000

= -$19,000

Which statement below is true about the $75 Peter and his wife occasionally spend for two meals and drinks at a Korean barbecue restaurant since Peter was promoted, if the income elasticity for the expense is 2?

a. It is a substitute.
b. It is a luxury good.
c. It is a complement.
d. It is an inferior good.

Answers

Answer:

b. It is a luxury good.

Explanation:

Income Elasticity = 2

The Income Elasticity > 1. So, it is luxury goods. In economics, income elasticity for luxury goods is greater than 1 (i.e. Income Elasticity > 1). So option b is correct.

Which of the following is not an attribute of a Limited Partnership?

The limited partner is authorized to make business decisions on behalf of the general partners.
Limited partnerships do not share in the risk of the company beyond the amount of their investment.
Limited Partners cannot sell their interest in the business without notifying the general partners.
Limited Partners are paid a dividend on profits earned by the company.

Answers

Answer:

The limited partner is authorized to make business decisions on behalf of the general partners.

Explanation:

A limited partner also knows a silent partner. The limited partner enjoys limited liability to the debts of the business. They are called silent partners because they do not participate in running the business affairs. A limited partner contributes capital to the partnerships and allows the general partner to manage the business affairs.

Since a limited partner enjoys limited liabilities to the partnership's debts, they are not allowed to make business decisions. The general partners with unlimited liabilities run the business and make all the decisions.

A bank has capital of $200 and a leverage ratio of 5. If the value of the bank's assets declines by 10 percent, then its capital will be reduced to g

Answers

Answer:

$100

Explanation:

Calculation for what the capital will be reduced to

First step is to calculate the Declined in capital

Declined in capital=5*10%

Declined in capital=50%

Second step is to calculate what the capital will be reduced to

Reduction in capital=$200*50%

Reduction in capital=$100

Therefore the capital will be reduced to $100

Marbella has 101 residents. All wear the same fancy clothes and each has the same utility function, uſm, b, B) = m + 166 – 62 – B/50, where m is the amount of maccaroni (in kilograms) that he or she eats per day, b is the number of hours that he or she spends on the beach per day, and B is the total number of person-hours spent per day on the beach by other residents of Marbella. Each has an income of $10 per day and maccaroni costs $1 per kilogram. City council is considering a law that would limit the amount of time that any person can spend on the beach. How many hours per day should they allow in order to maximize the utility of a typical Marbellite? a. 7 hoursb. 8 hoursc. 10 hours

Answers

Answer:

a = 7 hours is the time must be allowed to maximize the utility of a typical Marbellite.        

Explanation:

Note: Some corrections in the questions

Wrong Utility function is = uſm, b, B) = m + 166 – 62 – B/50,

Correct Utility function = u ( m, b, B) = m + 16[tex]b^{}[/tex] - [tex]b^{2}[/tex] - [tex]\frac{b}{50}[/tex]

Data Given:

Marbella residents = 101

Utility Function = u ( m, b, B) = m + 16[tex]b^{}[/tex] - [tex]b^{2}[/tex] - [tex]\frac{b}{50}[/tex]

where m = amount of maccaroni (Kg)

b = hours spend on beach

B = total person-hours spent on beach

Each residents has an income of 10$ per day

maccaroni costs = 1$ per kg

Required = How many hours per day should they allow in order to maximize the utility of a typical Marbellite ?

Solution:

In order to find the required statement, we need to find the value of [tex]b^{}[/tex] from the utility function.

And it can be done by applying the partial differentiation on the utility function.

u ( m, b, B) = m + 16[tex]b^{}[/tex] - [tex]b^{2}[/tex] - [tex]\frac{B}{50}[/tex]

[tex]\frac{du}{dm}(m,b,B)[/tex] = [tex]\frac{dm}{dm}[/tex] +16[tex]b^{}[/tex] - [tex]b^{2}[/tex] - [tex]\frac{B}{50}[/tex]

[tex]\frac{du}{dm}(m,b,B)[/tex] = 1

[tex]\frac{du}{db}(m,b,B)[/tex] = 1m +16[tex]\frac{db}{db}[/tex] - [tex]\frac{db}{db}[/tex][tex]b^{2}[/tex] -[tex]\frac{B}{50}[/tex]

[tex]\frac{du}{db}(m,b,B)[/tex] = 16- 2[tex]b^{}[/tex]

[tex]\frac{du}{dB}(m,b,B)[/tex] = 1m +16b- 2[tex]b^{}[/tex] - [tex]\frac{dB}{dB}[/tex][tex]\frac{B}{50}[/tex]

[tex]\frac{du}{dB}(m,b,B)[/tex] = - [tex]\frac{1}{50}[/tex]

Solving the above equations, we will get b.

b = 7 hours

Hence, a = 7 hours is the time must be allowed to maximize the utility of a typical Marbellite.        

What are the sources of information about foreign employment ? Introduce them in brief.​

Answers

Answer:

going from one country to another country for job and to earn money is called foreign employment . foreign employment uplifts the life standard of the people and has become and important source of earnings foreign currency . foreign employment reduce the unemployment problem of a country

this is the answer


Blue, newspapers or professional journals; Red, personal contacts abroad; Green, recruitment websites. Going from one country to another country for job and to earn money is called foreign employment. ... Due to lack of job opportunity, many Nepalese youths are compelled to go to various countries of the world in search of jobs. The challenges seen in foreign employment are:
The employees are forced to work for long hours without holidays and often paid no wages.
Mostly, the semi-skilled and unskilled workers go to the foreign countries so, they do not get job as per the contract.

Ordinary shares, RM20 par value (no change during the
year)
RM5,000,000
Preferred 10% stock, RM40 par (no change during the
year)
2,000,000
The net income was RM600,000, and the declared dividends on the ordinary
shares were RM125,000 for the current year. The market price of the ordinary
shares is RM20 per share

Answers

Answer:

a. earnings per share is RM1.60.

b. the price-earnings ratio is 12.50.

c. the dividends per share is RM0.50 and the dividend yield is 2.50%.

Explanation:

Note: This question is not complete. The complete question is therefore provided before answering the question as follows:

The following information was taken from the financial statement of Fine Resources for December 31 of the current year:

Ordinary shares, RM20 par value (no change during the year) was RM5,000,000

Preferred 10% stock, RM40 par (no change during the year) was RM2,000,000

The net income was RM600,000, and the declared dividends on the ordinary shares were RM125,000 for the current year.

The market price of the ordinary shares is RM20 per share.

Required:

Calculate for ordinary shares related to:

a. earnings per share

b. the price-earnings ratio

c. the dividends per share and the dividend yield

The explanation of the answer is now given as follows:

a. earnings per share

This can be calculated as follows:

Earnings per share = (Net income – Preferred dividend) / Number of ordinary shares …………… (1)

Where;

Net income = RM600,000

Preferred dividend = Preferred share value * 10% = RM2,000,000 * 10% = RM200,000

Number of ordinary shares = Total value of ordinary shares / Ordinary share per value = RM5,000,000 / RM20 = 250,000

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

Earnings per share = (RM600,000 – RM200,000) / 250,000 = – RM200,000 / 250,000 = RM1.60

b. the price-earnings ratio

This can be calculated as follows:

Price-earnings ratio = Market price per share / Earnings per share = RM20 / RM1.60 = 12.50

c. the dividends per share and the dividend yield

Dividends per share = Ordinary shares dividend declared / Number of ordinary shares = RM125,000 / 250,000 = RM0.50

Dividend yield = Market price per share / Dividends per share = RM0.50 / RM20 = 0.025, or 2.50%

As owner of a retail franchise food store, Mary Grey purchases supplies based on specials advertised nationally throughout the franchise system. One Monday, she was surprised to find customers asking for specials she hadn't been informed of in advance.The franchise company failed to live up to the value-driven principle of:_____

a. sharing information across the organization.
b. balancing customers' benefits and costs.
c. evaluating strategic competitive partnerships.
d. building relationships with customers.
e. keeping prices below those charged by competitors.

Answers

Answer:

a. sharing information across the organization

Explanation:

A franchise is an organisation that is authorised to use the brand of another to conduct business. The parent company provides support such as information about the brand and their business activity, and training to the franchise.

In the given scenario Mary Grey was surprised to find customers asking for specials she hadn't been informed of in advance.

This is a failure in the function of sharing information across the organisation.

Ideally information.on products and various campaigns should be first communicated to the franchises before they get to the customer

Bribery is the giving or taking of money or something of value to influence a private individual about a personal decision. true false

Answers

Answer:

the answer is true

Explanation:

when someone bribes you they want to give you something for something they want sone

Answer:

FALSE

Explanation:

Bribery is the giving or taking of money or something of value to influence a public official in the performance of his or her duties.

not a private person, thus the answer is false

Cruise Company produces a part that is used in the manufacture of one of its products. The unit manufacturing costs of this part, assuming a production level of 6,000 units, are as follows:

Direct Materials $4.00
Direct Labor $4.00
Variable manufacturing overhead $3.00
Fixed manufacturing overhead $1.00
Total Cost $12.00

The fixed overhead costs are unavoidable.

Assume Cruise Company can purchase 6300 units of the part from Suri Company for $14.20 each, and the facilities currently used to make the part could be used to manufacture 6300 units of another product that would have an $13 per unit contribution margin. If no additional fixed costs would be incurred, what should Cruise Company do?

Answers

Answer and Explanation:

Here we choose between the making and buying decision

The making cost is

= Direct material per unit + direct labor per unit + variable manufacturing overhead per unit

= $4 + $4 + $3

= $11

And, the buying cost is $14.20

So Cruise company should make the part and save the $3.20 cost i.e. come from

= $14.20 - $11

= $3.20

Investment X offers to pay you $6,100 per year for 9 years, whereas Investment Y offers to pay you $8,700 per year for 5 years. If the discount rate is 5 percent, what is the present value of these cash flows

Answers

Answer:

Investment X PV=$43,357.71

Investment Y PV=$37,666.45  

Explanation:

The present value of future cash flows is the today's worth of those cash flows by virtue of discounting the cash flows to present time

The present value of a future cash flow=future cash flow/(1+discount rate)^n

n refers to the period in which the cash flow is expected , for instance,for year 1 cash flow n is 1, 2 for year 2 and so on.

Investment X:

PV=$6,100/(1+5%)^1+$6,100/(1+5%)^2+$6,100/(1+5%)^3+$6,100/(1+5%)^4+$6,100/(1+5%)^5+$6,100/(1+5%)^6+$6,100/(1+5%)^7+$6,100/(1+5%)^8+$6,100/(1+5%)^9=$43,357.71  

Investment Y:

PV=$8,700/(1+5%)^1+$8,700/(1+5%)^2+$8,700/(1+5%)^3+$8,700/(1+5%)^4+$8,700/(1+5%)^5=$37,666.45  

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