When a corporation issues bonds, it is essentially borrowing money from investors. In this case, the corporation issued $150,000 worth of 20-year bonds at 94. This means that the bonds were sold at a discount and the investors only paid 94% of the face value of the bond, which is $1,000. So, the investors paid $940 for each bond.
To calculate the total cost of borrowing, we need to take into account the interest payments that the corporation will make over the 20-year term. The interest rate is not given in the question, so we cannot calculate the exact cost of borrowing. However, we can use some assumptions.
Let's assume that the interest rate on the bond is 5%. This means that the corporation will have to make annual interest payments of $50 per bond. Since the corporation issued $150,000 worth of bonds, it means that they issued 150 bonds. Therefore, the annual interest payment for the corporation will be $7,500.
Over the 20-year term, the corporation will have to make a total interest payment of $150,000. Adding this to the initial cost of issuing the bonds:
$150,000 x 0.94 = $141,000, we get a total cost of borrowing of $291,000.
In summary, the total cost of borrowing for a corporation that issues $150,000 of 20-year, 9onds at 94 depends on the interest rate of the bond. Assuming an interest rate of 5%, the total cost of borrowing would be $291,000 over the 20-year term.
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Why is the automobile industry considered an oligopoly?
It offers little differentiation within the market.
It has significant barriers to entry.
It is controlled by companies that patent key technology.
It relies on price variation to attract customers.
It depends on brand loyalty and image to generate sales.
It is dominated by a few key players.
The reasons that the automobile industry is an oligopoly in market economics are because of B. It has significant barriers to entry and F. It is dominated by a few key players.
An oligopoly is a market condition where the possibility of firms colluding with each other exists.Firms in this market are interdependent, especially with regards to pricing.
Oligopolistic firms differentiate their products, and they have few producers.There are barriers to entry.
Thus, an oligopoly limits entries to a few key players who dominate the market.
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Answer:
B: It has significant barriers to entry.
E: It depends on brand loyalty and image to generate sales.
F: It is dominated by a few key players.
What is the opportunity cost of an investment?
A. The combined values of the other opportunities available
B. The value of the next most valuable opportunity
C. The marginal benefit of the investment
D. The volatility of the investment
Answer:
B. The value of the next most valuable opportunity.
Explanation:
The opportunity cost of an investment is the value of the next most valuable opportunity.
Answer:
B THE VALUE OF THE NEXT MOST VALUABLE OPPORTUNITY
Explanation:
during the year, wright company sells 520 remote-control airplanes for $120 each. the company has the following inventory purchase transactions for the year. date transactionnumber of unitsunit costtotal cost jan. 1 beginning inventory40 $62 $2,480 may 5 purchase300 65 19,500 nov. 3 purchase250 70 17,500 590 $39,480 calculate ending inventory and cost of goods sold for the year, assuming the company uses fifo.
A business has choices when it comes to how to value its inventory. With a periodic inventory system, where the cost of goods sold and ending inventory are determined at the end of the period, the weighted-average approach is applied. Using this method, an average cost per unit is calculated and allocated to both sold and unsold inventories.
Average Weighted Cost per Unit
This is how the weighted-average cost per unit is determined:
Total cost of inventory / Total units in inventory equals weighted-average cost per unit.
Weighted-average cost per unit equals $38,610 divided by 530 units for a unit price of $72.8491.
Cost per unit on a weighted average is $72.8491.
Average Weighted Cost of Goods Sold
The following formula is used to determine weighted-average cost of goods sold:
Cost of products sold = Weighted-average cost per unit * Number of units sold
Cost of goods sold equals $72.8491 per unit times 500 sales, which comes to $36,424.55.
The weighted-average technique results in a cost of goods sold of $36,424.55.
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l-----------------------------------------------------------
Answer:
ja. what do you want to ask?
Answer:
Am sorry but there is no question please
How is cost of attendance (COA) determined at an institute of higher education?
It's based on tuition so it is calculated from the number of classes you enroll in.
It is the cost of tuition plus taxes.
It is an estimate of tuition fees, room and board, books, supplies and other expenses.
It combines financial aid, what your family can pay, plus tuition and room and board.
Answer:
Option C, It is an estimate of tuition fees, room and board, books, supplies and other expenses.
Explanation:
Cost of attendance attendance is the total cos incurred on an individual during an entire academic year by the institute. An institute take into account cost incurred on the following for determining COA-
a) tuition and fees
b) books and supplies
c) College infrastructure cost inclusive of room and board
d) transportation
e) scholarship etc.
Hence, option C is correct
What can a boosted post help an advertiser achieve?
A boosted post helps an adviser to connect with the audience and gain trust.
Boosted post is a kind of post that is used on social media platforms in order to enhance the page of the platform and to attract audience to the page. Boosted post can help better communication with the audience along with the increase in a greater number of messages, calls and texts. Boosted posts help for better advertisements of the product. For example, A Chocolate brand may use Boosted posts to gain audience as well as consumers. Boosted posts helps an adviser to be discovered among people, to establish a benchmark in the market and to gain more and more customers. It's a kind of marketing strategy used for publicity purpose.
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what is the meaning of statistics??
Explanation:
1 : a branch of mathematics dealing with the collection, analysis, interpretation, and presentation of masses of numerical data. 2 : a collection of quantitative data.
Answer:
Statistics is the discipline that concerns the collection, organization, analysis, interpretation, and presentation of data.
Which of the following test is BEST to use in assessing a patient's balance impairment who is s/p L TKR x 3 months ago and plans to return to work as a construction worker?
a. Dynamic Gait Index
b. TUG
c. 6 Minute Walk Test
d.10 Meter Walk Test
A functional assessment tool that can be repeated with consistency by multiple testers is considered to have good what?
a. Face validity
b. Construct validity
c. Inter-rater reliability
d. Intra-rater reliability
e. Test-retest reliability
The best test to assess a patient's balance impairment after a total knee replacement and planning to return to work as a construction worker would be the a) Dynamic Gait Index.
A functional assessment tool that can be repeated with consistency by multiple testers is considered to have good c) inter-rater reliability.
The best test to assess a patient's balance impairment after a total knee replacement and planning to return to work as a construction worker would be the Dynamic Gait Index (option a).
The Dynamic Gait Index evaluates various aspects of balance during walking, including turning, stepping over obstacles, and changing speeds. It is specifically designed to assess balance and mobility in individuals with lower extremity pathology and is relevant to the patient's work requirements as a construction worker.
A functional assessment tool that can be repeated with consistency by multiple testers is considered to have good inter-rater reliability (option c). Inter-rater reliability refers to the extent to which different testers, who are evaluating the same patient using the same assessment tool, produce similar results.
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Who are the majority of businesses in resort towns targeted to?
O
seniors
O
tourists
O
employees
investors
The majority of businesses in resort towns target tourists.
Who is the luxury hotel industry's target customer?As you can see, a wide range of people from across all walks of life who are prepared to pay a little extra for the luxury hotel experience makes up the target audience for luxury hotels.
What advantages come from forming and focusing on prospect groups?Overall, specialization is the main advantage of identifying and pursuing niche markets. Finding more wealthy guests who will gush about your hotel will be easier if you can be more precise with your market segmentation.
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Identify three strengths of each human service delivery system?
Answer:
hope it helps
Explanation:
The Medical Model. is the oldest of the three models. Looks at symptoms, illness and sickness.
The Public Health Model. Looks at how illness affects population. Focus is on education, prevention and nutrition.
The Human Service Model. Looks at the client and their environment
the history of the textile industry raises important questions for economic policy. true false
The history of the textile industry raises important questions for economic policy. its true .
The methods for determining tax rates, government spending, the money supply, and interest rates, as well as the labor market, national ownership, and many other areas of government interventions in the economy, are all included in the concept of the economy of governments. The majority of economic policy elements fall into one of two categories: monetary policy, which deals with central bank activities related to the money supply and interest rates, or fiscal policy, which deals with government actions related to taxation and spending. International organizations like the International Monetary Fund and the World Bank, as well as political ideologies and the ensuing party policies, frequently have an impact on such policies.
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.Suppose Jay has been experiencing back pain, and has four options for treatment. (Table 14.6)
1. Plot these four treatments on cost–pain reduction axes. Create a cost-effectiveness frontier by connecting potentially cost-effective treatments.
2. Assume that indifffference curves in this space are linear. Interpret this assumption.
Treatment regimen Total cost Pain reduction
Do nothing $0 0 unit
Chair cushion $100 20 unit
Cortisone injections $700 25 unit
acupuncture $1,000 50 unit
The cost-effectiveness frontier for the four treatment options can be plotted based on the cost and pain reduction they provide. The options are:
1. Do nothing - $0 cost, 0 units of pain reduction.
2. Chair cushion - $100 cost, 20 units of pain reduction.
3. Cortisone injections - $700 cost, 25 units of pain reduction.
4. Acupuncture - $1,000 cost, 50 units of pain reduction.
The cost-effectiveness frontier can be determined by connecting the treatment options that offer potentially cost-effective outcomes. In this case, the chair cushion and cortisone injections fall within a reasonable cost range and provide pain reduction benefits. Connecting these two options would form the cost-effectiveness frontier.
Assuming linear indifference curves in this space means that the trade-off between cost and pain reduction is consistent and proportional. In other words, each unit of pain reduction has the same monetary value across the treatments. This assumption simplifies the analysis by assuming that individuals perceive equal utility from the same increment of pain reduction, regardless of the treatment option.
This linear assumption allows for a straightforward comparison between treatments based on their cost-effectiveness. However, it might not accurately reflect the true preferences and subjective experiences of individuals, as different treatments can have varying impacts on pain relief for different people. Additionally, it doesn't account for potential non-linear relationships between cost and pain reduction.
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Williams Auto has a machine that installs tires. The machine is now in need of repair. The machine originally cost $11,400 and the repair will cost $2,400, but the machine will then last two years. The labor cost of operating the machine is $0. 50 per tire. Instead of repairing the old machine, Williams could buy a new machine at a cost of $6,400 that would also last two years; the labor cost would then be reduced to $0. 25 per tire. Williams expects to install 11,400 tires in the next two years. A. Determine the total (two-years) cost for both repairing and replacing the machine
Williams should fix the equipment because it will cost less overall than to replace it.
What is labor cost?Labor expenses are an employer's total out-of-pocket expenditure for hiring employees.
Williams Auto has a machine that installs tires. Even if the equipment needs maintenance, it will only operate for another two years. Operating the machine costs $0.70 per tire in labor. Instead of repairing the old machine.
1. Total cost of Repair = Repair cost + Operating cost
= $1,700+10,700*$0.70
= $1,700 + $7,490
= $9,1902.
2. Total cost to replace = Repair cost + Operating cost
= $5,700+10,700*$0.5
= $5,700+$5,350
= $11,050
Therefore, Williams should repair the machine.
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Which type of business does not hold owners accountable for the debts of
the business?
OA. Sole proprietorship
OB. LLC
OC. Partnership
A
OD. Private company
Answer:
Limited Liability Company (LLC)
Explanation:
A limited Liability Company (LLC) is a business structure in the United States that protects its owners from the personal responsibility for its repayment of debts and liabilities. It is a hybrid entity that has the characteristics of a corporation, partnership and sole proprietorship. The regulation of LLC's varies from one state to another. An entity or individual can be a member of an LLC with notable exceptions from banks and insurance companies. The primary reason for registering a business under LLC is to limit the personal liability of the owners as well as the partners. LLC may have some attractive features but they also possess some great disadvantages as well. Depending upon the state law, an LLC may be dissolved upon the death or bankruptcy of a member.
help asap will mark brainlieast
Answer:
a
b
b
a
Explanation:
Sometimes a liquid can be sitting there and its molecules will become a gas. That’s called
___________________________________________.
Answer:
Una vez que toda la sustancia está en estado líquido, al continuar calentando vuelve a subir la temperatura y llega un momento en que las fuerzas intermoleculares ya son incapaces de mantener juntas las moléculas del líquido, por lo que éste hierve y se convierte en un gas, se produce la ebullición.
make a list of things that should be considered while managing a factory or an industry
plz say correct answer not stipude answer
(a) An amount of $100 is deposited into an account at the end of the 1st year, after which payments of $200, $400, $600,... are deposited at the end of every 2 years, that is, there will be a payment of $200 at time 3, a payment of $400 at time 5, and so on. The last payment will be made at the end of the 15th year. Determine the present value if the annual effective rate of interest is 2%. Round your answer to the nearest cent. [7] (b) An annuity-due consists of a first payment of $100, with subsequent payments increased by 7% over the previous one until the 10th payment, after which subsequent payments are level at the amount of the 10th payment. If the effective rate of interest is 7% per payment period, determine the present value of this annuity-due with 20 payments. Round your answer to the nearest cent
The present value of the series of uneven cash flows and the annuity-due with increasing and level payments can be calculated by discounting each cash flow back to the present using the respective effective rates of interest.
(a) To calculate the present value of the series of uneven cash flows, we need to discount each cash flow back to the present using the given annual effective rate of interest of 2%. The first cash flow of $100 at the end of the 1st year does not need to be discounted since it is already at the present time. The subsequent cash flows of $200, $400, $600, and so on, occur every 2 years. We can treat these cash flows as a series of regular cash flows of $200 at the end of every 2 years. We can use the present value of an ordinary annuity formula to calculate the present value of these cash flows:
Present Value = \($100 + $200/(1 + r)^2 + $200/(1 + r)^4 + $200/(1 + r)^6 + ... + $200/(1 + r)^30\)
where r is the annual effective rate of interest (2% in this case). By substituting the values and calculating the sum, we can find the present value of this series of cash flows.
(b) For the annuity-due with increasing payments followed by level payments, we need to calculate the present value of each payment and then sum them up to find the total present value. The first payment is $100 and subsequent payments increase by 7% over the previous one until the 10th payment. After the 10th payment, subsequent payments remain constant at the amount of the 10th payment. We can use the present value of an annuity-due formula to calculate the present value of these cash flows:
Present Value = \($100/(1 + r) + ($100 * (1 + g))/(1 + r)^2 + ($100 * (1 + g)^2)/(1 + r)^3 + ... + ($100 * (1 + g)^10)/(1 + r)^11 + ($100 * (1 + g)^10)/(1 + r)^12 + ... + ($100 * (1 + g)^10)/(1 + r)^30\)
where r is the effective rate of interest (7% per payment period) and g is the growth rate of subsequent payments (7% in this case). By substituting the values and calculating the sum, we can find the present value of this annuity-due with 20 payments.
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What is the term that connects a person or organization that owns property to the property itself? Title Prospectus Lease Deed Easement
What kind of deed protects the grantee the most? Sheriff's deed Protection deed General warranty deed Special warranty deed Quitclaim deed
The term that connects a person or organization that owns property to the property itself is "Title." Title represents the legal ownership and right to possess and use the property.
The kind of deed that protects the grantee the most is the "General warranty deed." A general warranty deed provides the highest level of protection for the grantee (buyer) because it includes specific warranties and guarantees made by the seller (grantor). These warranties typically include the assurance that the grantor has the legal right to sell the property, the property is free from any liens or encumbrances, and the grantor will defend the grantee against any future claims or disputes regarding the property title. This type of deed offers the most comprehensive protection to the grantee.
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The middle class pays for liabilities (like the home they live in) they
mistakenly think are their assets.
True
False
* 1 point
Answer:
true is the answer to the question
a speech describing a series of events in the development of a new idea calls for a spatial pattern of arrangement. true or false
The statement "a speech describing a series of events in the development of a new idea calls for a spatial pattern of arrangement" is False.
A spatial pattern is a type of organization in which ideas are arranged in space. This is typically used when describing a physical location or when an object or idea is being described in detail, especially when it has a specific location or is arranged in a particular order. However, it is not suitable for describing a series of events in the development of a new idea as it does not follow any specific order or sequence.
A chronological pattern of arrangement would be more appropriate for such a speech. Therefore, the statement "a speech describing a series of events in the development of a new idea calls for a spatial pattern of arrangement" is False.
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there is a surplus of a new brand of cereal on the market. what will likely happen to the price of the cereal?
Answer:
The price of the cereal would fall.
Explanation:
In Economics, there are primarily two (2) factors which affect the availability and the price at which goods and services are sold or provided, these are demand and supply.
The law of demand states that, the higher the demand for goods and services, the higher the price it would be sold all things being equal. On the other hand, law of supply states that the higher the price of goods and services, the lower the supply.
When there is a surplus of a new brand of cereal in the market. What will likely happen to the price of the cereal is that the its price would fall.
2. race to the bottom refers to which of the following? a. countries will compete with each other to offer incentives to firms b. firms will underpay workers in low-income countries c. countries have the incentive to conform to the standards of the lowest income country d. firms have an incentive to relocate to countries with lower standards
As per the concept of investment, race to the bottom refers countries have the incentive to conform to the standards of the lowest income country. (option c).
The "race to the bottom" is often associated with competition between countries to attract foreign investment. In this context, countries may offer tax breaks, subsidies, and other incentives to attract multinational corporations to set up operations in their territory.
The idea behind this is that the presence of foreign firms can create jobs and boost the economy, leading to increased prosperity for all.
The "race to the bottom" can also occur within a country, as firms compete with each other to reduce costs. This can lead to a situation where firms try to undercut each other by paying lower wages, reducing benefits, and cutting corners on safety and environmental standards.
Therefore, the correct option is (c).
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The time value of money simply means that the value of cash flows depends on when it happens.
True
False
The only marketing mix element that is applicable in export selling is:
A) price.
B) product.
C) promotion.
D) place.
E) process.
The only marketing mix element that is applicable in export selling is place.
The marketing mix is a set of tools that businesses use to market their products or services. The four traditional elements of the marketing mix are product, price, promotion, and place.
In export selling, the product and price elements of the marketing mix are still applicable. However, the promotion and place elements need to be adjusted to the specific market that the business is targeting.
For example, the promotion element may need to be adapted to the cultural and linguistic differences of the target market. The place element may need to be adjusted to the different distribution channels that are available in the target market.
The process element of the marketing mix is not specifically applicable to export selling. The process element refers to the way that a business delivers its products or services to its customers. This element is not typically different for export selling than it is for domestic selling.
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Why would high start-up costs serve as a barrier to competition?
Which type of market is the one in which a person buys stock in the fast-food company that makes their favorite breakfast sandwich?
Product market
Factor market
Financial market
Closed market
The type of market is the one in which a person buys stock in the fast-food company is Financial market. Thus 3rd option is correct.
What is Financial Market?Any location or system that gives buyers and sellers the ability to trade financial assets, such as bonds, shares, the various international currencies, and derivatives, is referred to as a financial market.
The connection between people with capital to invest and those who need capital is facilitated by financial markets.
The kind of market where a consumer purchases shares of the fast-food chain that sells their preferred breakfast sandwich is referred as financial market.
Thus 3rd option is correct.
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Answer: Financial market
Explanation: stocks
The calculation for ________ considers a customer’s product or service usage rate, their loyalty to the company, and the firm’s cost to serve that customer over time.
The calculation for customer lifetime value considers a customer’s product or service usage rate, their loyalty to the company, and the firm’s cost to serve that customer over time.
Customer lifetime value (CLV), commonly referred to as lifetime value (LTV), is the profit margin which is expected by the company to earn over the lifetime of their business relationship with the average customer.
In order to calculate customer lifetime value, first of all calculate the lifetime value by multiplying the average value of the sales, the average number of transactions, and the average customer retention period followed by the company.
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LaBouche Company had cash receipts from customers in 2017 of $142,000. Cash payments for operating expenses were $97,000. Kelly has determined that at January 1, unearned service revenues was $13,000, and prepaid expenses were $17,500. At December 31, unearned service revenues was $18,600, and prepaid expenses were $23,100. The service revenues on cash basis is:
Select one:
a. $155,000
b. $147,600
c. $142,000
d. $136,400
At the end of the year, prepaid expenses were $23,100 and unearned service revenues were $18,600. The service's cash basis revenues total $136,400.
$142,000 plus $97,000, or $136,400, is the service revenue on a cash basis.
Revenue is the money made from regular business operations and is calculated by multiplying the average sales price by the quantity of units sold. In order to calculate net income, costs must be deducted from the top line (or gross income) figure. On the income statement, revenue is also known as sales.
A company's revenue is the money generated by its operations. Depending on the chosen accounting approach, there are several ways to compute revenue. Sales made using a credit card will be counted as revenue for products or services that were delivered to the customer. In accordance with some regulations, revenue is recorded even if payment has not yet been made.
To determine how effectively a business collects unpaid debt, it is important to review the cash flow statement. Contrarily, sales will only be recorded as revenue in cash accounting after money has actually changed hands. A "receipt" is money given to a business. An example of an activity that results in a receipt but no revenue is when a consumer prepays for a service or undeliverable products.
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a bank features a savings account that has an annual percentage rate of 5.1 % with interest compounded monthly. lydia deposits $2,000 into the account. how much money will lydia have in the account in 1 year? answer
Lydia will have $2,156.41 in the account after 1 year. Using the formula for compound interest:
A = \(P*(1+r/n)^{(n*t)}\)
where:
A = the final amount
P = the principal amount (initial deposit)
r = the annual interest rate (as a decimal)
n = the number of times the interest is compounded per year
t = the time (in years)
In this case, P = $2,000, r = 0.051 (5.1% as a decimal), n = 12 (compounded monthly), and t = 1 year.
So, substituting these values into the formula:
A = \(2000*(1+0.051/12)^{(12*1)}\)
A = $2,156.41 (rounded to the nearest cent)
Therefore, Lydia will have $2,156.41 in the account after 1 year.
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