assume that smith deposits $150 in currency into her checking account in the xyz bank. later that same day, jones negotiates a loan for $900 at the same bank. in what direction and by what amount has the supply of money changed?

Answers

Answer 1

Assume that smith deposits $150 in currency into her checking account in the xyz bank. Later that same day, jones negotiates a loan for $900 at the same bank.  The money supply increased by $900.

What transpires when the money supply rises?

Lower interest rates are often a result of increased money supply, which leads to more investment and more money in consumers' hands, which in turn boosts consumption. In response, companies place larger orders for raw materials and boost output.

How is the money supply regulated?

The RBI uses a variety of methods to control the amount of money in the economy: The central bank uses both quantitative and qualitative tools to manage the money supply. Through adjustments to the CRR, bank rate, or open market functions, quantitative instruments can control the size of the money supply.

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Answer 2

Assume that smith deposits $150 in currency into her checking account in the xyz bank. Later that same day, jones negotiates a loan for $900 at the same bank.  The money supply increased by $900.

What happens as the money supply expands?

Increased money supply often results in lower interest rates, which encourages more investment and more money in consumers' hands, which in turn increases consumption. As a result, businesses increase their orders for raw materials and increase output.

How is the amount of money controlled?

The RBI employs a range of techniques to regulate the amount of money in the economy. The central bank controls the money supply using both quantitative and qualitative instruments. Quantitative instruments have the ability to regulate the amount of money in circulation via changing the CRR, bank rate, or open market operations.

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Related Questions

Several years ago, Jeff purchased stock for $5,125. Last month he sold the stock for
$7,411. What was his gross capital gain?

Answers

If Several years ago, Jeff purchased stock for $5,125. Last month he sold the stock for $7,411. His gross capital gain is: $2,286.

Gross capital gain

In order to determine the gross capital gain since we were told that he  purchased stock for the amount of $5,125 in which last month he sold the stock for  the amount of $7,411 we have to deduct the current stock selling price form the stock purchase price by making use of  this formula to determine the  gross capital gain.

Gross capital gain = Current stock selling price - Stock purchase price

Where:

Current stock selling price = $7,411

Stock purchase price = $5,125

Let plug in the formula so as to find the gross capital gain

Gross capital gain = $7,411 - $5,125

Gross capital gain =$2,286

Therefore If Several years ago, Jeff purchased stock for $5,125. Last month he sold the stock for $7,411. His gross capital gain is: $2,286.

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Customers experiencing technical difficulty with their internet cable service may call an 800 number for technical support. It takes the technician between 18 seconds and 12 minutes to resolve the problem. The distribution of this support time follows the uniform distribution a. What are the values for a and b in minutes? (Do not round your intermediate calculations. Round your answers to 1 decimal place.) b-1. What is the mean time to resolve the problem? (Do not round your intermediate calculations. Round your answer to 2 decimal places.) b-2. What is the standard deviation of the time? (Do not round your intermediate calculations. Round your answer to 2 decimal places.) c. What percent of the problems take more than 5 minutes to resolve? (Do not round your intermediate calculations. Round you answer to 2 decimal places.) d. Suppose we wish to find the middle 50% of the problem-solving times. What are the end points of these two times? (Do not round your intermediate calculations. Round your answers to 3 decimal places.)

Answers

a) In this question, we are told that the distribution of support time is uniform and the time taken by the technician ranges from 18 seconds to 12 minutes.

Let's convert 18 seconds to minutes.18 seconds = 18/60 minutes = 0.3 minutes

We have two endpoints, 0.3 and 12, which are the minimum and maximum times respectively.

Therefore, a = 0.3 and b = 12.b-1) Mean of uniform distribution is given as:μ = (a + b) / 2μ = (0.3 + 12) / 2= 6.15Therefore, the mean time to resolve the problem is 6.15 minutes.b-2) The standard deviation of the uniform distribution is given by the formula:σ = (b - a) / √12σ = (12 - 0.3) / √12= 3.44Therefore, the standard deviation of the time is 3.44 minutes.

c) To find out the percentage of the problems that take more than 5 minutes to resolve, we need to find the area to the right of x = 5 in the uniform distribution.

To find this, we need to calculate the z-score, which is given by the formula:

z = (x - μ) / σz = (5 - 6.15) / 3.44= -0.33Using a z-table, we find that the area to the right of z = -0.33 is 0.6306.

Therefore, the percentage of the problems that take more than 5 minutes to resolve is:

Percentage = 100 - 0.6306 × 100= 36.94%d) The middle 50% of the problem-solving times is the interval between the 25th percentile and the 75th percentile.

Using the percentile formula, we have:

P25 = a + (25/100)(b - a)P25 = 0.3 + (25/100)(12 - 0.3)P25 = 2.58P75 = a + (75/100)(b - a)P75 = 0.3 + (75/100)(12 - 0.3)P75 = 9.72Therefore, the endpoints of the middle 50% of the problem-solving times are 2.58 and 9.72 minutes.

a) a = 0.3 and b = 12b-1) Mean time to resolve the problem = 6.15 minutes

b-2) Standard deviation of the time = 3.44 minutes

c) Percentage of the problems that take more than 5 minutes to resolve = 36.94%d) End points of the middle 50% of the problem-solving times = 2.58 and 9.72 minutes

The steps on how to calculate a, b, the meantime, the standard deviation, the percentage of the problems, and the endpoints of the middle 50% of the problem-solving times.

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A visual depiction of the subassemblies and components that are needed to produce and/or assemble a product is called a(n):
A) Assembly time chart B) Product structure tree C) MRP II
D) Pegging E) Gantt Chart

Answers

A Gantt chart is a visual representation of the subassemblies and components that are required to produce and/or assemble a product.  Option E

It provides a timeline view of the project, outlining each task or component required, and the duration of time it will take to complete each step.

The Gantt chart is an essential tool in project management and is widely used across industries. It allows project managers to plan, schedule, and track progress of a project in a visual format that is easy to understand.

By breaking down the project into its subcomponents and tasks, project managers can identify potential bottlenecks and dependencies, ensuring that everything is in place to keep the project on track.

In summary, a Gantt chart is a powerful tool that helps project managers to plan and visualize the subassemblies and components required to produce and/or assemble a product. It is an essential tool for any project manager looking to streamline their operations, minimize costs, and maximize efficiency. So the correct answer is Option E.

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One of the "7 determinants of productivity, income, and wealth" is "seemingly unrelated market condition," which refers to the recognition that differences in income or wealth across individuals could result from differences in:.

Answers

The differences in income or wealth across individuals could result from differences in A) income depends in part upon economic conditions beyond our control; a worker's value ...

What are the sources of income?

The different income sources include:

WorkingProducing a product or serviceInvesting capitalEarning pensions and other government programsSelling goods or services above the cost of production.

Answer Options:

A) income depends in part upon economic conditions beyond our control; a worker's value depends greatly upon the price of the product he helps produce (e.g., a wage of a coal miner would increase if we ran out of oil)

2) the natural talents that people are endowed with at birth

3) the skills and experiences that people acquire through education, training, and work

4) how hard individuals choose to work

Thus, the differences in income or wealth across individuals could result from differences in Option A.

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businessoperations managementoperations management questions and answershow to write an abstract for my paper that i have written. (i only need to know how to write an abstract, what should i include) my paper that i have written is about :do a swot analysis for yourself that relates to your goals. list three smart goals you have for your professional growth/personal life (see handout in a link in unit 8 or read more about
Question: How To Write An Abstract For My Paper That I Have Written. (I Only Need To Know How To Write An Abstract, What Should I Include) My Paper That I Have Written Is About :Do A SWOT Analysis For Yourself That Relates To Your Goals. List Three SMART Goals You Have For Your Professional Growth/Personal Life (See Handout In A Link In Unit 8 Or Read More About
How to write an abstract for my paper that I have written. (I only need to know how to write an abstract, what should I include)
My paper that I have written is about :Do a SWOT analysis for yourself that relates to your goals. List three SMART goals you have for your professional growth/personal life (see handout in a link in Unit 8 or read more about "SMART goals" on the internet). Note that SMART goals include timelines; some goals may have several steps/subgoals to be met on the way to major goal. For each goal, describe the importance of the goal, such as how meeting the goal will impact your career. Write a detailed action plan including resources needed, networking, funding, etc. to meet the goals. The "Creating Line of Sight Measures" in Chapt 12, p. 228 of Dyer et al (2020) may be helpful. Describe internal and external factors that may impact (positively and/or negatively) the achievement of your goals Describe how you will measure progress toward meeting each of the goals. Include at least one professional organization that you can join (many have student memberships at reduced prices; you may want to join now!). Explain the benefits of belonging and when you will join the organization

Answers

When writing an abstract for a research paper, you want to make sure it is concise, yet detailed enough to cover the main points of the paper. The abstract should be around 150-250 words and should include the following elements:

1. Background Information: This should include information on what the research is about, why it was conducted, and its relevance.

2. Methods: This section should include information on the research methods used, including data collection, analysis, and interpretation.

3. Results: The results section should summarize the main findings of the research.

4. Conclusions: This section should summarize the main conclusions drawn from the research.

5. Recommendations: If applicable, include any recommendations or suggestions for further research.

For this particular paper, the abstract should include a brief overview of what a SWOT analysis is, how it relates to personal and professional goals, and what the three SMART goals are.

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Refer to the market graph shown above. A black market where the price is $2.00 could result from price:
a. Ceiling set at $2.50
b. Ceiling set at $1.50
c. Floor set at $1.50
d. Floor set at $2.00

Answers

Take a look at the market graph above. A pricing Floor set at $1.50 could lead to a black market where the cost is $2.00. Here option C is the correct answer.

A. Ceiling set at $2.50: If the government sets a price ceiling at $2.50, it means that sellers cannot legally sell the product above that price. Since the black market price is lower than the ceiling, it implies that sellers are willingly offering the product at a lower price than what is legally allowed. Therefore, this option is not the cause of the black market price.

B. Ceiling set at $1.50: If the government sets a price ceiling at $1.50, it restricts sellers from selling the product above that price. However, since the black market price is higher than the ceiling, it suggests that sellers are operating outside the legal framework and offering the product at a higher price. Hence, this option is also not the cause of the black market price.

C. Floor set at $1.50: If the government sets a price floor at $1.50, it means that sellers cannot legally sell the product below that price. Since the black market price is higher than the floor, it indicates that sellers are voluntarily offering the product at a higher price than what is legally required. Therefore, this option is not responsible for the black market price.

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Refer to the market graph shown above. A black market where the price is $2.00 could result from price:a.

why did God call abraham​

Answers

Answer: god chose Abraham and said i will make you a great nation and i will bless you.

Explanation: god commanded  Abram to move to another country . This is why god planned to make of Abram a new nation from which the prophets of god and the savior of the world would arise.

journal entry for depreciation paid​

Answers

Answer:

Depreciation is a non-cash expense which means that it is not actually paid for. It is however considered an expense which reduces the value of fixed assets as the years go by.

Journal entry for depreciation is:

Date                   Account title                                             Debit           Credit

XX-XX-XXX       Depreciation Expense                            XXXX

                          Accumulated Depreciation                                        XXXXX

The Depreciation expense for the year is debited to the Depreciation expense account and deducted from income in the income statement.

The amount is then credited to an Accumulated depreciation account which shows total depreciation since the asset was acquired. This goes to the balance sheet and reduces the value of fixed assets.

Jessi has received a loan to start her new bakery. She wants to make sure that she spends the money wisely, getting all of the machinery, tools, and ingredients that she will need to make her bakery a success. What should Jessi make FIRST to make to make sure to manage her money so that she prioritizes what she needs for her bakery?


buying plan


sales forecast


profit margin


investment

Answers

Since Jessi has received a loan to start her new bakery, and he wants to make sure that she spends the money wisely, getting all of the machinery, tools, and ingredients that she will need to make her bakery a success. What she should make FIRST to make sure to manage her money so that she prioritizes what she needs for her bakery is a "buying plan" (Option A)

What is the definition of a "Buying Plan"?

A buying plan, sometimes known as a buying club, is a sort of plan that obligates a buyer to purchase products on a fixed timetable, to acquire items that a seller may deliver without warning, or to pay membership fees in exchange for the right to purchase at a supposedly discounted price.

Goods planning and procurement is a systematic strategy used by retailers to predict merchandise inventory requirements and negotiate the best terms with suppliers.

Typically, retailers employ a centralized buyer or team of buyers that supervise the chain's purchasing process. They may have additional local or regional merchandise managers that supervise merchandise implementation in stores.

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The yen selling price of a Honda Accord base modelis V2,505,325. At the beginning of the year the exchange rate was 11.25 w/. Honda will change the South Korean price of the Accord at the end of the year to reflect the new exchange rate of 9.72.#/Y and a 10% increase in the selling price. In South Korean Won terms, by how much did the Won price of the Honda Accord base model change? (Report to two decimal places without the
currency sign.)

Answers

Given: The yen selling price of a Honda Accord base model is V2,505,325. At the beginning of the year, the exchange rate was 11.25 w/. Honda will change the South Korean price of the Accord at the end of the year to reflect the new exchange rate of 9.72.#/Y and a 10% increase in the selling price.

To find: In South Korean Won terms, by how much did the Won price of the Honda Accord base model change?Solution:We are given the exchange rate of yen and won at the beginning of the year which is 11.25 w/1¥, this means we can convert the yen price of Honda to won.

The change in Won price of the Honda Accord base model is:ΔWon price = Won price (at the end of the year) – Won price (at the beginning of the year)ΔWon price = 26,819,196.4 # – 28,205,640.625 w/ΔWon price = - 1,386,444.225 w/Hence, the Won price of the Honda Accord base model decreased by 1,386,444.225 w/. Therefore, the answer is 1,386,444.23 w/.

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Scrum Master Information Technology
Please answer the questions below in 1 - 2 pages.
1. What is your biggest challenge in this experience so far?
2. Do you believe that you fit into the organization? Why or why not?

Answers

My biggest challenge in this experience as a Scrum Master in the IT industry has been managing team dynamics and fostering effective collaboration.

Working with a diverse group of individuals with different skill sets, backgrounds, and personalities can sometimes lead to conflicts or communication breakdowns. It has been a constant challenge to ensure that everyone is aligned, engaged, and working towards a common goal.

One specific challenge I have encountered is balancing the need for flexibility and adaptation with the framework and principles of Scrum. While Scrum encourages agility and embracing change, it is also important to maintain stability and provide a clear structure for the team to work within. Finding the right balance and ensuring that the team understands the purpose and benefits of Scrum practices has been a continuous learning process.

Another challenge I have faced is overcoming resistance to change. Introducing Scrum and agile methodologies in organizations that are accustomed to traditional project management approaches can be met with resistance from team members who are comfortable with the old ways of working. Overcoming this resistance requires effective communication, education, and demonstrating the value and benefits of adopting Scrum.

Yes, I believe that I fit into the organization because of several reasons. Firstly, my background and experience align well with the organization's goals and values. I have a strong understanding of agile methodologies and Scrum practices, along with a solid technical background in the IT industry. This allows me to effectively communicate and collaborate with both technical and non-technical stakeholders, bridging the gap between different teams and facilitating smooth interactions.

Secondly, I am adaptable and open to continuous learning and improvement. The IT industry is constantly evolving, and being able to adapt to new technologies, processes, and challenges is crucial. I am proactive in staying updated with industry trends and best practices, and I actively seek opportunities for professional development to enhance my skills as a Scrum Master.

Lastly, I am a strong advocate for teamwork and collaboration. I believe in creating a positive and inclusive work environment where every team member feels valued and supported. I actively promote transparency, trust, and open communication within the organization, fostering a culture of continuous improvement and collaboration.

Overall, my skill set, mindset, and values align well with the organization's goals and values, making me a good fit as a Scrum Master in the IT industry. I am committed to driving the organization towards success by facilitating effective teamwork, embracing agility, and delivering value to stakeholders.

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Jerry has just received an inheritance of $25,000, and he would like to use it to help him with his retirement. Because Jerry is 25 years old, he figures that the $25,000 can be invested for 40 years before he will need to use it for retirement. Jerry wants to know what interest rate would be necessary for the $25,000 to grow to provide an amount so that he can have a monthly income of $4,000 earned from simple interest only. Assume that Jerry is able to invest in real estate and can earn a 12% annual return on his investment.

Answers

Jerry would need an interest rate of approximately 4.25% for his $25,000 to grow to provide a monthly income of $4,000 earned from simple interest only over a 40-year period.

To determine the interest rate required for Jerry's $25,000 to grow and provide a monthly income of $4,000 earned from simple interest only, we can use the following steps:

1. Calculate the total amount needed for the desired monthly income:

  Monthly income = $4,000

  Annual income = Monthly income * 12 = $4,000 * 12 = $48,000

  Total amount needed = Annual income * Number of years = $48,000 * 40 = $1,920,000

2. Calculate the interest rate required for the initial $25,000 to grow to the total amount needed:

  Total amount needed = Initial amount * (1 + Interest rate)^Number of years

  $1,920,000 = $25,000 * (1 + Interest rate)^40

3. Solve for the interest rate:

  (1 + Interest rate)^40 = $1,920,000 / $25,000

  (1 + Interest rate)^40 = 76.8

  Take the 40th root of both sides: (1 + Interest rate) = (76.8)^(1/40)

  Interest rate = (76.8)^(1/40) - 1

Interest rate = 10.42%

Using a financial calculator or spreadsheet, we can calculate the interest rate to be approximately 4.25%.

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A non-transaction deposit would include each of the following, except:
a. a savings account.
b. a checking account.
c. a passbook savings account.
d. a certificate of deposit.

Answers

A non-transaction deposit would include each of the following, except: c. a passbook savings account.

Non-transactional deposits: what are they?

A deposit made to a non-transaction account is known as a time deposit. This kind of account typically bears interest and has a maturity date. With regard to these types of accounts, withdrawals might be capped. Some savings accounts and CDs may be considered non-transaction accounts.

Non-transaction deposit accounts, such as savings accounts, are those that have restrictions on monthly transfers or impose waiting periods before allowing access to funds. Individual retirement accounts (IRAs) and certificates of deposit (CDs) are two types of non-transaction accounts.

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please help me, will give brainliest ​

please help me, will give brainliest

Answers

The blanks in the financial statement can be filled such that :

FCFO = ( $ 30)FCFI = $ 63FCFF = $ 85Total FCF = $ 118

How to find the FCFO, FCFI and FCFF ?

FCFO, FCFI, and FCFF are all financial metrics used to evaluate the financial performance and cash flow of a company. They represent different types of free cash flow, which is the cash that a company generates from its operations after accounting for capital expenditures.

FCFO :

=  -70 + 40

= - $ 30

FCFI :

= 150 - 87

= $ 63

FCFF :

= 80 - 44 + 200 - 54 - 97

= $ 85

The total FCF :

= 63 + 85 - 30

= $ 118

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What does a membership organization have that a nonmembership organization does not?.

Answers

What a membership organization have that a nonmembership organization does not have is members from the public sector.

What is a public sector?

public sector serves as a portion of the economy which entails all levels of government and government-controlled enterprises.

This sector doesn't encompass private companies as well as voluntary organizations, and households.

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Internet is both boon and curse. Justify the statement​

Answers

Why Internet is a boon :-

Because of internet, world has became a global village.

Internet encourages freedom of speech.

Internet is empowering everyone including those who are residing at remotest places.

Internet has created a lot of opportunities that weren’t there before. It created a lot of jobs.

Education got globalized. Students can take any course in any college through E-learning.

New innovations and resources can now be shared easily.

Transfer of files was made easy.

There is no limit to store information in the internet.

Communication has never been this easier.

We can pay bills or buy items from home, that would have required to go outside otherwise.

We can find information about anything.

We can develop our skills through many free courses available in internet.

Internet can be used for entertainment such as playing video games, watching movies etc.

The scope of gossips on celebrities is reducing because now celebrities are able interact with fans directly through social media.

Why Internet is a bane :-

According to researchers, our concentration levels are decreasing with the overwhelming usage of internet as we are concentrating on a lot of things at the same time.

Our memory power is reducing. With the growing usage of internet, we are not using our minds as much as we did when there was no internet. We used to store a lot of information in our minds and we used do simple math without using our phones etc.

The present generation has way too many distractions because of internet.

Lack of security, because hackers can easily theft data or can manipulate it.

Face to face communication has reduced.

Everyone can express their own views. But lots of misleading information too available in the internet. Children and youth can easily be misled by that.

Through Internet, viruses and malware spread easily and total data can get corrupted.

Many waste their precious time on internet.

Gossips spread easily. The privacy of celebrities is diminishing.

Internet addiction is now one of the modern world problems.

Conclusion :-

Internet is definitely a boon. It brought the world closer and made our lives easier. We should utilize technology to compete with this fast world. But every coin has two sides. It’s up to us to receive good and to leave bad.

1. Strategic, administrative, and operating (technical core) are what type of plans?
Time-frame plans
Organizational scope plans
Strategic business plans
Hierarchical plans

Answers

The three types of plans, strategic, administrative, and operating (technical core), are hierarchical plans. Hierarchical plans are structured plans that are organized in a hierarchy, with each level building on the previous level to create a comprehensive plan for the organization.

Strategic plans are long-term planning that set the overall direction and goals of the organization. Administrative plans are medium-term plans that provide guidance for the management and administration of the organization. Operating plans, also known as technical core plans, are short-term plans that focus on the day-to-day operations of the organization.

Together, these three types of plans create a comprehensive plan that covers the entire organization, from the long-term vision to the daily operations. It is important for organizations to have all three types of plans in order to effectively manage and achieve their goals.

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Final answer:

Strategic, administrative, and operating (technical core) are types of Hierarchical plans formulated on different levels of management, strategic for top-level, administrative for middle-level, and operating for lower level.

Explanation:

Strategic, administrative, and operating (technical core) are types of Hierarchical plans. These are plans that are set in an organization based on different levels of management.

Strategic plans are generally set by top-level management and focus on long-term goals and objectives of the organization. Administrative plans, instead are made to implement and execute the strategic plans and are monitored by middle-level management. Lastly, Operating (Technical core) plans are formed by the lower level management and are short-term, handling the everyday operations of the business.

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Competitive firms will always try to earn more than a normal profit by doing the following, except
A. Adopting better production technology
B. Improving their business organization and operation
C. Developing new products
D. Raising the prices of their existing products

Answers

competitive firms adopt various strategies to earn more than a normal profit, such as adopting better production technology, improving their business organization and operation, and developing new products. However, raising the prices of their existing products is not always a viable strategy and can backfire if not executed correctly.

Competitive firms are always striving to earn profits, and this is essential for their survival and growth in the market. However, in a competitive market, earning more than a normal profit can be challenging as there are several players competing for the same customers. In such a scenario, firms have to adopt various strategies to gain an edge over their rivals.One such strategy is to adopt better production technology. By using advanced technology, firms can produce goods at a lower cost, which can help them increase their profit margins. For instance, if a firm uses automated machinery to produce its products, it can reduce its labor costs and increase efficiency, which can help it earn more profits.Another strategy is to improve their business organization and operation. By streamlining their operations, firms can reduce their overhead costs and increase their efficiency, which can help them earn more profits. For instance, if a firm implements better inventory management practices, it can reduce its inventory costs and increase its profitability.

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Why do you think Bill Bowerman liked that Tinker shared his thoughts about the test shoes

Answers

Answer:

to connect

Explanation:

make moneyghgghgjjvyiv

A loan that compounds interest monthly has an ear of 14. 40 percent. What is the apr?

Answers

The APR (Annual Percentage Rate) for a loan that compounds interest monthly and has an EAR (Effective Annual Rate) of 14.40 percent is approximately 13.49 percent.

The APR represents the annualized interest rate charged on a loan, while the EAR accounts for the effect of compounding. To calculate the APR, we need to reverse engineer the formula that relates the EAR and the APR. In this case, we can use the formula:

APR = [(1 + EAR/n)^n - 1] * 100

Where n represents the number of compounding periods per year. Since the loan compounds interest monthly, we have n = 12. By substituting the given EAR value of 14.40 percent into the formula, we find that the APR is approximately 13.49 percent. This means that on an annual basis, the loan will accrue interest at a rate of 13.49 percent, taking into account the effect of monthly compounding.

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Motorcycle manufacturing company CU-Rider produces two popular motorcycles (Ducati 750F and 780R). in the coming months, the manufacturer plans to produce a Limitation 2 or 'Car] Every 'Ducati produced and sold turns a profit 51180 , while every 'Ducati 7808' turns a profit. The motorcycles are mechanically similar but differ in appearance polymer-based trim around the fuel tank burn and upholstery. The Ducati 750 f trim required pounds of polymer and hours of production time, whereas each 'Ducati 7808' required 2 pounds of polymer and hours of production time. Assume that 1300 pounds of polymer and 2500 labor hours are available for production. Assume that motorcycles can be produced in fractions. Please note, unless stated otherwise, each question is independent of the other. construinto) Does this production dedulon violate "Constralnt tr? total profit 5 violetion of Cil? quantity grodaction total priifies 3) What happens to your wolution ostinat if cu-nider increases the max production target (C) by 100?). happens to your optimal solution if cU-Rider can shorten the production time of 'Ducati 780R' byCu-tider motorcycle manufacturing company manufactures two popular motorcycles foucath 750 and 7 soef up to 930 for Fach 'Ducaul 750F' manufactures and sells the result with a profit of 51180 , while each 'Ducati 7 months' generates a profit of. and upholstery.Cach Ducati trim requires a lot of golymer and hours of production time, while each 'Ducati 7ios' requires 2 pounds of polymer and hours of production time. Assume that 1,300 pounds of polymer and 2,500 hours of labor is available for production. Assume that the motorcycle can be produced in fractions. Note, unless otherwise noted, this question is not depend on each other. Doss thli productlon deklaan vlolate 'Constraint in? 2) Determine the number of 'Ducati and 'Ducati 7oh' cu-hiders needed to make their total profit (helude all conatrainti). 3) What happens to your optimal solution if cu-nider increases the maximum production tareet (0) by 100? 4) What happens to your optimal solution if CU-Rider can reduce the production time of the 'Ducati 780R' by 23%? \begin{tabular}{lrr|} total production & Ducati 75OF & Ducati 780R \\ \hline & \\ \hline \end{tabular} total profit \$

Answers

1) Constraint violation
2) Total profit
3) Optimal solution
4) Maximum production target
5) Production time reduction
6) Ducati 750F
7) Ducati 780R
8) Polymer
9) Labor hours

The given problem involves a motorcycle manufacturing company called CU-Rider that produces two popular motorcycles, the Ducati 750F and the Ducati 780R. The company plans to produce a limited number of each motorcycle in the coming months. Each Ducati 750F sold generates a profit of $51180, while each Ducati 780R sold generates a profit of $7808.

The motorcycles have similar mechanics but differ in appearance due to the polymer-based trim around the fuel tank and upholstery. The Ducati 750F requires pounds of polymer and hours of production time, while the Ducati 780R requires 2 pounds of polymer and hours of production time.

To solve the given problem, we need to consider the constraints and optimize the total profit. The constraints are as follows:

1) Polymer constraint: A maximum of 1300 pounds of polymer is available for production.
2) Labor hours constraint: A maximum of 2500 labor hours are available for production.

Now let's address the questions one by one:

1) Does this production decision violate the polymer constraint?
To check this, we need to determine the total polymer requirement for both motorcycles. For the Ducati 750F, the trim requires pounds of polymer, and for the Ducati 780R, 2 pounds of polymer are needed. By multiplying the required pounds of polymer by the number of motorcycles produced for each type, we can find the total polymer requirement. If the total polymer requirement exceeds the available 1300 pounds, then the constraint is violated.

2) Determine the number of Ducati 750F and Ducati 780R that CU-Rider needs to produce to maximize their total profit while considering all constraints.
To maximize the total profit, we need to find the optimal number of motorcycles to produce for each type. This can be achieved by setting up an objective function to maximize the total profit while considering the polymer and labor hours constraints. We can use linear programming techniques to solve this optimization problem.

3) What happens to the optimal solution if CU-Rider increases the maximum production target by 100?
If the maximum production target is increased by 100, it means CU-Rider can produce and sell an additional 100 motorcycles. This change will affect the constraints and potentially the optimal solution. We need to recalculate the total profit and check if the new production quantity violates any of the constraints.

4) What happens to the optimal solution if CU-Rider can reduce the production time of the Ducati 780R by 23%?
If the production time of the Ducati 780R is reduced by 23%, it means the required hours of production for each motorcycle will be lower. This change will also affect the constraints and potentially the optimal solution. We need to recalculate the total profit and check if the new production time reduction violates any of the constraints.

In summary, to solve the given problem, we need to consider the constraints related to polymer and labor hours, optimize the total profit, and evaluate the impact of changes in the maximum production target and production time reduction. Linear programming techniques can be used to find the optimal solution and maximize the total profit for CU-Rider.

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Spectrum Corp: makes two products: C and D. The following data have been summarized: (Click the icon to view the data.) The company plans to manufacture 300 units of each product. Calculate the product cost per unit for Products C and D using activity-based costing. (Round your answers th Begin by selecting the formula to allocate overhead (OH) costs. Data table

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Product C has a product cost per unit of $2,983.33, while Product D has a product cost per unit of $6,700.

Here are the steps on how to calculate the product cost per unit for Products C and D using activity-based costing:

1. Allocate the overhead costs to the activities.

Setup cost: $1,500 per setupMachine maintenance cost: $10 per machine hour

2. Calculate the activity usage for each product.

Product C: 35 setups and 1,500 machine hoursProduct D: 76 setups and 3,700 machine hours

3. Allocate the overhead costs to the products.

Product C: ($1,500/setup) * 35 setups + ($10/machine hour) * 1,500 machine hours = $52,500Product D: ($1,500/setup) * 76 setups + ($10/machine hour) * 3,700 machine hours = $117,500

4. Calculate the product cost per unit.

Product C: ($52,500 / 300 units) + $600/unit + $300/unit = $2,083.33Product D: ($117,500 / 300 units) + $2,400/unit + $200/unit = $4,100

Here is the table of the product cost per unit for Products C and D:

Product Direct materials cost per unit Direct labor cost per unit Indirect manufacturing cost per unit Product cost per unit

C $600 $300 $2,083.33 $2,983.33

D $2,400 $200 $4,100 $6,700

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please be my dad? yes or yes?

Answers

Answer:

or

Explanation:

Answer:

yes i'm you new father figure

Explanation:

An asset is anything that is a resource of value that can be converted into cash. Individuals, companies, and even governments own assets.
Explain the importance of the correct determination of an asset’s value and its effect on one of the financial statements.

Answers

The correct determination of an asset's value is important because it affects a company's financial statements, particularly the balance sheet.

The balance sheet is a statement that shows the company's assets, liabilities, and equity. If assets are not properly valued, it can lead to misleading financial statements. Asset valuation also affects the income statement.

This is because the income statement shows the company's revenue, expenses, and net income. If an asset is not properly valued, it can lead to an incorrect calculation of depreciation expense, which affects the company's net income.

Asset valuation also has an impact on the statement of cash flows. The statement of cash flows shows the company's cash inflows and outflows. If assets are not properly valued, it can lead to an incorrect calculation of cash flows from operating activities, which affects the company's overall cash position.

Therefore, it is crucial for companies to properly determine the value of their assets in order to ensure accurate financial reporting and decision-making.

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Stanley Inc. must purchase $6,000,000 worth of service equipment and is weighing the merits of leasing the equipment or purchasing. The company has a zero tax rate due to tax loss carry-forwards, and is considering a 5-year, bank loan to finance the equipment. The loan has an interest rate of 10% and would be amortized over 5 years, with 5 end-of-year payments. Stanley can also lease the equipment for 5 end-of-year payments of $1,790,000 each. How much larger or smaller is the bank loan payment than the lease payment? Note: Subtract the loan payment from the lease payment.

a. $177,169

b. $196,854

c. $207,215

d. $217,576

e. $228,455

Answers

The amount larger or smaller is the bank loan payment than the lease payment is: c. $207,215.

Bank loan payment

In order tom determine the bank loan payment we would be using financial calculator find the PMT  by inputting the below data

N= Number of years = 5

1/Y= Interest rate= 10%

PV=Present value= -$6,000,000

FV=Face value = 0

PMT=Payment=?

Hence:

PMT=$1,582,784.88

Now let determine the bank loan payment

Bank loan payment=$1,790,000 -$1,582,784.88

Bank loan payment=$207,215

Inconclusion the amount larger or smaller is the bank loan payment than the lease payment is: c. $207,215.

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which of these is the interest rate that is actually observed in financial markets?

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The interest rate that is actually observed in financial markets is the market interest rate.

The market interest rate is the interest rate that banks and other financial institutions charge one another for lending and borrowing funds. It is determined by the forces of supply and demand in the financial markets and is typically influenced by the Federal Reserve's monetary policy.

It is also affected by economic conditions, such as inflation, unemployment, and GDP growth. The market interest rate is used to determine the cost of borrowing money, and is the rate of return investors can expect on investments.

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A local government implemented a tax of $2 for each Uber pickup at the airport.
As a result, consumers pay $2 more for an Uber from the airport. What do we know about the Uber market? answer in relation with microeconomics concepts

Answers

Answer:

The implementation of the $2 tax for each Uber pickup at the airport leads to an increase in the price of the service, which results in a decrease in the demand for Uber at the airport. This is an example of how government policies, specifically taxes, can affect market outcomes in microeconomics. In this case, the tax creates a negative externality for Uber users who are forced to pay more for the same service, resulting in a decrease in the quantity demanded of the service.

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Which of the following statements is incorrect about LLCs and the check-the-box Regulations?
a. If a limited liability company with more than one owner does not make an election, the entity is taxed as a corporation.
b. All 50 states have passed laws that allow LLCs.
c. An entity with more than one owner and formed as a corporation cannot elect to be taxed as a partnership.
d. If a limited liability company with one owner does not make an election, the entity is taxed as a sole proprietorship.
e. A limited liability company with one owner can elect to be taxed as a corporation.

Answers

The incorrect statement about LLCs and the check-the-box Regulations is:

c. An entity with more than one owner and formed as a corporation cannot elect to be taxed as a partnership.

The check-the-box Regulations allow LLCs to choose their tax treatment as either a sole proprietorship, partnership, or corporation. If a limited liability company with more than one owner does not make an election, it is taxed as a partnership. All 50 states have passed laws that allow LLCs. If a limited liability company with one owner does not make an election, the entity is taxed as a sole proprietorship. Furthermore, a limited liability company with one owner can elect to be taxed as a corporation. The only incorrect statement is option c, which suggests that an entity with more than one owner and formed as a corporation cannot elect to be taxed as a partnership. This is false as the check-the-box Regulations allow for corporations to elect to be taxed as a partnership if they meet certain requirements.

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nano-technologies bought out rt-micro using financing as follows: $16 million from mortgages, $4 million from retained earnings, $12 million from cash on hand, and $30 million from bonds. determine the debt-to-equity mix.

Answers

The debt-to-equity mix for nano-technologies is between 74% to 26% after buying out rt-micro

Mortgage (D) is $16,000,000., and retained earnings are $4,000,000. The bond value is $30,000,000 and the cash on hand (CH) is $12,000,000. Then the debt portion can be calculated as follows.

DP = (D+B)/(D+B+R+C)

= 16,000,000 + 30,000,000/16,000,000 + 30,000,000 + 12,000,000 + 4,000,000

= 46,000,000/62,000,000

= 0.7419

Thus, the share of debt is 74.19%.

The equity portion (EP) can be calculated as follows.

DP = (R+C)/ (D+B+R+C)

= 12,000,000 + 4,000,000/16,000,000 + 30,000,000 +12,000,000 + 4,000,000

= 16,000,000/62,000,000

= 0.2580

Thus, the share of equity is 26%. Therefore, the debt-to-equity mix is 74% to 26%

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marian corporation has two separate divisions that operate as profit centers. the following information is available for the most recent year: black division navy division sales (net) $400,000 $350,000 salary expense 23,000 43,000 cost of goods sold 140,000 154,000 the black division occupies 22,000 square feet in the plant. the navy division occupies 33,000 square feet. rent is an indirect expense and is allocated based on square footage. rent expense for the year was $55,000. compute departmental income for the black and navy divisions, respectively. (do not round your intermediate computations)

Answers

To compute departmental income for the black and navy divisions, we need to first allocate the indirect expense of rent based on square footage. The black division occupies 22,000 square feet out of the total 55,000 square feet (22,000 + 33,000), which is 40% of the total square footage.

Therefore, the black division's share of rent expense is $22,000 (40% x $55,000). The navy division occupies 33,000 square feet, which is 60% of the total square footage. Therefore, the navy division's share of rent expense is $33,000 (60% x $55,000).
Using this information and the given figures for sales, salary expense, and cost of goods sold, we can calculate the departmental income for each division.
- Black division:
Net sales: $400,000
Cost of goods sold: $140,000
Gross margin: $260,000
Salary expense: $23,000
Rent expense: $22,000
Departmental income: $215,000 ($260,000 - $23,000 - $22,000)

- Navy division:
Net sales: $350,000
Cost of goods sold: $154,000
Gross margin: $196,000
Salary expense: $43,000
Rent expense: $33,000
Departmental income: $120,000 ($196,000 - $43,000 - $33,000)

Therefore, the departmental income for the black and navy divisions are $215,000 and $120,000, respectively.

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