Casplan Sea Drinks needs to raise $39.00 million by issuing bonds. It plans to issue a 12.00 year semi-annual pay bond that has a coupon rate of 5.01%. The yieid to maturity on the bond is expected to be 4.78%. How many bonds must Caspian Sea issue? (Note: Your answer may not be a whole number. In reality, a company would not issue part of a bond) ________
Answer format: Number: Round to: 0 decimal places.

Answers

Answer 1

Caspian Sea Drinks needs to issue approximately 9,517,167 bonds to raise $39.00 million.

To determine the number of bonds Caspian Sea Drinks must issue, we can use the following formula:

Number of bonds = Amount to raise / Bond face value

First, we calculate the bond face value by dividing the coupon rate by the yield to maturity. Considering the semi-annual payment structure, we divide the coupon rate (5.01%) by 2, resulting in a semi-annual coupon rate of 2.505%. Similarly, we divide the yield to maturity (4.78%) by 2, giving a semi-annual yield to maturity of 2.39%. The bond face value is then computed as:

Bond face value = Semi-annual coupon rate / Semi-annual yield to maturity

Bond face value = \(\frac{2.505}{2.39} =1.0460199005\)

Next, we substitute the values into the formula:

Number of bonds =  \(\frac{39,000,000}{1.0460199005 } = 9,517,166.9425\)

Since it is not possible to issue fractional bonds, we round the number of bonds to the nearest whole number. Therefore, Caspian Sea Drinks needs to issue approximately 9,517,167 bonds in order to raise $39.00 million.

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Related Questions

When the price of yogurt increased by 10%, its demand decreased by 2%. What is its price elasticity of demand?.

Answers

When the price of yogurt increased by 10, its demand dropped by 2 also demand is said to be price elastic when the value of price pliantness is lesser than one.

When the price of yogurt increased by 10, its demand dropped by 2 also demand is said to be price elastic when the value of price pliantness is lesser than one.

A good's price pliantness of demand({ display style E,{ d}} E,{ d}, PED) is a measure of how sensitive the volume demanded is to its price. When the price rises, volume demanded falls for nearly any good, but it falls more for some than for others. The price pliantness gives the chance change in volume demanded when there's a one percent increase in price, holding everything additional constant.

However, that means a one percent price rise leads to a two percent decline in volume demanded, If the pliantness is −2. Another adaptability measure how the volume demanded changes with other variables(e.g. the income pliantness of demand for consumer income changes)

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Captain Hook, the insured, makes a contract with Peter Pan Insurance Company, the insurer, whereby Captain Hook will pay quarterly premiums of $575.00. Upon Hook's death, $1,000,000 will go to Wendy Little as the beneficiary. Further, the policy required that upon Hook's death, the beneficiary must notify the insurer within three months. Captain Hook did not inform Wendy that she was his beneficiary. Captain Hook died and her policy was not found until four months later. Upon finding the policy, Wendy informed Peter Pan Insurance Company that Hook had passed away, but it refused to pay her the money. Wendy sued claiming that she did not need agree to the time limitations and that she was entitled to the money because she informed them of Hook's death. Wendy would best be classified as a(n) ______________.

Answers

Based on the contract between Captain Hook and Peter Pan Insurance Company, Wendy would best be classified as an intended beneficiary.

Who is an intended beneficiary?

An intended beneficiary can be defined as a type of third-party beneficiary who is intended and designated by an insured to directly receive benefits from an established contractual agreement.

Based on the contract between Captain Hook and Peter Pan Insurance Company, we can infer and logically deduce that Wendy would best be classified as an intended beneficiary.

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What is Porter’s Value Chain Model. Explain the Role of
Information Systems in Value Chain Analysis.
do it as soon as possible within 10 minutes

Answers

Porter's value chain model is a business strategy paradigm and role of information systems in value chain analysis is used to analyze data and to differentiate and organize business functions.

This model is known as a business strategy paradigm and it  examines the company operations in order to determine its competitive advantage. It is made up of the primary activities that are directly related to production and delivery and the secondary activities that enable the execution of the primary activities.

In the value chain analysis the role of information system is employed for analysing current sales and data that is related to marketing , to find specialised targets for a service or goods that a business can serve better.

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typical ways that companies cause financial statements to be misstated through fraud of aggressive financial reporting include

Answers

Typical ways that companies cause financial statements to be misstated through fraud or aggressive financial reporting include: Revenue recognition fraud, Expense manipulation, Asset overstatement, Liability understatement, Earnings management, Off-balance-sheet financing, and Related-party transactions

Revenue recognition fraud: This occurs when a company records revenue before it is earned or inflates the amount of revenue reported.
Expense manipulation: Companies may manipulate expenses to improve their financial performance. s.

Asset overstatement: Assets can be overstated by recording fictitious assets, inflating the value of existing assets, or not writing down impaired assets.
Liability understatement: Companies can understate liabilities by not recording them or by recording them at a lower value than they should be.

Earnings management: Earnings management involves the manipulation of financial results to meet or exceed expectations.

Off-balance-sheet financing: Companies may use off-balance-sheet financing to hide liabilities and improve their financial ratios.

Related-party transactions: Companies may engage in transactions with related parties, such as subsidiaries or affiliated entities, to manipulate financial results.

By being aware of these methods, investors and regulators can better detect potential fraud or aggressive financial reporting in financial statements.

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The balance on a credit card, that charges a 20%
APR interest rate, over a 1 month period is given in
the following table:
Days 1-5: $200 (initial balance)
Days 6-20: $350 ($150 purchase)
Days 21-30: $150 ($200 payment)
What is the finance charge, on the average daily
balance, for this card over this 1 month period?
finance charge = $ [?]
Round to the nearest hundredth.
Enter

Answers

The balance on a credit card, that charges a 20% APR interest rate, the Finance charge is given as

$4.3055

This is further explained below.

What is the APR interest rate?

Generally, The interest rate that is applied to a loan, mortgage loan, credit card, etc. is referred to as an annual percentage rate of charge, which sometimes corresponds to a nominal APR and sometimes corresponds to an effective APR.

The annual percentage rate of charge is the interest rate for the entire year, as opposed to just a monthly fee or rate. It is a fee for financing that is presented in the form of an annual rate.

Interest rate APR = 12%

Average balance = ((200*5)+(350*15)+(150*10))/30

Average balance = $258.33

Average balance*APR/12

Finance charge =\(\frac{258.33*20 \%}{12 }\)

Finance charge = $4.3055

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Tickets to a fundraiser are $14 if purchased ahead of time and $25 if purchased at the door. The total amount raised from all ticket sales was $625. If eleven tickets were purchased at the door, how many tickets were purchased ahead of time?.

Answers

25 tickets

($14)(25)=$350
($25)(11)=$275
$350+$275= $625

a good intended for final use by consumers rather than business

Answers

Answer:

A consumer good is a product intended for final use by a consumer.

Explanation:

Consumer good: a good intended for final use by consumers rather than by businesses

Excerpt from Andersen Corporation Per Unit Per MonthSelling price $ 70,000 Direct materials 14,000Direct labor $ 29,000Fixed manufacturing overhead 43,500Fixed selling and administrative expenses 18,125 April May June Beginning inventory 0 0 10Units produced 50 50 50Units sold 50 40 60Ending inventory 0 10 0 Assume that variable costing is used and that direct labor is treated as a variable cost. What is the variable cost of goods sold per unit? a. $781.60 b. $1,730.00c. $14,580.00 d. $15,450.00 What is the variable cost of goods sold per unit using super-variable costing? $580 $1,730 $14,000 $15,450 What is the difference between the super-variable costing and variable costing net operating incomes in May? - Super-variable costing net operating income is $5,800 less than variable costing net operating income. - Super-variable costing net operating income is $5,800 greater than variable costing net operating income. - Super-variable costing net operating income is $29,000 less than variable costing net operating income.- Super-variable costing net operating income is $29,000 greater than variable costing net operating income

Answers

The variable cost of goods sold per unit using variable costing is $781.60. The variable cost of goods sold per unit using super-variable costing is $1,730. The difference between the super-variable costing and variable costing net operating incomes in May is that super-variable costing net operating income is $5,800 less than variable costing net operating income.

To calculate the variable cost of goods sold per unit using variable costing, we need to calculate the total variable cost of goods sold.

Total variable cost of goods sold = Direct materials + Direct labor

= $14,000 + $29,000 = $43,000.

To calculate the variable cost of goods sold per unit, divide the total variable cost of goods sold by the number of units sold.

Variable cost of goods sold per unit = $43,000 / 40 units sold = $1,075.

Therefore, the variable cost of goods sold per unit using variable costing is $1,075 - $294 (fixed manufacturing overhead allocated to each unit) = $781.60.

To calculate the variable cost of goods sold per unit using super-variable costing, we need to calculate the total variable cost of goods sold.

Total variable cost of goods sold = Direct materials + Direct labor

= $14,000 + $29,000 = $43,000.

To calculate the variable cost of goods sold per unit, divide the total variable cost of goods sold by the number of units sold.

Variable cost of goods sold per unit = $43,000 / 40 units sold = $1,075.

Therefore, the variable cost of goods sold per unit using super-variable costing is $1,075.

The difference between the super-variable costing and variable costing net operating incomes in May is that super-variable costing net operating income is $5,800 less than variable costing net operating income. This is because super-variable costing excludes fixed costs from the cost of goods sold calculation, which reduces the net operating income.

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An adjusting entry could be made for each of the following except: multiple choice stockholder investments. Accrued expenses. Unearned revenues. Depreciation. Prepaid expenses

Answers

An adjusting entry could be made for each of the following except "stockholder investments." The correct option is A.

The stockholder investments refer to the investment in the company to give funding or partnership. They are not adjusted at the end of an accounting period.

They are not considered to be part of the company's regular operating activities. Adjusting entries are used to record transactions that have occurred but have not been recorded in the accounting system like accruals, deferrals, and depreciation.

Therefore, the correct option is A.

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goods taken by the proprietor for domestic purpose of Rs.15000​
Journal entries
plz help me

Answers

Explanation:

Given:

Amount of goods taken by proprietor = Rs. 15,000

Find:

Journal entry

Computation:

                                Books of (.... ltd)

Journal entry

Particular                                                 Debit    Credit

Drawing                        A/c Dr             15,000

To Purchase                 A/c Cr                            15,000

(Being goods taken by proprietor for personal use)

a lead strategy involves delaying collection of foreign currency receivables if that currency is expected to appreciate and delaying payables if the currency is expected to depreciate. true/false

Answers

The given statement is true because a lead strategy involves delaying the collection of foreign currency receivables if that currency is expected to appreciate and delaying payables if the currency is expected to depreciate.

A lead strategy is an approach in which an organization delays collecting foreign currency receivables if it thinks the currency will appreciate. Similarly, the approach allows them to delay paying foreign currency payables if the currency is expected to depreciate.The lead strategy is based on the expectations of exchange rates. If a company or organization is expecting a currency to appreciate, it will postpone the collection of foreign currency receivables.

Similarly, it will delay the payment of foreign currency payables if the currency is expected to depreciate. This is done to take advantage of the positive price movements of a foreign currency.So, the given statement is true, and the above explanation explains the meaning of the lead strategy.

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The essence of marketing is a. to modify marketing mix variables so as to secure the highest market share. b. to collect market information and use it to develop long-lasting customer relationships. c. to provide customers with the greatest amount of value.. d. to select a target market big enough to make marketing efforts worthwhile. e. to develop satisfying exchanges from which both customers and marketers benefit

Answers

The essence of marketing can be best captured by option e: "to develop satisfying exchanges from which both customers and marketers benefit." While all the options mentioned have elements of marketing, this option encompasses the fundamental purpose and core principle of marketing.

Marketing is not solely focused on securing the highest market share or selecting a target market based on size. It goes beyond that to establish mutually beneficial relationships between customers and marketers.

The objective is to create value for customers by understanding their needs and preferences and then developing products, services, and experiences that fulfill those needs. At the same time, marketers aim to achieve their business goals by delivering value to customers, fostering loyalty, and driving profitability.

Successful marketing involves building trust, creating positive brand experiences, and nurturing long-lasting relationships with customers. It requires a deep understanding of customer behavior, effective communication, and continuous improvement based on feedback and market insights.

In conclusion, marketing is about creating value for customers and developing satisfying exchanges that benefit both customers and marketers. It involves understanding customer needs, delivering value through products and services, and building enduring relationships. Thus, option e is correct.

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Tim Horton wants to raise funds to open a branch of their coffee shop in Trinidad. To raise the funds, Tim Horton would sell bonds 100 $1,000 par value with a coupon interest rate of 6%. The bonds would mature in 15 years and interest would be paid semi-annually. The required rate of return is expected to be 8%.

Requirement:
a) Calculate the value of one bond
b) What is the total amount Tim Horton would raise if all bonds were sold?

Answers

Answer:

a) The value of one bond is $837.08.

b) The total amount Tim Horton would raise if all bonds were sold is $83,708.

Explanation:

a) Calculate the value of one bond

This can be calculated as follows:

Annual coupon = Bond face value * Coupon interest rate = $1,000 * 6% = $60

Annual coupon discount factor = ((1 - (1 / (1 + r))^n) / r) .......... (1)

Where;

r = required semi-annual rate of return = required annual rate of return / number of semi-annual in a year = 8% / 2 = 0.08 / 2 = 0.04

n = number of semi-annuals = number of years * number of semi-annual in a year = 15 * 2 = 30

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

Semi-annual coupon discount factor = ((1-(1/(1 + 0.04))^30) / 0.04) = 17.2920333006645

Present value of coupon = ((Annual coupon / number of semi-annual in a year) * Semi-annual coupon discount factor) = (($60 / 2) * 17.2920333006645 = $528.76

Present value of the face value of the bond = Face value of the bond / (1 + r)^n = ($1,000 / (1 + 0.04)^30 = $308.32

Therefore, we have:

Bond value = Present value of coupon + Present value of the face value of the bond = $528.76 + $308.32 = $837.08

Therefore, the value of one bond is $837.08.

b) What is the total amount Tim Horton would raise if all bonds were sold?

Number of bonds expected to be sold = 100

Value of one bond = $837.08

Total amount that would be raised = Number of bonds expected to be sold * Value of one bond = 100 * $837.08 = $83,708

Therefore, the total amount Tim Horton would raise if all bonds were sold is $83,708.

kathy is 60 years of age and self-employed. during 2021, she reported $506,000 of revenues and $101,200 of expenses relating to her self-employment activities. If Kathy has no other retirement accounts in her name, what is the maximum amount she can contribute to a simplified employee pension (SEP) IRA for 2021?

Answers

Since the maximum contribution limit for 2021 is $58,000, Kathy would be limited to that maximum amount. Thus, the maximum amount she can contribute to a SEP IRA for 2021 is $58,000.

For self-employed individuals like Kathy, the maximum amount they can contribute to a SEP IRA is determined by a specific calculation. The calculation involves two steps:

Step 1: Determine the net self-employment income.

Net self-employment income = Revenues - Expenses

In Kathy's case, her net self-employment income would be:

Net self-employment income = $506,000 - $101,200 = $404,800

Step 2: Calculate the maximum contribution.

The maximum contribution to a SEP IRA is limited to 25% of the net self-employment income, up to a certain limit. For 2021, the limit is $58,000.

Therefore, the maximum amount Kathy can contribute to a SEP IRA for 2021 would be:

Maximum contribution = 25% of net self-employment income = 25% of $404,800 = $101,200

However, since the maximum contribution limit for 2021 is $58,000, Kathy would be limited to that maximum amount. Thus, the maximum amount she can contribute to a SEP IRA for 2021 is $58,000.

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According to the environment industry organization for model cell 2 represents which of these environments

According to the environment industry organization for model cell 2 represents which of these environments

Answers

It should be noted that in the environment industry organization model, cell 2 simply means B. Complex stable environment.

The business or industry environment simply means the environment where an organization operates. It includes the customers, partners, suppliers, etc.

In the environment industry organization model, cell 2 simply means the complex stable environment.

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Which of the following is an example of a fixed asset?

A. Money in the bank

B. Accounts payable

C. Gross profit

D. Real estate

Answers

Answer:

D. Real estate

Explanation:

Fixed assets are physical resources belonging to a business. There are tangible and valuable items that a business owns. A firm uses fixed assets to generate income in the current and future periods.

Fixed assets have a useful life exceeding the current financial year. They are not meant for sale in the short run but to help a business generate income for many years to come. From the list provided, real estate is a fixed asset. Other examples of fixed assets include motor vehicles, machinery, and equipment.

The steady growth line best supports which conclusion about the economy
represented in the graph?
The Business Cycle
Production output
h w
Time
A The economy never experiences significant periods of contraction
.
B. The economy does not display consistent patterns in its business
cycles
C. The economy improves steadily over several business cycleding
D. The economy has pronounced troughs but no clear peaks.

The steady growth line best supports which conclusion about the economyrepresented in the graph?The Business

Answers

Answer is the letter C

The steady growth line indicates that the economy improves steadily over several business cycles.

Business cycle refers to the period whereby there is growth and decline in the economy of a nation and this can be measured through the gross domestic product of such economy.

The four stages in the business cycle are the expansion, the peak period, the contraction period and the trough period. In the expansion period, there a relatively rapid growth.

Based on the graph given, the steady growth lines shows that there was a steady improvement in the economy improves over the business cycles.

In conclusion, the correct option is C.

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The steady growth line best supports which conclusion about the economyrepresented in the graph?The Business

what is included in a business plan

Answers

Answer:

There is no specific answer

Explanation:

Every business has different plans based on what they do.

A business plan is separate from an individual plan. Business plans can also include tools that the other plans don't have.

Financial managers focus on _____, the inflow and outflow of cash. Group of answer choices cash flows revenue streams sales revenues profit and loss patterns financial flows

Answers

Financial managers focus on option(a)i.e, cash flow the inflow and outflow of cash.

A payment (in a currency), notably from one central bank account to another, is referred to as a cash flow. the word "cash flow" is typically used to represent payments that are anticipated to occur in the future, are therefore unknown, and require cash flow forecasting.

To assess the liquidity and solvency of the company, organizations should monitor and analyze three different types of cash flow:

cash flow from operating operations, cash flow from investing activities, cash flow from financing activities.

Accounting professionals' financial accounts and other data are used by financial managers to make financial decisions. The inflows and outflows of cash are the main focus of financial management. They organize and track the company's financial flows to make sure there is money on hand when it is required.

A financial manager's primary responsibility is to assess an organization's efficiency through effective resource allocation, acquisition, and management. It offers direction for financial planning. It aids in obtaining funding from many sources. It aids in making wise financial investments.

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can you generate a mean return of 20.16% with a lower standard deviation than the china index if short selling is not allowed? explain.

Answers

Generating a mean return of 20.16% with a lower standard deviation than the China index while short selling is not allowed can be challenging. However, it is important to note that the mean return and standard deviation are influenced by various factors, including market conditions, investment strategies, and asset selection.

When short selling is not allowed, it means that you cannot sell an asset that you do not currently own. This restriction limits the investment opportunities and strategies available to achieve the desired return and reduce the standard deviation.

To generate a mean return of 20.16% with a lower standard deviation, you would need to carefully select a diversified portfolio of assets that have the potential for high returns while maintaining low volatility. This could involve thorough research, analysis, and understanding of the market and specific investment options.

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Baako Ltd purchase motor vehicle as follows date 01/01/13 800,000$,01/01/13 400,000$,01/04/15 600,000. The company adopts straight line method of depreciation at the rate 10% per annum from the date of purchase separate account is prepared for provision for depreciation. On 30th June, 2014 the motor vehicle which was purchase on 1st July was sold for 24,000$. You are required to prepare (a) motor vehicle account for the years 2013,2014 and 2015. (b) motor vehicle disposal account.​

Answers

Baako Ltd purchase motor vehicle as follows date 01/01/13 800,000$,01/01/13 400,000$,01/04/15 600,000. The company adopts straight line method of depreciation at the rate 10% per annum from the date of purchase separate account is prepared for provision for depreciation. On 30th June, 2014 the motor vehicle which was purchase on 1st July was sold for 24,000$. You are required to prepare (a) motor vehicle account for the years 2013,2014 and 2015. (b) motor vehicle disposal account.

Your aunt ruth has $610,000 invested at 6. 5%, and she plans to retire. She wants to withdraw $40,000 at the beginning of each year, starting immediately. How many years will it take to exhaust her funds, i. E. , run the account down to zero?.

Answers

It will take Aunt Ruth 43 years to deplete her savings, or completely Period rate empty the account, If aunt Ruth intends to retire and has $610,000 invested at a 6.5% yield.

Rate per Period                         0.065

Payment per Period                   $40,000.00

Present Value                             $610,000.00

Future Value                               $0.00

Ending (0), Beginning (1)             1

Total No. of Payments                42.40

Nper (rate,pmt,-pv,fv,type)         Nper (0.065, 40,000, -610,000, 0, 1)

                                                   43 years

Price = Annual dividend / Required return

       = 5 / 0.0225

       = $222.22

The periodic rate is equal to the yearly interest rate when multiplied by the total number of periods. A mortgage's interest is normally calculated monthly, so if the annual interest rate is 4%, you would divide that amount by 12 to get 0.33 percent. That is the same as your monthly interest.

The actual interest rate is higher than the declared annual interest rate when a bank assesses periodic interest based on the typical balance of a loan on a monthly or daily basis. Compound interest's impact is the cause.

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What were the economic consequences of apartheid in south africa?.

Answers

Answer

Apartheid education policies lead to low rates of investment in human capital of black workers. Consequently, the economy falls to a lower level of physical and human capital in equilibrium and hence to a lower real income per capita in the long-run equilibrium

Answer: answer is
A C  D

Explanation:

did it

1. if reeby sports did go public, what should its shares sell for today? 2. is george reeby correct in his suspicion that book value is not necessarily a good guide to how much the shares are worth?

Answers

1. The price of Reeby Sports' shares if it went public today would depend on a variety of factors, including the company's financial performance, market demand for the shares, and the overall state of the stock market. Without more information, it is difficult to accurately determine what the shares should sell for today.

2. George Reeby is correct in his suspicion that book value is not necessarily a good guide to how much the shares are worth. Book value is simply the difference between a company's assets and liabilities, and does not take into account other factors that may affect the value of the shares, such as the company's future growth potential or the overall state of the stock market.

Therefore, it is important to consider other factors in addition to book value when determining the worth of a company's shares.

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According to the video, where do most Commercial Artists work?

in an office or studio
in a warehouse or factory
in a school
in a gallery

Answers

In an office or studio hope this helps

Answer:

A.

Explanation:

Edge 2023

According to the video, where do most Commercial Artists work?in an office or studioin a warehouse or

A store bought a hand-crafted toy chest at a cost of $921. 60 and marked it up 115%. Sebastian bought it and paid 2% sales tax. What was his total cost?.

Answers

The total cost that Sebastian has to pay is $1061.95.

To calculate the markup amount, we can use the formula:

markup = (selling price - cost) / cost.

We know that the markup is 115% and the cost is $921.60.

So we can set up the equation like this:

(selling price - 921.60) / 921.60 = 0.115

To find the selling price, we can solve for it:

selling price = 921.60 + (921.60 × 0.115)

selling price = $1,041.13

Now we have the selling price, we can find out the sales tax by multiplying the selling price with 2%

sales tax = 1,041.13 × 0.02

sales tax = $20.82

So the total cost for Sebastian is the selling price + sales tax

total cost = 1,041.13 + 20.82

total cost = $1,061.95

Therefore the total cost for Sebastian is $1,061.95

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Andrea has a health insurance deductible pf $5,000. Her medical bills for the year total $49,000. How much will she be required to pay out of pocket on her annual medical bills?

A. $5,000

B. $33,000

C. $0

D. $38,000​

Answers

b is right answer I think

$5,000 is the amount she will pay out of pocket on her annual medical bills.

Basically, the term of Deductible is used in Insurance. The amount of deducible refrain the Insurer from liability until a certain level of liability is reached.

In health Insurance, having a deductible of $5,000 on one's policy means the health plan benefits will start after one pays $5,000 out of his pocket.

Information given

Deductible = $5,000

Total claim = $49,000

Therefore, the Option C is correct because $5,000 is the amount she will pay out of pocket on her annual medical bills.

What do insurance companies pay to compensate consumers after a loss? copayments deductibles payouts premiums

Answers

Answer:

C. payouts

Explanation:

i took the test

Carradine Company prepares an adjusting journal entry to accrue salaries at year-end. What effect will this entry have on the financial statements

Answers

Answer: Increase in Liabilities; Decrease in Equity

Explanation:

If Salaries are accrued at year end, the salary expense will be credited to the Salaries Payable account which is a liability account to reflect that the company owes its staff some money.

The amount owed will be debited to the salaries expense account and so will reflect in the Income statement where it will reduce the net income for the period. This means that it will reduce Retained Earnings for the period and as Retained earnings is an Equity account, Equity in total will decrease.

Did You Know That The Movie Theaters Are Working On Making A Second Mortal Kombat Movie? It's Gonna Be Great, The Title Of The Movie Is ''Mortal Kombat 2''

Answers

—Mortal Kombat: Annihilation was released on November 21, 1997.

—Every generation, a portal opens up between the Outerworld and Earth. Emperor Shao-Kahn (Brian Thompson), ruler of the mythical Outerworld, pounces the moment the portal reopens and slips through with his mighty warriors, intent on total domination and uniting the two worlds. However, he has only seven days to complete his task. In the meantime, opposition grows and warriors Sonya Blade (Sandra Hess), Jax (Lynn "Red" Williams), Kitana (Talisa Soto) and Liu Kang (Robin Shou) get ready for war.

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