how will lowering the discount rate affect the present value of a perpetuity?

Answers

Answer 1

Lowering the discount rate will have a direct impact on the present value of a perpetuity.

A perpetuity is a stream of cash flows that continues indefinitely, with a fixed amount paid at regular intervals. The present value of a perpetuity can be calculated using the formula P = C/r, where P is the present value, C is the fixed payment amount, and r is the discount rate.

If the discount rate is lowered, the present value of the perpetuity will increase. This is because the lower discount rate reflects a lower opportunity cost of capital. In other words, investors are willing to accept a lower rate of return on their investment, which means that the present value of future cash flows is worth more today.

For example, if a perpetuity pays $1000 per year and the discount rate is 10%, the present value would be $10,000 ($1000/0.1). However, if the discount rate is lowered to 8%, the present value would increase to $12,500 ($1000/0.08).

Lowering the discount rate can have significant implications for investments that rely on a stream of cash flows, such as bonds, annuities, and pension funds. It can also impact the valuation of companies and their stock prices. Therefore, it is important to carefully consider the impact of changes in the discount rate on the present value of financial instruments.

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Related Questions

jack works for a small pest-control company that has a total of five employees. from his point of view, the primary disadvantage of a small business is the

Answers

According to Jack's point of view, the primary disadvantage of a small business of pest-control company is the limited resources.

From Jack's point of view, one of the main drawbacks of running a small pest-control business is the limited resources. Not only are there financial constraints that can make it difficult to expand the business, but there are also limits to the number of people and equipment that can be used.

This can mean having to turn away customers when the business is already stretched too thin. It can also be challenging to stay on top of new trends and advancements in pest-control technology due to the limited budget and staff.

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how can you say that office is an information centre?​

Answers

Answer:

hope this helps

Explanation:

An office is an information center which provides information relating to business transactions. Such information is very useful. It is used by management for the purpose of planning, organizing, staffing, directing and controlling.Information Center: The office serves as an information centre. It collects information from sources like invoices, letters, memos, agreements, vouchers etc., and protects them in safe mode on the basis of their importance for future reference.It is used by management for the purpose of planning, organizing, staffing, directing and controlling. Office not only keeps record of information but also plays the role of reliable channel of communicating the information. It is required for smooth functioning of the organization.

Answer:

Explanation:

I think information centre is designed specifically for storing, processing, and retrieving information for dissemination at regular intervals. if the office is doing so then you can say that it is information centre.

A ball of mass 1.5 kg is thrown upward. It leaves the thrower's hand with a velocity of 10 m/s. The following questions refer to the motion after the ball leaves the thrower's hand. Assume that the upward direction is positive. Please show me the work, I am lost, thank you
A. How long before the ball returns to the throwers hand?
B. What is final velocity of the ball just before it reaches the hand?
C. What is the change in momentum of the ball?
D. What is the impulse calculated from the change of momentum?
E. from the impulse, find the average force acting on the ball. What causes the force?
After the ball hits the thrower's hand it comes to a rest in .25 sec.
A. What is the net impulse exerted on the ball by the hand?
B. What is the average force exerted by the hand on the ball during the .25sec that the ball is being stopped?
C.What is the average force exerted by the ball on the hand during this time?

Answers

A. The ball takes approximately 1.02 seconds to return to the thrower's hand.

B. The final velocity of the ball just before reaching the hand is -10 m/s.

C. The change in momentum of the ball is -30 kg·m/s.

D. The impulse calculated from the change in momentum is -30 kg·m/s.

E. The average force acting on the ball is approximately -29.41 N, caused by gravity.

After hitting the thrower's hand:

A. The net impulse exerted on the ball by the hand is 15 kg·m/s.

B. The average force exerted by the hand on the ball during the 0.25 seconds is 60 N.

C. The average force exerted by the ball on the hand during this time is also 60 N, but in the opposite direction.

A. To find the time before the ball returns to the thrower's hand, we can use the equation of motion for vertical motion:

v = u + at

where:

v = final velocity (0 m/s when the ball reaches the thrower's hand)

u = initial velocity (10 m/s when the ball leaves the thrower's hand)

a = acceleration due to gravity (-9.8 m/s^2, considering the downward direction as negative)

t = time

Rearranging the equation, we have:

0 = 10 - 9.8t

Solving for t, we get:

t = 10/9.8 ≈ 1.02 seconds

Therefore, it takes approximately 1.02 seconds for the ball to return to the thrower's hand.

B. The final velocity of the ball just before it reaches the hand is the same as its initial velocity, but in the opposite direction. So the final velocity is -10 m/s.

C. The change in momentum of the ball is given by the equation:

Δp = m(v_f - v_i)

where:

Δp = change in momentum

m = mass of the ball (1.5 kg)

v_f = final velocity (-10 m/s)

v_i = initial velocity (10 m/s)

Δp = 1.5(-10 - 10) = -30 kg·m/s

The change in momentum is -30 kg·m/s.

D. The impulse is defined as the change in momentum. So the impulse calculated from the change in momentum is -30 kg·m/s.

E. To find the average force acting on the ball, we can use the equation:

Impulse = average force × time

Since we have the impulse (-30 kg·m/s) and the time (1.02 s), we can rearrange the equation to solve for the average force:

Average force = Impulse / time = -30 kg·m/s / 1.02 s ≈ -29.41 N

The negative sign indicates that the force is acting in the opposite direction to the motion of the ball. In this case, the force is due to gravity, which causes the ball to decelerate as it moves upward and accelerate as it moves downward.

After the ball hits the thrower's hand and comes to rest in 0.25 seconds:

A. The net impulse exerted on the ball by the hand is equal to the change in momentum. Since the ball comes to rest, the final velocity is 0, and the initial velocity is -10 m/s. Thus, the change in momentum is given by:

Δp = m(v_f - v_i) = 1.5(0 - (-10)) = 15 kg·m/s

Therefore, the net impulse exerted on the ball by the hand is 15 kg·m/s.

B. The average force exerted by the hand on the ball during the 0.25 seconds can be calculated using the formula:

Average force = Impulse / time = 15 kg·m/s / 0.25 s = 60 N

The average force exerted by the hand on the ball during the 0.25 seconds is 60 Newtons.

C. The average force exerted by the ball on the hand during this time is equal in magnitude but opposite in direction to the force exerted by the hand on the ball. Therefore, the average force exerted by the ball on the hand is also 60 Newtons, but in the opposite direction

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Note this question belongs to  the subject Physics.

JohnBoy Industries has a cash balance of $54,000, accounts payable of $134,000, inventory of $184,000, accounts receivable of $219,000, notes payable of $129,000, and accrued wages and taxes of $41,500. How much net working capital does the firm need to fund?

Answers

Answer:Net working capital = $152,500

Explanation:

Net working capital = CA– CL

Where CA= Current Assets = Cash + Inventory + Accounts Receivable

and CL= Current Liabilities= Account payable + Notes payable + accrued wages and taxes

CA=$54, 000 + $184,000 + $ 219,000 =$457,000

Current liabilities = Account payable + Notes payable + accrued wages and taxes

CL = $134,000 + $129,000 + $41,500 = $304,500

Net working capital = Current assets – Current liabilities

Net working capital = $457,000 – $304,500=  $152,500

Net working capital = $152,500

Automation, robots, and technology are replacing human workers, especially in manufacturing
jobs. Is this change good or bad for Americans and the economy? Justify your response.

Answers

Answer:

It should be good.

Explanation:

Answer:

Bad

Explanation:

Robots replacing human workers means that more people will be unemployed, and they won't be able to afford the goods the robots make, so the businesses will have more goods than they can sell, which is bad for the economy.

what happens to consumer and business spending when the interest rates go up?

Answers

Answer:

When interest rates are rising, both businesses and consumers will cut back on spending. This will cause earnings to fall and stock prices to drop.

Anna got a high-paying job as a lab technician upon graduation. She took
five years to graduate from a public university and did take out a lot of
loans. What kind of return on investment (ROI) does Anna demonstrate?
Can't determine ROI
Negative ROI
Positive ROI
ОО
Neutral ROI

Answers

Answer:

Positive ROI

Explanation:

A positive ROI or positive rate of return occurs when the benefits realized from a project are much more than the costs incurred.  Positive implies that a net effect of a number greater than zero.

Anna did not incur a lot of debts while in college. It suggests she controlled her expenses well. Since Anna has a well-paying job, her income and the cost incurred in college compare favorable. Her benefits are more compared to the cost of education.

B- The return on investments (ROI) that Anna should demonstrate is a positive Return on Investment (ROI). This is due to the excess loans taken by Anna during her education before getting the job.

Anna needs to maintain a hefty savings and needs to pay her liabilities in the forms of loans first because she is under obligation of the lending authority to pay for her education loan along with interest accrued.

Anna will not end up saving for herself and her needs if she is unable to save the money after paying her dues towards her loan. She has to make sure a healthy return on investments made by her.

Usually an education loan is an expensive loan with higher rates of interests charged by the bank due to shortage of jobs in the economy due to unemployment flair and hence avoiding the risk associated.

If her interest rate of loan is around 8% she has to make sure her salary is saving her way more than this loan amount with interest which will be due periodically.

Hence, option B is correct that Anna will have to maintain and demonstrate a positive return on investments followed by her high paying job.

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In the context of forecasting errors, _____ eliminates the measurement scale factor.
a. normalized mean signed deviation
b. mean absolute deviation
c. normalized root mean square error
d. mean absolute percentage error

Answers

c. Normalized root mean square error (NRMSE) eliminates the measurement scale factor by dividing the root mean square error (RMSE) by the range of the measured variable.

This normalization allows for a more meaningful comparison of forecast errors across different scales of measurement. It provides a relative measure of the forecast error that is independent of the specific units or magnitude of the variable being forecasted.

Normalized root mean square error (NRMSE) is a statistical metric used to assess the accuracy of forecasts. It eliminates the measurement scale factor by dividing the root mean square error (RMSE) by the range of the measured variable. RMSE measures the average magnitude of the differences between predicted and actual values, but it doesn't account for the scale of the variable being forecasted. By normalizing it with the range of the variable, NRMSE provides a relative measure of the forecast error that allows for meaningful comparisons across different measurement scales. This makes it a valuable tool for evaluating forecast accuracy in diverse domains.

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PLEASE HELP QUICKLY: (FIRST ANSWER GETS BRAINLIEST) PERSONAL & FAMILY FINANCE
What is one TRUE statement about the stock exchange?





Each stock market is used to buy and sell stocks or shares of ownership in a company.





There is only one big stock market, and it is located in Singapore.





For all stock markets, the buying, selling, and trading of stocks happens on the trading floor

Answers

Answer:

Each stock market is used to buy and sell stocks or shares of ownership in a company.

Explanation:

Each stock market is used to buy and sell stocks or shares of ownership in a company

Lucas invests $2000 per year in his retirement account for 40 years in an investment with an average annual return of 10%. Approximately how much will he have after 40 years

Answers

If Lucas invests $2,000 yearly for 40 years with annual return of 10%, he will have $885,185.

Data and Calculations:

N (# of periods) = 40 years

I/Y (Interest per year) = 10%

PV (Present Value) = $0

PMT (Periodic Payment) = $2,000

Results:

FV (Future Value) = $885,185.11

Sum of all periodic payments = $80,000 ($2,000 x 40)

Total Interest= $805,185.11

Thus, approximately, Lucas will have $885,185 in his retirement account after 40 years.

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wich situation would cause the price of a product to fall the most

Answers

The quality of that product I think

yet Assuming of output, which of the following is correct? a. VC increases, FC increases, and TC increases. b. VC does not change, FC increases, and TC increases. c. VC may increase or decrease, FC may increase or decrease, and TC increases. d. VC increases, FC does not change, and TC increases. we are in the short-run, if marginal cost increases at every level

Answers

In the short run, with increasing marginal cost, option b accurately represents the relationship between VC, FC, and TC.So, the correct option is b.

In the short run, if marginal cost increases at every level of output, it implies that variable costs (VC) remain constant while fixed costs (FC) increase. This is reflected in option b, which states that VC does not change, FC increases, and total cost (TC) increases.

When marginal cost increases, it suggests that each additional unit of output requires a higher cost to produce. This could be due to diminishing returns to scale, where the efficiency of production decreases as more units are produced. As a result, the cost of variable inputs needed to produce each unit of output does not change, but the fixed costs associated with the production process, such as rent, utilities, or equipment maintenance, continue to accrue.

Consequently, the total cost of production, which is the sum of fixed and variable costs, increases. This is because the higher marginal cost adds to the total cost for each unit produced. Therefore, in the short run, with increasing marginal cost, option b accurately represents the relationship between VC, FC, and TC.

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A ground-dwelling plant grows along a chain-link fence

Answers

Answer: Very instresting?

Explanation:

Which would be most beneficial for most tax filers?.

Answers

For most tax filers, taking advantage of tax deductions and credits available to them can be highly beneficial.

Claiming the standard deduction is often advantageous as it provides a straightforward way to reduce taxable income. Contributing to retirement accounts, such as a 401(k) or IRA, offers tax advantages and long-term savings potential. Education tax credits, child tax credits, and health savings accounts are also valuable options to consider.

Additionally, making charitable contributions can provide both personal fulfillment and potential tax deductions. However, it's important to recognize that individual circumstances vary, and seeking guidance from a qualified tax professional or utilizing tax preparation software is crucial to optimize tax benefits based on specific situations.

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Jones, Incorporated acquires 15% of Anderson Corporation on January 1, 2020, for $105,000 when the book value of Anderson was $600,000. During 2020 Anderson reported net income of $150,000 and paid dividends of $50,000. On January 1, 2021, Jones purchased an additional 25% of Anderson for $200,000. Any excess cost over book value is attributable to goodwill with an indefinite life. The fair-value method was used during 2020 but Jones has deemed it necessary to change to the equity method after the second purchase. During 2021 Anderson reported net income of $200,000, and reported dividends of $75,000. The income reported by Jones for 2021 with regard to the Anderson investment is:_____.
a. $80,000.
b. $30,000.
c. $50,000.
d. $15,000.
e. $75,000.

Answers

The income reported by Jones for 2021 with regard to the Anderson investment is $80,000

In 2021 Jones changed the method from fair value to Equity method.

In the equity method Income reported is

= income of the company in which investment is made x capital share in that company

= $200,000 x 40%

= $80,000

Investing is dedicating an asset to achieve an increase in value over a period of time. Making an investment requires sacrificing your current assets such as time, money, and effort. In finance, the purpose of investment is to generate a return on the assets invested

The definition of investment is an asset that is purchased or invested to build wealth and save money from hard-earned income or capital appreciation.

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Differentiate between generic and enterprise competition

Answers

Answer:

Generic competition is competition among different products that solve the same purpose while enterprise competition is am orderly established business with limited liability of another person. The main difference between the two is that generic is rivalry among similar businesses while enterprise is the company itself.

Differences between generic and enterprise competition

Generic competition is regarded as the third level of competition while enterprise competition is not among the level of competition but it does existGeneric competition are often longer-term and focuses on substitutable product categories that is it exists between business product while Competitive Enterprise is simply a type of competition that exist been enterprise

For better understanding, lets explain what Differences between generic and enterprise competition

Generic competition is a type of competition that is outward-oriented and focuse on products. the market that exists here consists of those products and services fulfilling the same customer need

Competitive Enterprise is simply when an existing or planned business enterprise are involved or engages in any activity and also owns or controls some a useful interest and are involved in any activity that tends to competes or will compete with other enterprise

From the above, we can therefore say that the answer

Differences between generic and enterprise competition

Generic competition is regarded as the third level of competition while enterprise competition is not among the level of competition but it does existGeneric competition are often longer-term and focuses on substitutable product categories that is it exists between business product while Competitive Enterprise is simply a type of competition that exist been enterprise

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Yamato has an app on his cell phone that allows him to earn points whenever he buys food from a certain restaurant. These points can be used later to purchase additional food items from the restaurant, and they have caused Yamato to buy more food. The points serve as a(n) _____ for Yamato's buying behavior.

Answers

The points above serve as a positive reinforcer for Yamato's buying behavior.

What is  positive reinforcement?

This is often describe as the act that involves adding of a reinforcing stimulus that is accompanied by a behavior that makes it more evidence that the behavior will take place again in the future.

When a good outcome, event, or reward happens after an action, that specific response or behavior is known to be strengthened.

The Examples of Positive Reinforcement is Clapping and cheering.

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Because the scope of a business message for an expert is more detailed than that for layperson, what can business writers use when writing for an expert that they can't use for a layperson

Answers

When writing for an expert, business writers can use jargon that a layperson cannot.

When writing for an expert, business writers can use industry-specific jargon, technical terms, and acronyms that are commonly understood within the field. These specialized terms can communicate complex ideas and concepts more efficiently and precisely than layperson language, which may be too simplistic or general.

Using jargon can demonstrate to the expert reader that the writer understands the subject matter and can convey information effectively.

Business writers are experts in their field and are knowledgeable about specialised concepts. A layperson, on the other hand, is someone who isn't highly specialised and doesn't know much about a specific subject. As a result, business writers cannot use jargon when writing for the general public. Because jargon is a type of word that is frequently used by experts but is not fully understood by others.

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the complete question is:

Because the scope of a business message for an expert differs from that for a layperson, what can business writers use when writing for an expert that they cannot use when writing for a layperson?

A. graphics B. slang terms

C. colloquial language D. jargon E. examples

what to argue about financial literacy​

Answers

Answer: Finance Course Prompts Debate,” argues that “the $600,000 is a low cost if the [financial literacy program] is effective. An

effective course will return that investment,” speaking in reference to the cost of the program. Courses, especially financial

literacy, greatly give back on investments made in them by using the students’ education gained from the class.

Explanation:

import agents are typically limited to independent trading houses. true or false?

Answers

False. Import agents are not limited to independent trading houses.

Import agents are individuals or entities that facilitate the process of importing goods from foreign countries. They can be employed by various types of organizations, including independent trading houses, but they are not limited to them. Import agents can also work for import-export companies, manufacturers, retailers, or even operate as independent contractors.

Import agents play a crucial role in international trade by assisting businesses in navigating the complexities of importing goods. They have knowledge and expertise in areas such as customs regulations, shipping logistics, documentation, and negotiating with suppliers. Import agents act as intermediaries between the buyer and the seller, ensuring smooth transactions and compliance with import laws and regulations.

The services provided by import agents can vary depending on the specific needs of the business. They may handle tasks such as sourcing suppliers, negotiating prices and terms, arranging transportation, managing customs clearance, and coordinating delivery. Import agents can bring valuable market insights, network connections, and efficiency to the import process, regardless of the type of organization they work for.

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When you are saving or investing, the amount of expected return you receive is based on this:
O Risk Level
O Time
O None of the answers are correct
O Interest

Answers

It is Based on The Risk Level.



Using the data in EA-5, assume that Dearden management purchased the Jaffa stock for the trading securities portfolio instead of the available-for-sale securities portfolio. Prepare any journal entries that are required by the facts presented in the cas

Answers

In this scenario, if Dearden management purchased the Jaffa stock for the trading securities portfolio instead of the available-for-sale securities portfolio, the following journal entries would be required:

1. To record the purchase of Jaffa stock:
  - Debit Trading Securities (an asset account) for the cost of the Jaffa stock.
  - Credit Cash (or Accounts Payable) for the same amount.

2. If any dividends are received from the Jaffa stock:
  - Debit Cash (or Accounts Receivable) for the amount of dividends received.
  - Credit Dividend Revenue (an income account) for the same amount.

3. If the Jaffa stock is sold:
  - Debit Cash for the proceeds received from the sale.
  - Credit Trading Securities for the cost of the Jaffa stock.
  - Record any gain or loss by debiting or crediting the appropriate account (e.g., Gain on Sale of Trading Securities or Loss on Sale of Trading Securities).

It is important to note that the specific accounts and amounts would depend on the information provided in EA-5. Additionally, consult with an accounting professional or refer to the relevant accounting standards for accurate and specific guidance.

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The journal entries would depend on the specific details of the purchase, such as the cost of the Jaffa stock, any transaction fees, and the method of payment.

To prepare the journal entries for the purchase of Jaffa stock, we would need specific data related to the transaction. The journal entries would involve recording the acquisition of the Jaffa stock, any cash or other assets exchanged, and any transaction costs incurred.

Here is a general outline of the journal entries that might be required:

1. Purchase of Jaffa Stock:

  Debit: Trading Securities (or Investments) - Jaffa Stock

  Credit: Cash (or Accounts Payable or other assets) - Cost of Jaffa Stock

2. Recording Transaction Costs (if applicable):

  Debit: Trading Securities (or Investments) - Jaffa Stock (increase in cost basis)

  Credit: Cash (or Accounts Payable) - Transaction Costs (fees, commissions, etc.)

The specific accounts used in the journal entries may vary depending on the company's chart of accounts and accounting policies.

It's important to note that the exact amounts and accounts to be debited or credited would depend on the specific details of the transaction and the accounting standards and policies followed by Dearden management.

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Getler Inc.'s projected capital budget is $2,000,000, its target capital structure is 40% debt and 60% equity, and its forecasted net income is $1,000,000. If the company follows a residual dividend policy, how much dividends will it pay or, alternatively, how much new stock must it issue?Dividends Stock Issueda.$541,500 $171,475b.$600,000 $190,000c.$514,425 $162,901d.$570,000 $180,500e.$ 0 $200,000

Answers

Answer:

The correct answer to the following question will be Option e (0 $ 200,000).

Explanation:

Residual dividend policy should be used for businesses that fund their capital needs by wealth earned at home. Such that, companies can make investments only if all investment requirements are satisfied by something like internal resources instead of moving to something like the marketplace.

Capital Budget = $2,000,000

Capital structure will be:

Debt = 40%    

Equity = 60%

Income = $1,000,000

So let us measure the balance of our Expected Debt and Equity first:

Debt = \(2,000,000 \times 40 \ percent\)

        = \(800,000\)

Equity = \(2,000,000\times 60 \ percent\)

           = \(1,2000,000\)

As we know our income will be $1,000,000.

Then maybe we can have been using our inner income of $1,000,000 to funding everyone's capital requirement of $1,2000,000.

So,

Residual amount = \(1,000,000 - 1,2000,000\)

                            = \(-200,000\)

This suggests that our organization has to sell upwards of $200,000 shares of assets and therefore will not be capable to afford to pay some distributions yet. So that option e would be the right answer.

What is the purpose of an importer submitting their duty
payments through Electronic Funds Transfer versus paying with a
check; can any importer make payment using this option?

Answers

The purpose of an importer submitting their duty payments through Electronic Funds Transfer (EFT) instead of paying with a check is to provide a more efficient, secure, and streamlined payment process.

Efficiency: EFT allows for the electronic transfer of funds directly from the importer's bank account to the government agency responsible for collecting the duties. This eliminates the need for manual processing and reduces the time and effort required to process the payment. Security: EFT offers a more secure payment method compared to checks. With EFT, the funds are transferred electronically, minimizing the risk of loss or theft associated with physical examinations. Additionally, EFT transactions can be encrypted and authenticated, ensuring the confidentiality and integrity of the payment information. Streamlined Process: EFT enables automated reconciliation and faster clearance of payments. The electronic transfer of funds eliminates the need for physical checks to be processed, deposited, and cleared, resulting in a more streamlined and efficient payment process. Not all importers may be able to make payments through EFT. The availability of this payment option may vary depending on the customs regulations and requirements of the specific country or customs authority. Importers should check with the relevant customs authority to determine if EFT is an accepted payment method and if they meet the necessary criteria to utilize this option.

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you are an administrative assistant in the purchasing department. Another administrative assistant is getting married in three weeks. Rumor has it that after the wedding, she will not be returning, and two of your peers have come to you asking if it is true because they want to apply for her job. you have not seen an official announcement, however, the assistant did tell you that she plans not to come back. What should you say to your two coworkers?

Answers

In this situation, You should tell your coworkers that you are unsure and that it is not yet official announced.

Co - workers.

Co workers refers a person with whom one works, typically someone in a similar role or at a similar level within an organization.

Given,

Here we have given that, you are an administrative assistant in the purchasing department. And another administrative assistant is getting married in three weeks. There is a rumor has it that after the wedding, she will not be returning, and two of your peers have come to you asking if it is true because they want to apply for her job. Now, you have not seen an official announcement, however, the assistant did tell you that she plans not to come back.

Here we need to find how you should handle this situation.

While we looking into the given question, we have identified the following,

There are 2 administrative assistant in your company.

One is you and another one is a girl and she get married in three weeks. And she also planned to resign after her marriage but this resignation is not officially confirmed.

So, in this situation, two of your peer interested for the position and asking you about the recruitment process.

Here you have to reply the co workers that the resignation is not conformed and if it is officially announced they you have the option to apply for that position.

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What have instant communication and sales made possible? Check all that apply.

Answers

Cash transactions, businesses, and jobs

how do the net present value (npv) simplifying assumptions about the timing of cash flows differ from cash flow timing in the real world? select answer from the options below simplifying assumptions assume that all cash flows come at the end of the year, when in reality cash flows come throughout the year. simplifying assumptions assume that all cash flows come at the beginning of the year, when in reality all cash flows come at the end of the year. simplifying assumptions assume that cash flows come throughout the year, when in reality all cash flows come at the end of the year. simplifying assumptions assume that all cash flows come at the end of the year, when in reality all cash flows come at the beginning of the year.

Answers

The simplifying assumptions made by net present value (NPV) analysis about the timing of cash flows differ from cash flow timing in the real world in that the assumptions assume that all cash flows come at the end of the year, while in reality cash flows come throughout the year.

   Net present value (NPV) analysis is a common financial analysis technique used to evaluate the profitability of an investment. NPV analysis involves discounting the expected future cash flows of an investment to their present value, using a discount rate that reflects the time value of money. One simplifying assumption made by NPV analysis is that all cash flows come at the end of the year, which allows for easier calculation of the present value of the cash flows.

However, in the real world, cash flows do not necessarily come at the end of the year. Cash flows can come throughout the year, or even on an irregular schedule. This difference in timing can affect the accuracy of the NPV analysis. To account for this, analysts can use more sophisticated techniques, such as the internal rate of return (IRR) or modified internal rate of return (MIRR), which take into account the timing and magnitude of cash flows.

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Do you think large multinational corporations in general like Wal-Mart, Apple, McDonalds and Frito Lay are good or bad for the world? Is "globalization" another word for “Americanization”? Why or why not? (3 points) Explain using complete sentences.

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Answer:

I think multinational corporations in like these are bad. Because even people on diets or trying to diet, and people buy it for them not knowing its hard for them to say no.

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I got a hair cut that I did not wanted but my parents did. Can some one give me tips or tell me a way to make my hair grow faster?

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You can try to put aloe Vera and use it as a leave in conditioner, it will make your hair grow and give it shine and a healthy look. You can also try using vitamins for hair growth
You can get biotin pills or hemp oil hope this helped plz mark brainlist

gross domestic product is the sum of the market value of the:

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Answer:

The Gross Domestic Product measures the value of economic activity within a country. Strictly defined, GDP is the sum of the market values, or prices, of all final goods and services produced in an economy during a period of time.

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