My Home Courses Catalog and Study Tools Rental Options College Success Tips Career Success Tips Help Give Feedback Homework (Ch 17) Suppose that Creamland and Dairy King are the only two firms that seit ice cream. The following payoff matrix shows the profe (in millions of dollars) each company will eam depending on whether or not it advertise: Dairy King Adverse Deest Adv Adverte Creamland 11,4 10,10 Does Advert4.19 For example, the upper night cell shows that if Creamland advertises and Dairy King doesn't advertise, Creamland will make a profit of $19 min, and Dairy King will make a profit of $4 million. Assume this is a simultaneous game and that Creamland and Dairy King are both profit-maximizing frems Creamland decides to advertise, it will earn a profit of million if Dairy King advertises and a profit of mition if Dairy King does It Creamland decides not to advertise, et will earn a profit of million it Dairy King advertises and a profit of minif Dairy King does not advertise Dairy King advertises, Creansland makes a higher profit if it chooses to advertise Dairy King doesn't advertise, Creamland makes a higher profit if it c net to advertise Suppose that beh firms start off not advertieng. If the forms act indepenoemwegies wit they end up choosing t A-Z Rental Options College Success Tips Career Success Tips Give Feedback mon if Dairy King advertises and a profit of If Creamland decides not to advertise, it will earn a profit of does not advertise. If Dairy King advertises, Creamland makes a higher profit if it chooses 17 Dairy King doesn't advertise, Creamland makes a higher proftitit chooses Suppose that both firms start off not advertising. If the firms act independently, what strategies will they end up choosing? Creamland will choose to advertise and Dairy King will choose not to advertise. Both firms will choose not to advertise. O Creamland will choose not to advertise and Dairy King will choose to advertise. Both firms will choose to advertise Again, suppose that both firms start off not advertising. If the firms decide to collude, what strategies will they end up choosing? Both firms will choose not to advertise. Creamland will choose to advertise and Dairy King will choose not to advertise Both will choose to advertise Creamland will choose not to advertise and Dairy King will choose to advertise. 28 Stv RA million if Dairy King A-Z A YO Suppose that Creamland and Dairy King are the only two firms that sell ice cream. The following payoff matrix shows the profit (in millions of dollars) each company will eam depending on whether or not it advertises: Dairy King Advertise Doesn't Advertise Advertise 6,6 Creamland 19,4 10,10 Doesn't Advertise 4,19 For example, the upper right cell shows that if Creamland advertises and Dairy King doesn't advertise, Creamland will make a profit of $19 million, and Dairy King will make a profit of $4 million. Assume this is a simultaneous game and that Creamland and Dairy King are both profit-maximizing firms. If Creamland decides to advertise, it will earn a profit of million if Dairy King advertises and a profit of million if Dairy King does not advertise. million if Dairy King advertises and a profit of $ million if Dairy King If Creamland decides not to advertise, it will earn a profit of does not advertise. uues not auveruse If Dairy King advertises, Creamland makes a higher profit if it chooses If Dairy King doesn't advertise, Creamland makes a higher profit if it chooses Suppose that both firms start off not advertising. If the firms act independently, what strategies will they end up choosing? O Creamland will choose to advertise and Dairy King will choose not to advertise. Both firms will choose not to advertise. O Creamland will choose not to advertise and Dairy King will choose to advertise. O Both firms will choose to advertise. Again, suppose that both firms start off not advertising. If the firms decide to collude, what strategies will they end up choosing? Both firms will choose not to advertise. Creamland will choose to advertise and Dairy King will choose not to advertise. Both firms will choose to advertise. O Creamland will choose not titadvertise and Dairy King will choose to advertise. A-Z AP igs

Answers

Answer 1

Both firms will choose not to advertise if they act independently, while both firms will choose to not advertise if they decide to collude.Explanation:Given that Creamland and Dairy King are the only two firms that sell ice cream. The following payoff matrix shows the profit each company will earn depending on whether or not it advertises:

Dairy KingAdvertiseDoesn't AdvertiseAdvertise6,6Creamland19,410,10Doesn't Advertise4,19Suppose that both firms start off not advertising. If the firms act independently, what strategies will they end up choosing?Both firms will choose not to advertise. If Creamland decides to advertise, it will earn a profit of $10 million if Dairy King does not advertise and $4 million if Dairy King advertises.

Therefore, it is better for Creamland not to advertise. Likewise, if Dairy King decides to advertise, it will earn a profit of $10 million if Creamland does not advertise and $6 million if Creamland advertises. Therefore, it is better for Dairy King not to advertise.Again, suppose that both firms start off not advertising. If the firms decide to collude, what strategies will they end up choosing?Both firms will choose not to advertise.

If Creamland advertises and Dairy King doesn't advertise, Creamland will make a profit of $19 million, and Dairy King will make a profit of $4 million. If Dairy King advertises and Creamland doesn't advertise, Dairy King will make a profit of $19 million, and Creamland will make a profit of $4 million. If both firms advertise, they will each make a profit of $6 million.

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Related Questions

What are the three main economic goals of the federal government?

Answers

The objectives of economic policy. The federal government works to achieve three policy objectives in order to maintain a robust economy: stable pricing, full employment, and economic growth. The federal government has additional objectives to ensure sound economy policy in addition to these three policy goals.

The US federal governments used the federal budget to fund or finance its numerous expenses, such as paying the salaries of federal employees, purchasing military equipment, and distributing agricultural subsidies.

The federal government's fiscal year begins on October 1 and concludes on September 30 of the subsequent year.

Tax revenues provide funding for the federal government of the United States. The following are the taxes that are collected:

1. Family earnings

2. Customs fees

3. Tariff.

4. Business revenue

The government levies taxes on a variety of activities, such as: smoking cigarettes; drinking alcohol; and buying gasoline.

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Question 2 (Mandatory) (0.5 points) Saved Which of the following is not part of a Project Management Plan? Question 2 options:
a Clear start and end times
b A salary scale for team member roles
c A work schedule
d A scope of work statement

Answers

The correct answer is b) A salary scale for team member roles.

A Project Management Plan typically includes the following components:

Project Scope: This defines the boundaries and deliverables of the project, outlining what will be included and excluded.

Project Objectives: These are the specific goals and outcomes that the project aims to achieve.

Project Schedule: This includes the timeline, milestones, and key activities of the project, providing a roadmap for project execution.

Work Breakdown Structure (WBS): This breaks down the project into smaller, manageable tasks, creating a hierarchical structure of work packages.

Resource Management: This involves identifying and allocating resources, such as personnel, equipment, and materials, required for project execution.

Risk Management: This includes identifying, assessing, and managing risks and uncertainties that may affect the project's success.

Quality Management: This outlines the quality standards and processes that will be followed to ensure the project's deliverables meet the required quality criteria.

Communication Plan: This defines the communication channels, stakeholders, and frequency of project communication to ensure effective information flow.

Change Management: This outlines the process for managing changes to project scope, schedule, and resources, ensuring that changes are properly evaluated and approved.

Cost Management: This includes estimating, budgeting, and controlling project costs, ensuring that the project is delivered within the allocated budget.

Project Governance: This defines the roles, responsibilities, and decision-making processes within the project, ensuring effective project governance.

From the given options, the component that is not typically part of a Project Management Plan is b) A salary scale for team member roles. While compensation and roles of team members are important considerations, they are generally addressed in a separate document or policy, such as a Human Resources or Team Management plan, rather than within the Project Management Plan itself.

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Competitive advantage __________. Question 2 options: information collected from multiple sources, such as suppliers, customers, partners, and industries that analyzes patterns, trends and relationships for strategic decision making. Evaluates an organizations strengths, weaknesses, opportunities, and threats. Extraction of information from data and using it to predict future trends and identifying behavioral patterns. is a feature of a product (or service) on which customer

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Answer:

is a feature of a product or service on which customer places a greater value than they do on similar offerings from competitors.

Explanation:

Competitive advantage can be defined as conditions, factors or circumstances that allow a business firm (organization) to manufacture finished goods or services better and perhaps cheaper than other (rival) firms in the same industry. Thus, it's responsible for putting a business firm in a superior or more favorable position than rival firms.

This ultimately implies that, a competitive advantage has a significant impact on a business because it increases its level of sales, revenue generation and profit margin when compared to rival firms in the same industry.

In conclusion, competitive advantage is a feature that makes a customer to place a greater value on the product or service of a particular company than they do on similar products or services from its competitors (rivals) in the same industry.

2-3 personal experience of exploitation as a consumer

Answers

Answer:

Explanation:

Exploitation often involves a denial of an individual's right (in this case a consumer's right).

Consumers are often exploited in this three areas:

Poor quality standard: For example, one may purchase an electronic device, which in most cases the quality level is determined only after using the product and then discover that the product has failed to meet expectations like performance failure.

High Prices: This is often happens when a consumer isn't aware of the average price of a particular product and may be the taken advantage of by the seller.

False or Incomplete product description: Online shopping often presents this type of exploitation. For example, an individual may buy a wrist watch he thinks is made of silver, but receives the item an discover it is actually made of rubber material.

how can self-awareness help an entrepreneur to be successful?​

Answers

Answer:

If you know your skills and how you best work it can help you better shape the around you to be the best outcome for you,

what traits and characteristics you believe an
effective leader should possess?

Answers

Answer:

Most of the other leadership abilities that just about every manager will now have to continue living out his show potential were also provided elsewhere here.

Explanation:

A vision would be a straightforward visual representation about who you should become what you'd like to do that at a predefined point down the road. A careful company recognizes that communication brings happiness to a perception. Listening would be as meaningful as having a conversation, as well as an excellent president, pays attention more often than trying to talk.

An entry to record discount received of £75 has been debited to discount received and credited to the payables control account. What is the journal to correct this? DEBIT • £150 CREDIT • £150 (Select the correct answer in each blank space above)

Answers

The journal to correct the entry should debit the payables control account and credit the discount received account.

The correct journal entry is:

DEBIT • Discount Received account • £75

CREDIT • Payables Control account • £75

To correct the mistake, we need to reverse the original entry by debiting the discount received account (to reduce it) and credit the payables control account (to increase it). Since the original entry was for £75, the correction needs to be for the same amount, resulting in a debit of £75 to the Discount Received account and a credit of £75 to the Payables Control account.

The total of debits and credits in the corrected entry should be equal, so the correct answer is:

DEBIT • Discount Received account • £75

CREDIT • Payables Control account • £75

Therefore, the correct answer is:

DEBIT • Discount Received account • £75

CREDIT • Payables Control account • £75.

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1.1 Which statement best describes financial accounting …

A. Reports are prepared for managers and users inside the organisation

B. Provides a scorecard by which the past performance of a business is judged in

the form of financial statements which are used by stakeholders outside the

organisation

C. Conduct an official financial inspection of a company or its accounts

D. A and B only

E None of the above​

Answers

I’m not sure but I am thinking is B or C but if they are then I’m sorry :(

he said to me "no sir I did not quarrel with your servant yesterday"
change into indirect ​

Answers

not sure if it’s right but


he said “no i did not quarrel with the servant yesterday”

Answer:

He denied that he quarreled with my servant the previous day

Suppose that Defenestration decides to pay a dividend of only $2 per share this year and use the remaining $2 per share to repurchase stock. If Defenestration maintains this dividend and total payout rate, then the rate at which Defenestration's dividends and earnings per share are expected to grow is closest to what?

Answers

Answer:

Missing word "Defenestration Industries plans to pay a $4.00 dividend this year and you expect that the firm's earnings are on track to grow at 5% per year for the foreseeable future. Defenestration's equity cost of capital is 13%."

P0 = dividend payout per share/ (k-g)

Where g is firms earning growth = 5% or 0.05

And k is the cost of capital = 13% or 0.13

Therefore P0 = $4 / (0.13 -0.05) = $50

But if the payout is $2 per share and $2 per share is used to repurchase stock then to get the price of the stock in one year given the current price of $50.00, dividend at $2 and the 13% cost of capital we get

$50 = $2 + X / (1.13)

Therefore x = $54.5

At a current price of $50, we can expect that Defenestration Industries stock to sell for $54.50 immediately after the firm pays the dividend in one year

Therefore the growth is (54.5 -50)/50 = 9%

When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must

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When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.

This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.

To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.

Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.

Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.

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Which is important in a country's economy importing or exporting explain in your own words?.

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Both importing or exporting is important is a country's economy.

Both importing and exporting contribute to the development of national economies and the global market. Every nation has some advantages in terms of resources and expertise.

As an illustration, while some nations have abundant natural resources like fossil fuels, lumber, fertile soil, and precious metals and minerals, others are deficient in many of these materials.

In addition, while many nations lack the sophisticated infrastructure, educational systems, and financial markets that enable complex manufacturing and technical advancements, certain nations do.

Both businesses and individual customers depend on imports. Imported goods frequently provide consumers a better price or more options, raising their level of living. On the other hand, a country's domestic economic activity increases in proportion to its exports.

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Can you still be hired after failing Walmart assessment?

Answers

You can still land the job, yes. If the assessment was unsuccessful, you should request a lesser position, take all the necessary courses.

How do you know if you failed the Walmart assessment?If you succeeded or failed, it is indicated at the conclusion of the test. I received a green grade for passing and a red grade for failing. My second management evaluation test had just been successful. Each time, a green appeared. I enter to check my assessment area and move to the right half of the test.If you don't pass the evaluation, you can try again in 60 days. I think there is just one opportunity each application process. It often takes 60 days to be able to reapply, so be truthful. It will take six months to reapply.Walmart will review arrests and convictions for crimes and misdemeanors from the past seven years. Most likely reasons for disqualification are offenses involving violence, sexual assault, drugs, and money theft. Violent felons are not hired by Walmart. Reminder: Records that have been expunged won't appear on background checks.

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Time Value of Money Annuity Cash Flows Solve the following problems and answer the last question. Example problems can be found on the "Example-Annuity Cash Flow" tab. Create an appropriate (TVM) formula using the supplied values in the appropriate cell so Excel can calculate the answer. Calculations 1. What is the future value of a $1,000 annuity payment over five years if interest rates are 9%? Write the formula here] [Answer here] 2. What is the present value of a $800 annuity payment over six years if interest rates are 10 % ? [Write the formula here] (Answer here). 3. Assume you purchased a house on January 1, 2020 for $200000. You had made a down payment of 20% on the house and the balance was financed with a 30 year loan at 5% per annum stated APR with monthly payments to be made beginning January 1, 2020. What are your monthly [Answer here] [Write the formula here]

Answers

The future value of a $1,000 annuity payment over five years at a 9% interest rate is $5,639.87.

The present value of an $800 annuity payment over six years at a 10% interest rate is $3,791.71.

Your monthly mortgage payment for the house is $1,073.64.

Future Value of a $1,000 annuity payment over five years at 9% interest rate:

Formula: FV = P * [(1 + r)^n - 1] / r

               FV = $1,000 * [(1 + 0.09)^5 - 1] / 0.09

               FV = $5,639.87

Present Value of an $800 annuity payment over six years at 10% interest rate:

Formula: PV = P * [1 - (1 + r)^(-n)] / r

               PV = $800 * [1 - (1 + 0.10)^(-6)] / 0.10

               PV = $3,791.71

Monthly payments on a $200,000 house financed with a 30-year loan at 5% interest rate:

Formula: PMT = P * r / (1 - (1 + r)^(-n))

               PMT = $200,000 * 0.05 / (1 - (1 + 0.05)^(-360))

               PMT = $1,073.64

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From 2011 to 2018, ESPN lost 14 million cable tv subscribers, costing the company over a billion dollars annually

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From 2011 to 2018, ESPN lost 14 million cable tv subscribers, costing the company over a billion dollars annually. Thus, the given statement is false.

What was the loss of ESPN?

ESPN has long served as a symbol of the cable and broadcast industries' insensitivity to cord-cutting and changes in the TV market. Executives sued businesses that aimed to provide customers with more choice in how they saw video material after years of downplaying the trend as something only the poor did.

Surveys suggest that 56% of customers would quickly sever ties with ESPN if it meant saving the $8 per month they pay for the channel. Clearly, ESPN executives assumed cord-cutting was little more than a fad that would simply end once Millennials started having children.

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The present value interest factor for an annuity with an interest rate of 8 percent per year over 20 years is ____.

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The present value factor of an annuity that will mature in 20 years at an interest rate of 8% is 9.8181474.

What is the present value interest factor?

It can be found by using the present value of an annuity formula of:

= Amount x ( 1 - ( 1 + rate) ^ - number of periods) / Rate

As there is no amount, solving gives:

= ( 1 - ( 1 + 8%) ⁻²⁰) / 8%

= 9.8181474

In conclusion, it is 9.8181474.

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Because you greatly dislike a commute that is longer than ten minutes you must find a job that is close to where you live. What is a short commute an example of?.

Answers

Short commute is an example of a need. Anything a person needs or wants is a need. Here, a quick commute is a must, and finding a job close by is the objective.

What is Short commute?Short commutes, especially those that may be completed on foot or by bicycle, motivate workers to move more. They won't arrive at work feeling lethargic following a lengthy journey, but rather energised from the rush of endorphins they produced while exercising on the way.This will encourage overall better health and stop the development of conditions like high blood pressure or back discomfort. Additionally, a shorter commute gives you just enough time to forget about your job issues and get energized for the remainder of the day. The majority of people prefer that their commute not be excessively long or short.

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328-Chapter 3 HP - Page 7 Tonisha, a single taxpayer, has current year salary of $51,000 and interest income of $1,000. During the year, Tonisha generated a long-term capital gain of $2,000, and long-term capital loss of $500, a short-term capital gain of $1,000, and a short-term capital loss of $7,500. (a) Based strictly on these facts, what is Tonisha's current year AGI? (b) What happens with the portion of the capital loss that is not currently deductible?

Answers

A capital loss can offset capital gains and up to $3,000 in ordinary income each year. If the capital loss exceeds $3,000, the excess will be carried forward to the next tax year.

Tonisha's current year AGI is calculated as the sum of her salary, interest income, and net capital gains, less her capital losses.

Salary = $51,000

Interest income = $1,000

Long-term capital gain = $2,000

Long-term capital loss = $500

Short-term capital gain = $1,000

Short-term capital loss = $7,500

Net capital loss = Short-term capital loss - long-term capital gain

= -$7,500 - (-$500)

= -$7,000

Total capital loss = -$7,000

Therefore, the sum of Tonisha's salary, interest income, and net capital gains is:

$51,000 + $1,000 + $2,000 - $7,000= $47,000

Tonisha's current year AGI is $47,000.

The portion of the capital loss that is not currently deductible will be carried forward to future tax years indefinitely until the entire amount of capital loss is used up.

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Indicate whether the given items are examples of imports, exports, or neither. Assume the United States is the domestic country. Glen lives in the U.S. and purchases a video game produced in Japan. Veronica lives in Tennessee and buys an orange grown in Florida. neither import export neither export import A Chinese consumer purchases a 'v produced in China. A farmer in Iowa sells corn to a food processing plant in China import export export neither import neither ExxonMobil, a U.S. based oil company, sells oil to oil refineries in Brazil and Mexico. import export

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The given items are examples of imports, exports, or neither. The correct choices are:

Glen lives in the U.S. and purchases a video game produced in Japan. - import Veronica lives in Tennessee and buys an orange grown in Florida. - neither A Chinese consumer purchases a TV produced in China. - export A farmer in Iowa sells corn to a food processing plant in China - export ExxonMobil, a U.S. based oil company, sells oil to oil refineries in Brazil and Mexico. - export

The listed items can be determined as examples of imports, exports, or neither by using the definitions of each term given below:

Imports: An import is a product or service that is brought into one country from another. An import can be a finished good or a raw material.

Exports: An export is a product or service that is produced in one country and then sold to a foreign country.

Neither: A product or service that is produced and sold in the same country. This item does not involve any international trade transactions.

Based on these definitions, we can determine the examples as follows:

Glen lives in the U.S. and purchases a video game produced in Japan. - import (Glen purchases a good produced in a foreign country and brings it into the U.S.)Veronica lives in Tennessee and buys an orange grown in Florida. - neither (Veronica purchases a good that is grown and sold in the same country, the U.S.)A Chinese consumer purchases a TV produced in China. - export (The TV is produced in China and sold to a foreign country, in this case, to a consumer in China.)A farmer in Iowa sells corn to a food processing plant in China - export (The corn is produced in the U.S. and sold to a foreign country, in this case, to a food processing plant in China.)ExxonMobil, a U.S. based oil company, sells oil to oil refineries in Brazil and Mexico. - export (ExxonMobil produces oil in the U.S. and sells it to foreign refineries, in this case, in Brazil and Mexico.)

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Pls whoever answer this ASAP, I'LLMARK YOU BRAINLIEST... PROMISE
Enter the following transactions of Femmy in the sales day book for the month of August 2010,
Aug 1: Sold to Mila
20 bags of sugar at #40 each
12 plates at #140 each

Aug 12: Sold to Shina
12 bags of cement at #45 each
5 packets of tea at #15 each
Trade discount at 10%

Aug 27: Sold to Monisola
15 shoes at #65 each
100 packets shirts at #13 each
Trade discount at 5%​

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Answer:

I AM SO CONFUSED

Which unemployment rate do most economists consider to be acceptable in the United States?
a) 0 percent
b) 5 percent
c) 10 percent
d) 20 percent.

Answers

The unemployment rate that economists consider to be acceptable in the united states is 5 percent (b).

Most economists believe that the unemployment rate of the U.S. should be b. 5% or below.

What is Unemployment ?Percentage of the labor force that is not working. Includes only those who are actively looking for work.

For an economy as developed as the U.S., economists believe that there should be enough jobs such that the unemployment rate doesn't pass 5% at any given time save for severe economic shocks.

In conclusion, option B is correct.

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one qualifier to _____________ is that although it may settle the surface problem, it may not solve any ongoing problem.

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one qualifier to mediation is that although it may settle the surface problem, it may not solve any ongoing problem.

What is mediation?

Mediation can be regarded as procedure that is used by parties in solving their disputes.

Therefore, one qualifier to mediation is that although it may settle the surface problem.

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Find the future value of an annuity with payments of $650 with 1.35% compounded semiannually for 3 years.

Answers

The future value of the annuity with payments of $650, compounded semiannually at 1.35% for 3 years, is approximately $20,903.46.

To calculate the future value, we can use the formula for the future value of an ordinary annuity: FV = P * [(1 + r/n)^(n*t) - 1] / (r/n), where FV is the future value, P is the payment amount, r is the interest rate, n is the number of compounding periods per year, and t is the number of years. plugging in the given values, we get FV = 650 * [(1 + 0.0135/2)^(2*3) - 1] / (0.0135/2) ≈ $20,903.46.

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\sentry corp. bonds have an annual coupon payment of 7.25%. the bonds have a par value of $1,000, a current price of $1,125, and they will mature in 13 years. what is the yield to maturity on these bonds? a. 6.45% b. 6.14% c. 6.77% d. 5.85% e. 5.56%

Answers

Main Answer: The yield to maturity on these bonds is approximately 6.14%.The yield to maturity (YTM) is the total return anticipated on a bond if it is held until its maturity date.

To calculate the YTM, we need to solve for the discount rate that equates the present value of the bond's cash flows to its current price. Given that the bond has a coupon payment of 7.25% of the par value ($1,000), which equals $72.50, and it matures in 13 years, we can use financial calculators or software to find that the YTM is approximately 6.14%. This is the discount rate that makes the present value of the coupon payments and the face value equal to the current price of $1,125. Therefore, the correct answer is option b: 6.14%.

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Activity supply: seven purchasing agents capable of processing 3,200 orders per year (22,400 orders) Purchasing agent cost (salary): $49,400 per year Actual usage: 20,200 orders per year Value-added quantity: 12,200 orders per year Required: 1. Calculate the volume variance. Round your intermediate calculation to two decimal places and the final answer to the nearest 2. Calculate the unused capacity variance. Round your intermediate calculation to two decimal places and the final answer to the nearest dor. $

Answers

To calculate the volume variance, we need to determine the difference between the actual usage and the value-added quantity.

Actual usage: 20,200 orders per year

Value-added quantity: 12,200 orders per year

Volume Variance = Actual Usage - Value-Added Quantity

Volume Variance = 20,200 - 12,200

Volume Variance = 8,000 orders

The volume variance is 8,000 orders.

To calculate the unused capacity variance, we need to determine the unused capacity and the purchasing agent cost.

Capacity = Number of Purchasing Agents * Orders per Agent

Capacity = 7 * 3,200

Capacity = 22,400 orders

Unused Capacity = Capacity - Actual Usage

Unused Capacity = 22,400 - 20,200

Unused Capacity = 2,200 orders

Unused Capacity Variance = Unused Capacity * Purchasing Agent Cost

Unused Capacity Variance = 2,200 * $49,400

Unused Capacity Variance = $108,680

The unused capacity variance is $108,680.

Therefore, the volume variance is 8,000 orders and the unused capacity variance is $108,680.

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after sally as the print preview in print command to the quick access toolbar which icon would she have added

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Huh? I’m not sure but i hope sally finds out soon

A customer deposits $1,000 in an account in which the interest is compounded annually. The table below shows the balances in the account at the end of each year. Amount in Account vs. Number of Years Amount in Account, A Number of Years After Initial Deposit, t 1,000 0 1,080 1 1,166. 40 2 1,259. 71 3 1,360. 49 4 Which equation best represents the data in the table? A = 1000 (1. 08) Superscript t A = 1080 Superscript t A = 1000 (1. 8) Superscript t A = 800 Superscript t.

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The equation that represents the data in the table is A = $1000 x (1.08)^t.

Description of compound interest

Compound interest is when both the amount deposited and the interest rate earns interest. This differs from simple interest where only the amount deposited earn interest.

Compound interest formula = FV = P x (1 + r)^n

FV = Future value  P = Present value  R = interest rate   N = number of years

Interest rate = (1080 / 1000) - 1 = 8%

A = $1000 x (1.08)^t

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Answer:

its a

Explanation:

Determining which actions are right vs. Wrong represents which element of james rest’s ethical decision-making model?.

Answers

Moral judgment is typically intuitive rather than in-deathly reflective in the ethical decision-making model.

What is decision making?

Identifying decisions and gathering information to make choices is referred to as "decision making" in this context.

The moral judgements give insight on a person's organization, society, and personality. The principles of decision-making can be influenced by a person's ethical ideals and actions.

As a result, the ethical decision-making model is moral judgment.

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when writing a claim letter to a company, you're more likely to be successful if you

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When writing a claim letter to a company, you're more likely to be successful if you are polite, clear, and provide supporting evidence for your claim.

Writing a claim letter to a company can be an effective way to resolve an issue, such as a defective product or poor customer service. To increase the chances of success, it is important to approach the letter in a professional and respectful manner.

This includes using polite language and avoiding personal attacks or insults. Additionally, providing clear details about the issue and supporting evidence, such as receipts or photos, can help the company understand the problem and work towards a solution.

It is also helpful to state a clear request for what you would like the company to do to resolve the issue.

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Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).

Cain Company reports net cash provided by operating activities of $35,000. It also reports the following

Answers

It can be seen from the solutions given that Cain's net income is $24,000.

Here is the solution:

Net income = Net cash provided by operating activities - Adjustments

= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000

= $24,000

Therefore, Cain's net income is $24,000.

Here is a breakdown of the adjustments:

To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.

A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.

The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.

A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.

A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.

A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.

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