the portion of net income that a firm reinvests in itself is measured with the: multiple choice retention ratio. dividend yield. dividend payout ratio. internal growth rate. cash influx ratio.

Answers

Answer 1

The portion of net income that a firm reinvests in itself is measured with the retention ratio. So, the correct answer is A).

The retention ratio measures the proportion of net income that a company retains or reinvests in its operations rather than distributing it as dividends to shareholders. It is calculated by subtracting the dividend payout from 1.

A higher retention ratio indicates that the company retains a larger portion of its earnings for reinvestment in areas such as research and development, capital expenditures, and expansion plans. This ratio is important as it reflects the company's growth prospects and its ability to generate internal funds for future growth.

A higher retention ratio suggests that the company is prioritizing reinvestment and growth, while a lower ratio may indicate a focus on distributing profits to shareholders in the form of dividends.  So, the correct option is A).

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--The given question is incomplete, the complete question is given below " the portion of net income that a firm reinvests in itself is measured with the: multiple choice

a, retention ratio.

b, dividend yield.

c, dividend payout ratio.

d, internal growth rate.

e, cash influx ratio."--


Related Questions

NEED HELP ASAP, WILL GIVE BRAINLIEST


The chart below shows a production possibility schedule for a pastry shop that makes $0.50 profit per donut and $0.75 profit per bagel. Choice __ yields the largest profit.

NEED HELP ASAP, WILL GIVE BRAINLIEST The chart below shows a production possibility schedule for a pastry

Answers

The answer is Choice B

Answer:

its B

Explanation:

if you take how much he makes per donut and per bagel and multiply it by the quantity of each it will give you a total and you just add both the donut total and the bagel total it will give you the final profit and you do that to all of them and see which one has the most money

Which of the following is a reason that your company might not want to increase its market share? A. The market saturation for your product is low. B. Many of your company's competitors have bad reputations. C. Your company has a limited capacity for producing your product. D. The price of your product is very competitive. Please select the best answer from the choices provided​

Answers

Answer:

C. Your company has a limited capacity for producing your product.

Explanation:

Increasing the market share will result in an increased demand for the company's products. The company will sell its products to more customers. Its sales volume will most likely go up. If a company lacks the capacity to produce more goods, then it might not want to increase its market share. Should be company fail to meet the market demand for its products, its risks damaging its reputation.

Answer:

c-Your company has a limited capacity for producing your product.

Explanation:

got it right on edge

What are the five C's of the marketing mix

Answers

The 5Cs in the marketing mix are Company, Collaborators, Customers, Competitors, and Context.

What is a Marketing mix?

The marketing mix is the collection of activities, or tactics, that a business employs to market its brand or merchandise.

A marketing framework called the 5C Analysis is used to examine the environment in which a company operates.

Along with risk exposure to various environmental factors, it can shed light on the main success factors. The 5Cs are Company, Collaborators, Customers, Competitors, and Context.

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Which of the following is not generally allowed to make equity investments in corporations?

Investment banks
Commercial banks
Insurance companies
Mutual funds

Answers

Mutual funds are generally allowed to make equity investments in corporations. The main purpose of a mutual fund is to pool money from various investors to invest in a diversified portfolio of stocks, bonds, or other securities.

Equity investments refer to the purchase of ownership in a corporation, and mutual funds typically buy stocks to hold in their portfolios.However, there are certain entities that may not be allowed to make equity investments in corporations. One example is a non-profit organization, which may have restrictions on investing in for-profit companies.

Another example is a government agency, which may have limitations on investing public funds in private companies. Mutual funds, on the other hand, are regulated by the Securities and Exchange Commission (SEC) and must comply with certain investment guidelines and restrictions. They may also have their own investment policies and objectives that limit the types of securities they can hold in their portfolios, but generally, they are allowed to invest in equity securities such as stocks.

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If a cartel is formed in order to maximize the total profits of its members, it will:____.

Answers

If a cartel is formed in order to maximize the total profits of its members, it will charge the same price and produce the same quantity as a monopoly.

In oligopolistic markets, corporations form a cartel to enjoy Monopoly earnings, Monopolies produce an amount and fee at a price at which the earnings maximizes given the firm's price feature, and the marketplace call for a curve, as a result, any other quantity or fee apart from the monopoly will no longer maximize income.

A monopoly is a scenario wherein there is a single dealer inside the marketplace. In traditional economic analysis, the monopoly case is taken because of the polar opposite of perfect competition. By way of definition, the demand curve dealing with the monopolist is the enterprise demand curve which is downward sloping

A monopoly is a firm that's the sole supplier of its product, and in which there are no close substitutes. An unregulated monopoly has marketplace power and can influence prices. Examples: Microsoft and home windows, DeBeers and diamonds, your local natural gas agency.

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What modern-day learning technique is most similar to apprenticeship?


Vocational training, where students learn the skills they need for new careers through hands-on practice

Elementary school, where students learn academic and social skills under the constant supervision of an adult

O Continuing-education training, where working people learn more about their current professions


Graduate school, where students who have graduated from college go on to further academic studies

Answers

Answer:

Elementary school, where students learn academic and social skills under the constant supervision of an adult

Answer:

the 2nd option

Explanation:


You invest $5,000 (PV) for 20 years (n) at an interest rate of 8% (r). What is the amount you would receive at
the end of 20 years (FV)?

Answers

Answer:

sweet

Explanation:

if revenues is credited, then the possible debits are ______. cash, deferred revenue, accounts receivable

Answers

Checking Accounts Credit and Receivables Services Revenue

What is the revenue formula?

The amount pf gross money generated by sales of goods or services is referred to as revenue (or sales revenue) in various contexts. Revenue may be calculated simply by multiplying the quantity of sales by the average service price or total sales (Revenue = Revenue x Average Cost of Service and Sales Pricing).

Is what revenue in such a business?

Revenue is the overall profit an organization makes through its primary activities, such as the sale of goods or services, the rental of real estate, regular payments, the interest on loans, etc. Revenue estimates are carried out prior to the deduction of any charges, such as discounts and refunds.

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What was Roosevelt's plan to help the US economy called?

Answers

The reason the stimulus plan is called that is that it was implemented to stop the economy from deteriorating. The major goal is to increase employment.

Who was Roosevelt?

The 32nd president of the United States, Franklin Delano Roosevelt, also known by his initials FDR, was an American politician and lawyer who presided over the country from 1933 until his passing in 1945. He became a key player in world affairs throughout the first half of the 20th century while serving as the leader of the Democratic Party and winning a record-breaking four presidential elections. The majority of the Great Depression was under Roosevelt's leadership as he implemented his New Deal domestic agenda in response to the worst economic catastrophe in American history.

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The economy is currently in long-run equilibrium. If the central bank increases the money supply, in the long run the price level will:.

Answers

The economic system is currently in long-run equilibrium. If the central bank increases the money supply, in the long operated the price level will be raised. The reason of increase in price level is the increase in national  output level.

What happens when an economy is in long run equilibrium?

When an economy is said to be in long run equilibrium, Real GDP is at its productive capacity, the number of unemployed equals the natural rate of unemployment, it could be approximately 6% and the overall price level equals the expected price level.

Thus, the money supply, in the long operated the price level will be raised.

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if rogers, incorporated, has an equity multiplier of 1.43, total asset turnover of 1.87, and a profit margin of 6.05 percent, what is its roe? (do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

Answers

The ROE of Roger with an equity multiplier of 1.43, total asset turnover of 1.87, and a profit margin of 6.05 percent will be 16.18%.

ROE stands for Return On Equity. It is a financial ratio of the company that depicts how will the company is able to manage its capital that has been invested by the shareholders of the company. It is the the company's net income divided by its shareholders' equity. Another formula for ROE is:

       ROE = equity multiplier × total asset turnover × profit margin

Therefore, according to the question:

Equity multiplier = 1.43

Total asset turnover = 1.87

Profit margin = 6.05 %/

Hence, ROE =  1.43 × 1.87 × 6.05

ROE = 16.18%

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How does labor relate to the scarcity problem

Answers

Answer:

The scarcity of labor is having several effects on businesses. Companies are forced to raise wages to attract workers, which increases the cost of doing business. The lack of workers is also causing delays and disruptions in the supply chain.

Which of the following things can help you get a lower interest rate when you receive a loan?
A. A low credit score
B. A history of defaulting
C. Using all of your available credit
D. Collateral

Answers

Answer:

D. Collateral

Explanation:

Collateral refers to an asset offered to a lender to secure a loan. Borrowers use properties, motor vehicles, or other valuable items to convince lenders to advance credit facilities. Collateral reduces the risk of lending. If the borrower default, lenders have the option of selling the collateral to recover their money.

Because collateral makes a loan less risky, the interest charged is low. A high-interest rate reflects a high-risk borrower.

Answer:

D. Collateral

Explanation:

1. These are the materials for processing to come up with finished profucts

a. product
b. output
c. input

2. What is the most likely cause of failure of Filipino entrepreneurs?

a. Crab mentality
b. weakness
c. failure to meet the deadline

Answers

Answer:

b and c

Explanation:

Because of lack of communication and experience with being a entrepreneur. Plus you have to aggressive to be a business person to get the job one on time.

1) C. Input

2) ......

Step 2
The risk assessment has been carried out and fortunately has not uncovered any major
problems. Now the owner wants your help in choosing the right kind of insurance for his
business. Help him by writing a guide on what to consider when making this decision so that
he chooses the right kind of insurance. Be sure to mention important factors such as the
influence of the business's location, the number of employees, and the industry they are in.

Answers

A risk assessment is considered to be a process in order to identify potential hazards and analyze what could happen if an hazard tend to occur.

The aim of the risk assessment process is in order to evaluate the hazards,  and then remove those hazard or minimize the level of its risk thus by adding control measures. Thus, through this one creates a safer and healthier workplace.

The hazard identification and the risk assessment helps one in recognizing and controlling the hazards in the workplace. Thus, one should create awareness regarding this to their employees and use it as a training tool.

Hence, risk management standards are set based on acceptable safe practices.

The given question is incomplete, the complete question is-

The risk assessment has been carried out and fortunately has not uncovered any major problems. Now the owner wants your help in choosing the right kind of insurance for his business. Help him by writing a guide on what to consider when making this decision so that he chooses the right kind of insurance.

Be sure to mention important factors such as the influence of the business's location, the number of employees, and the industry they are in their workplace.

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A major disruption in financial markets characterized by sharp declines in asset prices and firm failures is called a.

Answers

A major disruption in financial markets characterized by sharp declines in asset prices and firm failures is called a financial crisis.

A financial crisis occurs when the value of financial assets and instruments drastically declines. As a result, firms struggle to pay their debts, and financial institutions lack the cash or convertible assets needed to fund initiatives and take care of urgent demands.

Falling US housing values and an increase in the number of borrowers unable to make loan payments were the GFC's main causes. Around the middle of 2006, the supply of newly constructed homes in some places grew quickly, and house prices in the United States reached their peak.

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A major disruption in financial markets characterized by sharp declines in asset prices and firm failures is called a financial crisis.

During a financial crisis, asset values endure a sharp decrease in value, firms are unable to pay their loans and financial institutions face a shortage of liquidity. During a panic or bank run, investors sell off their assets or withdraw cash from savings accounts out of fear that their value will decline if they keep them in a financial institution. This is a common feature of the financial crisis.

The deflation of a credit boom, a stock market collapse, a sovereign default or a currency crisis are further circumstances that could be classified as a financial crisis. A financial crisis might only affect certain banks, or it might affect the entire global economy or just one particular economy.

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in a private closed economy, the equilibrium condition for the economy is:

Answers

In a private closed economy, the equilibrium condition for the economy is achieved when aggregate demand (AD) equals aggregate supply (AS).

What is the equilibrium condition for a private closed economy?

In a private closed economy, the equilibrium condition is established when the total spending in the economy, known as aggregate demand (AD), is equal to the total production and output, referred to as aggregate supply (AS). Mathematically, this can be represented as AD = AS.

Aggregate demand is the sum of consumption (C), investment (I), government spending (G), and net exports (NX). On the other hand, aggregate supply is determined by the total quantity of goods and services produced in the economy.

When aggregate demand exceeds aggregate supply, there is excess demand in the economy, which may lead to price increases or inflationary pressures. Conversely, when aggregate supply surpasses aggregate demand, there is excess supply, potentially resulting in reduced production and economic slowdown.

To achieve equilibrium, the economy adjusts by either increasing or decreasing prices or output levels until AD and AS are equal. This equilibrium condition represents a stable point where the economy is operating at its full potential.

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Write down two or three ways you compare yourself to others.

Answers

Y’all’s daily routines and the type of work you do in a day

a hypothetical futures contract on a nondividend-paying stock with a current spot price of $100 has a maturity of 1 year. if the t-bill rate is 5%, what should the futures price be? a. $95.24 b. $100 c. $105 d. $107

Answers

The futures price for the non dividend-paying stock with a current spot price of $100 and a maturity of 1 year, assuming a T-bill rate of 5%, is approximately $105.13, the closest value to $105.13 is option C: $105.

In the world of finance, futures contracts are commonly used to speculate on the future price of various assets, such as stocks. These contracts allow investors to lock in a price today for the purchase or sale of an asset at a future date. To determine the futures price, we need to consider factors such as the current spot price of the asset and the prevailing interest rates. In this hypothetical scenario, we will calculate the futures price for a non dividend-paying stock with a current spot price of $100 and a maturity of 1 year, assuming a T-bill rate of 5%.

To calculate the futures price, we can use a concept called the cost of carry model. According to this model, the futures price of an asset is equal to the spot price of the asset multiplied by the exponential of the risk-free rate and the time to maturity.

Let's denote the futures price as F, the spot price as S, the risk-free rate as r, and the time to maturity as T. In this case, we have S = $100, r = 5% (0.05), and T = 1 year.

The formula for calculating the futures price is:

F = \(S * e^{r * T}\)

Substituting the given values:

F = $\($100 * e^{0.05 * 1}\)

Using the exponential function e ≈ 2.71828, we can simplify the calculation:

F = $\(100 * 2.71828^{0.05}\)

F ≈ $105.13

Therefore, the futures price for the non dividend-paying stock with a current spot price of $100 and a maturity of 1 year, assuming a T-bill rate of 5%, is approximately $105.13.

Among the given options, the closest value to $105.13 is option C: $105.

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What ancient people used hieroglyphics to record important economic, administrative, and royal information? question 8 options: egyptians sumerians israelites persians

Answers

The ancient people used hieroglyphics to record important economic, administrative, and royal information is Egyptians.

Egyptian Hieroglyphics was the formal writing system used to write the Egyptian language in ancient Egypt. Hieroglyphs are about 1,000 different characters that combine elements of logos, syllables, and the alphabet. Italic hieroglyphs were used in religious literature on papyrus and wood.

The word hieroglyph literally means sacred carving. The Egyptians initially used hieroglyphs only for inscriptions carved or painted on the walls of temples. This form of the paintbrush was also used on tombs, papyrus sheets, stucco-covered wooden boards, pottery fragments, and limestone fragments.

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At Yummy Cakes Company, Tom is the warehouse manager, Pam is the lead shipping clerk, David is a part-time shipping clerk, Carey is the shipping supervisor, and Sharon is the vice president of distribution. Following a vertical chain of command, who is Carey's direct supervisor?

Tom
Pam
David
Sharon

Answers

Answer: In a vertical chain of command, Sharon would be Carey's immediate superior.

Explanation: This is because each individual in a vertical chain of command answers directly to the person in the hierarchy above them. Carey reports to Sharon directly because she is the vice president of distribution and Carey is the shipping supervisor.

if the price elasticity od deman is 2.0, and a firm
raises its price by 10%. what is the total revenue?

Answers

With a price elasticity of demand of 2.0 and a price increase of 10%, the total revenue can be calculated using the concept of elasticity and the formula for revenue. The explanation below provides the detailed steps.

Price elasticity of demand measures the responsiveness of quantity demanded to changes in price. In this case, with a price elasticity of 2.0, it means that for every 1% change in price, the quantity demanded will change by 2%.

To calculate the total revenue, we need to consider the price increase and its impact on quantity demanded. A 10% price increase implies that the new price is 110% of the original price.

Using the concept of elasticity, we can determine the percentage change in quantity demanded by multiplying the price increase (10%) by the elasticity (2.0). Therefore, the percentage change in quantity demanded is 10% × 2.0 = 20%.

To calculate the new quantity demanded, we need to subtract the percentage change from 100%. In this case, the new quantity demanded is 100% - 20% = 80% of the original quantity demanded.

Finally, the total revenue can be calculated by multiplying the new price (110% of the original price) by the new quantity demanded (80% of the original quantity demanded). Therefore, the total revenue is 110% × 80% = 88% of the original revenue.

with a price elasticity of demand of 2.0 and a 10% price increase, the total revenue would be 88% of the original revenue.

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Anna is creating a personal balance sheet. She plans to list these items.
Bank Account
Jewelry
Health Insurance
Rent


Which statements about the balance sheet are correct? Select three choices.
-Health insurance, and rent will be listed in the liabilities column.
-Anna will need to find the total value of her jewelry and bank account.
-The period of the balance sheet will be one year.
-Anna will add the value of the assets and subtract the value of the liabilities.
-The items in the table will be listed in four columns.

Answers

The correct statement is "Health insurance, and rent are listed in the liabilities column of the balance sheet. Anna will find the total value of her jewelry and bank account statements. The items in the table will be listed in four columns."

The balance sheet would be the final step in the company's financial process and reflects the company's financial status and verifies its accuracy. All liabilities could be listed on the left side of the balance sheet in this instance, while all assets were listed on the right.

She will use the value of all of the items for the period of one year. An accounting document known as a balance sheet lists a company's assets, liabilities, and shareholder equity.

One of the three primary financial statements that are used to analyze a corporation is the balance sheet. A balance sheet provides you with a momentary glimpse of your company's financial situation. A balance sheet can assist business owners in assessing the financial health of their organization along with an income statement.

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Answer:

A, B, D

Explanation:

:)

Which of the following statements about check cashing companies is FALSE?
1. They charge low fees.
2. They offer bad deals where you'll owe a lot more than you borrowed.
3. They can take a percentage of your check on top of fees.
4. They make it easy to fall into a loan cycle that is hard to get out of.

Answers

ANSWER: They charge low feeds

under which circumstances is it permitted to share an unclassified draft document

Answers

The circumstances upon which it is permitted to share an unclassified draft document is:

"when the document is approved for public release."

According to regulations guiding business operations, it can share an unclassified draft document if and when it is approved for public sharing.

At this point, individuals may share such documents outside of DoD.

Hence, in this case, it is concluded that an individual is permitted to share unclassified draft documents with a non-DoD professional discussion group.

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A company requires a means of managing storage centrally and the ability to share the storage with multiple hosts where users can access data quickly, with little to no latency. Which of the following storage architectures would best meet the company's needs?
A. NAS
B. Disk
C. RAID
D. SAN

Answers

SAN (Storage Area Network).Therefore, the best choice for managing storage centrally, sharing it with multiple hosts, and ensuring fast data access with minimal latency is a SAN.

SAN is a dedicated high-speed network that provides block-level access to centralized storage. It allows multiple hosts to access the storage simultaneously, enabling efficient data sharing. SANs are designed for high-performance environments, offering low latency and fast data access.

NAS (Network Attached Storage) is a file-level storage architecture that provides data access over a network. While it can be suitable for file sharing and centralized storage, it may introduce additional latency due to the file-level access method.

Disk and RAID are not storage architectures but rather components or methods within storage systems. Disks are the physical storage devices, and RAID (Redundant Array of Independent Disks) is a method of combining multiple disks for performance, reliability, or both. However, they do not provide the centralized management and multi-host access capabilities required in this scenario.

Therefore, the best choice for managing storage centrally, sharing it with multiple hosts, and ensuring fast data access with minimal latency is a SAN.

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Suppose sellers can produce either soy or almond milk given their resources. A change in __________ will shift the supply curve for almond milk.

the price of soy milk

the number of vegans (they do not consume any dairy) in the market

the price of almond milk

all of the choices given are correct

Answers

A change in the price of soy milk will shift the supply curve for almond milk.

A change in the price of soy milk is considered a change in the price of a related good, and it can have an impact on the supply curve for another good, specifically almond milk. When the price of soy milk increases, the supply curve for almond milk shifts to the right, and vice versa.

The supply curve is a graphical representation of the relationship between the price of a good or service and the quantity of that good or service that a supplier is willing and able to offer to the market. It shows how the quantity supplied of a product changes as the price of the product changes, while other factors remain constant.

When there is a change in the price of a related good, such as soy milk, it affects the supply of almond milk. If the price of soy milk rises, the supply curve for almond milk shifts to the right. This means that at each price, more almond milk is being supplied compared to before. Sellers tend to produce more almond milk instead of soy milk because the price of soy milk is higher, making almond milk production more profitable.

Conversely, if the price of soy milk falls, the supply of almond milk decreases as well. In this case, the supply curve for almond milk would shift to the left, indicating that less almond milk is being supplied at each price.

In conclusion, a change in the price of soy milk can shift the supply curve for almond milk either to the right or left. This occurs because soy milk is a related good to almond milk, and changes in its price influence the decisions of sellers in allocating resources between the production of soy milk and almond milk.

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When Doctor Smith, President of Smithman Medical Group, spoke to
our organization last Fall, we were all impressed with his speaking
skills.
Professor Lopez, chair of the Management and Organizations
Department, teaches Management 391 in the fall and a business
ethics course in the spring.
Governor Richards directed the committee’s attention to Exhibit
A.

Answers

The sentence provided highlights the importance of strong speaking skills for leaders, such as Doctor Smith, who was able to impress an entire organization through his presentation.

Additionally, the mention of Professor Lopez's courses in the Management and Organizations Department emphasizes the role of communication and organization in successful leadership.

Finally, Governor Richards' directive to the committee to focus on Exhibit A demonstrates the need for clear direction and organization in decision-making processes.

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when one producer has a comparative advantage in production, he or she:

Answers

When one producer has a comparative advantage in production, it means that they can produce a good or service at a lower opportunity cost compared to other producers.

This suggests that producers can enhance resource allocation efficiency and achieve greater productivity by focusing on goods or services in which they have a comparative advantage, meaning a lower opportunity cost, while trading or exchanging with other producers for goods or services that have a higher opportunity cost for them. By specializing in their areas of expertise, producers can optimize resource utilization and benefit from mutually beneficial exchanges, resulting in overall economic efficiency and improved outcomes.

In conclusion, by leveraging comparative advantage and engaging in trade, producers can optimize resource allocation, enhance productivity, and foster economic efficiency.

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A new equipment requires an investment of $130,000 to generate an income of $20,000 for the first 3 years, thereafter, increasing by $10,000 for the remaining life of 10 years. To recover the investment under a no-return payback condition it will take:

Answers

To recover the investment under a no-return payback condition, it will take 6 years.

The payback period is a financial metric used to determine how long it takes to recover the initial investment in a project or equipment. In this case, the investment for the new equipment is $130,000, and the income generated is $20,000 for the first 3 years, increasing by $10,000 for the remaining 10 years.

To calculate the payback period, we need to determine when the total cumulative income equals or exceeds the initial investment. For the first 3 years, the total income generated would be $20,000 per year, resulting in a cumulative income of $60,000. We subtract this from the initial investment of $130,000, leaving a remaining amount of $70,000.

Since the income increases by $10,000 per year for the remaining 10 years, it will take an additional 7 years to accumulate $70,000. Therefore, the total payback period would be 3 years + 7 years = 10 years.

However, since we are looking for the payback period under a no-return condition, where no income is generated after recovering the investment, we subtract the additional 7 years from the total payback period. Hence, the final payback period under a no-return condition is 10 years - 7 years = 6 years.

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