The U.C.C. applies to contracts that involve the sale of ________________________.
A. real property
B. services
C. goods
D. (All of the above)
E. A and B but not C
In an executed contract both of the parties have yet to performed their contractual obligations.
True
False

Answers

Answer 1

The U.C.C. applies to contracts that involve the sale of goods.

The U.C.C. (Uniform Commercial Code) is a set of laws that governs commercial transactions in the United States. It specifically applies to contracts for the sale of goods. Goods are generally defined as tangible, movable items, such as products, equipment, or commodities. Therefore, option C is the correct answer.

In regards to the statement about an executed contract, the statement is false. An executed contract refers to a contract in which both parties have fulfilled their contractual obligations. In an executed contract, all terms and conditions have been performed, and the parties are no longer bound by the contract.

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Related Questions

which of the following is a characteristic of a product-market?multiple choiceit is a market where only tangible goods are sold.it is a market in which sellers offer very similar methods of satisfying customer needs.it is a market with a broad set of customers who have a wide variety of needs.it is a market with a single seller but multiple buyers.all of these choices are characteristic of a product-market.incorrect

Answers

A characteristic of a product-market all of these choices are characteristic of a product-market. Thus, option (e) is correct.

What is product-market?

The term product-market refers to the place where demand and supply of fished goods of the interact with each other. Product markets refer to markets in which all kinds of commodities and works are made and merchandised.

According to the product-market, was he based on the demand and supply. A characteristic such as a wide set of consumers who have a broad variety of needs. It was the tangible goods are sold, single seller but multiple buyers, and satisfying customer needs.

As a result, the significance of the characteristic of a product-market are the aforementioned. Therefore, option (e) is correct.

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The Upper Tier has a current debt-equity ratio of .52 and a target debt-equity ratio of .45. The cost of floating equity is 9.5 percent and the flotation cost of debt is 6.6 percent. What should the firm use as their weighted average flotation cost?

Answers

Answer: 8.60%

Explanation:

Given the following :

Current debt-equity ratio = 0.52

Target debt-equity ratio = 0.45

Cost of floating equity = 9.5%

Floatation cost of debt = 6.6%

The Weighted average cost is calculated by finding the Weighted average cost of both debt and equity.

1 + 0.45 = 1.45

Weight of debt= 0.45/ 1.45 =0.31034

Weight * cost of debt

0.31034 × 6.6% = 2.0482758

Weight of equity = 1/1.45 = 0.6896551

Weight * cost of equity

0.6896551 × 9.5% = 6.5517241

Sum of both

(6.55 + 2.05) % = 8.60%

1. Why would the central bank be interested in increasing inflation expectations when the economy is at the ZLB? 2. Imagine the economy is at the ZLB, would a decrease in costs & help the economy? 3. We discussed that in normal times higher G will create crowding-out. Explain the concept. 4. Would higher G cause crowding-out when the economy is at the ZLB? 5. Imagine an economy with a ZLB. Would the central bank stop lowering rates before

Answers

When the economy is at the zero lower bound (ZLB), the central bank may be interested in increasing inflation expectations to stimulate the economy.

This is because at the ZLB, the central bank cannot lower interest rates further to provide additional monetary stimulus. By increasing inflation expectations, the central bank aims to encourage consumers and businesses to spend and invest, even in a low-interest-rate environment. Higher inflation expectations can reduce the real interest rate, making borrowing and spending more attractive, and potentially boosting economic activity.

If the economy is at the ZLB, a decrease in costs, such as a decrease in production costs or input prices, may not have a significant impact on the economy. At the ZLB, the conventional monetary policy tool of lowering interest rates is ineffective, as interest rates are already close to zero. Decreasing costs alone may not be sufficient to stimulate demand and investment, which are crucial for economic growth. Other policy measures, such as fiscal stimulus or unconventional monetary policies, may be necessary to provide the needed boost to the economy.

Crowding-out refers to a situation where increased government spending (G) leads to a decrease in private sector spending or investment. In normal times, when the economy is not at the ZLB, higher government spending can increase the demand for loanable funds. This increased demand can lead to higher interest rates, which can crowd out private sector borrowing and investment. The crowding-out effect occurs because the government is competing with the private sector for limited savings or available funds, reducing the resources available for private investment.

When the economy is at the ZLB, the impact of increased government spending (G) on crowding-out is likely to be reduced. At the ZLB, interest rates are already low, and the central bank cannot lower them further. Therefore, the increase in government spending may not lead to a significant increase in interest rates and crowding out of private sector investment. In fact, during times of economic downturns or when interest rates are near zero, higher government spending can help stimulate aggregate demand and support economic recovery.

When an economy is at the ZLB, the central bank faces limitations in using conventional monetary policy tools, such as lowering interest rates, to stimulate the economy. In such a situation, the central bank may resort to unconventional monetary policies, such as quantitative easing or forward guidance, to provide additional stimulus. These measures involve purchasing financial assets or providing guidance on future interest rate policies to influence market expectations and support economic activity. The central bank may continue to implement such measures until it believes the economy has sufficiently recovered and is no longer constrained by the ZLB. The timing and extent of rate reductions and other policies will depend on the specific circumstances and goals of the central bank.

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a medicare benefit period begins with the first day of hospitalization and ends when the patient has been out of the hospital for __________ consecutive days.

Answers

A Medicare benefit period begins with the first day of hospitalization and ends when the patient has been out of the hospital for 60 consecutive days.


A Medicare benefit period starts on the first day you receive hospital or skilled nursing care as an inpatient. A benefit period ends when you've been out of the hospital or skilled nursing care facility for at least 60 days in a row. If you go into a hospital or a skilled nursing facility after one benefit period has ended, a new benefit period will start when you return to that hospital or facility. A benefit period starts on the day you enter a hospital and ends on the day you leave. It covers your hospital care, skilled nursing care, home health care, and hospice care if you receive all of these services in one facility or if you transfer to another care facility while under a hospital's care.

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Kershaw Electric sold $6,000,000, 10%, 10-year bonds on January 1, 2019. The bonds were dated January 1, 2019, and paid interest on January 1. The bonds were sold at 98.

Answers

Answer:

A. Jan. 1, 2019

Dr Cash 5,880,000

Cr Discount on bonds payable 120,000

Cr Bonds payable 6,000,000

B. $5,888,000

C. Jan. 1, 2019

Dr Bonds Payable 6,000,000

Dr Loss on Redemption 224,000

Cr Discount on Bonds Payable 104,000

Cr Cash 6,120,000

Explanation:

A.Preparation of the journal entry to record the issuance of the bonds on January 1, 2019

Jan. 1, 2019

Dr Cash 5,880,000

(98%*6,000,000)

Cr Discount on bonds payable 120,000

(2%*6,000,000)

Cr Bonds payable 6,000,000

(To record issue bonds payable)

B. Preparation of the balance sheet presentation of the long-term liability

Balance Sheet December 31, 2019

Long-term liabilities

Bonds payable 6,000,000

Less: Discount on bonds payable 112,000

(120,000-8,000)

Long-term liabilities $5,888,000

C. Preparation of the Journal entry to record the redemption of the bonds

Jan. 1, 2019

Dr Bonds Payable 6,000,000

Dr Loss on Redemption 224,000

(6,120,000-5,896,000)

Cr Discount on Bonds Payable 104,000

(6,000,000-5,896,000)

Cr Cash 6,120,000

(6,000,000*102%)

(To record redemption of bonds)

A company can buy a machine that is expected to have a three-year life and a $21,000 salvage value. The machine will cost $1,764,000 and is expected

to produce a $191,000 after-tax net income to be received at the end of each year. If a table of present values of $1 at 12% shows values of 0.8929 for

one year, 0.7972 for two years, and 0.7118 for three years, what is the net present value of the cash flows from the investment, discounted at 12%?

Multiple Choice

$105,214

$564 457

$615,438

$689,319

O $1,869,214

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Answers

The net present value of the cash flows from the investment, discounted at 12% is $564,457.

Explanation:

First, we need to calculate the annual cash flows:

Annual net income = $191,000
Add back depreciation (cost - salvage value / useful life) = ($1,764,000 - $21,000) / 3 = $581,000
Annual cash flow = $191,000 + $581,000 = $772,000

Using the present value table given:

PV factor for year 1 = 0.8929
PV factor for year 2 = 0.7972
PV factor for year 3 = 0.7118

NPV = (PV factor for year 1 x Year 1 cash flow) + (PV factor for year 2 x Year 2 cash flow) + (PV factor for year 3 x Year 3 cash flow) - Initial investment

NPV = (0.8929 x $772,000) + (0.7972 x $772,000) + (0.7118 x $772,000) - $1,764,000

NPV = $687,888 - $1,764,000

NPV = -$1,076,112

However, since the salvage value of $21,000 is not accounted for in the NPV calculation, we need to add it back to get the final answer:

NPV + Salvage value = -$1,076,112 + $21,000 = -$1,055,112

Finally, we need to consider that the question asks for the net present value (NPV) of the cash flows, not the total value. So we need to subtract the initial investment from the NPV:

Net present value of cash flows = NPV - Initial investment

Net present value of cash flows = -$1,055,112 - (-$1,764,000) = $708,888

Therefore, the correct answer is not listed in the multiple choice options.

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Yearly savings rates have dropped from 20% in the 80's to around today.

Answers

In Canada, the yearly savings rates have dropped from 20% in the 80's to around 4% around today

What is current savings rate in Canada?

The rate in Canada has declined from the level seen in 1980s. In the 80s, the savings rate stood at 20% which indicates higher proportion of disposable income being saved.

But in recent years, the savings rate has dwindled to 4% which is attributed to factors like rising household debt levels, increased consumer spending and shift towards a more service-oriented economy.

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. during the antebellum period u.s. tariffs on imported cotton textiles a. increased profits for british textile producers. b. decreased the prices of cotton textiles in the u.s. c. were supported by the southern states. d. were harmful to u.s. textile producers and their employees. e. none of the above is correct

Answers

None of the above is correct. This is because the tariffs made it more expensive to import cotton textiles from Britain and other countries.

During the antebellum period, US tariffs on imported cotton textiles had a complex effect. While the tariffs did increase profits for British textile producers, they did not necessarily decrease prices of cotton textiles in the US. In fact, the tariffs passed by the US Congress in 1824, 1828, and 1832 actually resulted in higher prices of imported cotton textiles and increased profits for US textile producers. The tariffs were also supported by the northern states, not necessarily the southern states, since the northern states had a larger industrial base. Therefore, the tariffs were not necessarily harmful to US textile producers or their employees. Tariffs are taxes levied by one nation on products and services imported from another country in order to influence it, collect money, or safeguard competitive advantages.

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The problems of ineffective communications in business

Answers

Answer:

Misunderstandings: When communication is unclear or ambiguous, it can lead to misunderstandings between employees, managers, or clients. This can cause delays, mistakes, and ultimately, loss of productivity and revenue.

Poor teamwork: Effective communication is essential for effective teamwork. If team members are unable to communicate effectively with one another, they may fail to collaborate and coordinate their efforts, leading to poor performance and results.

Low morale: When communication is ineffective, it can create a negative work environment and lead to low employee morale. This can result in a lack of motivation, decreased productivity, and high turnover rates.

Customer complaints: Poor communication with customers can result in complaints and loss of business. Customers who feel that their concerns or questions are not being addressed may take their business elsewhere.

Increased costs: Ineffective communication can lead to additional costs for a business, such as rework or waste due to misunderstandings or mistakes. This can negatively impact the bottom line and reduce profitability.

Overall, ineffective communication can have significant impacts on a business's productivity, profitability, and reputation. It is essential for businesses to prioritize effective communication strategies to avoid these problems and ensure success.

Explanation:

Assuming there are no leakages out of the banking system, a money multiplier equal to 5 means that: ANSWER Unselected each additional dollar of reserves creates $5 of deposits. Unselected each additional dollar of deposits creates $5 of reserves. Unselected an additional $5 of reserves creates one dollar of deposits. Unselected I DON'T KNOW YET

Answers

Answer:

each additional dollar of reserves creates $5 of deposits.

Explanation:

Money multiplier = amount deposited / reserve requirement

Increase in the total value of checkable deposit is determined by the money multiplier

Over the last 100 years, marginal tax rates have been fluctuating constantly. Place the years in order by how high the top marginal rate was at the time. Place the year with the highest rate first.

Answers

1945* 1913" 2012" 1964 I think this is the right answer

A home improvement store has an assembled kids playset on display. There
are no signs waming parents not to let their kids play on it. When a child
climbs on the playset, it collapses and the child breaks her wrist. The playset
was not assembled properly for use because it was only for display. Is the
home improvement store negligent?
A. Yes. The store has a duty of care to provide a safe environment
and not assembling the playset correctly or putting up warning
signs is a breach of duty. The breach caused the playset to
collapse and resulted in harm to the child.
O B. Yes. Home improvement stores are held to a higher standard of
care than other stores because they sell some dangerous items.
Even though a reasonable person wouldn't climb the playset, the
store is still negligent.
O C. No. Home improvement stores do not have a duty to ensure the
safety of their customers because they sell some dangerous
items. Without duty to the customer, the store cannot be negligent.
OD. No. The store is not in violation of a breach of duty because
customers should know never to climb on or use anything on
display in a store. Without breach of duty, the store is not
negligent

Answers

Answer:

a. yes. the store has a duty of care to provide a safe environment and not assembling the playset correctly or putting up a sign is a breach of duty. and it resulted in harm.

Explanation:

a p e x

monsanto has sarbanes-oxley achieved its aim of creating an early-warning system for shareholders?

Answers

The Sarbanes-Oxley Act was introduced in 2002 to improve corporate governance and accountability in response to several high-profile corporate scandals, including Enron and WorldCom.

Monsanto, a multinational agrochemical and agricultural biotechnology corporation, is subject to the Sarbanes-Oxley Act as a publicly traded company. The company has implemented various measures to comply with the Act, including establishing a whistleblower hotline and implementing a code of ethics for its employees.

However, it is difficult to determine whether the Act has achieved its aim of creating an early-warning system for shareholders in the case of Monsanto specifically. While the company is required to report any material changes in its financial condition or operations to the Securities and Exchange Commission (SEC), this information may not necessarily be disseminated to shareholders in a timely or transparent manner.

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Why postal service is important for business​

Answers

Explanation:

It is important for businesses for several reasons:

1 Communication: Postal service is a reliable and affordable way for businesses to communicate with customers and other businesses. It enables businesses to send and receive important documents, such as contracts, invoices, and legal notices, which are necessary for their operations.

2 Marketing: Postal service is an effective tool for businesses to reach out to potential customers and promote their products and services. Direct mail campaigns can target specific audiences and help businesses generate leads and sales.

3 Logistics: Postal service is an essential component of supply chain management. It enables businesses to send and receive goods and materials from suppliers and customers, which is crucial for their operations.

4 E-commerce: Postal service plays a vital role in the growth of e-commerce. It enables businesses to deliver products to customers who shop online, which is becoming an increasingly important part of the retail industry.

5 Accessibility: Postal service is often the most accessible and convenient way for businesses in remote or rural areas to connect with the rest of the world. It provides them with access to markets and customers that would otherwise be difficult to reach.

A firm might offer efficiency wages so its workers will eat a more nutritious diet and therefore be healthier and more productive.True or False

Answers

Answer:

the answer is true ............

some warehouse retail chains serve as both retailers who sell to consumers and ______ who sell to other businesses.

Answers

Warehouse retail chains sometimes serve as both retailers and wholesalers

who sell to other businesses.

Wholesaler belongs to the chain of distribution which collects the goods

from the producer. It acts as the intermediary between the producer and

retailers. The wholesalers usually buy in bulk/large quantities and distribute

to the retailers.

The retailers collect the goods from the wholesalers and sell to the

consumers and acts as the intermediary between the wholesaler and

consumers.

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A financial institution that accepts deposits makes loans and provides other services as a nonprofit organization is called a:
A. Credit Union
B. Retail Bank
C. Title Pawn Lender
D. Payday Lender

Answers

Credit Unions are nonprofit financial institutions that accept deposits, provide loans, and offer other services. As a result, choice (A) is right.

What is meant by a  nonprofit organization?

A nonprofit organization (NPO) or non-profit organization is a legal entity organized and operated for a collective, public, or social benefit, as opposed to an entity that operates as a business with the goal of making a profit for its owners. It is also referred to as a non-business entity,[1] or nonprofit institution,

The non-distribution constraint applies to nonprofit organizations, which means that any surplus funds must be used to further their mission rather than being distributed to other parties.

A wide range of organizations, including certain political organizations, schools, business organisations, churches, social clubs, and consumer cooperatives, are nonprofit. Governments may grant tax-exempt status to nonprofit organizations, and some may be eligible for tax-deductible donations. However, an organization can establish as a nonprofit organization without obtaining tax-exempt status.

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What would happen in the market for a beer if the drinking age was raised to 30 years old

Answers

Answer:

u have to be 30 to get a drink (or make a fake ID card

Explanation:

bars money would go down

All economies are technically mixed.
A. True
B. False

Answers

Answer:

True

Explanation:

Every economy in the real world regardless of their common designation (such as capitalism, socialism, or communism) make use of both markets and governments and is technically a mixed economy. ... Governments force allocation through involuntary taxes, laws, restrictions, and regulations.

Answer:

yes

Explanation:

I just know it hope it helps bro

What is 201 x 1920 and 29 x 29 and 9 x 9 + 9 and fish?


all your pain in one question: (ever experienced one before?)

1. someone bypasses because you are destroying them in a argument

2. someone starts an 30 minute argument with you and doesn't let you leave

3. you encounter a 3rd grader

4. you encounter a 7th grader whos really dense and/or illiterate

5. getting your account deleted for false things.


all your proud moments in one question: (ever experienced one before?)

1. you win a argument

2. you get your account back

3. get revenge because someone reported you for no reason and their question was "PLSS i want A friend PLSSS"

4. help someone pass a test

5. actually learn from brainly

Answers

Answer:

jkjjjjjjkjkkoolllllkkkkjuojukjuojikji

Current liabilities are those obligations that are payable within ______ or the operating cycle whichever is ____.

Answers

Answer: one year; longer

Explanation:

Current liabilities are those obligations that are payable within one year or the operating cycle whichever is longer.

Current Liabilities are debt that a company owes that are due usually within a year but if the operating cycle of the business is longer then current liabilities will be those owed for the operating cycle.

Examples include; Accounts Payable, Interest payable, Income taxes payable and bank overdrafts.

descrobe any four characteristic of coordinating​

Answers

Answer:

Coordination Integrates Group Effort Coordination Ensures Unity of Action Coordination is a Continuous Process Coordination is an All-pervasive Function Coordination is the Responsibility of All Managers

Explanation:

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Thank you

. A quadratic polynomial whose one zero is 6 and the sum of the zeroes is 0, is x*2-6


True

False

pls tell fast ​

Answers

Answer:

False

Explanation:

From the question, we can see that a quadratic polynomial is made up of two elements or variables called zeros in this question

From the question, we are told that one variable (zero) = 6

The second variable (zero) = unknown , therefore we can represent the second variable as Y

We are told that the sum of the variables = 0

This means:

6 + Y = 0

Therefore, Y = 0 - 6

Y = -6.

The second variable ( zero) = - 6

Since it is a quadratic polynomial,

The roots of the polynomials are the variables 6 and -6

Hence, we have:

(x + 6) (x - 6) = 0

Expanding the brackets

x² - 6x + 6x - 36 = 0

= x² - 36 = 0

Therefore, a quadratic polynomial whose one zero is 6 and sum of the zero is 0 is x² - 36 = 0

This means the statement made in the question above "A quadratic polynomial whose one zero is 6 and sum of the zero is 0 is x²-6" is false









The following information pertains to Kingbird, Inc.. 1. Cash balance per bank, July \( 31, \$ 9,583 \). 2. July bank service charge not recorded by the depositor \( \$ 36 \). 3. Cash balance per book

Answers

The cash balance per book for Kingbird, Inc. after considering the unrecorded bank service charge is $9,547.

1. Cash balance per bank, July 31: $9,583
This means that according to the bank's records, Kingbird, Inc. had $9,583 in its account on July 31st.

2. July bank service charge not recorded by the depositor: $36
This indicates that Kingbird, Inc. incurred a bank service charge of $36 in July, but this charge was not recorded in their own records.

3. Cash balance per book
To find the cash balance per book, we need to adjust the cash balance per bank by considering the unrecorded bank service charge.

To do this, we can subtract the unrecorded bank service charge from the cash balance per bank:
$9,583 (cash balance per bank) - $36 (unrecorded bank service charge) = $9,547 (adjusted cash balance per book)

Therefore, the cash balance per book for Kingbird, Inc. after considering the unrecorded bank service charge is $9,547.

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Complete Question:

The following information pertains to Kingbird, Inc.. 1. Cash balance per bank, July 31,$9,583. 2. July bank service charge not recorded by the depositor $36. 3. Cash balance per book, July 31,$9,604. Journalize the adjusting entries at July 31 on the books of Kingbird, Inc.. (Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter O for the amounts.)

Engi Sola Corp. Manufactures solar engines for tractor trailers. Given the fuel savings available, new orders for 125 units have been made by customers requesting credit. The variable cost is $9,700 per unit, and the credit price is $11,100 each. Credit is extended for one period. The required return is 1.9% per period. If Engi Sola extends credit, it expects that 30% of the customers will be repeat customers and place the same order every period forever, and the remaining customers will be one-time orders.

Answers

Answer:

The net present value (NPV) of the decision to grant credit is $2,938,157.89.

Explanation:

Note: This question is not complete. The complete question is therefore provided before answering the question as follows:

Engi Sola Corp. Manufactures solar engines for tractor trailers. Given the fuel savings available, new orders for 125 units have been made by customers requesting credit. The variable cost is $9,700 per unit, and the credit price is $11,100 each. Credit is extended for one period. The required return is 1.9% per period. If Engi Sola extends credit, it expects that 30% of the customers will be repeat customers and place the same order every period forever, and the remaining customers will be one-time orders.

Calculate the NPV of the decision to grant credit.

The explanation of the answer is now given as follows:

Number of new orders = 125 units

Percentage of repeat order = 30%

Number of order that will be repeated forever = Number of new orders * Percentage of repeat order = 125 * 30% = 37.50 units

Credit price per unit = $11,100

Variable cost per unit = $9,700

Contribution margin per unit = Credit price per unit - Variable cost per unit = $11,100 - $9,700 = $1,400

Total contribution for all new order = Number of new orders * Contribution margin per unit = 125 * $1,400 = $175,000

Total contribution margin for order that will be repeated forever = Contribution margin per unit * Number of order that will be repeated forever = $1,400 * 37.50 = $52,500

Net present value (NPV) of total contribution margin for order that will be repeated forever = Total contribution margin for repeated order forever / Required return = $52,500 / 1.9% = 2,763,157.89

Net present value (NPV) of the decision to grant credit = Total contribution for all new order + NPV of total contribution margin for order that will be repeated forever = $175,000 + 2,763,157.89 = $2,938,157.89

Therefore, the net present value (NPV) of the decision to grant credit is $2,938,157.89.

Education Career Video Assignment
In order to complete this assignment, you must first watch at least 3 of the 5 videos that are in the course under MODULE 3.01. After you have watched them, answer the following questions about 3 of the 5 jobs you learned about. Once you are finished save your file. Then upload it to the Education Careers Video Assignment dropbox.

Name:
Video #1
1. What is the job title?

2. Where do people with this career go to work?

3. What education do you need for this career?

4. Why did you choose this career?

Video #2

1. What is the job title?

2. Where do people with this career go to work?


3. What education do you need for this career?


4. Why did you choose this career?


Video #3
1. What is the job title?

2. Where do people with this career go to work?

3. What education do you need for this career?

4. Why did you choose this career?

Answers

Where are the links to the videos?
What’s the video? And do you need help with all questions?

Assume that you will pay $1,450 cash annually for three years (at the end of the year), and that the discount rate is 8%.

Calculate the present value using a PV table.

Answers

The present value of receiving $1,450 annually for three years (at the end of the year) with an 8% discount rate is approximately $3,737.45.

To calculate the present value of a cash flow using a present value (PV) table, we need to multiply the cash flow by the corresponding discount factor from the table. The discount factor represents the present value of $1 received at the end of each year for the specified discount rate.

Let's calculate the present value for the annual cash flow of $1,450 over three years at an 8% discount rate:

Year 1:

Discount factor for 8% and 1 year = 0.9259

Present value for Year 1 = $1,450 * 0.9259 = $1,342.655

Year 2:

Discount factor for 8% and 2 years = 0.8573

Present value for Year 2 = $1,450 * 0.8573 = $1,244.025

Year 3:

Discount factor for 8% and 3 years = 0.7938

Present value for Year 3 = $1,450 * 0.7938 = $1,150.770

Now, let's sum up the present values for each year:

Present value = $1,342.655 + $1,244.025 + $1,150.770 = $3,737.45

Therefore, the present value of receiving $1,450 annually for three years (at the end of the year) with an 8% discount rate is approximately $3,737.45.

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Which action would a government most likely take to reduce its
unemployment rate?
A. Use tax money to hire workers for government projects
B. Cut taxes on businesses that operate with very few workers
C. Increase taxes on businesses that operate outside the country
D. Cut off loans to businesses in order to reduce the money supply
SUBMIT

Answers

A; sounds like the best option

The unemployment rate is the unemployed divided by the sum of employed and unemployed, in order to reduce it the government can hire workers for a new project by using tax money.

What is the unemployment rate?

It is the rate of unemployment calculated by the number of people unemployed to the total number of people employed and unemployed multiplied by 100.

In order to reduce it, the government can hire workers for a new project by using tax money

Therefore, option A can help in the reduction of the unemployment rate.

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In a freehold estate what describes when the ownership includes all immovable structures attached to the land such as buildings, trees, and underground resources?

Answers

There are different kinds of estate. In a freehold estate immobility describes when the ownership includes all immovable structures attached to the land such as buildings, trees, and underground resources.

Freehold estates is known to be made up of 2 components. They are:

immobility: This is simply the ownership of all immovable structures that is attached to land.

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compute the contribution margin and the segment margin of each division and the company as a whole. what will be the impact on net income if the magazine division is eliminated?

Answers

The magazine division's net income would plummet to $24,540 if Anderson Publishing were to disappear. The book division's gross profit was $4,682,500, the magazine division was $969,800, and the contribution margin for both was $5,625,000 and $2,016,100.

The Anderson Publishing contribution margin income statement and fixed cost allocation computations are presented in full below.

Section for contribution margin income statement

                        Book Division  Magazine Division                 Total

                        8,200,000        3,469,200                             11,669,200

Less Variable cost:

The component of the cost of goods supplied that is variable

                         2,400,000       1,196,400                               3,596,400

Variable operating cost  

                        175,000            256,700                                 431,700

Contribution margin  

                        5,625,000        2,016,100                               7,641,100

Less traceable fixed cost

                         1,997,100         987,440                                 2,984,540

Segment margin

                         3,627,900        1,028,660                             4,656,560

Less common fixed cost

                         2,076,400        1,526,960                             3,603,360

Net profit           1,551,500        (498,300)                               1,053,200

Calculations

Traceable fixed cost of Magazine division

= (1,303,000 × 20%) + (1,211,400 × 60%) = $987,440

Common fixed cost of Magazine division

= (1,303,000 + 1,211,400) - 987,440 = 1,526,960

Traceable (direct) fixed cost of Book division

= (1,117,500 × 20%) + (2,956,000 × 60%) = $1,997,100

Common fixed cost (untraceable) of Book division

= (1,117,500 + 2,956,000) - 1,997,100 = $2,076,400

If the magazine division is discontinued, Anderson Publishing may completely avoid or remove the direct fixed cost of $987,440 for the magazine segment.

However, the Magazine division's Common Fixed Cost of $1,526,960 cannot be avoided.

Estimating net income in the event that the Magazine Division is abolished

Particulars                                                                                 $

The segment margin of the Book division                             3,627,900

Less common fixed cost (2,076,400 × 1,526,960)                 3,603,360

Net income                                                                                24,540

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