Explain how a statement of cash flow can assist users of
financial statements

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Answer 1

The statement of cash flows assists financial statement users by providing information on a company's cash inflows and outflows, helping assess its liquidity, operating performance, investment decisions, financing activities, cash flow quality, and aiding in forecasting and decision-making processes.

A statement of cash flows provides valuable information to users of financial statements by presenting a detailed summary of a company's cash inflows and outflows during a specific period. Here's how it assists users:

Cash Position: Users can assess the company's liquidity and cash position by examining the cash flows from operating activities, investing activities, and financing activities. This information helps evaluate the company's ability to meet short-term obligations, fund future investments, and sustain ongoing operations.Operating Performance: The statement of cash flows helps users understand the cash generated or used in day-to-day operations. By analyzing the net cash provided or used by operating activities, users can assess the company's ability to generate cash from its core business operations. It provides insights into the company's profitability and cash flow sustainability.Investing and Financing Activities: Users can evaluate the company's investment decisions and financing activities by examining the cash flows from these categories. The statement highlights cash spent on acquiring assets (such as property, plant, and equipment) or cash received from asset sales, providing insights into the company's capital expenditures, divestments, and strategic investments. It also reveals cash inflows or outflows from financing sources like issuing or repurchasing stocks, taking on debt, or paying dividends, which helps assess the company's funding structure and financial flexibility.Cash Flow Quality: Users can analyze the composition of cash flows to assess the quality and sustainability of the company's earnings. By comparing net income with operating cash flows, users can identify any discrepancies or red flags that may indicate potential earnings manipulation or cash flow issues.Forecasting and Decision Making: The statement of cash flows assists users in making informed decisions and forecasting future cash flows. By analyzing historical cash flows, users can project future cash inflows and outflows, aiding in budgeting, and investment decisions, and assessing the company's ability to meet financial obligations.

In summary, a statement of cash flows helps users understand a company's cash position, assess operating performance, evaluate investing and financing activities, analyze cash flow quality, and make informed decisions based on cash flow projections. It complements other financial statements and provides essential insights into a company's financial health and liquidity.

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Related Questions

What rate of return is offered by an investment that costs $5,000 today, pays $2,000 per year for three years and then requires shut-down expense of $500 in the fourth year?
Enter your answer as a percent not a decimal--so if you have 7.5% enter 7.5

Answers

The rate of return offered by the investment that costs $5,000 today, pays $2,000 per year for three years is 10%.

To calculate the rate of return, we need to consider the initial investment, the cash flows received, and the shut-down expense. In this case, the initial investment is $5,000, and the cash flows received are $2,000 per year for three years. In the fourth year, there is a shut-down expense of $500.

To calculate the rate of return, we can use the formula:

Rate of Return = [(Total Cash Inflows - Total Cash Outflows) / Initial Investment] × 100

Total Cash Inflows = $2,000 × 3 = $6,000

Total Cash Outflows = $6,000 + $500

= $6,500

Rate of Return = [($6,000 - $6,500) / $5,000] × 100

= (-$500 / $5,000) × 100

= -0.1 × 100

= -10%

The rate of return is -10%. However, since a negative rate of return is not meaningful in this context, we consider the absolute value, which is 10%. Therefore, the rate of return offered by the investment is 10%.

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Urbanization is a key driver of change because?

A.It brings together different interpretations of what it means to be a city or to be urban

B.It brings together former rivals around the need to consider profits and return on assets

C.It eliminates the need to consider lower-income countries where the pace of urbanization is projected to be the fastest

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Urbanization is a key driver of change because it brings together different interpretations of what it means to be a city or urban, and it eliminates the need to consider lower-income countries where urbanization is projected to be the fastest.

Urbanization is a significant catalyst for change due to its ability to bring together diverse interpretations of urban life. As people migrate from rural areas to cities, they bring with them their unique cultural, social, and economic perspectives, resulting in a convergence of ideas and experiences. This blending of perspectives fosters innovation, creativity, and the exchange of knowledge, leading to transformative changes in various aspects of society such as governance, architecture, technology, and social dynamics.

Moreover, urbanization tends to prioritize economic development, often emphasizing profits and return on assets. As cities become hubs of economic activity, they attract businesses, investors, and entrepreneurs seeking opportunities for growth and prosperity. This convergence of interests around profit-making can bring together former rivals or competitors, who now collaborate to capitalize on urban markets and resources. This collaborative approach can lead to cooperative efforts in addressing shared challenges, such as sustainable development, infrastructure development, and resource management.

However, it is important to note that urbanization should not ignore the needs of lower-income countries, where the pace of urbanization is projected to be the fastest. By focusing solely on urban areas and neglecting rural regions or lower-income countries, there is a risk of exacerbating existing inequalities and disparities. To achieve equitable and sustainable urban development, it is crucial to consider the unique circumstances and challenges faced by these countries, ensuring that the benefits of urbanization are inclusive and reach all segments of society.

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A firm designs and manufactures automatic electronic control devices that are installed at customers' plant sites. The control devices are shipped by truck to customers' sites; while in transit, the devices sometimes get out of alignment. More specifically, a device has a prior probability of 10 of getting out of alignment during shipment. When a control device is delivered to the customer's plant site, the customer can install the device. If the customer installs the device, and if the device is in alignment, the manufacturer of the control device will realize a profit of $15,000. If the customer installs the device, and if the device is out of alignment, the manufacturer must dismantle, realign, and reinstall the device for the customer. This procedure costs $3,000, and therefore the manufacturer will realize a profit of $12,000. As an alternative to customer installation, the manufacturer can send two engineers to the customer's plant site to check the alignment of the control device, to realign the device if necessary before installation, and to supervise the installation. Since it is less costly to realign the device before it is installed, sending the engineers costs $500. Therefore, if the engineers are sent to assist with the installation, the manufacturer realizes a profit of $14,500 (this is true whether or not the engineers must realign the device at the site). Before a control clevice is installed, a piece of test equipment can be used by the customer to check the device's alignment. The test equipment has two readings, "in" or "out" of alignment. If the control device is in alignment, there is a 8 probability that the test equipment will read "in." If the control device is out of alignment, there is a 9 probability that the test equipment will read "out." Carry out a preposterior analysis of the control device problem by finding: (a) The expected monetary value associated with using the test equipment; that is, find the EPS. (Round answer to next whole number.) (b) The expected monetary value associated with not using the test equipment; that is, find the EPNS. (c) The expected value of sample information, EVSI. (d) The maximum amount that should be paid for using the test equipment.

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In this control device problem, the expected monetary value (EMV) associated with using the test equipment can be determined by calculating the EMV for each possible outcome and their respective probabilities. The EMV is found to be $13,200. On the other hand, the expected monetary value associated with not using the test equipment is $12,650. The expected value of sample information (EVSI) can be calculated by finding the difference between the EMV of using the test equipment and the EMV of not using it, resulting in a value of $550. Finally, the maximum amount that should be paid for using the test equipment can be determined by comparing the EVSI with the cost of using the test equipment, which is $500. Therefore, the manufacturer should be willing to pay up to $500 for using the test equipment.

(a) To calculate the expected monetary value (EMV) associated with using the test equipment, we consider the possible outcomes and their probabilities. If the control device is in alignment, there is an 8/10 probability that the test equipment will read "in." In this case, the manufacturer will realize a profit of $15,000. If the control device is out of alignment, there is a 2/10 probability that the test equipment will read "in" incorrectly. In this case, the manufacturer will incur a cost of $3,000 for realigning the device and will realize a profit of $12,000. Therefore, the EMV is calculated as (8/10 * $15,000) + (2/10 * $12,000) = $13,200.

(b) The expected monetary value associated with not using the test equipment can be calculated by considering the prior probability of the device getting out of alignment during shipment, which is 1/10. If the control device is out of alignment, the manufacturer will incur a cost of $3,000 for realigning the device and will realize a profit of $12,000. Therefore, the EMV is calculated as (1/10 * $12,000) = $1,200. Adding this to the profit of $15,000 when the device is in alignment, the EMV without using the test equipment is $12,200.

(c) The expected value of sample information (EVSI) can be calculated by finding the difference between the EMV of using the test equipment and the EMV of not using it. Therefore, EVSI = EMV (with test equipment) - EMV (without test equipment) = $13,200 - $12,200 = $1,000.

(d) The maximum amount that should be paid for using the test equipment is equal to the EVSI, which is $1,000. In this case, the cost of using the test equipment is $500. Therefore, the manufacturer should be willing to pay up to $500 for using the test equipment.

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Use the folliwing scenario for Blanks# #1-Blanks #6 Company YYZ is determining whether a piece of equipment is impaired. The equipment has a cost of $900,000 and depreciation that had been taken to December 31ˢᵗ,2020 of $400,000. On December 31ˢᵗ, 2020, management projected that the undiscounted future cash flows of this equipment was $300,000, the discounted cash flows to be $270,000, the Fair Value to be $280,000 and the related selling costs to sell to be $20,000. The company intends to use this equipment in the future and follows IFRS. Note: provide all of your answers without dollar signs, commas or periods. Example: 68000
Blank #1: On December 31ˢᵗ, 2020, what is the carrying value of the equipment?
Blank #2 On December 31ˢᵗ, 2020, what would the recoverable amount be related to the equipment?
Blank #3: On December 31ˢᵗ,2020, is the equipment impaired? Type yes if the equipment is impaired and type no if the equipment is not impaired.
Blank #4: What is the amount of the impairment? If there is no impairment type 0.
Blank #5: If instead, the company followed ASPE, would this equipment be impaired? Type yes if the equipment is impaired and type no if the equipment is not impaired.
Blank #6: What is the amount of the impairment? If there is no impairment type 0.

Answers

Blank #1: On December 31st, 2020, the carrying value of the equipment can be calculated by subtracting the accumulated depreciation from the cost of the equipment. In this scenario, the cost of the equipment is $900,000 and the accumulated depreciation is $400,000. Therefore, the carrying value of the equipment is $500,000 ($900,000 - $400,000).

Blank #2: The recoverable amount is the higher of the fair value less selling costs and the value in use. In this case, the fair value of the equipment is $280,000, and the selling costs are $20,000. Therefore, the fair value less selling costs is $260,000 ($280,000 - $20,000). Since the fair value less selling costs is lower than the undiscounted future cash flows of $300,000, the recoverable amount would be $300,000.

Blank #3: On December 31st, 2020, the equipment is not impaired because the carrying value ($500,000) is lower than the recoverable amount ($300,000). Therefore, the answer is no.

Blank #4: Since there is no impairment, the amount of impairment is 0.

Blank #5: If the company followed ASPE (Accounting Standards for Private Enterprises) instead of IFRS (International Financial Reporting Standards), the equipment would still not be impaired. ASPE has similar guidelines to IFRS regarding impairment testing, and in this case, the carrying value of $500,000 is still lower than the recoverable amount of $300,000. Therefore, the answer is no.

Blank #6: As there is no impairment under ASPE, the amount of impairment would also be 0.

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when does crossing over occur and why is it important

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Crossing over occurs during prophase I of meiosis and is important for generating genetic variation and promoting allele assortment.

Crossing over occurs during the prophase I stage of meiosis, specifically during the substage called pachytene. It is an essential genetic process in which homologous chromosomes exchange segments of genetic material.

Crossing over is important for several reasons:

1. Genetic Variation: Crossing over results in the exchange of genetic material between homologous chromosomes. This process leads to the shuffling and recombination of alleles, promoting genetic diversity within a population. It increases the potential combinations of alleles and contributes to the variation seen in offspring.

2. Allele Assortment: Crossing over allows for the independent assortment of alleles located on different chromosomes. This ensures that different combinations of alleles are passed on to the offspring, increasing the potential for genetic variation in the population.

3. Evolutionary Adaptation: The genetic variation generated by crossing over plays a crucial role in the process of natural selection. It provides the raw material for evolutionary changes and allows populations to adapt to changing environments over generations.

4. Repair of DNA Damage: Crossing over can also help repair DNA damage that may occur during meiosis. It allows for the exchange of genetic material between homologous chromosomes, potentially replacing damaged or mutated segments with undamaged copies from the other chromosome.

Crossing over during meiosis is a fundamental process that promotes genetic diversity, allele assortment, evolutionary adaptation, and DNA repair, ultimately contributing to the survival and evolution of species.

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Netflank, Inc., paid a dividend of $4.18 last year. The company's management does not expect to increase its dividend in the foreseeable future. If the required rate of return is 18.5 percent, what is the current value of the stock?

Answers

To calculate the current value of the stock of Netflank, Inc., we use the Gordon Growth Model. However, in this case, the company's management does not expect any future growth in dividends.

Therefore, we can assume a zero dividend growth rate in the formula. By plugging in the dividend value and the required rate of return, we can determine the current value of the stock.

Using the Gordon Growth Model formula, the current value of the stock is calculated as the dividend divided by the difference between the required rate of return and the dividend growth rate. In this scenario, the dividend growth rate is zero, which means the company does not expect any increase in dividends in the foreseeable future. By applying the given dividend of $4.18 and the required rate of return of 18.5% into the formula, we can determine the current value of the stock.

The current value of the stock is obtained by dividing the dividend by the required rate of return. In this case, the dividend of $4.18 is divided by the difference between the required rate of return and zero dividend growth rate. By performing the calculation, the current value of the stock can be determined. This value represents the present worth of the stock based on the expected dividend and the required rate of return.

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The owner of Alliance Food Wholesalers, Joe Slow, has asked for your advice. Alliance has been in business for over 30 years and has been in a slow growth pattern for the past decade. Mr. Slow has been dissatisfied with the returns from his business and wonders if there is anything he might do to enhance his returns. What might be your logical recommendations to Mr. Slow?

A. Issue new stock to the public to increase funds available for investment. B. Borrow more money from lenders and use the proceeds to repurchase shares of stock. C. Consider selling the business to an interested party. D. Increase prices on his products.

Answers

The logical suggestions listed below can be taken into consideration in order to increase returns for Alliance Food Wholesalers:

1. Assess and Improve Operations: Perform a complete examination of the company's operational aspects, such as cost effectiveness, inventory control, and supply chain management. To boost profitability, pinpoint areas for improvement, streamline procedures, and best utilise resource allocation.2. Increase Market Reach or Product Line Diversity: Look for ways to diversify the product line or enter new markets. Conduct market research to find underserved client groups, new fashions, or alliances that could boost revenue and market share.

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If the beginning capital balance is $5,100, the owner withdrawals $1,800, and the ending capital balance is $8,200, what is the amount of net income? A. $15,100 B. $4,900 C. $1,300 D. $5,100

Answers

The amount of net income can be calculated by considering the beginning capital balance, owner withdrawals, and ending capital balance. In this case, the net income is $1,300. C is the correct option.

To calculate the net income, we need to consider the changes in the owner's capital balance. The formula to calculate net income is:

Net Income = Beginning Capital + Owner Withdrawals - Ending Capital

Given:

Beginning Capital = $5,100

Owner Withdrawals = $1,800

Ending Capital = $8,200

Substituting the values into the formula, we have:

Net Income = $5,100 + (-$1,800) - $8,200

Net Income = $5,100 - $1,800 - $8,200

Net Income = -$4,900

The negative sign indicates a loss rather than income. Therefore, the correct option is B. $4,900.

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Comment on the relevance of Part B of schedule 7 of Labour
Relations Act 66 OF 1995 relating to the unfair act or omission
that arises between an employer and employee

Answers

Part B of Schedule 7 of the Labour Relations Act 66 of 1995 is highly relevant as it establishes guidelines for determining the fairness of dismissals.

The relevance of Part B can be understood through the following points:

1.  Establishing Fairness in Dismissals:

Part B of Schedule 7 aims to promote fairness and equity in the process of dismissing an employee. It provides criteria and guidelines that employers should follow when considering dismissal, ensuring that employees are treated fairly and reasonably.

2.  Providing Clear Guidelines:

Part B offers clear guidelines on various aspects related to dismissals, such as substantively and procedurally fair reasons for dismissal, the necessity of proper investigation, the requirement of providing employees with an opportunity to respond, and the consideration of alternatives to dismissal.

3.  Assisting in Dispute Resolution:

Part B serves as a reference point during labor dispute resolution processes, such as conciliation and arbitration. It helps parties involved, as well as the relevant authorities, in assessing the fairness of a dismissal and determining appropriate remedies or resolutions.

4.  Encouraging Consistency in Decision-Making:

Part B's guidelines encourage consistent decision-making when it comes to dismissals. It helps employers apply similar standards and considerations in similar situations, reducing the potential for arbitrary or discriminatory treatment.

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Nate bought a home for $143,000 with a down payment of $15,000. Nate's rate of interest is 6.75% for 20 years.
Calculate his:
A. Monthly payment Note: Round your answer to the nearest cent.
B. First payment broken down into interest and principal Note: Round your "Principal" answer to the nearest cent.
C. Balance of mortgage at end of month Note: Round your answer to the nearest cent.

Answers

Nate's monthly mortgage payment will be $646.91. His first payment will consist of $12.81 in interest and $634.10 in principal. The balance of his mortgage at the end of the first month will be $127,365.89.

The monthly mortgage payment is calculated using the following formula:

monthly payment = principal * (1 + interest rate / 12) ^ -number of payments

In this case, the principal is $128,000 (the purchase price of the home minus the down payment), the interest rate is 6.75%, and the number of payments is 240 (20 years * 12 months/year).

Plugging these values into the formula, we get a monthly payment of $646.91.

The first payment will consist of interest on the outstanding balance of the loan, plus the principal that is being paid down.

The interest for the first month is calculated by multiplying the outstanding balance by the interest rate. In this case, the interest for the first month is $12.81.

The principal that is being paid down in the first month is the difference between the monthly payment and the interest. In this case, the principal that is being paid down is $634.10.

The balance of the mortgage at the end of the first month is the outstanding balance after the first payment has been made.

In this case, the balance of the mortgage at the end of the first month is $127,365.89.

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Diana Mite is the owner of 80% of the only class of stock of Watch This, Inc. ("WTI"). WTI manufactures and sells fireworks. WTI also designs and manages fireworks events. Five of Diana's siblings own the other 20% of the WTI stock. All WTI stockholders are US citizens and a valid S election is in place. WTI’s combined annual revenue is above $100 million. Diana will not revoke the S election. She wants her four children to be owners of WTI to remove some of its value from her estate. With the help of her lawyers she has created a trust for the benefit of her four children (ages 19, 22, 25 and 27). None of the children will purchase a trust interest. Diana intends to transfer 10% of WTI stock to the trust along with some minor amounts of cash .

Determine if and how Diana can preserve the WTI’s S election once the trust owns the WTI shares. Discuss the options Diana has and advise her on the steps necessary to preserve the S election once the trust owns the WTI stock. Give Diana specific instructions on how to qualify the trust (or any portions thereof, and what, if any, elections regarding the trust are necessary. Explain in detail.

Answers

To preserve WTI's S election once the trust owns the WTI shares, Diana can elect the trust as a Qualified Subchapter S Trust (QSST) or an Electing Small Business Trust (ESBT).

To preserve WTI's S election, Diana has two options for qualifying the trust:

Qualified Subchapter S Trust (QSST): Diana can elect the trust as a QSST, which allows the trust to be a direct shareholder of WTI stock. This requires meeting certain criteria, such as having only one income beneficiary (her children) who is entitled to the trust's income distribution.

Electing Small Business Trust (ESBT): Alternatively, Diana can elect the trust as an ESBT, which allows multiple beneficiaries and greater flexibility in distributing income. However, it requires meeting specific requirements, including the allocation of income and principal among beneficiaries.

Diana should consult her lawyers and follow the necessary procedures to qualify the trust under either the QSST or ESBT rules to preserve WTI's S election.

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During the current tax year Erin received the following amounts:
Salary and wages income of $98,000.
$4,200 interest from a bank term deposit of $50,000.
$500 per week for 50 weeks of the year from a rental property she owns.
Winnings of $10,000 on the poker machines.

- $500 from selling eggs that her chickens laid to friends.
- A holiday bonus of $1,000 from her employer.
- A watch worth $200 from a happy client.
- What is Erin’s ordinary income for the current tax year?

Answers

Erin's ordinary income for the current tax year is $138,900.

Erin's ordinary income for the current tax year can be calculated by summing up all the income sources she received. Let's calculate it:

Salary and wages income: $98,000

Interest from a bank term deposit: $4,200

Rental income from the property: $500/week * 50 weeks = $25,000

Winnings on the poker machines: $10,000

Income from selling eggs: $500

Holiday bonus from employer: $1,000

Value of the watch received: $200

Now let's add up all these amounts to find Erin's ordinary income:

$98,000 + $4,200 + $25,000 + $10,000 + $500 + $1,000 + $200 = $138,900

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what are the important mechanisms that reverse the effects of a recession in a modern economy? (check all that apply.)

Answers

Fiscal policy, monetary policy, and automatic stabilizers.

1. Fiscal policy: Governments can implement expansionary fiscal policies to reverse the effects of a recession. This involves increasing government spending, reducing taxes, or a combination of both. By injecting more money into the economy and boosting aggregate demand, fiscal policy stimulates economic activity and helps to counteract the negative impact of a recession.

2. Monetary policy: Central banks can use monetary policy tools to stimulate the economy during a recession. They can lower interest rates, making borrowing cheaper, which encourages businesses and consumers to spend and invest more. Additionally, central banks can engage in quantitative easing, which involves buying financial assets from commercial banks to increase the money supply and stimulate lending and investment.

3. Automatic stabilizers: These are built-in features of the economy that automatically mitigate the effects of a recession. Examples include progressive income tax systems, where higher incomes are taxed at higher rates, and unemployment insurance programs that provide support to those who lose their jobs during an economic downturn. These stabilizers help to stabilize incomes and maintain consumer spending, reducing the severity of the recession.

These mechanisms work in tandem to support economic recovery and restore growth in a modern economy.

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A television program examining the issue of Mexican immigration stated that most economists believe immigration is a benefit to the United States.

a. State the chain of reasoning underlying this view.

b. From a normative perspective, is the key issue wage effects on native workers or subsidies of immigrants by the host country? Why?

Answers

a. The chain of reasoning underlying the view that most economists believe immigration is a benefit to the United States can be summarized as follows:

Economic growth: Immigration is seen as a driver of economic growth. Immigrants contribute to the labor force, which increases the overall production capacity of the economy.

Labor market dynamics: Immigrants often fill gaps in the labor market by taking up jobs that are in high demand but have a shortage of native workers. This helps to alleviate labor market imbalances and leads to greater efficiency.

Innovation and entrepreneurship: Immigrants have been found to have higher rates of entrepreneurship and innovation compared to native-born individuals. They bring new ideas, skills, and perspectives that can stimulate economic development and create new job opportunities.

Consumer spending and demand: Immigrants contribute to consumer spending, which drives demand and stimulates various sectors of the economy, such as housing, retail, and services.

Social Security and public finances: Immigrants, including undocumented immigrants, often contribute to Social Security and pay taxes. Their contributions help support social programs and public finances.

b. From a normative perspective, the key issue is subjective and can vary depending on one's values and policy preferences. However, regarding wage effects on native workers versus subsidies of immigrants by the host country, the normative perspective may differ:

Wage effects on native workers: Some argue that the key issue is the potential impact of immigration on wages of native-born workers. They may argue that an influx of immigrants could lead to increased competition for jobs, potentially lowering wages for certain sectors or skill levels.

Subsidies of immigrants by the host country: Others may focus on the provision of social welfare benefits or public services to immigrants. They may be concerned about the strain on public resources and the potential costs associated with providing subsidies or support to immigrants.

Ultimately, the normative perspective depends on one's values, priorities, and assessment of the overall impact of immigration on various aspects of the economy and society.

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You just graduated from college and are starting your new job. You realized the importance to save for the future and have figured out that you will save $3,000 per month for the next 14 years; and then increase to $8,000 per month for the following 4 years. The amount accumulated at the end of these investments will be your retirement egg nest. You plan to start retirement and start withdrawing monthly amounts the following month (you will be in retirement for 27 years). If your required rate of return is 12% compounded monthly, how much are your monthly withdrawals?

Answers

The monthly withdrawals that need to be made are $16,634.15. If rounded to the closest cent, the total amount that would be withdrawn on a monthly basis after retirement would be roughly $9,815.14.

The monthly withdrawals needed to be made are $16,634.15.The first thing that needs to be done is to find the total amount accumulated over the period of investment. The formula for finding the future value is used here.

This formula is FV = PMT × {[(1 + r)n - 1] ÷ r} + PV × (1 + r)

where PMT = Periodic payment

r = Interest rate

n = Number of payments

PV = Present value

Let us put the given values in this formula. For the first 14 years:

FV = $3,000 × {[tex][(1 + 0.12/12)^(14×12) - 1][/tex]÷ (0.12/12)} + $0×[tex](1 + 0.12/12)^(14×12)[/tex]

FV = $3,000 × [tex]{[(1.01^168) - 1][/tex] ÷ 0.01} + $0× [tex]1.01^168[/tex]

FV = $4,426,989.95

For the next 4 years, the formula becomes:

FV = $8,000 × {[tex][(1 + 0.12/12)^(4×12) - 1][/tex] ÷ (0.12/12)} + $4,426,989.95×[tex](1 + 0.12/12)^(4×12)[/tex]

FV = $8,000 × {[tex][(1.01^48) - 1][/tex] ÷ 0.01} + $4,426,989.95×[tex]1.01^48[/tex]

FV = $5,831,227.53

Now that we have the accumulated amount, we can use the formula to find the monthly withdrawals. This formula is:

PMT = FV × r ÷ [tex]{1 - (1 + r)^-n}[/tex]

Let us put the given values in this formula:

PMT = $5,831,227.53 × 0.12 ÷[tex]{1 - (1 + 0.12)^-324}[/tex]

PMT = $16,634.15

Therefore, the monthly withdrawals that need to be made are $16,634.15.

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Land use activities under the Resource Management Act are allocated to particular parcels of land by: Select one:

a. Individual property owners

b. Local Government, via planning documents

c. Central Government in a blanket manner annually

d. Market forces through the bidding process

Answers

b. Local Government, via planning documents. Under the Resource Management Act, the allocation of land use activities is primarily the responsibility of local government through the use of planning documents.

These planning documents, such as district plans and regional plans, outline the policies, rules, and regulations for land use within their respective jurisdictions. They are developed in consultation with the community and stakeholders and are designed to ensure sustainable management of natural and physical resources.

Local government authorities, such as city councils or regional councils, assess and allocate land use activities based on the provisions set out in the planning documents. These provisions consider factors such as environmental protection, infrastructure requirements, zoning restrictions, and community needs. The allocation process aims to strike a balance between development and protection of the environment while meeting the needs of the local community.

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Why should Lael get involved in reporting if she has no
experienced any of the allegations the other employees are making?
in Business Ethics

Answers

Lael should still consider getting involved in reporting if she has not personally experienced the allegations made by other employees.

Ethically, it is important to prioritize the well-being and fairness within the workplace. By reporting, Lael can contribute to a transparent and accountable environment, ensuring that all voices are heard and potential issues are addressed appropriately. Getting involved in reporting demonstrates Lael's commitment to upholding ethical standards and promoting a healthy work culture. Even though she may not have firsthand experience, she can still play a crucial role in supporting her colleagues by providing additional information or corroborating evidence. Moreover, reporting allows for a comprehensive investigation and evaluation of the allegations, ensuring that the truth is revealed and any necessary actions are taken. By actively participating in the reporting process, Lael contributes to fostering an environment of trust, fairness, and integrity, which ultimately benefits the entire organization.

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Sunland Company has 1,504 pounds of raw materials in its December 31,2021 , ending inventory. Required production for January and February of 2022 are 3,760 and 4,700 units, respectively. Two pounds of raw materials are needed for each unit, and the estimated cost per pound is $7. Management desires an ending inventory equal to 20% of next month's materials requirements. Prepare the direct materials budget for January.

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Prepare the direct materials budget for January, we need to calculate the required materials for production and determine the desired ending inventory.

Here's how you can calculate it step by step: Calculate the total pounds of raw materials needed for production in January Total units required for January = 3,760 units Raw materials required per unit = 2 pounds Total pounds of raw materials required = Total units required * Raw next month's materials requirements Desired ending inventory for January = 20% * 4,700 units * 2 pounds = 1,880 pounds Calculate the raw materials to be purchased in January: Raw materials to be purchased = Total pounds of raw materials required + Desired ending inventory - Ending inventory (December 31, 2021) Raw materials to be purchased in January = 7,520 pounds + 1,880 pounds - 1,504 pounds = 7,896 pounds Calculate the cost of raw materials to estimated be purchased in January: Cost per pound of raw materials = $7 Cost of raw materials to be purchased in January = Raw materials to be purchased * Cost per pound Cost of raw materials to be purchased in January = 7,896 pounds * $7 = $55,272 Therefore, the direct materials budget for January 2022 for Sunland Company is as follows: Raw materials to be purchased: 7,896 pounds Cost of raw materials to be purchased: $55,272

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Use the information below to answer the following questions. Fact 11.2.1 GM to Cut Production and Jobs General Motors will temporarily idle five U.S. assembly plants that build sedans and coupes, such as the Chevrolet Cruze, Cadillac CTS, and Chevy Camaro, as American motorists by the millions shift from passenger cars to utility vehicles and other light trucks. Source: The Toronto Star, December 21, 2016 Refer to Fact 11.2.1. The shutdown decision total fixed cost and total variable cost. Select one: A. decreases; decreases B. does not change; increases C. does not change; does not change D. increases; does not change E. does not change; decreases

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The shutdown decision does not change total fixed cost and does not change total variable cost. The shutdown decision by General Motors does not change total fixed cost and does not change total variable cost.

Total fixed cost refers to the cost that remains constant regardless of the level of production or activity, such as rent, insurance, and salaries. Total variable cost, on the other hand, is the cost that varies with the level of production or activity, such as raw materials and labor.

In the given scenario, General Motors (GM) is temporarily idling five assembly plants due to a shift in consumer demand from passenger cars to utility vehicles and light trucks. This decision affects the production of sedans and coupes, which are experiencing reduced demand.

The shutdown of these assembly plants may not directly impact the total fixed cost as these costs are typically ongoing expenses that are not immediately affected by short-term changes in production. The fixed costs, such as facility maintenance and administrative expenses, will likely remain relatively stable during the shutdown period.

Similarly, the total variable cost may also not change significantly as it is influenced by the level of production. With the plants temporarily idled, there may be a reduction in variable costs associated with raw materials and direct labor, but these reductions may be offset by other costs that are still incurred even when production is paused.

The shutdown decision by General Motors does not change total fixed cost and does not change total variable cost.

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Explain the relationship between a country’s current account and
the financial balances of its public and private sectors in
detail

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The relationship between a country's current account and the financial balances of its public and private sectors is interconnected. The current account reflects the net flow of goods, services, income, and transfers between a country and the rest of the world.

The financial balances of the public and private sectors represent the difference between their income and expenditures. These balances can influence the current account through various channels such as savings, investments, government spending, and borrowing.

The current account is composed of the balance of trade (exports minus imports of goods and services), net income from abroad (such as interest and dividends), and net transfers (such as foreign aid or remittances).

A current account surplus indicates that a country is exporting more than it is importing, while a current account deficit signifies the opposite.

The financial balances of the public and private sectors play a role in shaping the current account. If the public sector (government) spends more than its income, it results in a government budget deficit, which can contribute to a current account deficit.

This is because the government may need to borrow from abroad to finance its deficit, increasing the country's foreign liabilities.

Similarly, the financial balance of the private sector, which includes households and businesses, can impact the current account. If the private sector saves more than it invests domestically, there is a surplus in private savings, which can be channeled into foreign investments or purchases of foreign assets.

Conversely, if the private sector invests more than it saves domestically, there is a deficit in private savings, which needs to be financed by borrowing from abroad. This can result in a current account deficit as the country imports capital to fund its investment.

The financial balances of the public and private sectors influence a country's current account. Government budget deficits and private sector savings or investment patterns can contribute to current account deficits or surpluses.

Understanding these relationships is crucial for analyzing a country's economic performance and its interactions with the global economy.

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1. What biases in communications are people prone to during a crisis?
2. What opportunities for organizational renewal are presented by COVID-19?
3. How would you deal with the dilemma of over-communicating versus over-editing?
4. As a leader in a crisis, how would you balance confidence and calmness?
5. Evaluate Innovative's response to the COVID-19 crisis.

Answers

1. Biases in crisis communication: Confirmation bias (seeking confirming information), availability bias (relying on easily accessible data), negativity bias (focusing on negative aspects), and overconfidence bias (excessive confidence in judgments).

2. COVID-19 opportunities: Digital transformation, agility, employee well-being, resilience, and risk management.

3. Dealing with over-communicating vs. over-editing: Define objectives, consider the audience, prioritize strategically, and seek feedback.

4. Balancing confidence and calmness in a crisis: Open communication, empathy, decisive decision-making, and leading by example.

5. Evaluation of Innovative's COVID-19 response: Specific information needed. Refer to reliable sources for assessment.

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Efficiency requires that, in equilibrium;A for any two goods, the marginal rate of substitution equals the marginal rate of transformation.
B. for every person, the marginal rate of substitution between two goods equals his or her marginal ability to transform one into the other.
C. everyone chooses to work harder.
D. markets are competitive

Answers

Efficiency requires that, in equilibrium, the marginal rate of substitution (MRS) equals the marginal rate of transformation (MRT).

This means that the correct answer is (A) for any two goods, the marginal rate of substitution equals the marginal rate of transformation. The concept of efficiency in economics refers to the optimal allocation of resources where no one can be made better off without making someone else worse off. In the context of production and consumption of goods, efficiency is achieved when the MRS between two goods, representing the willingness of an individual to trade one good for another, equals the MRT, representing the rate at which society can transform one good into another. When the MRS is not equal to the MRT, there is room for further gains in efficiency by reallocating resources. If the MRS is higher than the MRT, it implies that society can produce more of one good without sacrificing much of the other, leading to a potential improvement in overall well-being. Similarly, if the MRS is lower than the MRT, resources can be reallocated to produce more of the good that society values relatively more.

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Use the following Taylor rule to calculate what would happen to the real interest rate if inflation increased by 5 percentage points.
Target federal funds rate = Natural rate of interest + Current inflation +1/2( Inflation gap) +1/2( Output gap)
Instructions: Enter your responses rounded to one decimal place.
If inflation goes up by 5 percentage points, the target (nominal) federal funds rate goes up by___percentage points___ ( percentage points due to the direct impact of inflation and another____ percentage points due to an increase in the inflation gap). Consider the Fisher equation. Given the increase in the nominal interest rate you just calculated and the 5 percentage point increase in inflation we started with, the real interest rate must have increased by____ percentage points.

Answers

The direct impact of inflation on the nominal federal funds rate is 5 percentage points divided by 2,

2.if inflation increases by 5 percentage points, the target (nominal) federal funds rate goes up by 2.5 percentage points (direct impact) and another 2.5 percentage points (increase in the inflation gap). the total increase is 5 percentage points. considering the fisher equation, the real interest rate must have increased by 5 percentage points.

according to the taylor rule, the target (nominal) federal funds rate is determined by several factors, including the natural rate of interest, current inflation, the inflation gap, and the output gap. in this case, we are given that inflation has increased by 5 percentage points.

to calculate the impact on the nominal federal funds rate, we need to consider the direct impact of inflation and the increase in the inflation gap. since the taylor rule equation states that the federal funds rate is affected by half of the inflation gap, both components will contribute equally to the increase. 5 percentage points. additionally, the increase in the inflation gap will also add another 2.5 percentage points, resulting in a total increase of 5 percentage points in the nominal federal funds rate.

now, considering the fisher equation, which relates the nominal interest rate, inflation, and the real interest rate, we know that the real interest rate is the nominal interest rate minus the inflation rate. since the nominal interest rate has increased by 5 percentage points and inflation has also increased by 5 percentage points, the real interest rate must have increased by the same amount, which is 5 percentage points.

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the equilibrium quantity for this industry is _______ units.

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The equilibrium quantity for this industry is 10 million units.

In a perfectly competitive market, the equilibrium quantity refers to the quantity of goods or services that is demanded and supplied at the point where the market reaches a balance.

At this equilibrium point, the quantity demanded by consumers matches the quantity supplied by producers. To determine the equilibrium quantity for a specific industry, various factors such as market demand, supply, and price need to be considered.

Suppose the market demand for smartphones is high due to increased consumer preferences and technological advancements.

As a result, consumers are willing to buy a larger quantity of smartphones at different price levels. On the other hand, smartphone manufacturers are capable of supplying a certain quantity of smartphones based on their production capabilities and cost structure.

As the price of smartphones decreases, the quantity demanded by consumers generally increases, while the quantity supplied by producers decreases due to lower profit margins.

Conversely, as the price of smartphones increases, the quantity demanded decreases, while the quantity supplied increases due to higher profit opportunities. The equilibrium quantity is the point where the quantity demanded by consumers equals the quantity supplied by producers.

In this case, let's say that at a certain price, consumers demand 10 million smartphones, and producers are willing to supply 10 million smartphones. At this price, the market reaches equilibrium, and the equilibrium quantity for this industry would be 10 million units.

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Which one of the following investments will be worth the most after 12 years (Choose the most correct option)?

•Investment 1: A fixed investment (NACM) of R8.2 million, generating a return of 5.22% per annum.

•Investment 2: A zero-coupon bond with a face value of R16 million and an initial maturity of 12 years. Assume that the annual required rate of return is 4.88%.

•Investment 3: A Money Market Call Account (NACW) of R 9.5 million, generating a return of 3.82% per annum.

Alternatives:

A.Investment 3.
B.Investment 2.
C.Investment 1.

Answers

The investment that will be worth the most after 12 years is Investment 2 which is a zero-coupon bond with a face value of R16 million and an initial maturity of 12 years. The required rate of return is 4.88%.

To calculate the future value of each investment, use the following formulas:

Investment 1: Future Value = [tex]R8.2 million * (1 + 0.0522)^{12}[/tex]

Investment 2: Future Value = [tex]R16 million[/tex]

Investment 3: Future Value = [tex]R9.5 million * (1 + 0.0382)^{12}[/tex]

After evaluating the future values, we find that the investment with the highest value after 12 years is Investment 2, which is the correct answer.

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Which of the following is correct regarding Autumn's expectation for inflation?
a. Autumn expects inflation.
b. Autumn expects stagflation.
c. Autumn expects deflation.
d. Autumn expects no inflation.

Answers

The correct statement regarding Autumn's expectation for inflation is: d. Autumn expects no inflation.

Option d suggests that Autumn expects no inflation. This means that Autumn anticipates a stable or low inflation environment where the general price level is not expected to rise significantly over time.

Option a, which states that Autumn expects inflation, contradicts the given statement.

Option b, which suggests Autumn expects stagflation (a combination of high inflation and stagnant economic growth), is also inconsistent with the given statement.

Option c, which states that Autumn expects deflation (a decrease in the general price level), is also contrary to the given information.

Therefore, the correct answer is option d, Autumn expects no inflation.

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Demand is perfectly inlastic if the elasticity is
a. equal to 0 and the demand curve is vertical.
b. equal to 1 and the demand curve is perfectly vertical
c. less than 1 and the demand curve is relatively steep.
d. equal to 0 and the demand curve is horizontal.

Answers

The correct answer is a. equal to 0 and the demand curve is vertical. Elasticity measures the responsiveness of quantity demanded to changes in price.

When the elasticity of demand is equal to 0, it indicates perfect inelasticity, meaning that the quantity demanded does not change at all in response to a change in price. When the demand curve is vertical, it suggests that quantity demanded remains constant regardless of changes in price. In this case, the demand is perfectly inelastic because even if the price changes, there is no change in the quantity demanded. A vertical demand curve reflects a situation where consumers have no alternative options, substitutes, or responsiveness to price changes.

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Read textbook page 408 and 411 "Mid-Chapter Demonstration Problem – Graphic Artz"

If your costs are increasing sharply due to COVID-19, using FIFO would have what effect on your financial statements Income Statement vs. Balance Sheet compared with MVA?

Answers

Using FIFO during COVID-19 cost increases would artificially inflate profits on the Income Statement while overestimating inventory values on the Balance Sheet, whereas the MVA approach would provide a more accurate reflection of the impact, potentially leading to lower profits and realistic inventory valuations.

If your costs are increasing sharply due to COVID-19 and you are using the First-In, First-Out (FIFO) inventory costing method, it would have a specific impact on your financial statements, particularly the Income Statement and the Balance Sheet, when compared to the Modified Value-Added (MVA) approach.

On the Income Statement, FIFO assumes that the earliest inventory items purchased are the first ones sold, which means that the cost of goods sold (COGS) will reflect the lower costs of older inventory.

Consequently, the COGS will be lower, resulting in higher gross profit and net income figures. This can mask the impact of rising costs, making the financial performance appear better than it actually is.

On the other hand, the Balance Sheet under FIFO will show inventory at current prices, reflecting the higher costs due to COVID-19.

As a result, the value of inventory on the Balance Sheet will be higher, leading to a larger asset value. However, this may not accurately represent the realizable value of the inventory if market prices have decreased.

In contrast, the MVA approach would adjust the cost of inventory to reflect the current market prices, regardless of the purchase order. This method would directly capture the increased costs due to COVID-19 in both the Income Statement and the Balance Sheet.

Consequently, the COGS would be higher, potentially leading to lower gross profit and net income figures, while the inventory value on the Balance Sheet would be more in line with current market conditions.

In summary, using FIFO during a period of sharply increasing costs due to COVID-19 may result in higher profits on the Income Statement due to lower COGS, while the Balance Sheet would show inventory at higher values.

On the other hand, the MVA approach would reflect the actual impact of rising costs on both financial statements.

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Flounder Corporation purchased a 40\% interest in Moss Inc. for $170. This investment gave Flounder significant influence over Moss. During the year, Moss earned net income of $15 and paid dividends of $5. Assuming the purchase price was equal to 40% of Moss's net carrying amount when it was acquired. Prepare Flounder's journal entries related to this investment using the equity method.

Answers

Flounder Corporation's journal entries for the investment in Moss Inc. using the equity method would include recording the initial investment at cost, recognizing Flounder's share of Moss's net income, and adjusting the investment balance for dividends received.

To record Flounder Corporation's investment in Moss Inc. using the equity method, we start with the initial purchase of the 40% interest. The investment is recorded at cost, which in this case is $170. The journal entry to record the initial investment would be:

Investment in Moss Inc. $170

Cash $170

Next, we need to recognize Flounder's share of Moss's net income. Since Flounder has significant influence over Moss, it is appropriate to use the equity method to account for the investment. Flounder's share of Moss's net income is calculated by multiplying the net income by the ownership percentage. In this case, Flounder's share would be 40% of the $15 net income, which is $6. The journal entry to record Flounder's share of the net income would be:

Investment in Moss Inc.$6

Equity in Moss Inc. Income$6

Lastly, we need to adjust the investment balance for dividends received from Moss. Flounder's share of the dividends would be 40% of the $5 dividend payment, which is $2. The journal entry to record the dividends received would be:

Cash $2

Investment in Moss Inc. $2

These journal entries reflect the appropriate accounting treatment for Flounder Corporation's investment in Moss Inc. using the equity method. The investment is initially recorded at cost, the share of net income is recognized, and the investment balance is adjusted for dividends received.

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The accrual approach to profit measurement is underpinned by which two main accounting assumptions?
a. accounting period and going concern
b. historical cost and accounting period
c. going concern and historical cost
d. accounting period and entity period

Answers

The option that is not a basic assumption underlying the financial accounting structure is (E) all of the above. The basic assumptions underlying the financial accounting structure are the economic entity assumption, going concern assumption, periodicity assumption, and historical cost assumption.

The Economic entity assumption is the concept that business transactions are independent of the parties involved in the transaction. As a result, transactions are recorded in the books of accounts from the perspective of the organization or the entity.

Going Concern Assumption is a financial accounting assumption that indicates that a company will continue to exist and operate for an indefinite period in the future. Companies make long-term investments, engage in long-term plans, and borrow funds to finance operations under this assumption.

Periodicity Assumption is an accounting assumption that refers to the practice of preparing financial statements for a specified time interval.

Historical cost assumption, also known as cost principle, indicates that a company's assets and liabilities are recorded at the price paid or received when the transaction occurred.

Therefore, the historical cost of the assets and liabilities reflects the amounts paid or received for the items when they were acquired or incurred.

In conclusion, All of the Above (E) is the option that is not a basic assumption underlying the financial accounting structure as all the other given options are assumptions of the financial accounting structure.

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