To increase the flexibility of the organization would be the best reason to make such a move.
Any structure erected for habitation by person or property, whether or not planned to be put on a permanent basis, is considered a modular structure. Factory-built buildings and subassemblies for manufactured residential and commercial units, modular houses, and pre-fabricated dwellings are examples of modular structures.
There are 90% fewer vehicle movements. less interruption and greater safety: Because modules may be erected in a matter of days, modular construction can result in 90% fewer vehicle movements2, allowing your site to run normally while construction work is being completed.
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you live in a no fault insurance state. another driver damages your car in a parking lot ,but doesn't leave their contact information. true or false. your insurance will cover the damages to your car.
You live in a NO FAULT insurance state. Another driver damages the car in a parking lot, but does not leave their contact information. Your insurance will cover the damages to your car - True
What are the 4 types of insurance?
The four types of insurance that financial experts recommend includes:
LifeHealthAutoLong-term disabilityWhat is insurance and its types?
Insurance helps to protect the insured person or their family against financial loss. There are many types of insurance policies. Life, health, homeowners.
What is the importance of insurance?
Insurance plans are beneficial to anyone looking to protect their family, assets/property and themselves from financial risk/losses: Insurance plans will help you pay for medical emergencies, hospitalization, contraction of any illnesses and treatment, and medical care required in the future.
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which of the following is the correct definition of a production function? group of answer choices a flow chart which displays the sales and marketing process to sell a product that has been produced. an equation that tells a firm how much output it can produce from the amount of inputs provided. the functional processes of specific manufacturing machine run times. a chart that helps determine the optimal number of employees to hire.
An equation that tells a firm how much output it can produce from the amount of inputs provided is the correct definition of a production function.
What is Production function?A production function in economics describes the technical relationship between the amounts of physical inputs and the amounts of output of commodities. One of the core ideas of traditional neoclassical theories is the production function, which is used to define marginal product and identify allocative efficiency, a crucial area of economics study. To address allocative efficiency in the use of factor inputs in production and the ensuing distribution of income to those factors, while abstracting from the technological challenges of achieving technical efficiency, as an engineer or professional manager might understand it, is one of the key goals of the production function.
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What role do executive departments and agencies play in fulfilling the constitutional duties of the executive branch?.
Under Article II of the Constitution, the President is accountable for the execution and social control of the laws created in fulfilling the constitutional duties.
Fifteen government executive departments — every LED by Associate in Nursing appointed member of the President's cupboard — perform the day-after-day administration of the national.
The U.S. Department of Health and Human Services (HHS) is the U.S. government's principal agency for shielding the health of all Americans and providing. The President will draw on 3 sources to issue an Associate in Nursing government action (a government action is an Associate in Nursing government order or memorandum).
The Cabinet and freelance Federal agencies are accountable for the day-after-day social control and administration of Federal laws.
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according to the ife, if british interest rates are lower than u.s. interest rates a. the british pound will depreciate against the dollar. b. the british inflation rate will decrease. c. the british pound will appreciate against the dollar. d. today's forward rate of the british pound will equal today's spot rate. e. the british pound's value will remain constant.
According to the IFE, if British interest rates exceed U.S. interest rates the British pound will depreciate against the dollar.
The British pound is the official currency of the United Kingdom. The pound sterling is the fourth most-traded currency in the foreign exchange market. It is also the third-largest reserve currency after the U.S. dollar and the euro.
The British interest rates at a record low of 0.5% since March 2009 in an effort to support the UK economy during the recession. However, with the economy now showing signs of recovery, there is growing speculation that interest rates will start to rise in the near future.
Hence, the correct option is "A".
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when using a weighted-criteria evaluation system with five or more categories, suppliers should be ranked based on their score in only the two highest weighted categories. when using a weighted-criteria evaluation system with five or more categories, suppliers should be ranked based on their score in only the two highest weighted categories. true false
When using a weighted-criteria evaluation system with five or more categories, suppliers should be ranked based on their score in only the two highest weighted categories. when using a weighted-criteria evaluation system with five or more categories, suppliers should be ranked based on their score in only the two highest weighted categories. The given statement is false.
A decision-making tool that evaluates potential options against some strong factors is called a weighted criteria matrix. Deciding between optional solutions and selecting the most common and striking software application to purchase. The weighted scores can be calculated by multiplying the weight for each criterion by its score and adding the resulting values.
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44. jerry was in a big hurry to get to school because he had a group project presentation that day. he was driving north on temple avenue approaching university avenue in pomona. he saw the light turn from yellow to red and he drove faster since he honestly thought he could reach the intersection before any pedestrians began to cross the road. however, as jerry drove through the intersection he struck a pedestrian, peter, who was legally crossing the street. due to this incident, peter was seriously injured. peter sued jerry for damages. what would be the best category of tort for jerry's actions? a. intentional tort, because jerry knew that the light was red when he crossed the intersection. b. product liability, because jerry was using a mass-produced product (a car) when peter was injured. c. negligence, because car accidents are usually caused by carelessness. d. strict liability, because jerry ran the red light which is a violation of the california vehicle code.
The best category of tort for jerry's actions is negligence, because car accidents are usually caused by carelessness.
A tort is a civil wrong that causes a claimant to suffer loss or harm, resulting in legal liability for the tortious act's perpetrator. Tort law differs from criminal law in that it deals with criminal wrongs that are punishable by the state.
Tort law's primary goals are to provide relief to injured parties for harm caused by others, to hold parties responsible for the harm accountable, and to deter others from committing harmful acts.
Hence, the correct answer is "C"
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eff stapleton acquired a $1,995 installment loan to pay for a new laptop computer. he will repay the loan in 12 monthly payments of $174.70. determine the approximate apr.
9.25% is the approximate APR
The annual percentage rate (APR) is the interest generated by a sum charged to borrowers or paid to investors each year. APR is a percentage that represents the actual yearly cost of funds over the life of a loan or the income earned on an investment. This includes any fees or additional costs associated with the transaction but excludes compounding. The APR provides consumers with a single number that they can use to compare lenders, credit cards, and investment products.
An annual percentage rate (APR) is the annual interest rate charged on a loan or earned on an investment.
Before any agreement is signed, financial institutions must disclose the APR of a financial instrument.
To protect consumers from misleading advertising, the APR provides a consistent basis for presenting annual interest rate information.
Because lenders have a fair amount of leeway in calculating it, an APR may not accurately reflect the actual cost of borrowing.
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ariel is an acquisition and procurement specialist for the federal government. federal policies require at least three bids must be received from qualified suppliers and the lowest bid that meets specifications will be accepted. in this case, ariel is dealing with a(n)
In this case, ariel is dealing with a Programmed decision.
The essence of programmed judgments is repetitive and routine. That is, this sort of choice or response to a circumstance is typical and mostly automated inside the business.
Procedures, Policies, or Rules are commonly used to document programmed choices. Programmed decisions deal with somewhat routine issues. They're organized and repeated. Non-programmed decisions are concerned with one-of-a-kind decisions and odd challenges that are non-repetitive and ill-defined.
Examples of programmed choices include creating weekly work plans for part-time employees, making decisions about employees who are late for work, and replenishing office supplies.
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what was the result on appeal of the r. j. reynolds tobacco case in the text in which the trial court awarded a smoker approximately $200,000 against r. j. reynolds tobacco?
R.J. Reynolds Tobacco Co. prevailed after a state appeals court on Wednesday overturned a $10.6 million judgment against the tobacco company in a case involving a woman's lung cancer death.
Since the spokesperson in the cited instance was made to resemble a cartoon character, entertainomercials are created. Given that the sales presentation featured a cartoon character, let's presume it is a well-known one.
Therefore, sales pitches are referred to as entertainomercials when they contain aspects of prime-time programs.
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jamison is a single dad with two dependent children: zoey, age 7, and conner, age 3. he has an agi of $63,000 and paid $3,600 to a qualified day care center for the two children. what amount can jamison receive for the child and dependent care credit? use child and dependent care credit agi schedule.
Answer:1800
Explanation:
An account invested in a money market fund grew from $ to $ in a month. What was the annual interest rate?.
For an account invested in a money market fund grew from $73,330.76 to $73,624.98 in a month, The annual interest rate, determined by future value simple interest formula, is 4.8%
Simple interest is based solely on the principal amount of a loan, while compound interest is based on the principal amount and the accumulated interest. Assuming a simple interest for this investment.
The future value simple interest formula is expressed as:
A = P(1 + rt)
Where,
P = Present Value (Initial investment) =73,330.76
A = Future Value = 73,624.98
r = rate of interest = ?
t = time in years. = 1/12
Substituting,
A = P(1 + rt)
73624.98 = 73330.76 (1 + r*1/12)
73624.98/73330.76 = 1 + (r/12)
1.00401223 = 1 + (r/12)
r/12 = 1.00401223 - 1
r/12 = 0.00401223
r =0.04814 or 4.8%
Hence, the interest rate would be 4.8%
Note: It is an incomplete question. The question: An account invested in a money market fund grew from $73,330.76 to 73,624.98 in a month. What was the interest rate to the nearest tenth?
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sail-awsail-away corporation makes sailboards, which are distributed by tropical marketing company to uv sports stores inc., which sells them to consumers. wen is injured while using a sail-away board that he bought from uv sports. in a product liability suit based on strict liability, wen may recover from:
In a product liability suit based on strict liability, Wen may recover from Sail-Away, Tropic, or UV Sports.
What is liability?Responsibility usually means that you are responsible for something, and it can also mean that you owe product money or services. For example, a homeowner's tax liability could be an amount owed to the city in property taxes or income taxes owed to the federal government. You can calculate a company's liability using the following formula: Liabilities = Assets – Equity. To determine the total amount of liabilities, find the sum of assets and equity on the balance sheet. According to the Strict Liability Rule, the law requires people to pay damages even if they were not at fault. In other words, people have to pay compensation to victims even if they take all necessary precautions.To learn more about liability from the given link :
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at the end, willy decides he is better off dead because the insurance money will take care of linda and the house. however, what do neither of them realize?
In the end, Willy decides he is better off not alive because the insurance money will take care of Linda and the house. However, neither of them realizes that Willy this step to provide for Linda and the children.
Finally, Willy makes the decision to leave the world. Not just because he recently lost his work, with which he was barely making enough money to cover basic bills at the time.
He does it mainly because he believes that Biff will be able to do something with the life insurance payoff, enabling at least one of the Lomans to realize his unattainable ambition of enormous wealth and success.
This proposal of Biff infuriates Willy to no end since it implies that he will not take the $20,000 and turn it into a fortune. Linda also thinks his action proves he didn't love her because it leaves her all alone.
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if a firm has a target to break-even and fixed annual costs of $80,000 and a contribution margin ratio of 40%, what are the dollar sales required to break-even?
The amount of revenue needed to break even for a company with $80,000 in fixed annual costs and a 40% contribution margin is $2,00,000.
Describe break-even.One can figure out the break-even point (break-even price) for a transaction or investment by comparing the market value of an asset to its initial cost. When the two prices are equal, you've reached the break-even point. In corporate accounting, the break-even point is determined by dividing the total fixed costs of production by the revenue per unit less the variable costs per unit.
In this context, fixed costs are those expenses that are constant regardless of the number of units sold. In other words, the break-even point is the production level where a product's total revenues and total expenses are equal.
Calculation:
Fixed Cost to Contribution Margin Ratio = BE
[tex]BE=\frac{80,000}{0.40}\\BE=2,00,000[/tex]
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knowledge check 01 most companies compute the materials price variance when raw materials are . multiple choice received from suppliers and transported to raw materials inventory. withdrawn from raw materials inventory and used in production. ordered from suppliers. moved from work in process inventory to finished goods inventory.
Most companies compute the materials price variance when raw materials are purchased and transported to raw materials inventory.
When the actual price paid for materials used in production differs from the standard price for the materials, there is a material price variation (MPV). If the actual cost of the materials is less than the benchmark cost, the material price variance will be favorable.
The Material Price Variance will, however, be negative if the cost of the materials is higher than the benchmark cost.
Only a few of the causes of a material price variation include an increase in price, changes in transportation costs, changes in the volume of the order, changes in the quality of the materials being purchased, and other factors.
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leases with a term of one year or more are required to be in writing according to the california statute of .
Leases with a term of one year are to be in writing according to the California statute of frauds.
A verbal agreement may be used to construct a lease with a term of no more than one year. All leases, including those with monthly periods, should be reduced to writing for clarity and to lower the likelihood of controversy both during the lease term and after the tenant has surrendered the premises. According to California's Statute of Frauds, a lease must be in writing.
It has to be in writing if it has a term of more than one year or one that expires more than one year after the agreement is made. A lease with a term of ten months that starts three months after an agreement is reached is an illustration of a lease that must be in writing if it is less than a year long.
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which element of a pestel analysis is represented by the use of data mining information from the bureau of labor statistics to gain insight into regional employment figures?
Element of a Pestel analysis is represented by the use of data mining information from the bureau of labor statistics to gain insight into regional employment figures is economic.
A PESTEL evaluation is used to pick out threats and weaknesses which can be utilized in a SWOT evaluation. Political elements include authorities' policies, leadership, and change; overseas change policies; inner political troubles and trends; tax policy; law and de-law trends.
The Bureau of Labor Statistics (BLS) obtains Consumer Expenditure Surveys (CE) Interview Survey and Diary Survey facts through interviewing respondents approximately their expenditures, income, and characteristics. The U.S. Census Bureau selects the samples of family addresses and collects the facts beneath neath agreement with BLS.
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what type of promotional strategy promotes to the consumer? question 8 options: a) pull strategy b) aida strategy c) push strategy d) market strategy
There are several types of promotional strategies that can be used to promote to the consumer. A pull strategy is one where the company uses advertising and other marketing techniques to create demand for the product.
This can be done through using celebrity endorsements, creating a need for the product, and using other techniques to generate interest. AIDA is a strategy that focuses on creating awareness, interest, desire, and action in the consumer. This is done through using various marketing techniques to create an emotional connection with the consumer and get them to take action.
A push strategy is one where the company uses its sales force and distributors to promote the product to retailers. This can be done through providing incentives, training, and support to the sales force and distributors. Market strategy is one where the company uses market research to identify opportunities and target consumers. This can be done through segmenting the market, targeting specific consumer groups, and using marketing mix modelling to optimise the marketing mix.
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regaurdiong the direct and indirect methods of preparing the statewmnt of cashflows, which of the following statement is true?
The Statement which is true is The indirect method and the direct method will produce the same amount of net cash flow from operating activities.
What do you mean by Cash?
Cash can be defined as a current asset important in business operations. It is necessary to finance and fund the business operations, especially those that are currently maturing. The cash flow direct method helps in determining changes in the cash receipts and payments. While the indirect method takes the net income generated in a period and adds or subtracts changes in the asset and liability accounts in order to determine the implied cash flow.
Some of the direct and indirect costs are tax-deductible.
While determining the above question we can conclude that the indirect method and the direct method will produce the same amount of net cash flow from operating activities.
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rising business optimism and confidence will cause a: multiple choice 1 rightward shift of the aggregate demand curve. leftward shift of the aggregate demand curve. rightward shift of the aggregate supply curve. leftward shift of the aggregate supply curve. falling business optimism and confidence will cause a: multiple choice 2 leftward shift of the aggregate demand curve. rightward shift of the aggregate demand curve. rightward shift of the aggregate supply curve. leftward shift of the aggregate supply curve.
Increased optimism and business confidence will cause the aggregate demand curve to shift to the right.
The demand curve is a graph of the relationship between the price of a product and consumer demand over a certain period of time. The demand curve can be represented visually through graphs. This graph refers to the price point of a product shown on the vertical axis and the number of consumers shown on the horizontal axis. By using this demand curve graph, the company will see precisely about consumer demand for a product at a certain price, whether it is increasing or decreasing.
When the price of a product increases, the demand for that product decreases, so you can see the curve in the graph. If the curve is flat, it can be interpreted that this situation occurs when the difference between price and quantity demanded is very thin. Thus, the price point has succeeded in obtaining product demand.
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when a consumer makes an online purchase directly through social media without using a company's website, it is considered blank . multiple choice question. mobile marketing social commerce showrooming webrooming
When a consumer makes an online purchase directly through social media without using a company's website, it is considered social commerce. The correct answer is option B.
Social commerce uses social media sites for the promotion and sale of goods and services. Customers can make purchases using this kind of selling model without leaving social networking apps.
Customers can utilize social commerce to research products, engage with customer service and make purchases. It may be because social commerce offers a more convenient and engaging shopping experience that it is gaining popularity. By 2026, it is predicted that social commerce would have a global value of $2.9 trillion.
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according to the efficient markets hypothesis, if the value of a stock based on market fundamentals is greater than its current stock price, then the stock:
Efficient market hypothesis assumes a financial security is always priced correctly. Furthermore, this implies that stocks are never undervalued or overvalued.
What is Efficient market hypothesis?
The efficient market hypothesis (EMH), also referred to as the efficient market theory, is a theory that claims that share prices accurately reflect all available information and consistent alpha generation is impossible.
Equities always trade at their fair value on exchanges, according to the EMH, making it impossible for investors to buy undervalued stocks or sell them for inflated prices.
The only way an investor can earn larger returns is by making riskier investments, as it should be impossible to outperform the market as a whole through excellent stock selection or market timing.
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assume that the price of big mac in japan is yen750 while that in the united states is $5.50. if the yen-dollar exchange rate is 125yen/dollar, what is the valuation of japanese yen?
The valuation of Japanese yen is 9.1% when the yen-dollar exchange rate is 125 yen/dollar.
Exchange rate:
Exchange rate defines the cost of exchanging one currency for another. And the rates are generally fluctuating due to economic and political factors.
Given,
Assume that the price of big mac in japan is yen 750 while that in the united states is $5.50.
Here we need to find the valuation of Japanese yen when the yen-dollar exchange rate is 125 yen/dollar.
First, we have to identify the rate of one yen in dollars.
In order to find that, we have to divide the dollar rate by the yen value, then we get,
=> 1 yen = 1/125
=> 1 yen = 0.008 dollar
Now, to find the valuation we have to divide the product price by the yen equivalent value, then we get,
=> 5.50/0.008
=> 9.1%
Therefore, the valuation of Japanese yen is 9.1%.
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ow did the use of water as a power source limit the development of industry? multiple choice question.
The use of water as a power source limited the development of the industry as the proximity of flowing water was required for mills.
The family was altered by industrialization because it went from being a unit of production to a unit of consumption, which reduced fertility and changed how spouses, parents, and children interacted with one another. Depending on social class and occupation, this change happened unevenly and gradually. Factory owners had little influence because it was simple to hire immigrants who would work for less money in their place.
However, during the Industrial Revolution, corporate investors built mills and factories for production that used water power on a much larger scale and for various purposes, producing an extraordinary amount of textiles, shoes, paper, and iron goods for markets all over the world.
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managers untangle issues that come up around professional roles and responsibilities which is particularly noticeable in the area of staff hiring and training, where who can make the difference between a successful operation and a disastrous day?
In order to accomplish specified goals, business management entails the monitoring, organization, and coordination of business resources and processes.
What is the introduction to business management?A business manager is responsible for carrying out a variety of daily tasks to maintain the overall health of the company, its projects, cash flow, and team members. This article fully examines the introduction to business management.The planning, organizing, directing, leading, and controlling functions—commonly regarded as the core components of company management—need to be examined. Simply put, a business manager's responsibility is to make sure that resources and personnel are efficiently coordinated so that necessary tasks can be completed and business goals can be met. Here, we provide a brief introduction to business management, outlining the competencies required and the duties of a business manager on a daily basis.To Learn more About business management refer to :
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you play a gambling game with your friend in which you win 45% of the time and lose 55% of the time. when you lose, you lose $2. what profit should you earn when you win in order for the game to be fair?
If we assume the game is fair,
Expected way of losing = Expected way of gaining.
55% ($2) = 45% ($x)1.1 = 0.45x1.1 / 0.45 = x x = $ 2.4$ 2.4 profit should you earn when you win in order for the game to be fair.
What is profit and loss?
Profit and Loss calculations are used i to determine the price of a commodity in the mark,
Profit = The amount gained by selling a product for more than its cost price. Profit = Selling price – Cost Price
Profit percentage (P%) = (Profit /Cost Price) x 100
Loss =The amount the seller incurs after selling the product less than its cost price is mentioned as a loss.et and understand how profitable a business is. Loss = Cost Price – Selling Price
Loss percentage (L%) = (Loss / Cost price) x 100
Hence, $ 2.4 profit should you earn when you win in order for the game to be fair.
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the harmonization of member nations' tax rates plus a common monetary and fiscal policy are all required to form a(n)
The harmonization of member nations' tax rates plus a common monetary and fiscal policy are all required to form an economic union.
An economic union is an arrangement between two or more countries that permits unrestricted trade in commodities, services, money and labor. To foster this unified market, the nations may also coordinate their social and financial policies. An economic union is made up of a common market and a customs union. The participating nations share a similar external trade policy as well as shared rules on product regulation, the free flow of products, services and production factors.
One example of an economic union is the European Union (EU). In order to collaborate on addressing economic and financial difficulties, the EU member states coordinate their separate economic policies, rules and regulations. The Euro, which is used by all 19 EU countries, is the official currency.
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mary is a licensed real estate professional. she only performs licensed real estate activities and does not receive any compensation from lenders, mortgage brokers, or other mortgage-related parties. does she need an mlo endorsement?
Yes, mary needs an MLO endorsement as she is engaged in a licensed real estate selling and purchasing property activity.
What is an MLO Endorsement?A mortgage lender (MLO) is an individual or institution that helps potential borrowers obtain suitable mortgages for real estate transactions. MLOs are the first mortgage lender and work with borrowers through the application, approval, and closing process. An MLO is either a loan company, a mortgage broker, or a loan officer.A mortgage originator is defined as a person who assists a borrower through the mortgage application process and loan closing.A mortgage lender is either a bank or financial institution that originates and sells mortgages, but the term can also apply to anyone employed to help obtain a mortgage. People who act as mortgage lenders are also known as loan officers.Mortgage originators assist borrowers through the mortgage application process and loan closing. This may include gathering credit and financial information, evaluating your needs and financing options that make sense to you, negotiating interest rates, and submitting underwriting applications.Thus, mary needs a mlo endorsement because it acts as a unique identification number on her business card.
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2. (1pt) what is the value of an infinite series of $50 semiannual payments growing at a rate of 4% every six months and with a discount rate of 10% apr compounded semiannually? how would your answer change if the growth rate was 5% every six months?
It usually multiplies by 100 to show the difference in GDP between one period and the next. This difference is expressed as a percentage of GDP from the previous period.
The value of the infinite series of payments is calculated as follows: Value = PMT/(r - g) Value = 50/(0.10 - 0.05) Value = 50/0.05 Value = $1,000 The value of the infinite series of payments with a growth rate of 5% Growth rate every six months, g = 5% = 0.05 APR = 20% compounded semiannually s = Number of semi-annual periods per year = 2
How is the perpetuity growth rate calculated?g is the increase in cash flows over time. The terminal value in year n (for instance, year 5) is the product of the growth rate and the free cash flow from year 5 multiplied by 1 divided by the WACC (w) – growth rate (g).
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we thought american business was the rock of gibraltar. we were the prosperous nation, and nothing could stop us now. a brownstone house was forever. you gave it to your kids and they put marble fronts on it. there was a feeling of continuity. if you made it, it was there forever. suddenly the big dream exploded. the impact was unbelievable.based on the excerpt and your historical knowledge, why did the stock market crash make americans lose confidence in business?
The stock market crash make Americans lose confidence in businesses like Harburg, many were shocked by the stock market collapse and the ensuing Depression.
Before the Great Depression, Americans had it all and prosperity was at its peak during that time as is stated in the question. But as the Great Depression arrived it was a huge surprise to everyone as it was least expected. Between the years 1929 and 1939, there was a worldwide economic depression that caused a major fall in stock prices. The world's greatest economy shrank by a third and during this time unemployment reached its peak and consumer prices fell by 25%
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Answer:
Americans realized that business was not immune to failure and could collapse.
Explanation: