Why is it important to make the distinction between company required rate of retum (WACC) and project required rate of return when evaluating projects?

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Answer 1

The distinction between a company's required rate of return (WACC) and a project's required rate of return is important when evaluating projects.

The company's required rate of return, also known as the weighted average cost of capital (WACC), represents the minimum return that the company needs to generate in order to satisfy its shareholders and creditors. It is a measure of the overall risk and cost of capital for the company as a whole. The WACC takes into account the cost of debt, equity, and other sources of financing, and reflects the average return expected by all investors. On the other hand, the project's required rate of return is specific to a particular investment or project. It takes into consideration the risk and return characteristics of that project alone. The project's required rate of return may differ from the company's WACC due to variations in risk, market conditions, and project-specific factors. By evaluating the project's required rate of return separately, decision-makers can assess its viability and compare it to the expected returns and risks associated with other investment options.

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Related Questions

PREPARE A NEEDS ASSESSMENT FOR A SENIOR SALES EXECUTIVE AT COCA
COLA (SHOW STEPS BY STEPS INCLUDING ORGANIZATIONAL ANALYSIS, PERSON
ANALYSIS, TASK ANALYSIS AND QUESTIONS )

Answers

A needs assessment for a senior sales executive at Coca-Cola involves conducting an organizational analysis, a person analysis, and a task analysis.

Organizational Analysis: Conduct a thorough analysis of Coca-Cola's sales department, including its goals, strategies, and performance metrics. Identify the organization's current sales challenges, target markets, and competitive landscape. Gather information on the company's sales processes, systems, and tools. Person Analysis: Assess the senior sales executive's competencies, skills, and knowledge. Evaluate their performance and identify any gaps or areas for improvement. Determine their level of experience in sales leadership, strategic planning, relationship management, and team management. Conduct interviews, surveys, or performance reviews to gather relevant data.

Task Analysis: Identify the key responsibilities and tasks performed by the senior sales executive. Break down their role into specific activities such as sales planning, forecasting, customer relationship management, team coordination, and reporting. Evaluate the critical skills and knowledge required for each task.

Sample questions:

What are the organization's sales goals and strategies?

What are the challenges faced by the sales department?

What specific skills and competencies does the senior sales executive need to succeed?

How does the executive's performance align with the organization's expectations?

What tasks and responsibilities does the senior sales executive handle on a daily basis?

What tools, systems, or resources are available to support the sales executive's work?

By conducting a comprehensive needs assessment, Coca-Cola can identify the specific areas where the senior sales executive requires training, support, or development opportunities. This analysis will guide the design and implementation of targeted interventions to enhance the executive's performance and contribute to the organization's sales success.

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2. Suppose that an industry is characterized as follows:
C = 100 + 2q^2 (each firm’s total cost function)
MC = 4q (firm’s marginal cost function)
P = 90 - 2Q (industry demand curve)
MR = 90 - 4Q (industry marginal revenue curve)
a. If there is only one firm in the industry, find the monopoly price, quantity, and level of profit.
b. Find the price, quantity, and level of profit if the industry is competitive.
c. Graphically illustrate the demand curve, marginal revenue curve, marginal cost curve, and average cost curve. Identify the difference between the profit level of the monopoly and the profit level of the competitive industry in two different ways. Verify that the two are numerically equivalent.

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We will determine the monopoly price, quantity, and profit, as well as the price, quantity, and profit in a competitive industry.

A) In a monopoly scenario, where there is only one firm in the industry, the firm maximizes profit by setting marginal cost (MC) equal to marginal revenue (MR). Equating MC and MR yields 4q = 90 - 4Q, where Q represents the quantity produced by the firm. Solving for Q, we find Q = 10. Substituting Q into the demand curve P = 90 - 2Q, we get the monopoly price P = 70. The monopoly's profit is calculated as total revenue minus total cost, which is (P - MC) * Q = (70 - 4*10) * 10 = $600.

B) In a competitive industry, each firm takes the market price as given and maximizes profit by producing at the quantity where MC equals the market price. In this case, MC = 4q, so the market price is 4q. Equating 4q to the demand curve 90 - 2Q, we find Q = 20 and P = 50. The profit in a competitive industry is zero, as firms earn only normal profit.

C) Graphically, the demand curve, marginal revenue curve, marginal cost curve, and average cost curve can be plotted. The demand curve and marginal revenue curve will be downward sloping, while the marginal cost curve will be upward sloping. The profit-maximizing quantity for the monopoly will be where the marginal cost curve intersects the marginal revenue curve. The difference in profit levels between monopoly and competition can be observed by calculating the area between the average cost curve and the demand curve for the monopoly, which represents the excess profit earned by the monopolist.

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You have invested your savings in the VanVeck Blended ETF ('Exchange Traded Fund') that adopts a varied approach to portfolio construction by investing in multiple ETFs. The Blended ETF seeks to maintain the following ratios: 30% in the ASX200 ETF with a beta of 0.8. 30% in the Developed Market Index ETF, which is the worldwide market index. 30% in the Gold ETF with a beta of -0.2 (negative 0.2). The remaining 10% is allocated to a risk-free money market ETF earning the risk-free rate of 2% per year. Note: assume the worldwide market index is the CAPM market portfolio against which the risk of all other assets is assessed a) Given the expected market risk premium is 4% per year, what is the expected return of your Blended ETF portfolio? (4 marks b) Given that the market portfolio has a standard deviation of 25% and the correlation coefficient of your Blended ETF portfolio and market portfolio is 0.3, what is the standard deviation of your Blended ETF portfolio if CAPM theory holds?

Answers

a.) The expected return of the Blended ETF portfolio is  3.8%.

b.) The standard deviation of the Blended ETF portfolio, based on CAPM theory, is 7.5%.

a) To calculate the expected return of the Blended ETF portfolio, we can use the given allocations and expected returns:

ASX200 ETF:

Allocation: 30%

Beta: 0.8

Expected market return: Market risk premium + Risk-free rate = 4% + 2% = 6%

Contribution to expected return: 30% * (6% + 0.8 * 4%) = 2.4%

Developed Market Index ETF:

Allocation: 30%

Expected market return: 6%

Contribution to expected return: 30% * 6% = 1.8%

Gold ETF:

Allocation: 30%

Beta: -0.2

Contribution to expected return: 30% * (6% + (-0.2) * 4%) = 0.6%

Risk-free money market ETF:

Allocation: 10%

Expected return: Risk-free rate = 2%

Contribution to expected return: 10% * 2% = 0.2%

Expected return of the Blended ETF portfolio: 2.4% + 1.8% + 0.6% + 0.2% = 5%

Therefore, the expected return of the Blended ETF portfolio is 5%.

b) To calculate the standard deviation of the Blended ETF portfolio, we can use the formula:

Standard deviation of the Blended ETF portfolio = correlation coefficient * standard deviation of the market portfolio

Given:

Standard deviation of the market portfolio: 25%

Correlation coefficient: 0.3

Standard deviation of the Blended ETF portfolio = 0.3 * 25% = 7.5%

Therefore, the standard deviation of the Blended ETF portfolio, based on CAPM theory, is 7.5%.


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the writers of the constitution established a federal system of government in part because

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The writers of the Constitution established a federal system of government to prevent a concentration of power in a central government, ensuring a balance of power between the federal and state governments.

The writers of the constitution established a federal system of government in part because they wanted to avoid a concentration of power in a central government. The writers of the Constitution established a federal system of government by creating a system in which power is divided between the federal government and the state governments. The Constitution assigns certain powers to the federal government and reserves all other powers for the states.

The Founding Fathers wanted to avoid a concentration of power in a central government. Instead, they sought to create a system in which power is balanced between the federal and state governments. This was done to protect individual liberty and prevent abuses of power. The federal system of government established by the Constitution allows for a balance of power between the national government and the state governments. In conclusion, the writers of the constitution established a federal system of government in part because they wanted to avoid a concentration of power in a central government. This system provides for a division of powers between the federal government and the state governments, ensuring that no one entity has too much power.

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What happens to the valuation of the assets when a company is imposed an assets freeze sanctions? Is there any special accounting treatment associated it? Please refer to CPA Handbook IFRS/IAS or ASPE sections.

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The valuation of the assets of a company remains unchanged when it is subject to asset freeze sanctions. No special accounting treatment is required for such sanctions.

An asset freeze is a set of actions by a government or international organization intended to prevent a person or company from accessing their assets. If a company is subject to an asset freeze, the valuation of its assets remains unchanged. No special accounting treatment is required for such sanctions. The accounting treatment of sanctions imposed on a company can vary depending on the circumstances.

In general, companies are required to disclose the impact of sanctions on their financial statements. However, there is no special accounting treatment for asset freeze sanctions. Companies must continue to value their assets in accordance with the relevant accounting standards, such as IFRS or ASPE. The impact of the sanctions on the company's operations and financial performance must be disclosed in the notes to the financial statements.

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At HCK Corporation, only employees in the information systems department can install new software on a computer. Which type of security control best describes that practice? Srect one: a. Technical Admisu ative Oc. Practice Od. Physical Clear my choice.

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The type of security control that best describes the practice at HCK Corporation, where only employees in the information systems department can install new software on a computer, is Administrative Control.

Security control are measures put in place to safeguard information, systems, and assets against threats, risks, and unauthorized access. They are designed to protect the confidentiality, integrity, and availability of sensitive data and resources. There are several types of security controls, including administrative controls, which involve policies, procedures, and guidelines to regulate access and activities; technical controls, which encompass technological solutions such as firewalls, encryption, and access controls; and physical controls, which focus on securing physical assets and premises. These controls work together to form a layered defense strategy.

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H is forecasting its sales for next year using a combination of time series and regression analysis models. An analysis of past sales units has produced the following equation for the quarterly sales trend: y=26x+8,850 where the value of x represents the quarterly accounting period and the value of y represents the quarterly sales trend in units. Quarter 1 of next year will have a value for x of 25, quarter 2 26 and so on. The quarterly seasonal variations have been measured using the multiplicative (proportional) model and are: Quarter 1−15% Quarter 2-5\% Quarter 3+5% Quarter 4+15% Production is planned to occur at a constant rate throughout the year. The company does not hold inventories at the end of any year. What is the difference between the budgeted sales for quarter 1 and quarter 4 next year?

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The difference between the budgeted sales for Quarter 1 and Quarter 4 next year is 19.5% of the budgeted sales for Quarter 1.

To calculate the budgeted sales for each quarter, we need to consider the sales trend equation and the seasonal variations.

Sales trend equation: y = 26x + 8,850

Quarterly seasonal variations:

Quarter 1: -15%

Quarter 2: -5%

Quarter 3: +5%

Quarter 4: +15%

Budgeted sales for each quarter:

Quarter 1:

x = 25 (since it is the first quarter of next year)

y = 26(25) + 8,850 = 14,400 units

Quarter 4:

x = 28 (since it is the fourth quarter of next year)

y = 26(28) + 8,850 = 14,728 units

Difference between Quarter 1 and Quarter 4 sales:

Difference = (Quarter 4 sales - Quarter 1 sales) / Quarter 1 sales * 100

Difference = (14,728 - 14,400) / 14,400 * 100

Difference ≈ 2.27%

Therefore, the difference between the budgeted sales for Quarter 1 and Quarter 4 next year is approximately 2.27% of the budgeted sales for Quarter 1.

The budgeted sales for Quarter 1 next year are 14,400 units, and the budgeted sales for Quarter 4 next year are 14,728 units. The difference between the two is approximately 2.27% of the budgeted sales for Quarter 1. These calculations help in understanding the seasonal variations and forecasting sales for different quarters of the year.

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inventory system, Sywon returned merchandise with an imolice anount of $9,000, recelving a cegit memo. Chart of Accounts 110 Cash 120 Accounts Receivable 125 Notes Receivable 130 Inventory 131 Estimated Returns Inventory 140 Office Supplies 141 Store Supplles 142 Prepaid Insurance 180 Land 192 Store Equipment 193 Accumulated Depreciation-Store Equipment 194 Office Equipment 195 Accumulated Depreciation-Office Equipment 219 Customer Refunds Payable 210 Accounts Payable 216 Salaries Payable ​
410 Sales 610 Rent Revenue 510 Cost of Goods Sold 521 Delivery Expense 522 Advertising Expense 524 Depreciation Expense-Store Equipment 525 Depreciation Expense-Office Equipment 526 Salaries Expense 531 Rent Expense 533 Insurance Expense 534 Store Supplies Expense 535 Office Supplies Expense 536 Credit Card Expense 539 Miscellanec is Expense 710 Interest Expense 5 Saxable ​
Joumalize Stylon's entries to record (a) the purchase, (b) the merchandise petimf (c) the payment withir the dispount period of 70 days, and (d) the payment beyond the discount penod of 10 days on December31. Reter to the Chad of Aocounts for oxact wanding of account thios. For grading pumposes use Dicenber 31 as the dala for ail transactioni .

Answers

Journalizing transactions is an important part of the double-entry system of accounting. It is a means of recording and summarizing financial transactions for an entity. For the Sywon Company, there are four different transactions that need to be journalized, including the purchase, the merchandise return, the payment within the discount period, and the payment beyond the discount period.

Purchase of MerchandiseFor this transaction, the company is purchasing merchandise, which will be recorded in the Inventory account as an increase. The Accounts Payable account will also be increased since the company is purchasing on credit. The journal entry is as follows:DateAccount DebitCreditDateAccountDebitCreditMerchandise ReturnIn this transaction, Sywon returned merchandise worth $9,000 to the supplier. This return is recorded in the Estimated Returns Inventory account as an increase.

The Accounts Payable account will be decreased, reflecting the fact that the supplier no longer owes Sywon this amount. The journal entry is as follows:DateAccountDebitCreditDateAccountDebitCreditPayment within the Discount PeriodIf the company pays within the discount period, it will reduce the amount it owes to the supplier. The Cash account is decreased, reflecting the amount paid, while the Accounts Payable account is decreased, reflecting the company's payment to the supplier.

The journal entry is as follows:DateAccount DebitCreditDateAccountDebitCreditPayment beyond the Discount PeriodIf Sywon pays beyond the discount period, it will still be required to pay the full amount but will not receive a discount. The Accounts Payable account will be decreased, reflecting the company's payment to the supplier, while the Cash account will also decrease. The journal entry is as follows:DateAccount DebitCreditDateAccountDebitCredit

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Juan offers tutoring services in the summer for elementary school students. Suppose that four potential tutoring clients are considering Juan's tutoring services for their children. Ms. Jackson is willing to pay $20 per hour; Ms. Lopez is willing to pay $22 per hour; Mr. Jordan is willing to pay $18 per hour and Mr. Singh is willing to pay $20 per hour. If Juan charges $19 per hour for his tutoring services, what will be the consumer surplus, considering the four families combined? Enter your solution as a whole number

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The consumer surplus, considering the four families combined, would be $6.

The consumer surplus, considering the four families combined, can be calculated by finding the difference between the total amount each customer is willing to pay and the actual price charged by Juan. By adding up these individual surpluses,we can determine the overall consumer surplus.

To calculate the consumer surplus for each customer, we subtract the price charged by Juan ($19 per hour) from the maximum amount each customer is willing to pay. For Ms. Jackson, her consumer surplus would be $1 per hour ($20 - $19). For Ms. Lopez, it would be $3 per hour ($22 - $19). Mr. Jordan's consumer surplus would be $1 per hour ($18 - $19), and Mr. Singh's consumer surplus would also be $1 per hour ($20 - $19).

To find the overall consumer surplus, we sum up the individual consumer surpluses for all four customers. In this case, the consumer surplus would be $1 + $3 + $1 + $1 = $6 per hour. Therefore, the consumer surplus, considering the four families combined, would be $6.

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If the price elasticity of supply is 2.0, when prices rise by 20%, the quantity supplied will OA. increase by 40.0% and the supply is considered elastic. B. increase by 2.00% and the supply is considered inelastic. OC. decrease by 0.20% and the supply is considered elastic. OD. decrease by 40.0% and the supply is considered inelastic.

Answers

If the price elasticity of supply is 2.0, when prices rise by 20%, the quantity supplied will increase by 40.0%, indicating elastic supply.

According to the information given, the price elasticity of supply is 2.0. This means that a 1% increase in price will lead to a 2% increase in quantity supplied.

If prices rise by 20%, we can calculate the change in quantity supplied using the price elasticity of supply formula:

% change in quantity supplied = Price elasticity of supply × % change in price

% change in quantity supplied = 2.0 × 20% = 40%

Therefore, the quantity supplied will increase by 40.0% (option A).

Additionally, since the percentage change in quantity supplied is greater than the percentage change in price, the supply is considered elastic. Elastic supply means that the quantity supplied is responsive to changes in price. In this case, a 20% increase in price leads to a 40% increase in quantity supplied, indicating a relatively elastic supply.

Therefore, the correct answer is option A: The quantity supplied will increase by 40.0% and the supply is considered elastic.

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ABC Ltd. makes a television table that sells for $60 per unit. It has variable costs of $20 per unit and incurs fixed costs of $110,000 per period. Determine the sales value that the firm will have to reach if it is to make $20,000 profit per period.
a. 195,000
b. 6500
c. 130,000
d. 3250

Answers

The sales value that the firm will have to reach in order to make a $20,000 profit per period is  (c) 130,000.

To calculate the required sales value, we need to consider the total costs and the desired profit. The total costs consist of both variable costs and fixed costs. The profit is the difference between the total revenue and the total costs.

Profit = Revenue - Total Costs

Given that the selling price per unit is $60 and the variable cost per unit is $20, the contribution margin per unit is $60 - $20 = $40.

To cover the fixed costs and achieve a profit of $20,000, we can calculate the required sales volume as follows:

Required Sales Volume = (Fixed Costs + Desired Profit) / Contribution Margin per unit

= ($110,000 + $20,000) / $40

= $130,000

Therefore, the sales value that the firm will have to reach to make a $20,000 profit per period is $130,000.

Hence, the correct answer is option c) 130,000.

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Canada & Supply Chain Logistics SUP 1033
Case Study For: Final Project - Phase 1 Geography & Distribution
TAYLOR GUITARS
Taylor Guitars is a medium sized British electric guitar manufacturing company founded by Mick Taylor, former lead guitarist with The Rolling Stones rock band. Mick played with the group from 1969 to 1974 and made a name for himself as one of the finest guitarists in the world. Taylor founded the company in 1976 and has spent the last 40 plus years serving the European market but wishes to expand into Canada due to the popularity of his guitars in this country. He wants to open a few facilities in Canada including a factory, a number of warehouses and some retail stores near customers. He is unfamiliar with Canada and needs your help to build a network design and distribution plan for him so he can serve customers at a 95% fill rate while minimizing costs.
Customer Base
Mick has demand for his products all over Canada and this demand reflects the current population of Canada in terms of distribution by city. In other words, Micks guitars sell according to where the most people live in Canada. The average selling price of a guitar to the customer is $ 2,000. Mick expects to sell 10,000 guitars his first year of operations with a growth rate of 10% each year after that.
Facility Considerations
Mick wants his guitars to be within a 2-day drive of 80% of Canadas population and a 5-day drive of the 20% of the remaining Canadians in remote locations. This can be accomplished through retail stores (he wants to open 5 of them maximum) or through warehouses where customers can order online and have the guitar ready for pick up or home delivery. He also wants to have a factory that is near highways, airports and other transportation routes. His raw material for the guitars comes in from China so he has to consider the transportation costs of this this as well within Canada . Mick has enough capital for 3 warehouses and 1 factory. Make any other assumptions as you see appropriate to help you build your project.
In your groups create a short report (min 3 pages, no maximum) for Taylor Guitar that outlines what you have learned from this course/internet in terms of geography and distribution about Canada. How will this information help shape where you plan to have facilities (factory, warehouses, stores) for Taylor Guitar in Canada?

Answers

To expand Taylor Guitars into Canada, a network design and distribution plan needs to be developed to serve customers at a 95% fill rate while minimizing costs.

The plan should consider the customer base, facility considerations, and geographic factors. The report will outline the insights gained from studying geography and distribution in Canada and explain how this information will shape the selection of facilities (factory, warehouses, stores) for Taylor Guitars in the country.

The report will discuss the geography and distribution aspects of Canada, considering factors such as population distribution by city and the demand for guitars reflecting this distribution. It will also take into account the average selling price of the guitars and the expected sales volume with a growth rate. Additionally, the report will address facility considerations, including the requirement of being within a 2-day drive of 80% of the population and a 5-day drive of the remaining 20% in remote areas. The options of retail stores and warehouses will be explored, highlighting the convenience of online ordering and pickup or home delivery for customers. The location of the factory will be strategically planned near transportation routes and airports, considering the transportation costs of raw materials from China. The report will provide insights and recommendations based on a thorough understanding of the geography and distribution dynamics in Canada, enabling Taylor Guitars to make informed decisions regarding the selection of facilities in the country.

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A perpetuity of $8,386 per year is said to offer a 6% interest rate. What is its present value?

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The present value of a perpetuity offering $8,386 per year at a 6% interest rate is approximately $139,767.67.

To calculate the present value of a perpetuity, we can use the formula PV = PMT / r, where PV is the present value, PMT is the annual payment, and r is the interest rate. In this case, the annual payment is $8,386, and the interest rate is 6% or 0.06. Plugging these values into the formula, we get PV = $8,386 / 0.06, which equals approximately $139,767.67.

The present value represents the current worth of future cash flows, taking into account the time value of money. In this scenario, the perpetuity is offering a fixed payment of $8,386 per year indefinitely. The interest rate of 6% reflects the required rate of return for investors. By dividing the annual payment by the interest rate, we obtain the present value. This means that if an investor wants to earn a 6% return on their investment, the perpetuity would be worth approximately $139,767.67 in present terms.

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Bond Discount, Entries For Bonds Payable Transactions, Interest Method Of Amortizing Bond Discount On July 1, 20Y1,

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On July 1, 20Y1, the entry would include a debit to Cash and credits to Bonds Payable and Discount on Bonds Payable for the bond discount amount.

When a bond is issued at a price lower than its face value, it is considered to be sold at a discount. The discount represents the difference between the face value of the bond and the amount received from its sale. To account for the bond discount, specific entries need to be made for bonds payable transactions.

On July 1, 20Y1, when the bond is issued, the following entries are made:

1. Debit: Cash - This represents the amount received from the sale of the bonds.

2. Credit: Bonds Payable - This records the liability created by the issuance of the bonds at their face value.

3. Credit: Discount on Bonds Payable - This account is used to track the discount on the bond. The credit amount is equal to the bond discount.

As the bond discount needs to be amortized over the life of the bond, the interest method is commonly used. Under the interest method, the bond discount is gradually reduced, and the amortized amount is recorded as interest expense over the bond's life.

To amortize the bond discount, the following entries are made periodically:

1. Debit: Interest Expense - This represents the amortization of the bond discount over time. The amount is calculated using the effective interest rate method.

2. Credit: Discount on Bonds Payable - This reduces the bond discount balance.

3. Credit: Cash - This records the payment of periodic interest to bondholders.

By gradually reducing the bond discount through the interest method, the carrying value of the bond increases over time, approaching its face value at maturity.

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You expect to receive $40,000 at graduation in two years. You plan on investing it at 9 percent until you have $175,000. How long will you wait from now? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

You will wait approximately 10.73 years from now to achieve your investment goal of reaching $175,000 from an initial amount of $40,000 with an interest rate of 9%.

To find out how long you need to wait, we can use the formula for compound interest:

Future Value = Present Value × (1 + Interest Rate)^Time

In this case, the present value (PV) is $40,000, the future value (FV) is $175,000, and the interest rate (r) is 9% or 0.09. We need to find the time (T).

$175,000 = $40,000 × (1 + 0.09)^T

Dividing both sides of the equation by $40,000:

(1 + 0.09)^T = $175,000 / $40,000

(1.09)^T = 4.375

Taking the logarithm of both sides:

T × log(1.09) = log(4.375)

T = log(4.375) / log(1.09)

Using a calculator, we can calculate T:

T ≈ 10.73

Therefore, you will wait approximately 10.73 years from now.

Based on the given information, you will need to wait approximately 10.73 years from now to achieve your investment goal of reaching $175,000 from an initial amount of $40,000 with an interest rate of 9%.

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who offers low-interest loans to developing nations?

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International financial institutions, such as the World Bank and International Monetary Fund (IMF), offer low-interest loans to developing nations.

International financial institutions play a crucial role in providing low-interest loans to developing nations. The World Bank and International Monetary Fund (IMF) are two prominent institutions that offer financial assistance to support the economic development of these countries. The World Bank provides loans and grants for development projects, poverty reduction programs, and infrastructure improvements. It offers concessional loans with lower interest rates and longer repayment periods compared to commercial loans. The IMF, on the other hand, primarily provides loans to countries facing balance of payments difficulties, helping them stabilize their economies and implement structural reforms. These loans are typically offered at low-interest rates to facilitate the recipient countries' economic recovery and sustainable growth. The goal of such financial assistance is to promote economic development, alleviate poverty, and support the financial stability of developing nations by providing them access to affordable financing options.

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How much would you need to invest today as a lump sum at 7.9
percent, compounded continously, to have $295,000 in five
years?
Round to two decimals

Answers

Therefore, the lump sum investment that should be made at 7.9 percent, compounded continuously, to have $295,000 in five years is $197,907.68.

As it is a case of continuously compounded interest, the formula to solve the question is given by:A = Pertwhere,A = Final amount,P = Principal amount,r = Interest rate,t = TimeFor the given case, the final amount to be obtained is $295,000 and it should be achieved in 5 years. The interest rate is 7.9%.As per the formula, we have:A = Pert$295,000 = P e^{0.079 * 5}e^{0.395}$ = P * 1.487615311.4876153P = $295,000P = $197,907.68. Therefore, the lump sum investment that should be made at 7.9 percent, compounded continuously, to have $295,000 in five years is $197,907.68.

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Assume that you loan RM 10,000 with an interest of 10% per year. If you pay the loan of RM 5,000 at the end of first year, calculate how much you need to pay the bank at the end of year 4 in order to fully settle the loan?

Answers

Assuming that you loan RM 10,000 with an interest of 10% per year. If you pay the loan of RM 5,000 to fully settle the loan at the end of year 4, you would need to pay RM 2,459.38 to the bank.

Let's break down the loan payment and interest calculations over the four years. In the first year, you pay RM 5,000, leaving a remaining balance of RM 10,000 - RM 5,000 = RM 5,000.

For the second year, the remaining balance of RM 5,000 accumulates interest at a rate of 10% per year.

The interest for the second year would be RM 5,000 * 10% = RM 500. The total amount due at the end of the second year would be RM 5,000 (remaining balance) + RM 500 (interest) = RM 5,500.

Similarly, for the third year, the remaining balance of RM 5,500 accumulates interest of RM 5,500 × 10% = RM 550. The total amount due at the end of the third year would be RM 5,500 (remaining balance) + RM 550 (interest) = RM 6,050.

Finally, for the fourth year, the remaining balance of RM 6,050 accumulates interest of RM 6,050 × 10% = RM 605. The total amount due at the end of the fourth year would be RM 6,050 (remaining balance) + RM 605 (interest) = RM 6,655.

To fully settle the loan at the end of year 4, you would need to pay the remaining balance of RM 6,655 - RM 4,195 (already paid in the first year) = RM 2,459.38 to the bank.

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A customer’s check received in settlement of an account receivable is considered cash.
True
False

Answers

False. A customer’s check received in settlement of an account receivable is not considered cash.

Why is the customer's check not considered cash?

A customer’s check received in settlement of an account receivable is considered a receivable. The reason why a customer’s check received in settlement of an account receivable is not considered cash is because it does not represent legal tender for transactions. This means that it cannot be used to purchase goods or services from other people or organizations and it does not have intrinsic value.

The reason is that the customer's check has to go through a clearance period before it can be considered cash. The clearance period is the period between the time a check is deposited into a bank account and the time the funds are available in the account.

As a result, the customer's check is treated as an accounts receivable and not as cash until the clearance period has elapsed.

So, a customer’s check received in settlement of an account receivable is not considered cash but rather an accounts receivable.

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Which of the following events influenced the unfolding of modernity in Western Europe?
A. Enlightenment beliefs in human reason and scientific progress.
B. The development of industrial capitalism through factory work and the emergance of transnational markets.
C. Imperial expansion and colonial exploitation of Africa, India, Southeast Asia, and the Americas by European
powers.
D. All of the above.

Answers

D. All of the above.
The unfolding of modernity in Western Europe was influenced by all of the mentioned events. The Enlightenment brought about a shift in thinking with an emphasis on reason and progress, which laid the foundation for modern scientific advancements.

The development of industrial capitalism transformed societies through factory work and the emergence of transnational markets. Imperial expansion and colonial exploitation played a significant role in shaping Western Europe's economic and political dominance during the modern era.

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Which of the following is/are true concerning the innovation process?
a. Authority is an important factor in the change process b. There is usually resistance to the adoption and spread of a new product
c. New technology is often discovered by chance
d. Innovation in one industry can spawn another discontinuous change in other industries e. All of the above are true For which of these uses is a stage gate system not applicable? a. Provide common rules of the game for product development b. Make clear decisions at the right moment c. Clarify responsibility for different aspects of the project d. Restrict entry to high security parts of the R\&D building Bundling component innovations into new integrated systems or services has many advantages, but also some drawbacks. Which of the following is not an advantage of integrated system or service innovations?
a. Allows better management of interfaces. b. Can help to optimize overall performance. c. Whey to appeal to sophisticated customers.
Concept testing is: a. An approach to explore innovation options with potential users to refine the project scope
b. A movement in modern art c. A financial management tool to assess relative values of share portfolios What is a major disadvantage of using patents as indicators of innovation? a. Patents are an output of the innovation process. b. Many innovations are not patented. c. Patents are expensive and difficult to file. d. Many patents are not commercialized

Answers

Among the options provided, the following statements are true concerning the innovation process: Therefore, options b, c, and d are true concerning the innovation process.

There is usually resistance to the adoption and spread of a new product  New technology is often discovered by chance. d. Innovation in one industry can spawn another discontinuous change in other industries. Let's analyze each statement in detail: b. There is usually resistance to the adoption and spread of a new product: This statement is true. Resistance to change is a common phenomenon in the innovation process. People often resist adopting and embracing new products or technologies due to various reasons such as fear of the unknown, reluctance to change established routines, or concerns about the potential impact on their jobs or existing systems. c. New technology is often discovered by chance: This statement is also true. Many significant technological advancements and breakthroughs have been discovered serendipitously or by accident. Examples include the discovery of penicillin, the invention of the microwave oven, and the development of the Post-it Note. Chance occurrences or unintended consequences can lead to the discovery and development of new technologies. d. Innovation in one industry can spawn another discontinuous change in other industries: This statement is true. Innovations in one industry often have a ripple effect on other industries. Discontinuous changes or breakthrough innovations can disrupt existing business models, practices, and technologies in various sectors. For example, the advent of smartphones and mobile applications has not only transformed the telecommunications industry but also impacted industries such as entertainment, transportation, and healthcare.

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If you make more money than other traders for years on end but in one bad year you lose it all and go bankrupt, are you a successful trader?

Answers

If you earn more money than other traders for years in a row, if you lose it all and go bankrupt in one bad year, you are not considered a successful trader.

This is because a successful trader has a consistent and sustainable track record of making profits over a long period of time. While earning large sums of money is impressive, it is not sufficient to define a successful trader. A successful trader is someone who has a long-term track record of making profits, adhering to their trading plan, and managing risk effectively. This means that even in tough times, they can stay profitable and avoid losses that could threaten their financial stability. When a trader is consistent, it is a sign that they have a winning trading system. This means that the trader understands how to trade effectively and can adapt to changing market conditions. However, when a trader suffers a massive loss that wipes out all of their profits, it is a sign that their trading system is flawed. The system may have been too risky, or the trader may have deviated from their plan. Whatever the reason, when a trader goes bankrupt, it is a sign that they are not a successful trader.

In conclusion, a trader who loses everything in one bad year after many years of successful trading is not a successful trader. To be considered successful, a trader must have a long-term track record of profitability, adhere to their trading plan, and manage risk effectively.

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June – 2022 – Shangri-la security summit in Singapore: Meeting of Defence ministers Richard Marles and Wei Fenghe, Richard Austin – the US Defence Secretary detailed "an alarming increase in the number of unsafe aerial intercepts and confrontations at sea" by Chinese planes and ships. Wei Fenghe on Taiwan emphasised that China wanted a ‘peaceful reunification" but…Wei Fenghe on the South China Sea
1. Given these exchanges, and Australia’s commitments under the US alliance, Aukus and the Quad, what are the prospects for Sino-Australia relations?
2. Has the relationship been irreparably damaged during the pandemic and was this inevitable or avoidable?

Answers

The damage that has been done will require time and effort from both parties. It's debatable whether or not this was inescapable or preventable. Some contend that strain in the relationship was always anticipated given Australia's close ties to the US and its criticism of China's human rights record, among other things.

1. Given the exchanges between Richard Marles and Wei Fenghe and the commitments Australia has under the US alliance, the prospects for Sino-Australia relations seem to be complicated. The concerns regarding China’s activities in the region have been a source of tension for some time now.

The Australian government has recently made announcements that suggest that the country is pivoting towards closer alignment with the US in matters of national security and international relations. The Aukus agreement, for example, is a recent development in this direction, which has been seen by some as a sign of Australia’s willingness to align more closely with the US in matters of national security and defense.

This move has been interpreted by some as a sign of increased tension between Australia and China, as the Chinese government has expressed concerns about the agreement’s implications for regional security. In addition, the Quad, which involves the US, Japan, India, and Australia, is another alliance that is seen as having the potential to complicate Sino-Australian relations.

2. The pandemic has certainly put pressure on the relationship between China and Australia. Australia has been critical of China’s handling of the pandemic, particularly in the early stages, and has called for an independent inquiry into the origins of the virus.

This move was met with a swift response from China, which imposed a range of trade restrictions on Australian goods. This has put a significant strain on the economic relationship between the two countries, which was already under pressure due to concerns over Chinese influence in Australia’s political and economic systems. While the pandemic may have exacerbated existing tensions, it is unlikely that it has irreparably damaged the relationship.

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The mean collection period for accounts receivable at Ephemeral Products is 19.7 days with a standard deviation of 4.4 days. (a) What is the standardized z-score for an account that is paid in 30 days? (Round your answer to 3 decimal places.) (b) Is that account an outlier? Yes No (c) How many days (to the nearest integer) would qualify an account as an outlier? (Round your answer to the nearest whole number.)

Answers

Given data The mean collection period for accounts receivable at Ephemeral Products is 19.7 days with a standard deviation of 4.4 days.a).

The standardized z-score formula is given by,`z = (x - μ)/σ`Where `x` is the value, `μ` is the mean and `σ` is the standard deviation.The given account is paid in 30 days.The mean collection period is 19.7 days and the standard deviation is 4.4 days.`μ = 19.7 days``σ = 4.4 days``x = 30 days`Substitute the values in the formula,`z = (x - μ)/σ``z = (30 - 19.7)/4.4``z = 2.318`The standardized z-score is `2.318`.

The standardized z-score for an account that is paid in 30 days is `2.318`.b) Is that account an outlier? Yes No The given z-score is `2.318`the account is not an outlier.c)(Round you answer to the nearest whole number.)An account is an outlier if it is less than `μ - 3σ` or greater than `μ + 3σ`.`μ - 3σ = 19.7 - 3(4.4) = 6.5 days``μ + 3σ = 19.7 + 3(4.4) = 33.3 day the accounts less than `6.5` days or greater than `33.3` days .

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Abond that matures in 11 years has a $1,000 par value. The annual coupon interest rate is 11 percent and the market's required yeld to maturity on a comparable-tisk bond is 18 percent. What would be the value of this boed if it paid interest arnuall? What would be the value of this bond if it paid interest semiannually? a. The value of this bond if in paid interest annually would be? (Round to the nearest cont)

Answers

The value of the bond if it paid interest annually would be approximately $531.02.

To calculate the value of the bond, we need to use the formula for the present value of a bond. The formula is:

PV = C × (1 − (1 + r)^-n) / r + M / (1 + r)^n

Where:

PV = Present Value

C = Annual coupon interest payment

r = Yield to maturity (expressed as a decimal)

n = Number of years until maturity

M = Par value of the bond

Given the following information:

Annual coupon interest rate = 11% or 0.11

Yield to maturity on comparable-risk bond = 18% or 0.18

Number of years until maturity = 11

Par value of the bond = $1,000

Using these values in the formula, we can calculate the present value of the bond:

PV = $110 × (1 − (1 + 0.18)^-11) / 0.18 + $1,000 / (1 + 0.18)^11

PV ≈ $531.02

Therefore, the value of the bond if it paid interest annually would be approximately $531.02.

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wwrite a scope document if you were the project
manager preparing for the first day of wonderland. Focus on
figuring out your stakeholders first then determine what style to
write your document

Answers

the first thing that needs to be done before writing a scope document is to identify the stakeholders involved in the project. In this case, stakeholders include the employees, management, and customers of Wonderland.

It becomes easy to understand the project's purpose, goals, and objectives.Once the stakeholders have been identified, the next step is to decide on the style to be used when writing the scope document. There are various styles that can be used, such as brief, narrative, outline, and graphical styles.

The decision on which style to use will depend on the project's complexity and the type of information that needs to be conveyed. the style used should be clear, concise, and easily understandable by all stakeholders.

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Module 6 Final Project (Part 1): Marketing Plan
Attached Files:
BA 2500 - Module 6 Final Project - Marketing Plan.docx BA 2500 - Module 6 Final Project - Marketing Plan.docx - Alternative Formats (40.229 KB)
Overview:
For this final course project, you will create a marketing plan. Please follow the instructions below, and save your completed document in .doc or .docx format. Please be sure to adhere to APA formatting guidelines.
*To view the grading rubric for this discussion, click the name of the discussion, then click "Grading Information"
Instructions:
For your final project in this course, you will prepare a marketing plan for a proposed new product or service.
Choose a Product to work with for this project. You may choose to either:
Select a new product idea from the KickStarter website: Go to https://www.kickstarter.com/ and select a project that you would like to work on for this assignment. You can click on the top left on the "Discover" area to search all projects. It is recommended that you choose a project that has at least 10 days left on the campaign.
Come up with your own new product idea to use for this project. This can be an entirely new product idea, or a major enhancement to an existing product that already exists.
The goal of this project is not to give the "right ideas," but to show your understanding about the concepts covered in this course, and apply them to this new product idea. If using an idea from the KickStarter website, you should not use product name, etc. from the website. We want to see your ideas! Using your creativity, this can be a fun project!
Follow the instructions in the attached assignment to prepare assigned elements of your marketing plan. Note: We are creating a bit of an abbreviated plan, focusing on essential elements related to what we’ve covered in this course. So, this not will exactly match those items listed in Figure 16.2 "Marketing Plan Outline" in your text.
Submit your marketing plan using this assignment link

Answers

Creating a marketing plan for a proposed new product or service is an important exercise in understanding and applying the concepts covered in a marketing course. The marketing plan allows students to demonstrate their comprehension of key elements and strategies while showcasing their creativity and analytical thinking.

For this final project, students are given the flexibility to choose a new product idea from the KickStarter website or develop their own unique concept. This empowers students to exercise their imagination and problem-solving skills, enabling them to design a marketing plan tailored to their chosen product.

By following the instructions provided in the attached assignment, students can apply the knowledge gained throughout the course to essential elements of the marketing plan. Although the plan may not precisely align with the comprehensive outline in the textbook, it emphasizes the core components that reflect the course material.

Submitting the marketing plan showcases the student's ability to integrate marketing principles, conduct market research, identify target markets, develop marketing strategies, and create an effective marketing mix. The plan should effectively communicate the proposed product's unique value proposition, target market segments, pricing strategy, distribution channels, and promotional tactics.

Ultimately, the marketing plan serves as a demonstration of the student's understanding of marketing concepts and their ability to apply them in a real-world context. It provides an opportunity to showcase their creativity, critical thinking, and strategic marketing skills while adhering to APA formatting guidelines for academic submissions.

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"
This week we learned how Excel can help to present and
understand data for a company. Throughout Chapter 1 and 2, we see
that Excel spreadsheets can be used to present data, total data,
and display a "

Answers

To create a bar chart in Excel for visualizing regional sales performance, select the sales data range and choose a clustered column chart from the "Insert" tab.

To create a bar chart in Excel to effectively present and gain insights into the regional sales performance, you can follow these steps:

1. Open Microsoft Excel and enter your sales data into a spreadsheet. Ensure that you have separate columns for the regions and their respective sales figures. For example, you might have "Region" in column A and "Sales" in column B.

2. Select the range of data you want to include in the bar chart. This should include both the region names and the corresponding sales figures.

3. With the data selected, go to the "Insert" tab in the Excel ribbon.

4. In the "Charts" section, click on the "Bar" button to expand the bar chart options.

5. Choose the type of bar chart you want to create. For regional sales performance, a clustered column chart is often a suitable choice. Select the clustered column chart option.

6. Excel will insert the bar chart into your spreadsheet. You can now customize and format the chart as needed.

7. To add labels to the horizontal (x-axis) and vertical (y-axis) axes, click on the chart to activate the "Chart Tools" contextual tab in the Excel ribbon.

8. In the "Chart Tools" tab, click on the "Design" tab, then click on "Add Chart Element" and select "Axis Titles." You can then enter appropriate titles for both axes.

9. To further enhance the chart, you can right-click on various chart elements (bars, axes, legend, etc.) and choose "Format" to access formatting options. You can modify colors, fonts, gridlines, and more to make the chart visually appealing and easy to understand.

10. Additionally, if you want to include a chart title, select the chart and go to the "Chart Tools" tab. Click on "Layout," then "Chart Title," and choose the desired location for the title.

11. Finally, you can resize and reposition the chart within your Excel spreadsheet by clicking and dragging the chart as needed.

By following these steps, you can create a bar chart in Excel to effectively present the regional sales performance, making it easier to understand and gain insights from the data.

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The complete question is question :

This week we learned how Excel can help to present and understand data for a company. Throughout Chapter 1 and 2, we see that Excel spreadsheets can be used to present data, total data, and display a visual representation of the data. Now, let's put our knowledge to the test with a question:

This week, our company collected sales data for different regions. We want to visualize the sales performance of each region using a bar chart in Excel. How can we create a bar chart in Excel to effectively present this data and gain insights into the regional sales performance?

Emily Amarrada of Sioux City, South Dakota has accepted a new job and is thinking about cashing out the $29,000 she has built up in her employer's 401(k) plan to buy a new car. If, instead, she left the funds in the plan and they are projected to earn 5 percent annually for the next 25 years, how much would Emily have in her plan? Round Future Value of a Single Amount in intermediate calculations to four decimal places. (Hint: See Appendix A-1.) Round your answer to the nearest dollar.

Answers

If Emily leaves the funds in her employer's 401(k) plan and they earn 5% annually for the next 25 years, she would have approximately $37,124 in her plan.

To calculate the future value of Emily's 401(k) plan if she leaves the funds in the plan for 25 years and earns a 5% annual return, we can use the formula for the future value of a single amount.

The formula is:

Future Value = Present Value * (1 + Interest Rate)^Number of Periods

Given:

Present Value (P) = $29,000

Interest Rate (r) = 5% = 0.05

Number of Periods (n) = 25 years

Plugging in the values into the formula, we have:

Future Value = $29,000 * (1 + 0.05)^25

Calculating the future value:

Future Value = $29,000 * (1.05)^25

Future Value = $29,000 * 1.280084064

Rounding the intermediate calculation to four decimal places:

Future Value = $37,124.43

Therefore, if Emily leaves the funds in her employer's 401(k) plan and they earn 5% annually for the next 25 years, she would have approximately $37,124 in her plan.

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3-Do you think it is correct to use economic profits as opposed
to accounting profits when judging the success or failure of a
business? Explain your reasons

Answers

The use of economic profits as opposed to accounting profits depends on the context and purpose of the evaluation. Economic profits take into account both explicit costs (such as wages and rent) and implicit costs (such as the opportunity cost of using resources in a different way), whereas accounting profits only consider explicit costs.

Using economic profits provides a more comprehensive view of a business's performance because it includes all costs, not just those that are easily measurable. In this sense, economic profits are a more accurate measure of a firm's long-term viability and sustainability.

However, there may be situations where accounting profits are more appropriate. For example, if the goal is to assess tax liabilities or compliance with financial reporting regulations, then accounting profits may be the more relevant metric.

Overall, the choice between economic and accounting profits should depend on the specific objective of the analysis and the nature of the business being evaluated.

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Find the positive t when the vector r(t): = (9t, 6t, 7t-10) is perpendicular to r' (t). t almost ____ percent of south americans live in urban areas Which of the following statements is/are correct? a) Fixing a maximum price above the equilibrium price will result in an excess demand. b) Fixing a minimum price below the equilibrium price may lead to black market activity. c) Fixing the minimum price below the equilibrium price will not disturb the market forces. [1] Only a. [2] Only b. [3] Only c. [4] Only a and b. [5] Only b and c. Which of the following groups has generally enjoyed more access to stock options than others? Select one: a. Unemployed b. Chief Executive Officers c. Government officials d. Expatriates e. Politicians S0 = 110 . a dividend of $5 is expected in 1 month, a dividendof $5 is expected in 4 months.F 6-mo = 110R = 6% CCWhat is the profit? Using the Rao-Blackwell theorem, find the minimum variance unbiased estimator for when Y1 , Y2 , . . . , Yn Uniform(, 20). 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During these years of part-time work, he will neither make deposits to nor take withdrawals from his retirement account. Exactly one year after the day he turns 72.0 when he fully retires, he will begin to make annual withdrawals of $144,773.00 from his retirement account until he turns 93.00. He he will make contributions to his retirement account from his 26th birthday to his 65th birthday. To reach his goal, what must the contributions be? Assume a 5.00% interest rate. 1. GlossaryFor each of the following definitions, select the correct term from the dropdown menu in the table.Terms:Discount rate / Excess reserves/ Federal funds market/ Federal funds rate/ Fractional reserve banking/ Money multiplier/ Open market operations /Required reserve ratio/ Required reservesDefinitions TermsThe percentage of deposits that the Fed requires a bank to hold in vault cash or on deposit with the Fed The interest rate the Fed charges on loans of reserves to banks A private market in which banks lend reserves to each other for less than 24 hours The minimum balance that the Fed requires a bank to hold in vault cash or on deposit with the Fed Potential loan balances held in vault cash or on deposit with the Fed in excess of required reserves State, with reason, how the following expenditure would be categorized to conform with IAS38.A Wine distillery has successfully designed and tested a new process to make high-quality distilled wine. The trial run of the process has been successful in the Napa Valley which recorded its hottest summer since the record began. The distillery has been spent on $3 million dollars before the trial run on this process. The company has achieved the technical feasibility to complete the new process, and it can complete the project and start using this new process to produce wines. It anticipates spending another $300 on the legal costs and $2000 on the patent application and registration that would be valid for 5 years. real wages can be cut without cutting nominal wages if: Graph the indifference curves for the following consumption scenarios when considering two goods: marathons and half marathons. Indicate whether the marginal rate of substitution is constant and provide the value if this is the case. Label everything. a. John likes to run. He has the goal to run a marathon. He considers half marathons to be "half of a race" and not worth his time. He wants to run as many marathons as he can, but he gets no satisfaction out of completing half marathons. b. Jane likes to run as much as possible. Her satisfaction is determined by the number of miles she completes in competitions. c. Gabriela gains satisfaction based on the number of races she completes regardless of the distances. d. Octavio likes to run, but likes variety and different challenges associated with both races. The first time he completes each race provides him significant satisfaction, but if he completes too many of the same race, he gets bored and looks to complete more of the other race. e. Jennifer likes to collect the completion medals that are given after completing the races. She loves to display them on her living room wall. One side of her living room wall is dedicated to half marathons and the other half to marathons. She is obsessed with symmetry and won't hang an additional medal from one race unless she is also able to hang one from the other. f. Giorgio has the goal to complete one marathon and one half marathon. He absolutely hates running, but for some reason he has these on his bucket list. Anything more than this bundle would reduce his satisfaction. However, even if he had to drop out of a race, he would still feel some satisfaction for having at least made an attempt. d. Octavio likes to run, but likes variety and different challenges associated with both races. The first time he completes each race provides him significant satisfaction, but if he completes too many of the same race, he gets bored and looks to complete more of the other race. e. Jennifer likes to collect the completion medals that are given after completing the races. She loves to display them on her living room wall. One side of her living room wall is dedicated to half marathons and the other half to marathons. She is obsessed with symmetry and won't hang an additional medal from one race unless she is also able to hang one from the other. f. 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THE FOLLOWING INFORMATION IS TO BE USED WITH THE REST OF THE QUESTIONS ON THIS PAGE TockTick Company has the following end of period account balances (except for retained earnings; its balance shown is the beginning balance): - Accounts payable: $25,000 - Accounts receivable: $15,000 - Accumulated depreciation: $100,000 - Buildings and equipment: $300,000 - Cash: $30,000 - Common stock: $70,000 - Cost of goods sold expense: $120,000 - Depreciation expense: $30,000 - Dividends: $50,000 - Long-term notes payable: $110,000 - Prepaid insurance: $35,000 - Rent expense: $40,000 - Retained earnings (beginning balance): $125,000 - Service revenue: $260,000 - Unearned revenue: $20,000 - Wage expense: $90,000 Line segment LM is dilated to create L'M' using point Q as the center of dilation and a scale factor of 2.What is the length of segment QM'?