The correct answer is OPTION A Share your dashboard with internal users. Click the Sharing icon on the report form from the report record. This can be located in the report display's upper right corner.
Choose the Share option from the menu that appears. The Sharing settings dialogue window, where group and internal users. assignment can be done, will then appear. A method known as virtualization in cloud computing allows several report businesses or tenants to share a single physical instance of an application or resource (customers). In order to accomplish this, it gives a physical resource a logical name and responds to requests for a pointer to that resource.
To learn more about internal users, click here.
https://brainly.com/question/13147459
#SPJ4
why is firm specific learning better in general for an organization?
Encourages individuality among workers within the organization Keeps unionized.
For them, organizational learning is more than the cognitions of individuals.It implies the development of cultural traits,constituted. It ensures that the worker's knowledge is linked to the current job. Establishing operations abroad can be a way to learn about foreign market demand and more efficient management practices.We conclude that training will take place in better-than-average companies,while bad companies will have underperforming but overpaid workers who probably aren't them.The 3rd European Conference on Organizational Knowledge,Learning and general and specific Knowledge and Skills of the Company is a cornerstone in the human being.Academics have jumped on the bandwagon too, beating the drum for learning organizations and knowledge-creating companies learning,individual and organizational,while external learning in terms of access to better technology, many manufacturing companies find difficult.
To learn more about organization please click on below link.
https://brainly.com/question/12825206.
#SPJ4
the production possibilities frontier illustrates group of answer choices the trade-off between efficiency and equality. the combination of output that an economy should produce. the combination of output that an economy can maximum produce. none of the above is correct.
An economy is a setting where products and services are produced, traded, and distributed in addition to being consumed.
The production possibilities frontier shows the variety of output that a country's economy is capable of producing. An economy is a setting where products and services are produced, traded, and distributed in addition to being consumed. It is frequently referred to as a social domain that emphasizes the production, use, and management of scarce resources through practices, discourses, and fabric forms. An economy is a system of interconnected production and consumption activities that ultimately determines how resources are distributed within a collection. The production and consumption of goods and services as a whole meet the demands of those who live and work there.
Learn more about An economy here:
https://brainly.com/question/28942479
#SPJ4
Why is it critical to keep the project sponsor informed? (You may select more than one answer. Single click the box with the question mark to produce a check mark for a correct answer and double click the box with the question mark to empty the box for a wrong answer. Any boxes left with a question mark will be automatically graded as incorrect.)
check all that apply
The project sponsor is a powerful ally.unanswered
The project sponsor is prohibited from using influence to defend the project but may help in other ways.unanswered
The project sponsor may attack the project if not kept informed.unanswered
Project sponsors need to be kept informed so that they can defend the project.
It is critical to keep the project sponsor informed so they can defend the project. (D)
A project sponsor is a key stakeholder who provides the necessary resources and support to ensure the project's success. Keeping the project sponsor informed helps to ensure that they are aware of the project's progress and any issues that may arise.
This allows the sponsor to make informed decisions and provide the necessary support to overcome any obstacles.
If the project sponsor is not kept informed, they may not be aware of the project's status or the challenges that it faces. This can lead to misunderstandings and lack of support, which can negatively impact the project's success.
Therefore, it is important to communicate regularly with the project sponsor and provide them with accurate and timely information about the project. This will help to build trust and ensure the project's success.
To know more about project sponsor click on the link below:
https://brainly.com/question/7282251#
#SPJ11
Suppose a Central Bank does not have the capacity to defend the peg of its overvalued currency any longer. If currency traders are aware of this, then:
the supply of the currency increases and the currency peg will collapse faster than it would otherwise.
the supply of the currency increases and the currency peg will collapse slower than it would otherwise.
the supply for the currency falls and the currency peg will collapse faster than it would otherwise.
the supply of the currency falls and the currency peg will collapse slower than it would otherwise.
the supply of the currency will not change.
Option 1st is correct. If forex traders are aware of this, the supply of currency will increase and currency pegs will collapse faster than otherwise.
Suppose a central bank can no longer defend an overvalued currency peg. If forex traders are aware of this: The currency supply increases and currency pegs collapse faster than they otherwise would.
A currency peg system is a policy in which a central government or central bank sets a fixed exchange rate with a foreign currency or currency basket against its own currency, stabilizing the exchange rate between countries.
Some currencies are free to float and rates fluctuate based on market supply and demand, while others are pegged and pegged to another currency.
Pegging provides long-term predictability of exchange rates for business planning and helps promote economic stability. A currency peg is a policy of a central government using a foreign currency or basket of currencies to set a specific fixed exchange rate for its own currency.
Currency pegs can reduce uncertainty, facilitate trade and stimulate the economy. If the currency peg is too low, the domestic standard of living will be low, hurting foreign companies and causing trade friction between nations.
Know more about currency here:
https://brainly.com/question/15741215
#SPJ4
what are the types of direct costs identified in this case? why are they viewed as direct costs?
The direct tax cost according to the given paragraphs is as follows labor cost,material cost,subcontractor external labor cost and equipment and installation cost.
The cost of the material included the cost of permissions for the content and images used there. This is considered a direct cost because this cost is directly related to the project.Direct labor,direct materials, Manufacturing supplies,production staff wages,fuel or energy consumption. Materials used in a project are direct costs because they can be traced back to the final product.The two basic types of costs that businesses incur are fixed and variable. Fixed costs do not vary with production, while variable costs do.Fixed costs are sometimes called overhead costs.Direct costs are those costs that can be specifically identified with a particular ultimate cost objective, such as a federal award or other internally or externally funded activity,or Understanding your costs is vital to making informed business decisions.But proper costing is complex, and many companies aren't doing a good job.
To learn more about Direct costs please click on below link.
https://brainly.com/question/15060915.
#SPJ4
a type of deed having a full set of three covenants, but with the covenant of no encumbrances limited to the actions of the grantor is the
A general warranty deed, which includes major covenants or warranties that the grantor conveys to the grantee, offers the buyer the maximum level of protection.
What is the encumbrances covenant?Covenant against encumbrances: Unless otherwise mentioned in the deed, the seller guarantees that the property is free of any liens and encumbrances. Purchaser is assured that the title will be solid against any claims made by third parties to the property under the covenant of quiet enjoyment.
Which form of deed has all six covenants and is occasionally referred to as a broad warranty deed?A warranty deed, sometimes known as a broad warranty deed, is a type of deed that fully guarantees the ownership of real estate. All prior owners in the chain of title are covered by this guarantee for their actions.
To Know more about general warranty
https://brainly.com/question/12981692
#SPJ4
income tax how will it affect a pharmacy business?
Answer:
the tax deduction will be used to reduce current year profits.
over the past ten years, large-company stocks have returned an average of 8.7 percent annually, and u.s. treasury bills have returned 2.5 percent annually. how much risk premium per year would you have earned if you had invested in large-company stocks over those ten years?
Over a ten-year period, large-company stock investments will return a risk premium of 8.7% - 2.5%, or 6.2%. 6.2%. If you had invested in large-company stocks over those 10 years, you would have received an annual risk premium.
The amount of return an investment offers over and above a secure and reliable investment, such as U.S. Treasury notes, is known as the risk premium. Over the last 10 years, the average annual return on major firm stocks was 8.7%, compared to a 2.5% annual return on US Treasury notes. The risk premium, which is computed as the difference between the return on large-company stocks (8.7%) and the return on U.S. Treasury notes (2.5%), would have been 6.2 percent annually. The greater rate of return you might anticipate from riskier investments, like equities, as opposed to risk-free investments, like government bonds, is known as a risk premium.
learn more about risk premium here:
https://brainly.com/question/28235630
#SPJ4
Tom buys his wife Mary a $50,000 diamond ring. When she is not wearing the ring, she keeps it in a safe deposit box at a local bank. This is an example of risk
A. Avoidance
B. Reduction
C. Retention
D. Transference
Tom buys his wife Mary a $50,000 diamond ring. When she is not wearing the ring, she keeps it in a safe deposit box at a local bank. This is an example of risk reduction. Thus, option B is correct.
By keeping the diamond ring in a safe deposit box at a local bank, Mary is taking steps to protect the ring and reduce the risk of loss or damage. Risk reduction involves taking actions to minimize the impact of potential risks, such as theft, loss, or damage.
This can be done through a variety of methods, including insurance, security measures, or physical protection. By keeping the ring in a safe deposit box, Tom and Mary are reducing the risk of loss or damage, which would provide some peace of mind and protection for his investment.
To know more about risk management, visit –https://brainly.com/question/29787414
#SPJ11
gassume a single taxpayer is taxed at 10% on the first $9,875 of taxable income, 12% on the next $30,250 of income, and at 22% for the following $45,400 of income. what is the tax liability for a single individual with $54,750 of taxable income, which includes $2,550 of dividends? (round your answer to one decimal place.)
The total tax liability as per the given taxable income for different slabs is equal to $6,880.
First taxable income on $9,875 = 10%
10% of $9,875 = $987.5
Next taxable income on next $30,250 = 12%
12% of ($30,250 - $9,875 ) = ( 12 /100) × 20,375
= $ 2,445
Taxable income on following $45,400 = 22%
22% of $( 45,400 - 30,250 ) = ( 22 /100 ) × $15,150
= $3,333
Total taxable income = $( 9,875 + 20,375 + 15,150 )
= $45,400
Dividends amount = $2,550
Now tax liability for single individual is
= $54,750 - $45,400 - $2,550
= $6,880
Therefore, the tax liability for the single individual is equal to $6,880.
Learn more about tax liability here
brainly.com/question/29852350
#SPJ4
marty works at an organization with a clear chain of command. the major decisions are relegated to top managers. marty and his co-workers have strict performance standards. managers at his organization monitor the work of employees to make sure they are staying on track. this is an example of a
This is an example of a hierarchical organizational structure.
A hierarchical structure is characterized by a clear chain of command, where decisions are made by top-level managers and communicated throughout the organization.
There are strict performance standards and monitoring processes in place to ensure that employees are meeting expectations and staying on track. In this type of structure, there is a clear division of labor and each level of the organization has a specific role and responsibility.
This can lead to efficient decision-making and increased control, but it can also stifle creativity and innovation. Hierarchical structures are commonly found in large corporations, government agencies, and military organizations.
For more questions like Organizational click the link below:
https://brainly.com/question/28503044
#SPJ4
Identify 3M’s core competencies, core products and end products. How are these three sources of competitive advantage linked with each other? How does 3M mobilize resources at the SBU level? How does 3M address the problem of bounded innovation?
The 3M’s of core competencies are innovating, engineering and its tolerance for experimentation, these help to to create company's core products and technology which lead to it's end products.
A notion in management theory known as a core competency was first presented by C. K. Prahalad and Gary Hamel. The basis of a country ’s economic growth, it could be described as "a coordinated mixture of various capabilities and resources that differentiate a company in the marketplace."
Core Competency, Innovation is the process of developing new, more effective ways to make a company successful. embracing change, continuing to learn, and exercising critical thought to further the development of the person and the organisation.
To learn more about core competency here
brainly.com/question/14438508
#SPJ4
which classical approach to management was discovered to be inefficient and wasteful and accompanied by poor production and wages?
It was found that the effective management approach to control was wasteful, ineffective, and accompanied by low wages and production.
What exactly does management mean?The process of completing the labor or task necessary for accomplishing an organization's goals in an effective and efficient way is referred to as management. The management functions are implied by the process. Planning, organizing, staffing, directing, and controlling are thus involved.
What function does management serve?Management is the method of directing the creation, upkeep, and distribution of resources in order to achieve organizational objectives. The individuals in the organization who are in charge of creating and implementing this management process are known as managers.
To know more about Management visit:
https://brainly.com/question/26533442
#SPJ4
in the previous example (slide 5), there was an initial outlay of $1000 and then in each of years 1-4, there was a positive operating cash flow of $200. we concluded that we can't say much about the payback period, only that it is longer than 4 years, unless we make an assumption of cash flow in year 5. let's say you were given some additional information: you also expect operating cash flows of $800 in year 5. with that change, what is the payback period? in the previous example (slide 5), there was an initial outlay of $1000 and then in each of years 1-4, there was a positive operating cash flow of $200. we concluded that we can't say much about the payback period, only that it is longer than 4 years, unless we make an assumption of cash flow in year 5. let's say you were given some additional information: you also expect operating cash flows of $800 in year 5. with that change, what is the payback period? 5 years 4.5 years 4.25 years 4 years
the payback period when assume of cash flow in year 5 is 4.25 years = -$1000 + 200 (y1) + 200(y2) + 200(y3) + 200(y4) + 200(1/4 of y5).so answer is 4.25 years.
What exactly is cash flow?The net balance of cash coming into and going out of a business at a particular period is referred to as cash flow. A business's cash is continually coming in and going out. For instance, when a retailer purchases inventory, money leaves the company and goes to its suppliers.
To know more about cash flow visit:
https://brainly.com/question/29768594
#SPJ4
what is the relative change in a price-weighted index? enter your answer as a decimal number or with the percentage sign.
A price-weighted index is a stock index in which the proportion of each firm's share price in the overall index is based on the share price per business.
How does the price-weighted index work?
Even if the percentage change for the latter is much larger than that of the higher-priced stock, in a price-weighted index, a stock's increase from $10 to $20 will have the same impact on the index as a stock's increase from $110 to $120. Stocks with higher prices have a bigger impact on the direction of the index or basket as a whole. Finding the total share prices of the different companies and dividing them by the total number of companies yields the value of a basic price-weighted index. In certain averages, this divisor is changed to ensure consistency in the event of stock splits or modifications to the index's list of constituent businesses.
To learn more about price-weighted index visit;
https://brainly.com/question/15058709
#SPJ4
what happens to a firm's break-even point when fixed costs decrease (all other things held constant)?
A company's break-even point will be reduced by the following:
Diminishing how much fixed costs/expenses. Decreasing the variable expenses/costs per unit.The break-even point is the quantity of units or measure of incomes required for the organization's pay articulation to report zero overall gain or zero overall deficit.
Break-even analysis incorporates isolating an organization's all's costs (counting Sem variable costs) into fixed costs/costs and variable expenses/costs. For basic organizations with comparative items or administrations, the aggregate sum of fixed costs/costs is partitioned by the commitment edge per unit or the commitment edge rate.
An organization's Break-even Point will be decreased by the accompanying:
Diminishing how much fixed costs/costsDiminishing the variable expenses/costs per unitFurther developing the deals blendExtending selling costs (charging rates) without on a very basic level decreasing the amount of units soldThe commitment edge increments by diminishing the variable expenses/costs per unit or potentially expanding selling costs (or charging rates).
Know more about break-even point - https://brainly.com/question/29063970
#SPJ4
on 1 october 2019, an account for $1 600 was determined to be uncollectable. the journal entry to be made on that date would include a debit to A. Cash B. Bad Debts Expense C. Accounts Receivable D. Allowance for Doubtful Debts
on 1 October 2019, an account for $1 600 was determined to be uncollectable. the journal entry to be made on that date would include a debit to Allowance for Doubtful Debts.
Debt is defined as an item, most often money, that has been borrowed. Many businesses and people utilise debt to finance major expenditures that they otherwise could not afford. With the understanding that the money will need to be repaid at a later time, generally with interest, a debt arrangement permits the borrowing party to borrow funds. Money lent by one party to another is referred to as debt. In order to make significant expenditures that they would ordinarily be unable to afford, many businesses and people turn to debt. In a debt-based financial arrangement, the borrowing party receives authorization to borrow funds on the understanding that it would be reimbursed at a later time, typically with interest.
learn more about Debt here
https://brainly.com/question/17286021
#SPJ4
select all that apply what are the branches of quantitative management? multiple select question. behavioral science operations management evidence-based management administrative management
A.Behavioral science and B. operations management are the branches of quantitative management.
What is quantitative management?Computers and mathematical methods are used in quantitative management to sort through financial statistics and choose stocks.
Managers use previous quantitative linkages they have observed to inform "models" that aid in stock selection.
The manager might prove, for instance, that historically, stocks with low price-to-earnings ratios and rapid earnings growth during the previous two years outperformed the market the following year.
Hence option A. Behavioral science and B. Operations management is correct.
To know more about management here
https://brainly.com/question/14523862
#SPJ4
activity management responsibility planning directing controlling a. management decides to increase sales growth by 20% next year. b. management analyzes the impact of a recent advertising campaign by comparing budgeted sales to actual sales. c. management reviews hourly sales reports to determine the level of staffing needed to staff the customer service desk. d. management uses information on product costs to determine sales prices. e. to lower production costs, management moves production to china.
The management's decision to increase sales growth by 20% next year is a planning activity. Setting goals and objectives and creating plans to attain them are both aspects of planning.
The management's analysis of the impact of a recent advertising campaign by comparing budgeted sales to actual sales is a controlling activity. Controlling involves monitoring and evaluating performance to ensure that goals are being met.
The management's review of hourly sales reports to determine the level of staffing needed to staff the customer service desk is a directed activity. Directing involves communicating and implementing plans, including assigning tasks and providing guidance to employees.
The management's use of information on product costs to determine sales prices is a planning activity. Planning involves setting prices based on the costs of production, the target market, and the competition.
To lower production costs, the management's decision to move production to China is a planning activity. Planning involves making decisions about where and how to produce goods in order to achieve cost savings.
Complete question:
Categorize each of the following activities as to which management responsibility it fulfills: planning, directing, or controlling. Some activities may fulfill more than one responsibility.
a. Management decides to increase sales growth by 20% next year.
b. Management analyzes the impact of a recent advertising campaign by comparing budgeted sales to actual sales.
c. Management reviews hourly sales reports to determine the level of staffing needed to staff the customer service desk.
d. Management uses information on product costs to determine sales prices.
e. To lower production costs, management moves production to China.
To learn more about planning
https://brainly.com/question/16006993
#SPJ4
who among the following are considered internal stakeholders?
The management, directors, and employees of a company are its internal stakeholders. clients, suppliers, distributors, and the board of directors.
Internal stakeholders include, for instance, the neighbourhood. Internal stakeholders are those people or organisations who have an interest in the success of the company. Internal stakeholders include, but are not limited to, employees, board members, investors, and other interested parties. Each of these categories has a different impact on a company's stakeholders. The creditors are not the internal users. Creditors are unintentionally using management information internally because they are external parties. Any person who is interested in or impacted by the project is considered a stakeholder.
To learn more about stakeholders, click here.
https://brainly.com/question/28625232
#SPJ4
the support functions used by advertisers, agencies, media organizations, and specialized marketing communication firms are known as
The support functions used by the advertisers, agencies, media organizations, and specialized marketing communication firms are known as collateral services.
The support functions may be referred to or considered as the functions that are undertaken by the organization to ensure that they are able to smoothly maintain the performance of regular course of their operations. Some support functions help the organizations in the media and communication industry that are also known as the collateral services.
Learn more about support functions here:
https://brainly.com/question/30386420
#SPJ4
what is the reason that the federal and state governments attempt to limit payments from medicare and medicaid to physicians, hospitals, and managed care plans?
The federal and state governments' attempts to restrict payments from Medicare and Medicaid to doctors and hospitals. The government will find it too expensive and will cut spending. There will be bottlenecks in care and patients will have to wait longer for care.
Why are the federal and state governments trying to limit Medicare and Medicaid payments to doctors and hospitals?
Medicare is government health insurance for people age 65 and older and some people under age 65 with certain disabilities or medical conditions. Medicaid is a joint federal and state program that provides health insurance to certain people with limited income and resources. The main mission of the hospital is to provide holistic healthcare to the population; It also serves as a training center for healthcare professionals. The hospital in general is an essential element of social and medical organization.
The Medicare program was established in 1965 to provide health coverage and greater financial security to older Americans who were underserved in an insurance market characterized by work-related group insurance.
To learn more about medicare refers to:
brainly.com/question/1960701
#SPJ4
There is always some degree of government involvement in a mixed economy.a. Trueb. False
The given statement " there is always some degree of government involvement in a mixed economy because of the involvement of public as well as private sector in the economy" is false because of government would be involved in arranging the utilization of specific resources as well as could indeed exert control accented with oil - rubbed the private sector's businesses..
A mixed economy protects private property and permits some economic freedom in the use of capital, but it also permits government intervention to further social objectives.
A mixed economy seeks to address the drawbacks of both a capitalism and a socialist economy in order to create a novel framework. It respects the idea of private property ownership and the freedom that comes with it.
However, it recognizes the drawbacks of uncontrolled capitalism. Therefore, it suggests government regulation and economic planning to prevent prejudice toward the most vulnerable populations.
To know more about capitalism click here
https://brainly.com/question/25879591
#SPJ4
A call option with a strike price of $50 costs $2. A put option with a strike price of $45 costs $3.
Explain how a strangle can be created from these two options.what is strangle's earnings profile?
A strangle is an options trading strategy that involves holding both a call option and a put option with different strike prices. The call option gives the holder the right to buy the underlying asset at the strike price, while the put option gives the holder the right to sell the underlying asset at the strike price.
To create a strangle from these two options, you would purchase both the $50 call option and the $45 put option. The cost of this strangle would be $2 + $3 = $5.
The earnings profile of a strangle is dependent on the price movements of the underlying asset. If the price of the underlying asset is above $50 at expiration, the call option would be in-the-money and would have intrinsic value. If the price of the underlying asset is below $45 at expiration, the put option would be in-the-money and would have intrinsic value.
If the price of the underlying asset is between $45 and $50 at expiration, both options would expire worthless and the holder would lose the entire investment of $5. However, if the price of the underlying asset moves significantly in either direction (above $50 or below $45), the holder could potentially make substantial profits from the intrinsic value of either the call or put option.
In summary, the earnings profile of a strangle is generally characterized by limited profits and limited losses, with the potential for large profits if the price of the underlying asset moves significantly in either direction. This makes the strangle a useful strategy for investors who are uncertain about the direction of future price movements, but expect significant price volatility.
For more about strangle:
https://brainly.com/question/9241522
#SPJ11
the business structure of carnegie steel was a good example ofresponseshorizontal integration.horizontal integration.vertical integration.vertical integration.a holding company.a holding company.a limited liability corporation.
The business structure of Carnegie Steel was an example of vertical integration. Carnegie Steel was a vertically integrated company, meaning that it controlled all aspects of the production process from the raw materials to the finished product.
The business structure of Carnegie Steel was an example of vertical integration.
Carnegie Steel was a vertically integrated company, meaning that it controlled all aspects of the production process from the raw materials to the finished product. Andrew Carnegie, the founder of the company, believed that by controlling all parts of the production process, he could reduce costs, increase efficiency, and maximize profits. The company owned iron mines, coke ovens, blast furnaces, steel mills, and railroads, which allowed it to efficiently produce and transport its products. This business structure became the model for other large industrial firms in the late 19th and early 20th centuries and helped establish Carnegie Steel as one of the largest and most profitable steel producers in the world.
To learn more about business structure:
https://brainly.com/question/28894691
#SPJ4
At what time must a policyowner have insurable interest on the insured in order for the life policy to be valid?
After the Contestable period
When the policy proceeds are paid
At the time of application
When the insured dies
The time when the policy owner must have insurable interest on the insured is at the time of application. The correct answer is Option C.
This means that the policy owner must have a financial interest in the life of the insured at the time they apply for the policy. For example, if the policy owner is the spouse of the insured, they would have an insurable interest at the time of application because they would suffer financial loss if the insured were to die.
It is important to note that the insurable interest must be present throughout the entire life of the policy, not just at the time of application. The policy owner must continue to have a financial interest in the life of the insured until the policy proceeds are paid.
To read more about insurance policy, visit- https://brainly.com/question/17479291
#SPJ11
if the savings account pays a fixed nominal interest rate of 3% and inflation is 3%, what is the total interest rate on the deposit?
When the savings account pays a fixed nominal interest rate of 3 percent when the rate of inflation is also the same, then the actual interest rate on the deposit will effectively be nil.
The total interest rate earned is directly proportional to the deposit that a person makes in his or her bank account. The interest paid by the commercial banks is nominal and is not adjusted against the inflation. The total interest rate is always derived from nominal rate less inflation rate prevailing in the market.
Learn more about interest rate here:
https://brainly.com/question/13324776
#SPJ4
Which of the following tasks is typically performed by a financial planner who is not a licensed attorney or accountant?
a. Drafting wills, trust documents, and powers of attorney
b. Calculating asset basis
c. Preparing financial statements
d. Collecting data and assisting with investment decisions.
d. Collecting data and assisting with investment decisions tasks is typically performed by a financial planner who is not a licensed attorney or accountant.
Financial planners who are not licensed attorneys or accountants typically do not have the legal or accounting expertise to draft legally binding documents such as wills, trust documents, or powers of attorney.
They also do not have the expertise to prepare financial statements or calculate asset basis, which typically requires an in-depth understanding of accounting principles and tax laws. However, they can assist clients in collecting financial data and make investment recommendations based on their clients' financial goals and risk tolerance.
To know more about financials here
https://brainly.com/question/29641948
#SPJ4
what is the present value today of a 20-year annuity of $1,000 per payment if the discount rate is 10% and the first payment is 1 year from now?
The present value of a 20-year annuity of $1,000 per payment, with a discount rate of 10%, and the first payment made 1 year from now, is $85,620.
The following formula for calculating an annuity's present value can be used to determine this:
An annuity's present value is calculated as follows:
PV= PMT× [1-[(1 ÷ 1+r)^-n] ÷ r].
Where,
PV = Present value of your annuity stream
PMT = Dollar amount of each payment
r = Discount or interest rate
n = Number of periods in which payments will be made
Given,
PMT = $1,000
n=20
r=0.10
On substituting,
PV = $1,000 × (1 - (1 ÷ (1 + 0.10)⁻²⁰)) ÷ 0.10
On solving, we get:
PV = $1,000 × (1 - (1 + 0.1)⁻²⁰) ÷ 0.10
PV = $1,000 × (1 - 0.1438) ÷ 0.10
PV = $1,000 × 0.8562 ÷ 0.10
PV = $85,620
Learn more about present value at:
https://brainly.com/question/17322936
#SPJ4
coffee brewers expects sales of $1,500 next year. the profit margin is 5 nd the firm has a 70 ividend payout ratio. what is the projected increase in retained earnings? a) $15 b) $22.5 c) 37.5 d) 52.5
D) The projected increase in retained earnings for a coffee brewer that expects sales of $1,500 next year and has a 5% profit margin with a 70% dividend payout ratio is $52.5.
This calculation can be made by first finding the profit, which is calculated by multiplying the expected sales by the profit margin. In this case, the profit would be $1,500 x 5% = $75. Then, the dividends can be subtracted to find the increase in retained earnings.
This is done by multiplying the profit by the inverse of the dividend payout ratio, which is 1 - 70% = 30%. Therefore, the increase in retained earnings would be $75 x 30% = $22.5. The increase in retained earnings is important for the company as it can be reinvested back into the business, helping to fuel future growth and profitability.
To know more about payout ratio click on the link below:
https://brainly.com/question/15871386#
#SPJ11