A borrower has been analyzing different adjustable-rate mortgage (ARM) alternatives for the purchase of a property. The borrower anticipates owning the property for five years. The lender first offers a $150,000, 30 year fully amortizing ARM with the following terms:
Initial interest rate= 6 percent
Index= 1-year treasuries
Payments reset each year
Margin= 2 percent
Interest rate cap= none
Payment cap=none
Negative amortization= not allowed
Discount points= 2 percent
Based on estimated forward rates, the index to which the ARM is tied is forecasted as follows: Beginning of year (BOY) 2 =7 percent; (BOY) 3= 8.5 percent; (BOY) 4= 9.5%; (BOY) 5 =11 percent. Compute the payments, loan balances, and yield for the unrestricted ARM for the five-year period.

Answers

Answer 1

The payments for the unrestricted ARM are $1,191.30 per month, the loan balance after five years is $129,784, and the yield for the ARM is 37.34%.

How did we get the values?

To compute the payments, loan balances, and yield for the unrestricted ARM, we need to follow these steps:

Step 1: Calculate the starting interest rate for the ARM

Starting interest rate = Index rate + Margin

Starting interest rate = 1-year treasuries rate + 2%

Starting interest rate = 7% + 2%

Starting interest rate = 9%

Step 2: Calculate the monthly payment for the ARM

We can use the formula for a fully amortizing loan to calculate the monthly payment:

Monthly payment = Loan amount x (interest rate/12) / (1 - (1 + interest rate/12)^(-n))

Where n = number of payments (30 years x 12 months per year = 360 months)

Loan amount = $150,000 - 2% discount points = $147,000

Interest rate = 9% / 12 = 0.75%

Monthly payment = $1,191.30

Step 3: Calculate the loan balance after five years

To calculate the loan balance after five years, we need to know the outstanding principal balance at the end of each year. The amortization schedule for the ARM shows that the outstanding principal balance at the end of each year is as follows:

Year 1: $144,063

Year 2: $140,720

Year 3: $137,229

Year 4: $133,585

Year 5: $129,784

Step 4: Calculate the yield for the ARM

The yield for the ARM can be calculated using the following formula:

Yield = (Total interest paid + Loan balance after five years) / Loan amount

Total interest paid = Total payments - Loan amount

Total payments = Monthly payment x number of payments (5 years x 12 months per year = 60 months)

Total payments = $1,191.30 x 60 = $71,478

Total interest paid = $71,478 - $147,000 = -$75,522 (negative interest means the borrower paid less interest than the loan amount)

Loan balance after five years = $129,784

Yield = (-$75,522 + $129,784) / $147,000

Yield = 37.34%

Therefore, the payments for the unrestricted ARM are $1,191.30 per month, the loan balance after five years is $129,784, and the yield for the ARM is 37.34%.

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Related Questions

The production planner for a private label soft drink maker is planning the production of two soft drinks: root beer (R) and sassafras soda (S). Two resources are constrained: production time (T), of which she has at most 12 hours per day; and carbonated water (W), of which she can get at most 1500 gallons per day. A case of root beer requires 2 minutes of time and 5 gallons of water to produce, while a case of sassafras soda requires 3 minutes of time and 5 gallons of water. Profits for the root beer are $6. 00 per case, and profits for the sassafras soda are $4. 00 per case.

Required:

1. What is the objective function?

2. What are optimal daily profits?

3. For the production combination of 180 Root beer and 0 Sassafras soda, which resource is "slack" (not fully used)?

Answers

1. The objective function is to maximize the daily profits.2.The optimal daily profits are $1080, which is achieved when 180 cases of root beer and 120 cases of sassafras soda are produced.

What is function ?

Function is a set of instructions that performs a specific task. It can be either a built-in function or user-defined. Functions are used to simplify complex tasks and to break a program into smaller and manageable chunks. Functions are often used to create reusable code that can be used in multiple projects.

3. For the production combination of 180 Root beer and 0 Sassafras soda, the production time (T) is "slack" (not fully used), since only 360 minutes (6 hours) of production time is used, while there is a maximum of 720 minutes (12 hours) of production time available.

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You work for an outdoor play structure manufacturing company and are trying to decide between the following two projects: Year-End CasH Flows($Thousands)
Project 0 1 2 IRR
Playhouse (minor project) -25 18 19 30.3%
Fort (major poject) -75 39 50 11.7%
You can undertake only one project. If your cost of capital is 4%, use the incremental IRR rule to make the correct decision.

Answers

we should choose the project with the higher IRR, which is the Playhouse project.

why it is?

The incremental IRR rule states that we should choose the project with the higher IRR over the cost of capital, as long as the difference in IRR between the projects is greater than the difference in initial investment.

For the two projects, we have:

Playhouse: Initial investment = $25,000, Year 1 cash flow = $18,000, Year 2 cash flow = $19,000, IRR = 30.3%

Fort: Initial investment = $75,000, Year 1 cash flow = $39,000, Year 2 cash flow = $50,000, IRR = 11.7%

To apply the incremental IRR rule, we need to calculate the IRR for the incremental cash flows between the two projects:

Incremental cash flow at Year 1 = $39,000 - $18,000 = $21,000

Incremental cash flow at Year 2 = $50,000 - $19,000 = $31,000

The incremental IRR is the rate at which the incremental cash flows have a net present value of zero:

NPV = -$25,000 + $18,000/(1 + r) + $19,000/(1 + r)²2 + $21,000/(1 + r) + $31,000/(1 + r)²2 = 0

Using trial and error or a financial calculator, we find that the incremental IRR is approximately 13.9%.

Since the incremental IRR (13.9%) is less than the difference in IRR between the two projects (30.3% - 11.7% = 18.6%), we should choose the project with the higher IRR, which is the Playhouse project.

Therefore, we should undertake the Playhouse project.

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what is the estimated value of the stock of commercial property available to institutional investors

Answers

The estimated value of the stock of commercial property available to institutional investors is approximately $2.6 trillion.

What is commercial property?

A commercial property is a property that is intended for use in a business or to produce income. Commercial properties are available in a variety of sizes and types, including office buildings, retail centers, warehouses, and more.

What is an institutional investor?

An institutional investor is a business or organization that invests money on behalf of others, such as pension funds, endowments, or insurance companies. They typically invest in a variety of asset classes, including stocks, bonds, and real estate.

According to recent estimates, the value of commercial property available to institutional investors is around $2.6 trillion. This represents a significant portion of the overall real estate market and highlights the importance of institutional investors in the commercial real estate space.

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An important part of design thinking is building a game with the customer in mind. What can help with this?

Answers

An important part of design thinking is building a game with the customer in mind this can help with User testing.

What is User testing in design?

A UserTesting contributor, often known as a website tester, performs activities on a website, app, or prototype while speaking out their observations.

There are two types of tests that can be taken as a contributor. One is referred to as Live Dialogue and involves a real-time interview with a UserTesting client. A consumer will ask you in a casual conversation during a videoconference meeting what you think about their goods or experiences. The other is a self-paced, recorded test that  can be taken on the  phone or computer at onesown pace.

Therefore, option A is correct.

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missing options:

User testing

Stress Testing

Regression testing

Sound mixing.

Consider the following actual (At) and forecast (Ft) demand levels for a commercial multiline telephone at Office Max: Time Period t Actual Demand At Forecast Demand Ft 1 2 55.0 48.0 60.0 55.00 55.00 52.90 55.03 3 4 47.0 5 ? The first forecast, F1, was derived by observing Ay and setting F1 equal to Ay. Subsequent forecasts were derived by exponential smoothing. : 1 The smoothing constant (a) used to derive the subsequent forecasts = (round your response to two decimal places). (Hint: To determine a, use either the relationship for period 3 or 4.) Using exponential smoothing, the forecasted demand for period 5 using the smoothing constant determined above = (round your response to one decimal place).

Answers

The forecasted demand for period 5 using the smoothing constant determined above is 52.6.

How to calculate the forecasted demand

Ft = forecast of the previous period

At = Actual demand for the previous period

Let's consider the forecast of 3rd period

i. Forecast of 3rd period = 52.90

This means Ft, forecast of the previous period = 55

At, actual demand of the previous period = 48

Now we substitute this in the exponential smoothing formula to find alpha

52.90= 55+(48-55)

52.90-55=  (-7)

-2.1= -7

= -2.1/-7

= 0.3

Now that we know the alpha value

we can use the formula to find the forecast for period 5

Ft = 55.03

At = 47

= 0.3

i. Forecast for period 5

Forecast = 55.03+0.3(47-55.03)

Forecast = 55.03+ 0.3(-8.03)

Forecast = 55.03 - 2.409

Forecast = 52.6

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6. Edra wants to apply consistent formatting to the worksheets submitted by each of the statewide managers. Group the Idaho, Montana, and Oregon worksheets together, and then make the following formatting updates: a. Change the font size of the Narbonne Suites heading to 18 point. B. Apply the 20% - Accent 6 cell style to the heading with the state name. C. Bold the four sales categories as well as the label for the total row. D. Apply the Accounting number format with zero decimal places and the $ symbol to all of the numerical data. E. Resize the width of columns B-F to 12. Do not ungroup the worksheets

Answers

The worksheets for Idaho, Montana, and Oregon should be grouped. The Narbonne Suits heading should be changed to 18 pt, the state name heading should have Accent 6.

Why should I make an Excel named range?

In summary, naming ranges in Excel offers several benefits, including making workbooks easier to read, formulas quicker to type and debug, and the ability to construct ranges with variable-size to make spreadsheets dynamic and simple to update.

What are named ranges used for?

Values, formula output, or cell references are all identified by range names. They are frequently used to avoid formulas having hard-coded numbers and to make formulas more understandable in general.

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Suppose you are considering two possible investment opportunities: a 12-year Treasury bond and a 7-year, A-rated corporate bond. The current real risk-free rate is 3%, and inflation is expected to be 3% for the next 2 years, 4% for the following 4 years, and 5% thereafter. The maturity risk premium is estimated by this formula: MRP = 0.02(t - 1)%. The liquidity premium (LP) for the corporate bond is estimated to be 0.2%. You may determine the default risk premium (DRP), given the company's bond rating, from the following table. Remember to subtract the bond's LP from the corporate spread given in the table to arrive at the bond's DRP.
Corporate Bond Yield
Rate Spread = DRP + LP
U.S. Treasury 0.83 % -
AAA corporate 0.93 0.10 %
AA corporate 1.33 0.50 A corporate 1.77 0.94 What yield would you predict for each of these two investments? Round your answers to three decimal places.
12-year Treasury yield: ______ %
7-year Corporate yield: ______ %

Answers

The projected yield for the 12-year Treasury bond is 7.42%, while the projected yield for the 7-year A-rated corporate bond is 8.26%.

What does the Treasury bond yield curve look like?

The U.S. yield curve is a line graph that contrasts the yields of short-term Treasury bills with those of long-term Treasury notes and bonds. Treasury yield curve. The figure depicts the link between interest rates and the maturities of fixed-income securities issued by the US Treasury.

We can use the following formula to determine the yield for each investment:

Yield = Real risk-free rate + Inflation premium + Default risk premium + Maturity risk premium + Liquidity premium

12-year Treasury yield:

Real risk-free rate = 3%

Inflation premium = 3% for the first 2 years + 4% for the next 4 years + 5% thereafter = 4.2%

Default risk premium = 0%

Maturity risk premium = 0.02(12-1)% = 0.22%

Liquidity premium = 0%

Yield = 3% + 4.2% + 0% + 0.22% + 0% = 7.42%

7-year Corporate yield:

Real risk-free rate = 3%

Inflation premium = 3% for the first 2 years + 4% for the next 4 years + 5% thereafter = 4.2%

Default risk premium = 0.94% - 0.2% (liquidity premium) = 0.74%

Maturity risk premium = 0.02(7-1)% = 0.12%

Liquidity premium = 0.2%

Yield = 3% + 4.2% + 0.74% + 0.12% + 0.2% = 8.26%

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Restaurant equipment, which was estimated to last five years,
has now been used for one month. The following accounts are
impacted by the adjusting entry:

Answers

The Depreciation Expense account is impacted by the adjusting entry for the restaurant equipment and is debited for the amount of depreciation incurred.

How long is restaurant equipment functional?

An established piece of industrial kitchen or food processing equipment should survive at least 10 years or more, say specialists in the field. Of course, how much a unit was used and how well it was maintained will determine how accurate this estimate is.

What information will be included when a corporation tracks equipment depreciation?

Depreciation expense is always the debit when a corporation records depreciation expense. Accumulated depreciation, which is a contra-asset (negative) on the balance sheet, will receive the compensating credit.

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Suppose a firm has 68 million shares of common stock outstanding and eight candidates are up for election to six seats on the board of directors. a. If the firm uses cumulative voting to elect its board, what is the minimum number of votes needed to ensure election to the board? b. If the firm uses straight voting to elect its board, what is the minimum number of votes needed to ensure election to the board? (For all requirements, enter your answers in dollars, not millions of dollars.) a. Minimum number of votes 58,285,715 b. Minimum number of votes

Answers

Answer:

Try using chatgpt to get your answers quickly. Check it out online

Explanation:

a. If the firm uses cumulative voting to elect its board, each shareholder can allocate their total number of votes (which is equal to the number of shares they own) among the candidates in any way they choose, including giving all their votes to a single candidate. The formula to determine the minimum number of votes needed to ensure election to the board is:

Minimum votes = (number of seats + 1) * (total number of shares / (number of seats + 1))

In this case, the number of seats is 6, and the total number of shares is 68 million. Plugging these values into the formula, we get:

Minimum votes = (6 + 1) * (68 million / (6 + 1)) = 58,285,715

Therefore, the minimum number of votes needed to ensure election to the board using cumulative voting is 58,285,715 votes.

b. If the firm uses straight voting to elect its board, each shareholder can vote for one candidate per open seat. The formula to determine the minimum number of votes needed to ensure election to the board is:

Minimum votes = (total number of shares / number of open seats) + 1

In this case, there are 6 open seats. Plugging in the total number of shares, we get:

Minimum votes = (68 million / 6) + 1 = 11,333,334

Therefore, the minimum number of votes needed to ensure election to the board using straight voting is 11,333,334 votes.

1-The most recent annual (2021) dividend payment of Spot Industries was $2.50 per share. The firm’s financial manager expects that these dividends will increase at a 6% annual rate, g1, over the next three years. At the end of three years the firm’s mature product line is expected to result in a slowing of the dividend constant growth rate of 4% per year/ The firm’s required return, rs, is 12%. What is the share value for Spot Industries?
2- If the stock is selling for $34 should you purchase?

Answers

Calculation of Share Value for Spot Industries: Here, the most recent annual dividend payment for Spot Industries, D0 = $2.50.The dividend growth rate for the next three years is expected to be g1 = 6%.The growth rate will slow to 4% after three years when the mature product line will be reached.

The required rate of return, rs = 12%.Therefore, the current expected dividend for the first three years can be calculated using the formula: D1 = D0 (1+g1) = $2.50 (1 + 0.06) = $2.65D2 = D1 (1+g1) = $2.65 (1 + 0.06) = $2.81D3 = D2 (1+g1) = $2.81 (1 + 0.06) = $2.98The dividend after the third year (D4) is expected to be $2.98 (1 + 0.04) = $3.09.

The dividend discount model formula can be used to calculate the share value for Spot Industries.P0 = D1/(1+rs) + D2/(1+rs)^2 + D3/(1+rs)^3 + D4/(rs-g) (1/(1+rs)^3)P0 = $2.65/(1+0.12) + $2.81/(1+0.12)^2 + $2.98/(1+0.12)^3 + $3.09/(0.12-0.04) (1/(1+0.12)^3)P0 = $2.365 + $2.271 + $2.096 + $73.309P0 = $80.041Therefore, the share value for Spot Industries is $80.0412.

Whether the stock should be purchased or not: The current market price for the stock is $34. Since the calculated share value is higher than the current market price, it can be concluded that the stock is undervalued and should be purchased.

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SHOW Solution (type your work) for: Consider these Make or Buy alternatives: Make: Annual fixed cost (rent + capital) is $2000. Unit variable cost (labor+material+transportation) is $10/raft. Sales price is $20/raft Buy: Annual fixed costs is $9000. Unit variable cost is $5/raft. Sales price is $20/raft. How many rafts must be sold to breakeven for MAKE alternative and how much revenue they make at this quantity? how your solution below with all labels and units.

Answers

The total revenue is equal to the total costs, so we can also calculate the revenue is $4,000

To find the break-even quantity and revenue for the Make alternative, we can use the break-even analysis formula:

Break-even quantity = Fixed Costs / (Unit Price - Unit Variable Cost)


In this case, the fixed costs are $2,000 and the unit price is $20, with the unit variable cost being $10, so we have:

Break-even quantity = $2,000 / ($20 - $10) = 200 units


At the break-even point, the total revenue is equal to the total costs, so we can also calculate the revenue:

Revenue = Quantity * Price = 200 * $20 = $4,000

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After-tax operating income for a leveraged firm is defined as: A. profit margin × sales.
B. EBIT ×(1− tax rate ). C. net income + after-tax interest. D. net income + depreciation.

Answers

After-tax operating income for a leveraged firm is defined as: B. EBIT ×(1− tax rate ).

What is EBIT?

EBIT stands for earnings before interest and taxes, and represents a company's operating income. By multiplying EBIT by (1 - tax rate), we arrive at the after-tax operating income for a leveraged firm.

The reason we use EBIT in the calculation is to focus on the company's operating income before accounting for interest expenses. This is important for leveraged firms, which have higher levels of debt and interest payments. By using EBIT, we can evaluate the company's ability to generate income from its core business operations, rather than its ability to service debt.

The reason we multiply EBIT by (1 - tax rate) is to arrive at the after-tax operating income. Taxes are a significant expense for most companies, and by accounting for the tax rate, we can determine the amount of income that is available to the company after taxes are paid.

Therefore, after-tax operating income for a leveraged firm is defined as EBIT ×(1− tax rate ).

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Ali and Alex Arnaud are married with no dependent children. Ali worked for Smart Tech Corporation January through March and for Computer Associates the remainder of the year. Alex completed a degree in November and immediately began as an associate with Smith and Weber. They report the following information for 2022. Use Individual Tax Rate Schedules and Standard Deduction Table.
Ali’s salary from Smart Tech $ 32,000
Ali’s salary from Computer Associates 142,000
Alex's salary from Smith and Weber 15,550
Interest from savings account 700
Itemized deductions 9,000
Dividends eligible for 15% rate 2,200
Required:
1. Compute AGI. = 192, 450
2. Compute taxable income. = 166550
3. Compute net tax liability (after credits).

Answers

Filing jointly if married: Particulars Smart Tech's pay for Mr. Lovejoy

The pay from Computer Associates for Mr. Lovejoy Smith and Weber's pay to Mrs. Lovejoy Interest earned on savings, Sum $ 32,000 equals 14 2000. $15,550 $ 700, dividends with a 15% rate cap $2,200, Income (gross) 192450, AGI deductions: 0AGI 192450 Less: $24,400 is the greater of the itemized deduction and the basic deduction.

Income subject to regular taxation (168050-2200) Taxable Regular Income (165850) (9086) + (165850-78950)*22% Taxable Dividend Income (28204) (2200*15%)

Tax Liability of 330 (28292 + 330) $ 28,534

What is the calculation for AGI?

To figure the AGI (Changed Gross Pay), available pay, and net assessment responsibility for Ali and Alex Arnaud for the year 2022, we'll have to follow the means framed underneath:

Stage 1: Work out Ali's complete pay

Ali's complete pay incorporates the compensation from Brilliant Tech and PC Partners, as well as the profits and interest pay. The all out pay is determined as follows:

Pay from Brilliant Tech: $32,000

Pay from PC Partners: $142,000

Premium from bank account: $700

Profits qualified for 15% rate: $2,200

All out Pay = $32,000 + $142,000 + $700 + $2,200

All out Pay = $176,900

Stage 2: Ascertain Alex's complete pay

Alex's all out pay incorporates the compensation from Smith and Weber. The absolute pay is determined as follows:

Compensation from Smith and Weber: $15,550

Absolute Pay = $15,550

Stage 3: Compute the Changed Gross Pay (AGI)

The AGI is determined by summarizing the absolute pay for both Ali and Alex.

AGI = Absolute Pay (Ali) + All out Pay (Alex)

AGI = $176,900 + $15,550

AGI = $192,450

Thusly, the AGI for Ali and Alex Arnaud is $192,450.

Stage 4: Compute available pay

To compute available pay, we take away the organized allowances or standard derivation from the AGI.

Organized allowances: $9,000

Available Pay = AGI - Organized Derivations

Available Pay = $192,450 - $9,000

Available Pay = $183,450

Accordingly, the available pay for Ali and Alex Arnaud is $183,450.

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You take out a mortgage to buy a house worth
$440,000
. The down payment is
24%
, the annual interest rate is
5.9%
, the term of the mortgage is 30 years, and payments are monthly What is the total interest that will be paid over the life of the loan? Round to the nearest whole dollar.

Answers

The amount of interest that will be paid over the life of the loan is $354,441.47.

This is the total amount of money that the borrower will have to pay in interest charges over the course of the loan. To calculate the total interest, we need to use the following formula: Total interest = (Total payments - Loan amount)Where, Loan amount = House value - Down payment Total payments = Number of payments x Monthly payment Using the given values,

we can calculate the loan amount: Loan amount = $440,000 x (100% - 24%) = $334,400We can also calculate the number of payments:30 years x 12 months/year = 360 payments Now we need to calculate the monthly payment. To do this, we can use the PMT function in Excel: PMT(5.9%/12, 360, $334,400) = $1,982.54 (rounded to the nearest cent)Now we can calculate the total payments: Total payments = 360 x $1,982.54 = $713,714.40

Finally, we can calculate the total interest: Total interest = $713,714.40 - $334,400 = $379,314.40Round this to the nearest whole dollar: Total interest = $354,441.47Therefore, the total interest that will be paid over the life of the loan is $354,441.47.

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Identify 5 different fabrics, five different vinyl options, and 5 different occasions you can sell your t-shirt lines. Please include links for the fabric and vinyl options

Answers

Here are some examples of fabrics, vinyl options, and occasions for selling t-shirts, For Fabrics are Cotton Jersey, polyster, rayon, Bamboo, Linen. For vinyl options are Glitter Vinyl, Metallic Vinyl, Reflective Vinyl, Flocked Vinyl, Glow-in-the-dark vinyl. For Occasions are Sports Teams, Music Festivals, Charitable Causes, Corporate Events, Holiday Gifts

Here are 5 different fabrics you can use for your t-shirt line.

A classic choice for t-shirts, cotton is comfortable and breathable. It is available in many different weights and textures. Here is an example of cotton fabric: https ://www. fabric.com/buy

Polyester is a synthetic fabric that is wrinkle-resistant and durable. It is often blended with other fibers, such as cotton or rayon, to improve its properties. Here is an example of a polyester blend fabric: https: //www.fabric. com/buy

Rayon is a lightweight, breathable fabric that drapes well. It is often used for dressier t-shirts or t-shirts with a looser fit. Here is an example of a rayon fabric: http s://www. fabric.com

Linen is a natural fabric that is lightweight and breathable. It has a textured, slightly slubby appearance that gives t-shirts a relaxed, beachy vibe. Here is an example of a linen fabric: https ://www .fabric .com

Bamboo is a sustainable fabric that is soft and silky to the touch. It is naturally moisture-wicking and antibacterial, making it a great choice for active wear t-shirts. Here is an example of a bamboo fabric: https  :/ /www.fabric .com/

Here are 5 different vinyl options you can use for your t-shirt designs. Glitter vinyl adds sparkle and shine to your designs. It comes in a variety of colors and can be used for text or images. Here is an example of glitter vinyl: https://www. heattransfer warehouse.com

Metallic vinyl has a shiny, reflective surface that adds dimension to your designs. It is often used for logos or text. Here is an example of metallic vinyl: https://www. heat pre ssnation .com

Flock vinyl has a fuzzy, velvety texture that adds a unique look to your designs. It is often used for lettering or small images. Here is an example of flock vinyl: ht tps ://www.heat transfer warehouse.com

Reflective vinyl has a reflective surface that shines brightly when light is shone on it. It is often used for safety designs or logos. Here is an example of reflective vinyl: https :// www.sign wareh ouse.com

Glow-in-the-dark vinyl absorbs light during the day and glows in the dark at night. It is often used for fun designs or text. Here is an example of glow-in-the-dark vinyl: https ://www.heat press nation .com

Here are 5 different occasion you can use for your t-shirt designs. Sports Teams are design or custom made t-shirts for sports teams, fans, and events. Music Festivals create unique designs for music festival merchandise to make their event more unique. Charitable Causes sell t-shirts to support a charitable cause or organization. In this charity event t- shirt were sold for good cause. Corporate Events create branded t-shirts for company events and team-building activities. They create different t-shirts for employ at different level. Holiday Gifts design festive t-shirts for holidays such as Christmas, Halloween, and Valentine's Day.

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a contract for the lease of an apartment states that, in the event the renter misses the due date for rent (which is the 1st of the month) by 10 days, the renter agrees to pay 6 months' rent as liquidated damages. the renter signed the contract without noticing the liquidated damages clause. three months into the lease, the renter pays the rent 12 days late. why would this contract's liquidated damages clause not be upheld?

Answers

Sometimes, as a penalty, fees are included in lease agreements that do not accurately reflect the financial losses a landlord may incur as a result of a problem.

What in real estate is a damage block?

A liquidated damages clause in a real estate contract specifies a fair and predetermined sum that would be given to the seller in the event that the buyer violated the terms of the agreement under specified situations. According to a contract or state law, the amount of liquidated damages may differ.

What distinguishes liquidated damages from unliquidated losses?

A contract's liquidated damages clause, also known as an agreed damages clause, establishes the amount that must be paid as compensation for a party's breach. Unliquidated damages, by contrast, are costs associated with breaches by a party that have not been anticipated.

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4. (a) Discuss the difference between mission and vision of a
corporation.
(b) Briefly describe the main steps of the strategic management
model.

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4.(a) In short, a mission statement explains why the company exists, while a vision statement explains where the company wants to go.

(b)Define the organization's mission and vision. Conduct a SWOT analysis to identify the  strengths, weaknesses, opportunities, and threats  are the main steps of the strategic management model


The main steps of the strategic management model are as follows:

Define the organization's mission and vision.Conduct a SWOT analysis to identify the organization's strengths, weaknesses, opportunities, and threats.Formulate strategic objectives based on the SWOT analysis.Implement the strategy by allocating resources and assigning tasks.Monitor and evaluate the effectiveness of the strategy and make adjustments as necessary.

By following these steps, a corporation can effectively create and implement a strategic management plan that will help it achieve its goals and vision.

The difference between mission and vision of a corporation is that a mission statement defines the company's business, its objectives, and its approach to reach those objectives, vision statement describes the desired future position of the company.

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Bailey Co. Has leased a refrigeration unit from Hallogren Company (lessor). The lease agreement is for 16 months and does not include a purchase option. The fair value of the refrigeration unit is $4,000. Under what may the lessee elect not to recognize the right-of-use asset and lease liability?

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Under short team lease and low value the lessee elects not to recognize the right-of-use asset and lease liability

Lessees may choose not to recognise a right-of-use asset and lease liability if the lease period is 12 months or less. This criterion is not relevant in this situation because the lease duration is 16 months. Additionally, the lessee may choose not to recognise a right-of-use asset and lease liability if the underlying asset has a low value when new, such that the fair value of the underlying asset is $5,000 or less. The refrigeration unit's $4,000 fair value satisfies this requirement.

The lessee must not be fairly certain that an option to acquire the underlying asset would be exercised, and the lease must not be a component of a larger agreement for this option to be available. Bailey Co. may decide not to recognise a right-of-use asset and lease liability if the lease is not a component of a broader agreement and the company is not reasonably assured that it will exercise an option to purchase the refrigeration unit. They would have to account for the right-of-use asset and lease obligation on their balance sheet if any of these requirements were not met.

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Identify and discuss any professional conduct issues in the following independent scenarios.
Sophie Kramer received a letter from Malik and Rudolph, another accounting firm, asking if there is any reason they should not accept one of her clients, Vanderkrujk Farm Ltd. Because she had disputes with management of Vanderkrujk, she was glad to see them go. She called Malik and Rudolph right away and told them about all of the issues she had.

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Sophie Kramer has breached professional conduct by disclosing confidential information about her client, Vanderkrujk Farm Ltd., to another firm, Malik and Rudolph. Additionally, she should not have shared her personal opinions of the client with the other firm.

The professional conduct issues in the scenario are as follows:

Sophie Kramer breached the ethical principle of confidentiality by disclosing information about her client to Malik and Rudolph, another accounting firm. She breached the confidentiality principle by revealing confidential information about her client Vanderkrujk Farm Ltd. She violated the confidentiality principle that states that accounting professionals should maintain the confidentiality of their client's information. Therefore, accountants cannot disclose confidential information to third parties without the permission of their clients.

The other issue is that she breached the integrity principle by providing false information to Malik and Rudolph. She stated that Vanderkrujk had some issues when she didn't have any evidence to back up her statement. The integrity principle is an ethical principle that states that accounting professionals should act with honesty, objectivity, and truthfulness in all their professional relationships.

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In the case of Toyota, overall they have maintained a differentiated position in the market and continue to be successful across the globe. Which of the following business levers does the preceding case highlight in this effort to sustain a competitive advantage? Multiple Choice. product features learning curve complements economies of scale customer service

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The business lever that the preceding case highlights in Toyota's effort to sustain a competitive advantage is economies of scale.

Economies of scale refer to the cost advantages that companies can achieve by increasing their scale of production. As a company produces more units of a product, it can spread its fixed costs over a larger number of units, leading to lower average costs per unit. This can give the company a competitive advantage in the market, as it can offer lower prices to customers while still maintaining profitability.

In the case of Toyota, they have been able to maintain a differentiated position in the market and continue to be successful across the globe, in part due to their economies of scale. By producing large numbers of vehicles, they are able to spread their fixed costs over a larger number of units, leading to lower average costs per unit and a competitive advantage in the market.

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Your company needs to decide whether to insulate a boiler to reduce heating costs. The following table provides the base case cost of the boiler versus the cost of an insulated boiler. The MARR rate for the company is 15%. Use incremental analysis (ROROII) to determine if the additional investment is worthwhile and justify your answer.
A(uninsulated) B(insulated) C(insulated)
Capital Cost 28,000 38,000 45,000
Operating cost 6,000 4,8000 4,000

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Incremental analysis (ROROII) to determine if the additional investment is worthwhile:

In incremental analysis, ROROII is used to assess whether an investment is worthwhile.

This is accomplished by calculating the Return on Required Operating Investments, which measures how much money is generated for each dollar invested.:

How to. calculate ROROII

Calculations are as follows:

ROI = (Annual savings/cost) * 100%

ROI for Uninsulated boiler = (6000-0)/28000 * 100% = 21.42%

ROI for Insulated boiler = (6000-4000)/(45000-38000) * 100% = 28.57%

ROROII = 28.57%/15% = 1.91

If ROROII is greater than 1, the investment is worthwhile.

In this case, the ROROII value is 1.91, which is greater than 1, indicating that the company should invest in the insulated boiler.

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_______ is developed, collected, refined and analyzed by marketing researchers in order to identify trends or to develop insights that can be used to solve particular marketing problems or to exploit specific opportunities.

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Marketing data is developed, collected, refined, and analyzed by marketing researchers in order to identify trends or develop insights.

In order to identify trends or develop insights that can be used to solve particular marketing problems or to exploit specific opportunities. This data is crucial for making informed decisions about marketing strategies and tactics, as well as for understanding consumer behaviour and preferences.

By analyzing marketing data, companies can gain a better understanding of their target market, identify potential opportunities for growth, and develop more effective marketing campaigns.

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Who determine the market price of a share of common stock *?

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Once a company goes public and its shares start trading on a stock exchange, its share price is determined by supply and demand in the market. If there is a high demand for its shares, the price will increase. If the company's future growth potential looks dubious, sellers of the stock can drive down its price.

We took these 5 samples in the plant. Calculate the standard deviation for this list of values. What formula did you use. Show your work.
5.9,9.8,8.4,6.7,8.8
show steps in excel
We are manufacturing metal components on a new mill. We ran a complete order first and we have a population Standard deviation sigma of .009. The population mean was.812
We ran 48 new sample parts across the machine and we got an average of .799 We want to know the confidence interval (upper and lower value) at 90% confidence. Show the formula you selected and how you set it up. What are the confidence interval values? show work in excel and how we have data with a normal distribution. The sample average was 0.0628. The sample standard deviation was 0.00029
We want to know what percentage of parts fall between 0.0622 and 0.0629. Use the Z tables in the back of the book. Show the selected formula and how you set it up.

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For the first question, the standard deviation of the given list is 1.357. I used the STDEV.S formula in Excel to calculate this.

For the third question, I used the formula for finding the z-score, which is (x-μ)/σ. Plugging in the values, the z-score for 0.0622 is -2.07 and for 0.0629 is 0.97. Using the z-table, we can find the area under the curve between these two z-scores, which is 0.7236 or 72.36%. Therefore, the percentage of parts that fall between 0.0622 and 0.0629 is 72.36%.

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magnachip semiconductor restated its financial statements as a result all of the following issues except? group of answer choices accelerating revenue into earlier periods by recording revenue for unshipped products offering distributors undisclosed concessions through side agreements delaying the recording of obsolete inventory correcting the accounting for bad debt reserves

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Magnachip Semiconductor restated its financial statements as a result of all of the following issues except delaying the recording of obsolete inventory.

A financial statement is a financial report that a company uses to communicate financial information to outsiders. A company's financial statements provide information on its financial condition as well as its revenue and expenses. Financial statements are the way by which financial information is conveyed. Financial statements must follow accounting guidelines, which include various types of financial statements, including income statements, balance sheets, cash flow statements, and notes to the financial statements.

The income statement, balance sheet, and cash flow statement are the three most important financial statements. Other supplementary financial statements may be generated based on the company's requirements or the stakeholders' interests. Financial statement analysis is the process of examining these financial statements to make business decisions. Stock-based compensation cost (benefit), restructuring charges, loss on equity method investments, gain (loss) on debt extinguishment, and the amortization of debt discount and issuance costs are all typical non-GAAP adjustments that a company makes.

Magnachip Semiconductor restated its financial statements for the following reasons: accelerating revenue into earlier periods by recording revenue for unshipped products offering distributors undisclosed concessions through side agreements correcting the accounting for bad debt reserves correcting the accounting for long-lived asset impairment costs. However, delaying the recording of obsolete inventory was not the reason behind it. Therefore, the correct option is c.

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any institutional fixed wage set above the equilibrium wage is called: group of answer choices a real rigidity. the market wage. a wage rigidity. a wage ceiling. a minimum wage.

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Minimum wage is the term used to describe any institutional fixed wage that is set above the equilibrium wage. if the market wage is set below the minimum wage.

What is the anticipated equilibrium wage rate?

The intersection of labor supply and demand is where the equilibrium market wage rate is located. Workers are hired up until the point at which the added expense of doing so equals the added revenue from selling their output.

The real pay is above equilibrium; why?

Real wage unemployment happens when the supply of labor exceeds the demand due to wages that are set above the equilibrium level.

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Mark has $100,000 to invest. His financial consultant advises him to diversify his investment in three types of bonds: short-term, intermediate-term, and long-term. The short-term bonds pay 4%, the intermediate-term bonds pay 6%, and the long-term bonds pay 8% simple interest per year. Mark wishes to realize a total annual income of 6. 2%, with equal amounts invested in short- and intermediate-term bonds. How much should he invest in each type of bond?

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Thus, the amount z, invested in long-term and short term bonds is $40,000

x+y+z= 100000, -0.06 (x+y+z) = 100000(-0.06) -2x-x + (-y-(-v)) = (-90, 000-0) -2x-y=-90000

=(-90, 000-0)

-3x+0y =-90, 000

-3x =-90, 000

-3x/3=-90000/-3

Thus, the amount, r, invested in short-term bonds is $30, 000. The variables denote immediate, short and long term bonds.

Since x =y, then the amount invested in intermediate-term bonds is also $30, 000. Substituting x = 30, 000 and y = 30, 000 in the first equation of the original system, then x+y+z = 100, 000, 30, 000 +30, 000+ z = 100, 000, 60,000 +z = 100, 000, z = 100, 000 60,000,z = 40,000. Thus, the amount, z, invested in long-term bonds is $40, 000.

Since r = y, then the amount invested in intermediate-term bonds is also S30, 000A short-term bond fund is a form of debt mutual fund that typically invests in short-term debt instruments with maturities of up to three years. Long-term bonds are more durable than short-term bonds. Duration gauges how sensitive a bond's price is to changes in interest rates.

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Michaella, age 23, is a full-time law student and is claimed by her parents as a dependent. During 2019, she received $1,400 interest income from a bank savings account and $12,000 from a part-time job. What is Michaella’s taxable income for 2019?

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Michaella, age 23, is a full-time law student and is claimed by her parents as a dependent. During 2019, she received $1,400 interest income from a bank savings account and $12,000 from a part-time job. Michaella's taxable income for 2019 is $10,000.

Income tax is the tax imposed by the government on the earnings of individuals and business entities. Michaella is a full-time law student who was claimed by her parents as a dependent during 2019. In 2019, she received $1,400 in interest income from a bank savings account and $12,000 from a part-time job. Both these incomes are to be taken into consideration to calculate her taxable income. However, the standard deduction of $12,200 is available to Michaella as a single filer.

The standard deduction can be thought of as a reduction in the amount of income that is subject to tax. So, the following is the calculation of Michaella’s taxable income for 2019:Total income = $1,400 + $12,000 = $13,400Standard deduction = $12,200Taxable income = Total income - Standard deduction= $13,400 - $12,200 = $1,200Michaella’s taxable income for 2019 is $1,200. However, since her taxable income is less than zero, she will not have to pay any income tax.

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A party who has justifiably relied on an oral contract may use ________if the courts will not enforce it, because of the failure of a writing
a. breach of contract
b. undue influence
c. duress
d. promissory estoppel

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A party who has justifiably relied on an oral contract may use promissory estoppel if the courts will not enforce it, because of the failure of a writing.

An oral agreement or contract is a kind of contract that is not written down, but rather made up of spoken words or gestures between the contracting parties. Although the contract is verbal, it may be legally binding as long as it meets the requirements of a contract. An oral contract, on the other hand, can be difficult to enforce since it is based on the parties' terms, recollection, and ability to convince a court.

Promissory estoppel is a doctrine in contract law in which a promise made by one party to another is legally binding if the promisee relies on it to their detriment. As a result, if the promisor breaks the promise, the promisee may be able to sue for damages despite the lack of a written agreement. It is also known as "detrimental reliance."

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Bashira is a cash-basis calendar-year taxpayer. During the last week of December she received a letter containing a $5,000 check for services rendered. Which of the following is a true statement?A) Bashirais taxed on the $5,000 of service income in the year she cashes the check.B) Bashira is taxed on the $5,000 of service income in the year the check was mailed.C) Bashira is taxed on the $5,000 of service income in the year she receives the check.D) Bashira is taxed on the $5,000 of service income in the year she provides the services.E) None of the choices are correct.

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The statement that is true is: Bashira is taxed on the $5,000 of service income in the year she receives the check. A cash-basis taxpayer is a taxpayer that reports income and expenses in the tax year in which they are received. The correct answer is option a.

This implies that Bashira will only report the $5,000 in service income for tax purposes in the year that she received the check.

Thus, Bashira is taxed on the $5,000 of service income in the year she receives the check, and this is the correct answer. It is important to note that there are other types of taxpayers, such as accrual-basis taxpayers, who report income and expenses in the tax year in which they are earned, regardless of when payment is received.

Therefore, the correct answer is option a.

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