Melvin Indecision has difficulty deciding whether to put his savings in Mystic Bank or Four Rivers Bank. Mystic offers 10% interest compounded semiannually. Four Rivers offers 8% interest compounded quarterly. Melvin has $10,000 to invest. He expects to withdraw the money at the end of 4 years.
Calculate interest for each bank and identify which bank gives Melvin the better deal? (Please use the following provided Table.) (Do not round intermediate calculations. Round your answers to the nearest dollar amount.)
Mystic Four Rivers Better deal
Interest $ $ (Click to select)Mystic BankFour Rivers Bank

Answers

Answer 1

The offer at Mystic Bank is the superior one compared to the one at Four Rivers Bank.

The better offer is what?

The worth of the investment possibilities in the future must be calculated in order to decide which bank has the better offer.

The amount invested, how many times it has been compounded, how many years it has been invested, and the interest rate all influence the future value of an investment.

Semi-annual compounding indicates that an investment doubles in size every two years. Investing is exponentially growing four times a year when it is compounded quarterly.

The future value calculation formula is as follows:

FV = PV (1 + r)^nm

Where:

FV = Future value

P = Present value

R = Rate of interest

m = no. of compounding

N = no. of years

Mystic bank's rate of interest = 10% /2 = 5%

Four Rivers Bank's rate of interest = 8% / 4 = 2%

The investment's future worth at Mystic bank is as follows:

$10,000 x (1.05)^(2 x 4) = $14,774.55

The investment's future worth at Four Rivers Bank is as follows:

$10,000 x (1.02)^(4 x 4) = $13,727.86

Melvin will therefore have $17,170.36 if he decides to invest in Four Rivers Bank.

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Related Questions

In a perfectly competitive market, each firm produces its last unit at: the same marginal cost. one of several marginal costs. a unique marginal cost. one of two marginal costs.

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In a perfectly competitive market, each firm produces its last unit at the same marginal cost. So, the correct option is a.

Since firms in a perfectly competitive market are identical, their marginal cost is the same, and each firm produces its last unit at the point where the firm is equal to the marginal cost.

Marginal cost refers to the increase or decrease in the cost of producing one more unit or serving one more customer. It is also known as incremental cost. Marginal cost are based on production expenses that are variable or direct - labor, materials, and equipment. There is a marginal cost when there are changes in the total cost of production.

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base electronics collects $1,400 in sales tax this month. to pay the sales tax, the journal entry would be:

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Base electronics collects $1,400 in sales tax this month.On July 15, 2021, sales of $77,000 ($551400) are recorded, with a credit to the sales account and a debit to the account receivables.

Cash was collected on July 23, 2021, which suggests that the payment was made during the discount period. As a result, the amount received is equal to the selling price less the 2% discount, and the cash collected is therefore $75460 ($77000*98%).The act of keeping or creating records of any transaction, whether one that is economic or not, is known as Journalising Transactions are recorded in an accounting journal, which displays a company's debit and credit balances. Multiple recordings, each of which is either a debit or a credit, may be included in the journal entry.Without taking any deductions for costs or applying any reductions to the sale value, the transaction is documented using the gross method.

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carlos, an hr manager, conducts a survey to learn which benefits employees value the most. however, he finds that the survey results are difficult to apply. what is the most likely reason? group of answer choices employees have very different opinions about what they value. employees expect to receive benefits that are legally required and widely available. the employees only value medical insurance. the costs of turnover at vince’s company are high. software is the only method employees will accept to help them choose their benefits.

Answers

In  a case whereby carlos, an hr manager, conducts a survey to learn which benefits employees value the most. however, he finds that the survey results are difficult to apply hes most likely reason is that employees have very different opinions about what they value.

What is the Employee benefits?

Employee benefits  can be described as the forms of perks or compensation  which are been provided to employees in addition to their base salaries and wages.

It should be noted that  the  complete employee benefits package may encompass the health insurance plan, life insurance, howeve from the case above employees have very different opinions  with benefits.

Therefore, the first option is correct.

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the alternative minimum tax has become an added tax burden on many upper-middle - class families because:

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As it is not inflation-indexed, the alternative minimum tax has increased taxes for many upper-middle class families.

What is Inflation indexing?

Indexation, a method of adjusting income distributions, is used to maintain the public's purchasing power after inflation. The reverse of indexation is called deindexation.

Some taxpayers are required to determine their tax burden twice—once under ordinary income tax laws and once under the Alternative Minimum Tax (AMT)—and pay the amount that is higher. In comparison to the standard system, the AMT has fewer preferences and various exclusions and rates.

The most well-known indicator of inflation is the Consumer Price Index (CPI), which determines the percentage change in the price of a variety of goods and services that families regularly use.

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margaux is reviewing the corporate policy that stipulates the processes to be followed for implementing system changes. which policy is she reviewing?

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Change control policy is being reviewed by Margaux.

The procedures and processes through which technology change is planned, approved, and implemented are governed by "change control" policy.

The objectives are to accept necessary change, prevent unnecessary change, and make sure all accepted change is implemented with the least possible impact on continuing operations. Keep reading to find out how to complete this substantial task.

Whether it has to do with system administration, hardware configuration, software upgrades, or other maintenance responsibilities, technology change is unavoidable.

IT change control is used to accommodate evolving business and technological needs and is a standardized IT management strategy that aims to maintain overall stability, security, and reliability.

Technology change can be disruptive as well as advantageous. Effective change management procedures must be created to maximize benefits and minimize difficulties.

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smiley corporation wholesales repair products to equipment manufacturers. on april 1, 20y1, smiley issued $1,200,000 of 7-year, 10% bonds at a market (effective) interest rate of 8%, receiving cash of $1,326,757. interest is payable semiannually on april 1 and october 1. question content area a. journalize the entry to record the issuance of bonds on april 1, 20y1. if an amount box does not require an entry, leave it blank.

Answers

On April 1, 20y1, Smiley issued 7-year $1,200,000, 10% bonds at a market (effective) interest rate of 8%, receiving cash of $1,326,757. Interest is payable semiannually on April 1 and October 1 for $175,000.

A journal is a book where all of a business's transactions are initially documented. The act of journalizing involves adding transactions to the journal. Each transaction has two effects on the accounts: one debit and one credit.

Journal entries:

Date particulars                            Debit         Credit

1-Apr Cash                                    $5,717,668  

               Premium on bonds payable                   $717,668

               Bonds payable                                    $5,000,000

               (being bonds issued)    

1-Oct Premium on bonds payable  $39,870

               ($717,668/18 months)    

         Interest expense                 $135,130  

         Cash ($5,000,000 × 7%)/2                    $175,000

Working:

Bond = 9 year

Interest payments = yearly 2

So, the premium on bonds amortized over (9 × 2) = 18 months

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entry into the tourism market is open, so new destinations have a chance at gaining a market. group of answer choices true false

Answers

Because the tourism market is open, new destinations have a chance to gain a market share. Thus, the correct answer is true.

What are the types of markets in tourism?

In economics, a market is a collection of systems, institutions, processes, social interactions, or infrastructures through which parties participate in trade. While parties can trade products and services through barter, most marketplaces rely on sellers selling their goods or services to purchasers in exchange for money. The structure that exists in each tourist market is determined by a number of interconnected factors.

There are four primary types of market structure:

• monopoly;

• monopolistic competition

• oligopoly

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discuss with the accounts payable supervisor whether any amounts included on the accounts payable list are due to related parties, debit balances, or notes payable.

Answers

A company's current responsibility for goods or services it purchased from suppliers on credit is known as accounts payable (AP). AP is a department and a job as well.

Which activity causes the accounts payable to increase?

In essence, an outstanding bill causes the accounts payable to grow, but paying the debt causes the accounts payable to decrease. You can improve the health of your cash flow by extending the time period for paying your bills.

What does it signify when there is just one ruled line beneath a column of figures?

You will be adding or subtracting the numbers above according to the single rule drawn under a column. "Drawing a double line" is the Double Rule. The amounts above are totals that are equal and there are no additional entries because of a double rule.

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home security systems is analyzing the purchase of manufacturing equipment that will cost $90,000. the annual cash inflows for the next three years will be:

Answers

The rate of return that the project generates is referred to as the IRR, or internal rate of return.Equations are used to calculate the NPV to zero.Projects with an IRR greater than the cost of capital should be accepted, according to the IRR decision rule.

The NPV, or Net Present Value, is null at IRR.

Therefore, to obtain the IRR, let us determine the NPV at various rates of return.

A metric used in financial analysis to estimate the profitability of potential investments is the internal rate of return (IRR).In a discounted cash flow analysis, the IRR is a discount rate that sets the net present value (NPV) of all cash flows at zero.The NPV and IRR calculations use the same formula.

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walnut company has sales of $1,000,000 and total expenses of $900,000. if operating assets are $500,000, the return on investment is:

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If Walnut company has sales of $1,000,000 and total expenses of $900,000. if operating assets are $500,000, the return on investment is 100,000$.

Investment? Why do you say that?

An investment is something that is purchased with the goal of earning money or gaining fame. An investment in the future of the economy refers to the acquisition of goods that will not be used right away but instead be used to generate wealth in the future.

What kind of investment would this be?

Any strategy that generates prospective future income can be referred to as an investment. Purchasing securities like bonds, stocks, or real estate is one example of this. You can purchase a property that can be used to produce goods and think of it as an investment.

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If you were to invest $100,000 at a guaranteed fixed rate of 6% apr, compounded monthly, how much would your investment be worth at the end of 10 years?

Answers

If you were to invest $100,000 at a fixed rate of 6% APR, compounded monthly, at the end of ten years, the investment would be worth $105114.013.

Compound interest is how I acquire it.

Compound interest is the term used to describe interest that is earned on interest. This may be shown using simple math: if you have $100 and it earns 5% interest every year, you will have $105 at the end of the first year. At the end of the second year, you'll have $110.25.

After multiplying the initial principle by these two factors, the yearly interest rate is raised to the number of compound periods minus one. The resulting value is then deducted from the total initial loan amount.

Amount= P X [tex](1 + r)^{n}[/tex]

Where,

P= $100,000

r= 6/12% = 1/200

n= 10 years

Putting values in the formula

Amount= $100,000 X [tex](1 + \frac{1}{200} )^{10}[/tex]

A = $1,00,000 X [tex](1 + \frac{201}{200} )^{10}[/tex]

A = $105114.013

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question 10 as a project manager, you’re prioritizing stakeholders using a power grid. one stakeholder has high power and high interest. what level of engagement should the team have with the stakeholder

Answers

The level of management that the team should have with the project manager is c) manage closely.

Such stakeholders who are having high power should be managed closely as they can benefit the project in more than one way. When a business form is such that it prioritizes the stakeholders, then in such circumstances the project managers have the responsibility to deal closely with the stakeholder that has high power and high interest.

A stakeholder will be responsible for buying out many parts of the business or will make a valuable investment in it. Such a stakeholder that has high power should be managed closely.

Although a part of your question is missing, you might be referring to this question:

As a project manager, you’re prioritizing stakeholders using a power grid. one stakeholder has high power and high interest. what level of engagement should the team have with the stakeholder

a) show consideration

b) monitor

c) manage closely

d) meet the needs

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Which of the following statements is false regarding multiple acquisitions of a subsidiary's existing common stock?
A) The parent recognizes a larger percent of subsidiary income.
B) A step acquisition resulting in control may result in a parent recognizing a gain on revaluation.
C) The book value of the subsidiary will increase.
D) The parent's percent ownership in subsidiary will increase.
E) Noncontrolling interest in subsidiary's net income will decrease.

Answers

Any company's book value does not rise as a result of acquisitions. Only the company's operations can change book value. Fair value is impacted by acquisitions and mergers.

Hence, option (c) is false.

A company's book value is the net difference between its total assets and total liabilities, where book value reflects the total value of a company's assets that shareholders would receive if the company was liquidated.

They now possess a sizable portion of common stock as a result of numerous acquisitions, and as a result, receive a sizable portion of the subsidiary's income. Hence, option (a) is true.

After one purchase, the fair value of a subsidiary's shares often decreases. The parent will profit from the revaluation if they buy the remaining shares for less. Hence, option (b) is true.

More shares are obtained as a result of multiple acquisitions, increasing the percentage of ownership. Hence, option (d) is true.

Because the parent owns the majority of the shares, they have even fewer stakes in the subsidiary, and income is distributed proportionally to the stock held. Hence, option (e) is true.

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By law, how often must each of the three credit bureaus provide you with a free credit report?.

Answers

Under FACTA, consumers are entitled to one free credit report every 12 months from each of the three credit bureaus (Equifax, TransUnion, and Experian). Reviewing these reports allows you to correct any errors in your credit history and protect your credit identity.

The FACTA acronym means what?

The FACTA (Fair and Accurate Credit Transactions Act) was added to the FCRA (Fair Credit Reporting Act) in order to primarily protect customers against identity theft. The Act establishes standards for the confidentiality, integrity, and destruction of information as well as placing restrictions on the sharing of consumer data.

FACTA disclosure definition?

One free credit report per person per year is made available under FACTA. From Equifax, TransUnion, and Experian, they can request credit reports. Furthermore, it mandates that mortgage lenders reveal the data on consumer credit scores that they have used to set mortgage loan terms or rejections.

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Before you confirm the backpack shape selection, let's make sure you're reading the backpack shape information properly. Which of the four shapes has the highest PRODUCTION COST?
Teardrop Rucksack
Rounded Top
Square
Large Rectangular

Answers

Teardrop Rucksack has the highest production cost.

Production fees refer to all of the direct and oblique fees businesses face from production a product or offering a carrier. Manufacturing expenses can consist of a selection of costs, including exertions, raw substances, consumable manufacturing materials, and general overhead.

It includes 3 most important costs: uncooked substances, direct labor, and overhead. Those charges can be fixed (maximum overhead) or variable (uncooked substances and hard work). The whole product value formula is general Product price = fee of raw substances + price of Direct exertions + price of Overhead.

Blanketed inside the production fee are (1) the fee of uncooked materials, (2) the fee of direct labor, and (3) the cost of overhead. Raw substances and hard work costs are frequently variable, even as the overhead expenses are in the main fixed.

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for every happy customer who shares their satisfaction regarding a particular product or service with another person, a dissatisfied customer is likely to share his/her dissatisfaction with other people

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for every happy customer who shares their satisfaction regarding a particular product or service with another person, a dissatisfied customer is likely to share his/her dissatisfaction with eight other people .

What Exactly Is a customer ?

One who purchases goods or services from another company is referred to as a customer. Customers are critical to a company's success because they provide income; without them, the company would have to close its doors.

The recipient of an item, service, product, or idea gained from a seller, vendor, or supplier through a financial transaction or exchange for money or another valuable consideration is known as a customer in sales, commerce, and economics (also known as a client, buyer, or purchaser).

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Batching economies or cycle stocks usually arise from three sources. Which of these is not a source?
a. procurement b. transportation
c. production
d. demand

Answers

Procurement s not a source. Economic batch size (economic order quantity) is a supply chain inventory management method. It assumes a fixed quantity of each product order.

The amount of which is determined by the price, the characteristics of Procurement, the cost of inventory maintenance, and the cost of re-ordering. There are two methods for batching: volume batching and weight batching. To obtain a high-quality concrete mix, Economic batching is required. Raw materials (any supplies used to produce finished goods), work-in-progress (WIP), and finished goods (those ready for sale) are the three general categories of inventory. In this article, we'll look at the three most common inventory management strategies.

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how does it make you feel that all of the chemicals listed by the businessman at the meeting get pumped into groundwater supplies?

Answers

Typically, they fall between 12 and 25 percent. It is important to carefully carry out due diligence to confirm ownership before negotiating royalty payments for privately owned land.

What are groundwater supplies?

Human activity almost invariably results in groundwater contamination. Groundwater is particularly at risk in locations with a high population density and extensive human usage of the land. Virtually any action whereby chemicals or wastes may be discharged to the environment, either purposefully or accidentally, has \sthe potential to harm ground water. Cleaning up contaminated groundwater is challenging and expensive. Through rock cracks, pollutants and groundwater can migrate quickly. Because the fissures in fractured rock are typically randomly distributed and do not follow the contours of the land surface or the hydraulic gradient, this offers a special challenge in locating and controlling contaminants.

Additionally, contaminants may enter the groundwater system through macropores such as root networks, animal burrows,abandoned wells and other networks of contaminant-supplying fractures and holes. Ground water may be contaminated by a variety of microbes and thousands of manmade compounds. Hepatitis, cholera, and giardiasis can all be contracted by drinking water that contains germs and viruses.

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what are some financing options for developers who do not have permanent financing committed before construction begins?

Answers

The developer might use his personal money or the money of his company to supply the necessary equity. Some funding options for developers include a combination of these three approaches.

What do you mean by financing?

Finance is the process of creating funds or cash for any kind of spending. It involves allocating various financial resources, including as credit, loans, and cost of equity, to the areas of the economy that may benefit from them most.

Why is financing so important?

Financing is essential to strengthening company finances since it allows companies to take chances and grow. Businesses used to be able to operate as they wished without receiving any financial help.

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an employer offers his or her employee the option of shifting x units of income from next year to this year. that is, the option is to reduce income next year by x units and increase income this year by x units. (a) would the employee

Answers

Consumers would, in fact, choose to transfer their revenue from the following year to the present. This is because, as a result of discounting, cash on hand right now is more valuable than cash accessible tomorrow. The consumer is also a net borrower, which means that he is already consuming more than his current consumption, and additional income this year will enable him to pay off some of his debt.

Financial assets and liabilities, including loans, shares, investment funds, and pension funds, are displayed in the Financial Account. The net lending or net borrowing is the difference between the entire rise in assets and the total increase in liabilities, which represents the overall change in the account.

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dr ford frequently points out that companies are looking to hire graduates with creativity and entrepreneual thinking skills. which of the following approaches to maanging creativity do statements like this reflect?

Answers

Novelty to success approaches to managing creativity reflect this.

It is at least as difficult to describe novelty, newness, or innovativeness as it is to define the term project itself. These terms are frequently used as synonyms. It is impossible to describe novelty in purely objective terms. As a result, several "perspectives" are taken into account.

But even one viewpoint—that of a company working on a project—cannot be regarded as uniform. Instead, novelty is a subjective phenomenon since it is imagined. The notion originates from the fantasies of a group of linked individuals who contribute to a project, excluding one-person initiatives.

This group of people needs to be identified because the definition of the project includes the separation of project activities from other activities. We cannot discuss an objectified notion of novelty unless all of these people's perceptions are the same.

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[roommate troubles] dexter, bernard, and garren were roommates who do not get along and decide to go their separate ways when their lease expires on may 31. dexter owes bernard $500 and signs a promissory note that he will pay bernard $500 by july 1. bernard, who owes garren money, endorses the back of the note and writes "pay to the order of garren" on the back and gives the note to garren. on july 2, garren tells dexter that bernard signed the promissory note to him, so dexter should just pay garren the $500. dexter refuses to pay garren anything. garren then tells bernard that dexter dishonored the note and sues bernard for the value of the note. who is primarily liable on the promissory note and who is secondarily liable?

Answers

Yes, he can file a lawsuit against Dexter, who is principally responsible for the note.

What is promissory note?

A promissory note, also known as a note payable, is a legal document in which one party agrees in writing to pay another party a certain amount of money on demand or at a specific future time, subject to certain terms and conditions.

You should think about having one if you're borrowing or lending money. You can write one as either the borrower or the lender.

All Promissory Notes are only valid for three years beginning with the date of execution, beyond which time they become void. There is no upper limit on the total sum that may be lent or borrowed.

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raine owns 1,600 shares of lp gas stock which she purchased six years ago at a price of $18 per share. today, these shares are selling for $26 each. assume a tax rate of 20 percent applies to both dividend income and capital gains received by individuals. ignore costs. given this hypothetical assumption, from raine’s point of view a stock repurchase today would: multiple choice be equivalent to a cash dividend. be more desirable than a cash dividend in respect to taxes. result in the same tax liability as an equivalent cash dividend. be more highly taxed than a cash dividend. be totally unacceptable to her.

Answers

From the following condition, the hypothetical assumption, from Raine’s point of view a stock repurchase today would be more desirable than a cash dividend in respect to taxes. The correct option is (B).

What do you mean by the stock repurchase?

A firm may repurchase its own shares from the market in a process known as a share repurchase. Because management believes the shares are undervalued, a corporation might repurchase its shares.

A company's stock price rises following a stock repurchase. This is true since there are now fewer shares available, which raises the price. Along with this, there may be stable or rising demand for the shares, which pushes the price higher.

Each share of stock represents a portion of a corporation, therefore as more shareholders remain, their ownership percentage of the company grows.

Therefore, from the following condition, the hypothetical assumption, from Raine’s point of view a stock repurchase today would be more desirable than a cash dividend in respect to taxes.

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Which of these measures would an economist use to compare gdp from various time periods, and why?.

Answers

Since GDP is expressed in a country's currency, we must convert it to a common currency in order to compare the GDPs of several nations.

Briefing:-

The price of one currency relative to another is known as the exchange rate, and it can be used to compare the GDPs of various nations. GDP is calculated by dividing it by the population.

Which sort of GDP is ideal to compare and measure across nations?

A useful metric for comparing a nation's economic production relative to its citizens is GDP per capita. It divides the economic output of a nation by its population. Any country can be compared to another using GDP per capita.

Which GDP measure—nominal or real—is preferable for comparing GDP over time and why?

Because it takes inflation into account, real GDP is frequently preferred over nominal GDP. As a result, if the nominal GDP increased by 4% in a given year but the inflation rate was 5%, the GDP actually decreased by 1% in real terms (constant-dollar terms).

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brenda's company recently lowered the cost of their footwear line and suddenly the demand for products increased dramatically. in this situation, demand would be considere

Answers

Brenda's company recently lowered the cost of their footwear line and suddenly the demand for products increased dramatically. in this situation, Demand would be considered high due to the customer's needs.

What is the Demand?

The quantity of a good that buyers are willing and able to buy at different prices during a specific time is known as demand in economics. The demand curve is another name for the relationship between price and the amount of demand.

Demand is the user's intention to buy a specific product or service. The desire for a specific good on the market is known as market demand. The overall demand for products and services there in the economy is known as aggregate demand. The price of an item or service is determined by how well supply and demand match. recognizing the idea of demand.

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find the future value of an annuity due of $9,000 paid at the beginning of each 6-month period for 9 years if the interest rate is 4%, compounded semiannually. (round your answer to the nearest cent.)

Answers

$240,041.06 is the future value of an annuity due of $9,000 paid at the beginning of each 6-month period for 9 years if the interest rate is 4%, compounded semi-annually.

How to calculate future value of an annuity?

The current value of the annuity payable can be multiplied by (1 + r) n in the first alternative, where FV = PV (1 + r) n. The calculation is (1 + r) * P 1 - (1 + r) - n / r to determine the current value of the annuity payable. The second approach involves comparing the cash flows of an annuity due and a regular annuity.

A series of payments paid at regular intervals is known as an annuity. Regular savings account deposits, mortgage payments, insurance premiums, and pension payments are all examples of annuities.

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The annual average percentage change in Real GDP is 2.3 percent, and the annual average percentage change in velocity is 1.1 percent. Using the monetary rule discussed in the text, what percentage change in the money supply will keep prices stable (on average)?

Answers

Prices will remain constant if the money supply changes by 1.2%.

What factors will cause the price to remain constant?

As is well known, the percentage change in velocity is inversely correlated with the percentage change in the money supply. It indicates that as velocity increases, the money supply decreases, and conversely, as velocity decreases, the money supply increases. It demonstrates that each take different paths.

Step-By-Step formula to find change in money supply:

Percentage change in money supply=

Percentage change in the quantity−Percentage change in velocity

Percentage change in the quantity is 2.3

Percentage change in velocity is 1.1

Percentage change in money supply is 2.3−1.1

Percentage change in money supply is 1.2

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many companies manage in an effort to gain favorable publicity for themselves and their products.

Answers

Many companies manage public relations in an effort to gain favorable publicity for themselves and their products.

Public members of the family (PR) is the exercise of managing and disseminating records from an character or an corporation (which includes a business, authorities employer, or a nonprofit organization) to the general public in order to influence their perception. Public relations and publicity fluctuate in that PR is managed internally, while exposure isn't always managed and contributed by using external events.

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hardware is adding a new product line that will require an investment of . managers estimate that this investment will have a​ 10-year life and generate net cash inflows of the first​ year, the second​ year, and each year thereafter for eight years. assume the project has no residual value. compute the arr for the investment

Answers

If West Hill Hardware is adding a new product line that will require an investment of $1,500,000. the payback period is: 5.56 years.

How to find the payback period?

Amount after 5 years =$1,360,000

Total amount  left=  $1,500,000 - $1,360,000

Total amount left = $140,000

Now let find the payback period

Payback period = 5 years + (140,000 /250,000)

Payback period  = 5 years + 0.56

Payback period = 5.56 years

Therefore the payback period is 5.56 years.

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The complete question is:

West Hill Hardware is adding a new product line that will require an investment of $1,500,000.

Managers estimate that this investment will have a 10-year life and generate net cash inflows of $310,000 the first year, $300,000 the second year, and $250,000 each year thereafter for eight years.

The investment has no residual value.

Compute the payback period.

Lynn has an equity portfolio valued at $15 million that has a beta of 1.30. She has decided to hedge this portfolio using SPX call option contracts. The S&P 500 index is currently 1,602. The option delta is.53. How many option contracts must Lynn write to effectively hedge her portfolio?

Answers

Lynn has an equity portfolio valued at $15 million that has a beta of 1.30. She has decided to hedge this portfolio using SPX call option contracts.

The term “portfolio” refers to any mixture of monetary belongings including shares, bonds and cash. Portfolios may be held through character buyers or managed by way of monetary specialists, hedge finances, banks and different monetary institutions. it is a normally conventional principle that a portfolio is designed in step with the investor's hazard tolerance, time body and investment goals. The economic cost of every asset can also affect the risk/praise ratio of the portfolio. when figuring out asset allocation, the intention is to maximize the expected return and minimise the threat.

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