WGU manufacturing receives an order for 2000 laptops. Karl, the production planner, realizes the company has no planned orders and has 1500 laptops on-hand. However, Karl has to keep a minimum of 1000 laptops on-hand at all times. Based on this information, what will the MPS reflect for the number of laptops to be produced?

Answers

Answer 1

Answer:

500

Explanation:

The computation of the MPS reflect for the number of laptops to be produced is shown below:

since it is mentioned in the question that there is a minimum of 1,000 laptop is on hand so here 500 should from inventory.

Therefore 500 should be produced for filling the order

Hence, the same is to be considered

Therefore the  number of laptops to be produced is 500


Related Questions

Suppose a popular band decides to hold a free concert in its hometown. Admission is available on a first-come, first-served basis. This concert is an example of: multiple choice an artificially scarce good. a public good. a common resource. a private good.

Answers

Answer:

None but a rival goods.

Explanation:

Public goods means a product that cannot reduce the consumption of one person due to the consumption of other person. Providing a free concert is necessarily excludable because it is possible to charge entrance. Only a limited person can attend the concert, so it is a rival goods. The free concert is not a public goods none common resources and private goods

The town of Smallsville is considering building a museum. The interest on the money Smallsville will have to borrow to build the museum will be $1,000 per year. Each citizen's marginal benefit from the museum is shown in the following table, and this marginal benefit schedule is public information.
Citizen Marginal benefit from museum ($/year)
Anita…………………………. 340
Brandon…………………………. 290
Carlena…………………………. 240
Dallas…………………………. 190
Eloise…………………………. 140
a. Assuming each citizen voted his or her private interests, would a referendum to build the museum and raise each citizen's annual taxes by $200 pass?
b. A citizen proposes that the city let a private company build the museum and charge the citizens a lump-sum fee each year to view it as much as they like. Only citizens who paid the fee would be allowed to view the museum. If the private company were allowed to set a single fee, would any company offer to build the museum?
c. A second citizen proposes allowing the private company to charge different prices to different citizens and auctioning the right to build the museum to the highest bidding company. Again, only the citizens who pay the fee may view the museum. What is the highest bid a private company would make to supply the museum to Smallsville?

Answers

Answer: See explanation

Explanation:

a. This has been solved and attached.

Note that the net benefits was calculated as:

= Marginal benefit - $200

b. Looking at the table and information provided in the attachment, we would see that no company offer to build the museum because since their cost of $1000 can't be covered by the revenue generated. The highest revenue gotten for the single price monopolist is $760 and this can't even cover their cost.

c. Based on the scenario given in (c), the highest revenue the price discriminating monopolist would make is $1200 and coupled with the fact that the cost is $1000, the maximum bid that a private company would make to supply the museum to Smallsville is $200 ($1200 - $1000)

a. Assuming that each citizen voted their private interests, a referendum to build the museum and raise each citizen's annual taxes by $200 would pass because 3/5 (60%) of the citizens would vote in favor.  They derive more marginal benefit than the head tax increase from the museum project.

b. No company would likely offer to build the museum based on a single lump-sum fee because the marginal benefits derived by the five citizens are not equal nor more than $200 each.  If the private company charges above $140, not all the citizens would be willing to pay.

c. The highest bid a private company would make to supply the museum to Smallsville is $100,000.  This cost is based on a 10% annual interest ($1,000/10% x 10 years) for ten years.

Thus, given the facts of the case, it would be more beneficial for the town of Smallsville to borrow $100,000 to build the museum and raise the annual tax by $200 to enable the citizens to enjoy the services of the museum while the town recovers the investment costs plus interests on the borrowed funds over time.

Data and Calculations:

Cost of Annual Interest Expense = $1,000

Citizens     Marginal        Net                           Accumulated

                   Benefit     Benefit                         Net Benefit

Anita           $340       $140 ($340 - $200)      $140 ($0 + $140)

Brandon     $290        $90 ($290 - $200)     $230 ($140 + $90)

Carlena      $240        $40 ($240 - $200)      $270 ($230 + $40)

Dallas         $190        ($10) ($190 - $200)      $260 ($270 - $10)

Eloise         $140       ($60) ($140 - $200)      $200 ($260 - $60)

Total       $1,200

Learn more about investing in capital projects here: https://brainly.com/question/7442083

The Fed is the most independent of all U.S. government agencies. What is the main difference between it and the other government agencies that explains the Fed’s greater independence?

Answers

Answer:

The Fed is more independent because of its substantial revenue from securities and discount loans. Independence allows it to control its own budget.

Explanation:

This has always been one unique privilege the Fed (or The Federal Reserve System) has. The Federal Reserve System is the central bank of the United States, and so it regulates and controls the financial activities of the country.

Unlike other agencies that often require/depend on the nation's official budget before they can fully function, the Fed has the ability not only to control its own budget but to create money for nationwide circulation to other agencies.

Floyd Industries stock has a beta of 1.20. The company just paid a dividend of $.50, and the dividends are expected to grow at 6 percent per year. The expected return on the market is 11 percent, and Treasury bills are yielding 5.9 percent. The most recent stock price for the company is $76.

Required:
a. Calculate the cost of equity using the DDM method.
b. Calculate the cost of equity using the SML method.

Answers

Answer:

a.

r = 0.06697 or 6.697% rounded off to 6.70%

b.

r = 0.1202 or 12.02%

Explanation:

a.

Using the constant growth model of dividend discount model, we can calculate the price of the stock today. The DDM values a stock based on the present value of the expected future dividends from the stock. The formula for price today under this model is,

P0 = D0 * (1+g) / (r - g)

Where,

D0 * (1+g) is dividend expected for the next period /year g is the growth rate r is the required rate of return or cost of equity

Plugging in the values for P0, D0 and g in the formula, we can calculate the value of r to be,

76 = 0.5 * (1+0.06) / (r - 0.06)

76 * (r - 0.06) = 0.53

76r - 4.56 = 0.53

76r = 0.53 + 4.56

r = 5.09 / 76

r = 0.06697 or 6.697% rounded off to 6.70%

.

Using the CAPM, we can calculate the required/expected rate of return on a stock. This is the minimum return required by the investors to invest in a stock based on its systematic risk, the market's risk premium and the risk free rate.  

The formula for required rate of return under CAPM is,

r = rRF + Beta * (rM - rRF)

Where,

rRF is the risk free rate

rM is the market return

r = 0.059 + 1.2 * (0.11 - 0.059)

r = 0.1202 or 12.02%

Assuming a taxpayer has no other gains or losses for the year, a loss from the theft of a Section 1231 asset is treated as a capital loss.A. True B. False

Answers

Thanks for points.✌️✌️✌️

Many U.S. firms prefer to sell in Canada, England, and Australia-rather than in larger markets such as Germany and France-because they feel more comfortable with the languages, laws, and culture, which reflect the ________ between these countries and the United States.

a. self-serving bias
b. coincident development
c. psychic proximity
d. cognitive dissonance
e. backward invention

Answers

Answer: psychic proximity

Explanation:

The above scenario in the question reflects the psychic proximity between the countries and the United States.

In international business, psychic proximity simply has to do with the national differences between countries which influences a country's perception towards another country.

Therefore, the correct option is C.

A market that has a single supplier of a product with no close substitutes and barriers to entry is:________

a. an oligopoly.
b. monopolistically competitive.
c. a pure monopoly.

Answers

Answer:

c. a pure monopoly.

Explanation:

A monopoly is a market structure which is typically characterized by a single-seller who sells a unique product in the market by dominance. This ultimately implies that, it is a market structure wherein the seller has no competitor because he is solely responsible for the sale of unique products without close substitutes. Any individual that deals with the sales of unique products in a monopolistic market is generally referred to as a monopolist.

For example, a public power company is an example of a monopoly because they serve as the only source of power utility provider to the general public in a society.

Additionally, a public power company refers to a company that provides power (electricity) utility to the general public of a society.

Hence, a market that has a single supplier of a product with no close substitutes and barriers to entry is a pure monopoly.

Sheridan Company reports the following information (in millions) during a recent year: net sales, $17,371.2; net earnings, $481.6; total assets, ending, $6,899.2; and total assets, beginning, $6,806.4. Calculate the (1) return on assets, (2) asset turnover, and (3) profit margin ratios. (Round answers to 1 decimal place, e.g. 15.2% or 15.1.)

Answers

Answer and Explanation:

The computation is shown below:

As we know that

1. Return on assets is

= Net income ÷ avg total assets

where,

Avg total assets is

= (opening total assets + closing total assets) ÷ 2

= ($6,806.4 + $6,899.2) ÷ 2

= $6,852.8

Now return on asset is

= $481.6 ÷ $6,852.8

= 7.0%

2.  Assets turnover ratio = net sales ÷ avg total assets

= $17,371.2 ÷ $6,852.8

= 2.5 times

3.  Profit margin = net income ÷net sales

= $481.6 ÷ $17,371.2

= 2.8%

The Option Clearing Corporation is owned by _________. the exchanges on which stock options are traded the Federal Deposit Insurance Corporation the Federal Reserve System major U.S. banks

Answers

Answer:

the exchanges on which stock options are traded

Explanation:

The Option Clearing Corporation is a clearing house based in the United States and they provide settlement, clearing, and central counterparty services.

They deal in options such as options, futures, and security lending.

The OCC is owned by the exchange on which they are traded such as Intercontinental Exchange's NYSE ARCA, NYSE MKT, Nasdaq and Cboe Global Markets.

Upon arrival at the international airport in the country of Canteberry, Charles Alt exchanged $200 of U.S. currency 1,000 florins, the local currency unit. Upon departure from Canteberry's international airport on completion of his business, he exchanged his remaining 100 florins into $15 of U.S. currency.

Required:
a. Determine the currency exchange rates for each of the cells in the following matrix for Charles Alt's business trip to Canteberry.
b. Discuss and illustrate whether the U.S. dollar strengthened or weakened relative to the florin during Charles's stay in Canteberry.
c. Did Charles experience a foreign currency transaction gain or a loss on the 100 florins he held during his visit to Canteberry and converted to U.S. dollars at the departure date? Explain your answer.


Arrival Date Departure Rate
Direct exchange rate
Indirect exchange rate

Answers

Answer:

Explanation:

Here's the answer!! Hope this helped...

a. Exchange rate for buying florins = 5 florins per U.S. dollar and Exchange rate for selling florins = 0.15 U.S. dollars per florin

b. At the beginning of his trip, the exchange rate for buying florins was 5 florins per U.S. dollar. At the end of his trip, the exchange rate for selling florins was 0.15 U.S. dollars per florin.

c. Charles experienced a foreign currency transaction loss on the 100 florins he held during his visit to Canteberry and converted to U.S. dollars at the departure date.

a. To determine the currency exchange rates for each of the cells in the matrix, we can use the given information:

1. Charles exchanged $200 into 1,000 florins at the beginning of his trip.

Exchange rate for buying florins = Amount in local currency / Amount in U.S. dollars

Exchange rate for buying florins = 1000 florins / $200

Exchange rate for buying florins = 5 florins per U.S. dollar

2. Charles exchanged his remaining 100 florins into $15 at the end of his trip.

Exchange rate for selling florins = Amount in U.S. dollars / Amount in local currency

Exchange rate for selling florins = $15 / 100 florins

Exchange rate for selling florins = 0.15 U.S. dollars per florin

The completed matrix would be:

|    -     | U.S. Dollars ($) | Florins |

| Buying  |        1        |   5    |

| Selling |       0.15      |   1    |

b. To discuss whether the U.S. dollar strengthened or weakened relative to the florin during Charles's stay in Canteberry, we compare the exchange rates at the beginning and end of his trip.

If the exchange rate for buying florins (5 florins per U.S. dollar) is higher than the exchange rate for selling florins (0.15 U.S. dollars per florin), it means that the U.S. dollar strengthened relative to the florin during Charles's stay in Canteberry. In other words, Charles could get more florins for each U.S. dollar at the beginning of his trip than he could get U.S. dollars for each florin at the end of his trip.

c. This is because the exchange rate for selling florins (0.15 U.S. dollars per florin) was lower than the exchange rate for buying florins (5 florins per U.S. dollar).

When Charles initially exchanged $200 into 1,000 florins, he got 5 florins per U.S. dollar. However, when he exchanged his remaining 100 florins back into U.S. dollars at the end of his trip, he got only 0.15 U.S. dollars per florin.

To illustrate the transaction:

Initial exchange:

$200 --> 5 florins per U.S. dollar --> 5 florins * 200 = 1,000 florins

Exchange at departure:

100 florins --> 0.15 U.S. dollars per florin --> 100 florins * 0.15 = $15

Charles initially got $200 worth of florins (1,000 florins), but when he converted the remaining 100 florins back into U.S. dollars, he received only $15. This difference of $200 - $15 = $185 represents a foreign currency transaction loss during his trip.

To know more about  Exchange rate:

https://brainly.com/question/15968782

#SPJ2

which value of a makes this investor indifferent between the risky portfolio and the risk-free asset

Answers

Answer: 8

Explanation:

Expressing the value of A that would equate the risk-free rate to the risky portfolio is;

0.06 = 0.15 − A/2(0.15)²

0.06 - 0.15 = -0.01125‬ * A

A = (0.06 - 0.15) / -0.01125‬

A = 8

With A being 8, the investor would be indifferent between the risk free asset and the risky portfolio according to their utility function.

g An equity issue sold to the firm's existing stockholders is called a Group of answer choices private placement Rights offer general cash offer discriminatory-price auction

Answers

Answer:

rights offer.

Explanation:

.

rights offer in equity can be regarded as invitation given to shareholders that are still existing in the firm so that they can purchase new shares, which is additional shares in the firm at a specific price which is usually at a particular time usually like 16 to 30 days. It should be noted that An equity issue sold to the firm's existing stockholders is called a rights offer

Ahngram Corp. has 1,000 defective units of a product that cost $3.30 per unit in direct costs and $6.80 per unit in indirect cost when produced last year. The units can be sold as scrap for $4.30 per unit or reworked at an additional cost of $2.80 and sold at full price of $12.90. The incremental net income (loss) from the choice of reworking the units would be:________

a. $2,800.
b. $4,300.
c. $10,100.
d. ($2,800).
e. $0.

Answers

Answer:

If the units are reworked, income will increase by $5,800.

Explanation:

Giving the following information:

Number of units= 1,000

Sell as-is= $4.3

Rework cost= $2.8

Selling price= $12.9

Because the original cost will remain constant in both options, we will not take them into account.

Sell as-is:

Effect on income= 1,000*4.3= $4,300

Rework:

Effect on income= 1,000*(12.9 - 2.8)

Effect on income= $10,100

If the units are reworked, income will increase by $5,800.

Kyle actively participates in the rental of a home he owns. Kyle's AGI for the year is $75,000. He has a loss from his rental property of $20,000. How much of the loss can Kyle deduct on his income tax return this year

Answers

Answer:

Kyle can deduct $20,000 loss from his income tax return this year.

Explanation:

a) Data:

Kyle's AGI = $75,000

Rental property loss = $20,000

Maximum AGI for maximum loss deduction of $25,000 = $100,000

This is because Kyle's adjusted gross income (AGI) is less than $100,000.  The maximum loss deductible for rental income is $25,000.

b) The federal tax law allows for a rental income loss deduction to taxpayers who own and rent property in the U.S.   The law stipulates that up to $25,000 may be deducted as a real estate loss per year as long as the individual's adjusted gross income is $100,000 or less.

The Domestic Supply and Demand for SUVs in the United States. Suppose the world price equals $50,000 and there is free trade. The United States would _____ SUVs

Answers

Answer: export 6 million

Explanation:

The Export of the United sites, which is the export( movement) of goes and services to other countries either by cargo or air freight, and traded or sold.

Another example of export is America’s shipping Automobiles to other countries for sale. The sales of SUV’s in export would be 6 million. Another example of export is the United States exportation of soya beans.

A national bank that is part of a financial holding company or a bank holding company is mainly supervised by the:________

a. Office of the Comptroller of the Currency.
b. Federal Deposit Insurance Corporation.
c. National Credit Union Administration.
d. Federal Reserve.

Answers

Answer: d. Federal Reserve.

Explanation:

Normally National banks are supervised by the Office of the Comptroller of the Currency(OCC) but there are some types of banks that are supervised by the Federal Reserve.

If a bank is owned or part of a financial holding company or bank holding company, the Federal Reserve is in charge of supervising the bank to ensure that it is meeting the complex laws of US banking.

If the number of unemployed workers is 19 million, the number in the working-age population is 500 million, and the unemployment rate is 4%, what is the labor force participation rate?
A. 7.8%
B. 96.2%
C. 95%
D. 4.75%

Answers

Answer:

labor force participation rate= 96.2%

Explanation:

Giving the following information:

Unemployed people= 19 million

Labor force= 500 million

First, we need to calculate the employed people:

Employed population = 500 - 19= 481 million

Now, to calculate the labor force participation rate, we need to use the following formula:

labor force participation rate= (employed people/labor force)*100

labor force participation rate= (481/500)*100

labor force participation rate= 96.2%

Classify each of the following based on the macroeconomic definitions of saving and investment.

a. Megan purchases stock in Pherk, a pharmaceutical company.
b. Larry purchases a new condominium in Denver.
c. Janet purchases new ovens for her cupcake-baking business.
d. Felix purchases a corporate bond issued by a car company.

Answers

Answer:

A)savings

B) investment

C) investment

D)savings

Explanation:

In macroeconomics, Savings could be regarded as the amount that remains when the spending by consumer has been deducted from amount of disposable income that was earned by the consumer at that particular period.

Investment can be regarded as the amount of goods that are been accumulated which has not been consumed at that particular time.

From the question, The stock purchased by Megan in the question means that she has extral money which is savings to her. Government bonds purchase by Felix means he secured a savings.

Accounting profit is different than economic profit because economic profit is only important to economists and does not apply to the actual decision to launch a new business. accounting profit ignores the opportunity cost of launching a new business. economic profit is what is reported on your tax return. accounting profit includes all financial and opportunity costs of starting a business.

Answers

Answer:

accounting profit ignores the opportunity cost of launching a new business.

Explanation:

economic profit = accounting profit - opportunity costs

the easiest way to explain this concept is through an example:

you earn $60,000 per year by working at a bank

your friend wants to start a small accounting firm with you as his partner

each of you will invest $40,000 and the expected revenue is $150,000, expected costs are $30,000

your accounting profit = ($150,000 - $30,000) / 2 = $60,000

but your economic profit is negative:

opportunity cost of lost wages = $60,000opportunity cost of lost interests on your capital = $40,000 x 3% = $1,200

economic profit = $60,000 - ($60,000 + $1,200) = $60,000 - $61,200 = -$1,200

Suppose capital is readily substitutable for labor and that the price of capital falls. We can conclude that the :_______________a) output effect will tend to reduce the demand for labor.b) demand for labor will necessarily decline.c) substitution effect will tend to reduce the demand for labor.d) demand for labor will necessarily increase.

Answers

Answer:

Option C: substitution effect will tend to reduce the demand for labor

Explanation:

Capital is simply anything man made that is used in the production of goods and service. It is that which is used by man to start any business venture or produce goods and services e.g. money(currency),machinery, buildings, stock etc. Labor is mans effort put into work.

Since capital is readily substitutable for labor and when the price of capital falls. We can say that the substitution effect will tend to reduce the demand for labor. If also capital and labor are used in rigidly fixed proportions and the price of capital falls, it can be concluded the substitution and output effects will work.

Carly’s Clips charges for their grooming services based on the following:________.
Direct labor rate $ 62 per hour
Materials markup 30 %
Using time and materials pricing, what is the total price for a job requiring 3 direct labor hours and $54 of materials?

Answers

Answer: $256

Explanation:

Using time and materials pricing, the total price for a job requiring 3 direct labor hours and $54 of materials will be calculated as:

Materials = $54

Add: Materials markup = 30% × $54 = 0.3 × $54 = $16.2 = $16

Add: Labour = 3 × $62 = $186

Total price of job = $256

Suppose 17 pesos can be exchanged for $1. A Mexican businessman is interested in buying a home in Texas. If the price of the home in Texas is $200,000, how many Mexican pesos must he have to buy this home

Answers

Answer:

Total cost in pesos= $3,400,000

Explanation:

Giving the following information:

One dollar= $17 pesos

Total cost of the house= $200,000 dollars

To calculate the total cost in Mexican pesos, we need to multiply the exchange rate by the total cost in dollars.

Total cost in pesos= 200,000*17

Total cost in pesos= $3,400,000

Bigelow has a levered cost of equity of 14.29% and a pretax cost of debt of 7.23%. The required return on the assets is 11%. What is the firm's debt-equity ratio based on MM Proposition II with no taxes?

Answers

Answer:

0.873

Explanation:

Given that

Cost of equity, RS = 14.29% = 0.1429

Required return on assets = 11% = 0.11

Cost of debt = 7.23% = 0.0723

Then we can calculate the firm's debt equity ratio by using the relation

0.1429 = 0.11 + B/S(0.11 - 0.0723)

0.1429 = 0.11 + B/S(0.0377)

B/S(0.0377) = 0.1429 - 0.11

B/S(0.0377) = 0.0329

B/S = 0.0329 / 0.0377

B/S = 0.873

Therefore, the debt equity ratio is 0.873

Marin Company's accounts receivable arising from sales to customers amounted to $88000 and $77000 at the beginning and end of the year, respectively. Income reported on the income statement for the year was $334000. Exclusive of the effect of other adjustments, the cash flows from operating activities to be reported on the statement of cash flows is

Answers

Answer:

Marin Company

Exclusive of the effect of other adjustments, the cash flows from operating activities to be reported on the statement of cash flows is

$345,000

Explanation:

a) Data and Calculations:

Accounts Receivable (Beginning) $88,000

Accounts Receivable (Ending) $77,000

Increase in Cash received from customers = $11,000

b) Income reported on the income statement for the year = $334,000

Increase in Cash received from Customers =                               11,000

Cash flows from operating activities to be reported =           $345,000

c) The Accounts Receivable reduced from $88,000 to $77,000.  This implied that some customers settled their accounts.  Therefore, there was inflow of cash from customers.  This increases the cash flows from operating activities.  This is why the difference is added to the Income as per income statement as a change in working capital.

10. Do you think engaging in organic farming is an example of corporate citizenship? Why?

Answers

Answer:

The global population is growing rapidly causing a rise in demand for sustainable food production.

Explanation:

Dan signs a check payable to Eagle Investors, Inc., and gives it to Eagle, leaving the amount blank but authorizing Eagle to fill in the check for $1,000. Eagle fills in $1,500 and negotiates the check to First State Bank, to whom Eagle owes $1,500. First State, an HDC, can enforce the check for:

Answers

Answer:

$1,500

Explanation:

Based on the information given we were told that Eagle fills in the amount of $1,500 instead of the amount of $1,000 which Dan authorize Eagle to fill in which they went ahead to as well negotiates the check payable to First State Bank because Eagle owes First State Bank the amount of $1,500 which means that First State Bank which is an HDC, can enforce the check for the amount of $1,500 which was negotiated by Eagle to First State Bank.

Therefore First State, an HDC, can enforce the check for: $1,500

Economics..Match the following..

Answers

Answer:

1

4

2

5

3

Explanation:

A project has an initial cost of $2,400. The cash inflows are $0, $1,600, $1,100, and $700 over the next four years, respectively. What is the payback period?

Answers

Answer:

It will take 2.73 years to cover the initial investment.

Explanation:

The payback period is the time required to cover the initial investment:

Year 1= 0 - 2,400= -2,400

Year 2= 1,600 - 2,400= -800

Year 3= 1,100 - 800= $300

To be more accurate:

(800/1,100)= 0.73

It will take 2.73 years to cover the initial investment.

E-Eyes just issued some new preferred stock. The issue will pay an annual dividend of $27 in perpetuity, beginning 16 years from now. If the market requires a return of 4.1 percent on this investment, how much does a share of preferred stock cost today?

Answers

Answer:

$360.43

Explanation:

Calculation for how much does a share of preferred stock cost today

First step is for us to calculate the price of the stock in Year 15 which is a year before the first dividend payment.

P15= $27 / .041

P15= $658.54

Last step is to calculate for the price of the stock today

P0= $658.54/ (1+.041)^15

P0= $658.54/ (1.041)^15

P0=$360.43

Therefore the amount that a share of preferred stock cost today will be $360.43

Suppose Carla has $7000 to invest. Which investment yields the greater return over 4 years: 7% compounded quarterly or 6.85% compounded monthly

Answers

Answer:

The option with the quarterly compounding provides a higher future value.

Explanation:

Giving the following information:

Initial investment= $7,000

Number of years= 4 years

To calculate the future value, we need to use the following formula:

FV= PV*(1+i)^n

Quarterly compounding:

Interest rate (i)= 0.07/4= 0.0175

n= 4*4= 16

FV= 7,000*(1.0175^16)

FV= $9,239.51

Monthly compounding:

i= 0.0685/12= 0.00571

n= 4*12= 48

FV= 7,000*(1.00571^48)

FV= $9,200.07

The option with the quarterly compounding provides a higher future value.

Other Questions
how does paragraph 6 contribute to the development of ideas in THE TONYA HARDING AND NANCY KERRIGAN SCANDAL Which inequality is graphed on the coordinate plane? Which ordered pair is a solution of the equation? In the triangle above the value of x = _____ degrees (nearest whole number) 1. Evaluate 4x' + 7xy - 5y for x = 5, and y = 3. What causes fireworks I need help on These Ill give you brainliest who was susan B. Anthony can you help me with this.. The first ten amendments to the US Constitution are also known as theO Virginia Declaration of Rights.O Articles of Confederation.O Declaration of Independence.O Bill of Rights How might retaining too much heat be a disadvantage to an organism? Darius takes his family on an afternoon boat ride.Going through York Canal, he drives 5 miles in 15 minutes.Later on as he crosses Stover Lake, he drives 30 minutes at the same average speed.Which statement about the distances is true? Diego has $12 and begins saving $5 each week toward buying a new phone. At the same time that Diego begins saving, Lin has $84 and begins spending $3 per week on supplies for her art class. Is there a week when they have the same amount of money? How much do they have at that time? After_______weeks both Diego and Lin will have_____dollars What is a covalent bond? Transition metals often form ions with a charge of _____-a) +1b) -1)O c) +2d) -2e) They can form ions with all of the above charges. A small pool is being drained. There are 1,320 gallons of water remaining in the pool after 2 minutes and 1, 040 gallons after 9minutes. How long would it take for the pool to be completely drained? (1 point) Which of the following is true about third-person limited point of view? (5 points) a It uses the word I, and one character tells the story. b It uses the word you and makes the reader feel a part of the story. c The narrator is not part of the story and only states the characters' actions and speech. d The narrator is not part of the story but knows what one character is thinking and feeling. How did the passage of the bill of rights affect the colonies ,added photo? Describe the tone of the article and how the author's choice of words creates it. Cite at leasttwo specific words and phrases chosen by the author to support your answer. Help ? Change the following sentence into negative.1.He has a science fiction.2.Peter has a dog at home.3.Either Krishna or Mina will win the match.4.There are a lot of animals in the zoo.5. Lucky doesn't Elizabeth answers it.6. He used to sing 7. Drive quickly.8. He told a story and so did his mother.9. She has a lot of rice.