ashburn company issued 16-year bonds two years ago at a coupon rate of 8.5 percent. the bonds make semiannual payments. if these bonds currently sell for 109 percent of par value, what is the ytm?

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Answer 1

Ashburn company issued 16-year bonds two years ago at a coupon rate of 8.5 percent. the bonds make semiannual payments. the YTM is 7.44%

What is the YTM?

Generally, the given parameters are

Future value = 100

present value = 109

Coupon,= 0.085 * 100

Coupon,= 8.5

Maturity  14 years

Therefore

YTM = [C + (FV-PV)/n] / (FV+PV)/2

Where

Future value is FV

present value PV

[tex]YTM= [8.5 + (100 - 109)/14] / (100+109)/2[/tex]

YTM = 0.0744

In conclusion, the YTM is 7.44%

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Related Questions

which one of the following is not one of the master data that are relevant to the purchasing process? a. material master b. vendor master c. sales master d. purchasing info records e. conditions

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The correct options are e. Conditions are master data that are not relevant to the purchasing process.

The buyer typically prepares the specs for the purchasing after recognizing the demand for the product. The choosing or tendering procedure used in the market helps identify a suitable item and supplier. The conditions and terms of the transaction for the items being acquired are then negotiated by the buyer and seller. Once an agreement has been achieved, the buyer issues a contract, an accepted pro-forma invoice, or a purchasing order. The purchaser may compare this to a framework agreement that has already been negotiated with suppliers of their choice. The delivery schedule mentioned in the sales contract governs how the goods will be transported. Following delivery acceptance, the seller creates a business invoice for payment. In accordance with the contract, the purchaser processes the payment.

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can an inverted (i.e., downward sloping) yield curve occur with the three theories of the term structure of interest rates? (pure expectations theory, liquidity preference theory, and market segmentation theory.)

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None of the listed options for " can an inverted (i.e., downward sloping) yield curve occur with the three theories of the term structure of interest rates (pure expectations theory, liquidity preference theory, and market segmentation theory.)" are relevant hence the correct option is (d).

What is a yield curve?

A graphical representation of interest rates on debt for various maturities is called the yield curve. It shows the anticipated rate of return on an investor's investment for a given time frame. The yield of a bond is displayed on the graph's vertical axis, while its remaining maturity time is displayed across the graph's horizontal axis. The curve may change in shape depending on where the economic cycle is in, but it is typically upward sloping.

Since long-term returns are lower than short-term returns, the yield curve can serve as a leading economic indicator, particularly when it flips to an inverted shape, which denotes an economic slump.

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The complete question is mentioned below :

Can an inverted (i.e., downward sloping) yield curve occur with the three

theories of the term structure of interest rates? (Pure expectations theory,

liquidity preference theory, and market segmentation theory.)

a. Yes.

b. All except pure expectations.

c. All except liquidity preference.

d. None of the above

consider a restaurant with a capacity-constrained process. what will the impacts on the revenue be if processing time for the bottleneck resource is reduced by 10% while everything else remains the same?

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Consider a restaurant with a capacity-constrained process Higher revenue and profits will the impacts on the revenue be if processing time for the bottleneck resource.

What's a capacity constrained resource?

A capacity constraint resource( CCR) is the weakest link in a particular process. There are a number of coffers that can limit overall product capacity in a business setting, including workers, available inventories or outfit capabilities.

What's resource constrained?

Resource constraints do when design directors don't have enough coffers to meet the demands and outgrowth of a design. A design may face limited coffers in terms of mortal coffers, accoutrements , outfit, or finances.

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kelso electric is an all-equity firm with 55,250 shares of stock outstanding. the company is considering the issue of $375,000 in debt at an interest rate of 9 percent and using the proceeds to repurchase stock. under the new capital structure, there would be 34,500 shares of stock outstanding. ignore taxes. what is the break-even ebit between the two plans?

Answers

Break even EBIT between two plans  = $89864.46

What is EBIT?
EBIT (earnings before interest and taxes) is a measure of a company's profitability. EBIT is calculated as revenue less expenses minus tax and interest. Able to operate earnings, operating profit, and financial gains before interest and taxes are other terms for EBIT. EBIT is synonymous with operating income because it measures the profit generated by a company's operations. EBIT focuses exclusively on a company's ability to generate income from operations by ignoring variables such as tax burden and capital structure by ignoring taxes and interest expense. EBIT is a particularly useful metric for determining a company's capacity to generate enough earnings to be lucrative, pay down debt, and fund current operations.

All Equity firm
Earning per share (EPS) = EBIT ( 1- tax ) / number of shares outstanding
EPS = EBIT(1-0)/ 55250
EPS= EBIT/55250
Plan 2: Debt - Equity firm
EPS = (EBIT- Interest) (1-tax) / number of shares outstanding
EPS= (EBIT- 375000*9%)(1-0)/34500
EPS= (EBIT-33750)/34500

At break even level of EBIT
EBIT/55250 = (EBIT-33750)/34500
34500EBIT= 55250*EBIT-1864687500
1864687500= EBIT(55250-34500)
EBIT= 1864687500/20750= $89864.46
Break even EBIT between two plans  = $89864.46

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the combination of store design, layout, and product display knowledge to create store environments that help convince customers to buy is called . group of answer choices merchandisin

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The combination of store design, layout, and product display knowledge to create store environments that help convince customers to buy is called E-Commerce.

What is E-Commerce?

The action of electronically purchasing or reselling goods using online services via the Internet is known as e-commerce (or electronic commerce). Mobile commerce, electronic funds transfers, supply chain management, Internet marketing, online transaction processing, electronic data interchange (EDI), inventory management systems, and automated data gathering systems are just a few of the technologies that are used in e-commerce. The greatest sector of the electronics industry, e-commerce is fueled by the technological developments of the semiconductor sector

What are the types of e-commerce?

There are three main types of e-commerce:

business-to-business (B2B) (websites such as Shopify)business-to-consumer (B2C) (websites such as Amazon)consumer-to-consumer (C2C) (websites such as eBay)

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the change in total output resulting from a one-unit increase in the quantity of an input used, holding the quantities of all other inputs constant, is:

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marginal product is the  correct answer .

What is marginal product ?

This connection is calculated using the marginal product method by dividing the entire change in output by the total change in a certain input. In other words, when the total product curve is plotted with the specific kind of input on one axis and the amount of production on the other, MP is equal to the slope of the curve.

It's crucial to maintain all other inputs identical and just study one input at a time. Each input is segregated in this manner, allowing for adequate testing. Additionally, remember that MP is quantified in physical quantities. The concept of a fraction of an input does not exist.

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using the aggregate production function above, what would the employment level have to be in order to produce an output level of $12,300 billion real gdp?

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The employment level has to be in order to produce an output level of $12,300 billion real GDP would be 140 million.

What is GDP?

The phrase used to gauge a nation's economic standing is real GDP.

Real growth in the nation's output of goods and services is what determines the country's real GDP.

Rising employment levels result in rising real GDP numbers for the nation.

In addition to serving as a general indicator of economic success, GDP is frequently utilized in international comparisons. It is frequently referred to as the "most potent statistical measure of national development and progress in the world." Critics of the growth imperative, however, frequently assert that GDP statistics were never intended to assess progress and omit important additional externalities, such as resource extraction, environmental effect, and unpaid domestic work.

As is demonstrated, According to the graph, below

140 million people per year, or point C in the following graph, are needed to create an output level of $12,300 billion in real GDP. The criteria for the other three will not be met.

So, in order to create an output level of $12,300 billion real GDP, 140 million jobs are needed.

Hence,140 million is the answer.

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of the options below, select the one you think is the most frequent complaint interviewers have about their candidates for on-campus interviews each year? (opinion question) select an answer and submit. for keyboard navigation, use the up/down arrow keys to select an answer. a inappropriate attire b bad breath c poor company research d not enough time spent on practice interview questions.

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The most frequent complaint is of poor company research

Recruiters may write this as their most frequent criticism on assessment forms, where in the candidate needed to ask more questions about the position and the organisation. This means that the candidate didn't show that they knew enough about the job or the business to pose thoughtful inquiries. No website or job description can provide all the information one requires about a possible position or employer. One might find places to request more information by properly researching the organisation and reading the position posting.

This enables the candidate to show the employer that they are interested in the job/company enough to take the time to study it and that the candidate is aware of the specifics of how and why their skills are the ideal fit. Furthermore, by thoroughly understanding the job description and company information, one can avoid asking questions that they could have learned the answers to just by reading the job listings.

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if a farm has nfio of $100,000, and an opportunity cost total of $25,000, what is the farm's return to equity? (round to the nearest cent. do not include commas or dollar signs) selected answer: 75000 correct answer: 75,000 answer range /- 0 (75000 - 75000 )

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The return to equity is $75000

Another form of financial ratio is the return on equity. Financial ratios are data taken from a firm's financial statements and used to predict and draw specific conclusions about the organization.

Relative return on equity is a tool used to forecast a company's profitability. It evaluates how effectively people employed in any business have used the money that has been invested.

Since the farm has Nfio of $100,000 and an opportunity cost total of $25,000.

Therefore,

Return on equity -

Net Farm Income from Operations - Opportunity cost

= 1,00,000 - 25,000

= 75,000

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an agreement between a debtor and two or more creditors who agree to accept a stated percentage of their liquidated claims against the debtor at or after the due date, in full satisfaction of their claims is a(n):

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An agreement between a debtor and two or more creditors who agree to accept a stated percentage of their liquidated claims against the debtor at or after the due date, in full satisfaction of their claims is Composition Agreement.

An out-of-court arrangement known as a "composition agreement" allows a debtor and a number of creditors to reduce or postpone payment of the debtor's obligations to those creditors.

For debtors with a small number of creditors and good connections with them, a composition agreement may be a smart choice. Additionally, when a debtor's creditors have a stake in the debtor's continuous survival, it is far more probable that a composition agreement would be successfully negotiated.

A debtor with a sizable number of dispersed creditors who don't care about the business's continuing existence would probably have trouble negotiating a composition agreement.

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calculate total current manufacturing costs given the following: direct materials cost: $62,000 direct labor cost: $78,000 manufacturing overhead applied: $46,000 actual manufacturing overhead: $51,000 beginning work in process inventory: $32,000 ending work in process inventory: $35,000

Answers

The total current manufacturing cost is equal to $186000.

Manufacturing of products and goods involve different types of expenses. These expenses are to be calculated and paid by the manufacturing company in order to maintain the smooth functioning of the manufacturing process. The expenses include labor cost, material cost and many more costs. The formula for calculating the total current manufacturing cost is expressed as

Total current manufacturing cost = Direct material cost + Direct labor cost + Manufacturing overhead applied.

According to the question Direct material cost = $62000, Direct labor cost = $78000 and Manufacturing overhead applied = $46000

Putting the values in expression we get

Total current manufacturing cost = $62000 + $78000 + $46000

Total current manufacturing cost = $186000

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if marriott used a single corporate hurdle rate for evaluating investment opportunities in each of its lines of business, what would happen to the company over time?

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The company would begin to commence more risky opportunities over time.

This is due to the possibility that a single corporate hurdle rate used to assess investment opportunities may not be reliable. Choosing an incorrect risk premium might be a concern in the hurdle rate calculation.

What is risk in investment?

Any investment-related uncertainty that has the potential to have a negative influence on your financial well-being is referred to be a risk.

For instance, market conditions could influence the value of your investment to increase or decrease (market risk).

What are the types of investment risk?

Common types of investment risk are:

Business risk. Default risk. Inflation risk. Liquidity risk. Opportunity risk. Unsystematic risk.

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suppose the united states is more productive than china at making both t-shirts and cell phones. the theory of comparative advantage suggests that consumption in both countries will:

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Production of clothing is a planned operation that includes a series of steps including laying, marking, cutting, stitching, checking, finishing, pressing, and packaging. Raw resources are transformed into finished goods through this process.

Who produces shirts with a comparative advantage?States of America : In terms of creating shirts, the US has a comparative edge. Creating one shirt costs the United States 1/3 boot in opportunity costs, but making one shirt costs one boot in Canada.The U.S. has an absolute advantage in shirt production since a U.S. worker can produce more shirts than a Chinese worker.Which city is more advantageous than others in producing each color of sock? Because a worker in Boston produces more (3 pairs of socks per hour) than a worker in Chicago, Boston has a clear edge in the manufacture of both types of socks (2 pairs of red socks per hour or 1 pair of white socks per hour).Similar to this, producing one extra shirt in China costs 1/100 worker years, which means that 0.1 fewer computers would be produced. Therefore, 0.1 computers represent the pertinent opportunity cost in China. (a) Assume that China and America each have 100 employees.However, the harmful effects don't start until the fibers are grown. After the dyeing process, the process of turning the cotton into yarn requires a lot of energy and is the second-highest contributor to carbon pollution throughout the lifecycle of a t-shirt. The fabric used to create the t-shirt is then knit using the cotton yarn.

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when an organization undertakes a complete overhaul of its critical work processes to make them more efficient and able to deliver higher quality, it is engaging in:

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Reengineering occurs when a company conducts a full revamp of its core work processes in order to make them more effective and capable of delivering greater quality.

What is Reengineering?

Business process re-engineering is a business management strategy that was initially developed in the early 1990s and focuses on the analysis and design of internal workflows and business processes. BPR tries to help businesses fundamentally rethink how they do business in order to improve customer experience, cut operational costs, and compete on a global scale. Business process re-engineering (BPR) is the technique of rethinking and changing how work is done in order to better serve an organization's objectives while also lowering expenses. Organizations reengineer two critical aspects of their operations. First, they employ cutting-edge technology to improve data transmission and decision-making processes. They then transform functional organizations into functional teams.

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the net asset value (nav) of an international bond fund can be expected to increase if interest rates rise abroad. interest rates fall abroad. the u.s. dollar strengthens. the u.s. dollar weakens.

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The net asset value of an international bond fund can be expected to increase if, Interest rates fall abroad and the U.S. dollar weakens.

What is net asset value (nav)?

An investment fund's net asset value is calculated by dividing the number of outstanding shares by the net worth of the fund's assets less its liabilities. The price at which the shares of funds registered with the U.S. Securities and Exchange Commission (SEC) are traded is referred to as the NAV most frequently when discussing mutual funds or exchange-traded funds (ETFs).

The difference between an entity's assets and liabilities is referred to as the company's capital for businesses and other legal entities as well as its net assets or net worth. The fund value and price, which are determined by dividing the difference between assets and liabilities by the number of shares held by investors, are referred to as NAV.


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knowing that even the most sophisticated techniques of analysis cannot make up for poor data, the researcher must attempt, however, to choose a survey method that achieves the client's budget restrictions and resources. true false

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This Statement is False.

Working with algorithms, mathematical analysis tools, and software are frequently used in quantitative data analysis methodologies to modify data and unearth insights that show the commercial value.

The 5 methods for performing statistical analysis

Mean.Standard deviation. Regression.Hypothesis testing.Sample size determination.

1. Mean: By dividing the sum of the all numbers of in the given data set by the entire number of numbers.

2. Standard deviation: The degree of data dispersion from the mean is indicated by the standard deviation.

3. Regression: A dependent variable is connected to one or more independent variables using the statistical method of regression.

4. Hypothesis testing: A type of statistical inference known as hypothesis testing uses data from a sample to make inferences about a population parameter or population probability distribution.

5. Sample size determination: A type of statistical inference known as hypothesis testing uses data from a sample to make inferences about a population parameter or population probability distribution.

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which of the following statements regarding insurable interest is not correct? a insurable interest must exist between the policyowner and insured at the time of application b insurable interest is the possibility of economic loss due to sickness or death c insurable interest only applies to individuals related by blood d an individual has an unlimited insurable interest on him/herself

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It is possible to enforce a policy acquired by someone without an insurable stake in the insured. When the loss or damage of the object will result in a financial loss or other troubles, that person or entity has an insurable interest in that thing, event, or action.

It's crucial to note that insurable interest must be able to be valued in monetary terms. Sentimentality is not a must. When Insurable Interest Must Exist Depending on the type of insurance, several rules apply to the question of when insurable interest must exist. Any investment that is vulnerable to financial loss is protected by insurable interest.

According to the principle of insurable interest in life insurance, a person or organization may purchase a life insurance policy on the life of another if they place a higher value on the life of the insured than the policy's face value.

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union local school district has a bond outstanding with a coupon rate of 3.5 percent paid semiannually and 13 years to maturity. the yield to maturity on this bond is 2.5 percent, and the bond has a par value of $10,000. what is the dollar price of the bond? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

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Bond Price is the addition of the current values of all anticipated money flows from the time of purchase till maturity. To make the bond worth, the expected money flows area unit discounted victimization of the bond yield, that is, the required rate of coming by the bondholders.

The correct answer is $10718.63.

Bond Price = C x (1-(1+r)-n/r) + F/(1+r)n

                   =$10000 x(1-(1+0.035)-13/0.035) + $10000/(1+0.035)13

                   =$10718.63

F is the bond's face worth or face value, and r is its yield to maturity (YTM).

n is the range of periods till maturity.

If you buy a bond promptly, its face worth will be its worth, and its yield will be adequate for its coupon rate. Alternatively, if you buy a bond with a three-year charge per unit of I Chronicles, you may receive simply that.

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two logistics students, mark and sarah are discussing transportation logistics. mark says that all advance manifests must be submitted at least 24 hours before loading regardless of the mode of transportation. sarah says that fast truck carriers do not need to submit advance manifests. which student - mark or sarah - is correct?

Answers

Mark is correct.

FAST truck carriers are required to submit advance manifest information 24 hours before their arrival.

Transportation refers to the movement of goods, while logistics refers to the management of goods' inward and outward transportation from the manufacturer to the end user. These terms are frequently used interchangeably, but they refer to two distinct parts of the supply chain.

Transportation's significance in the logistics process In essence, if there are no modes of transportation, there is no logistical process. However, there is no efficient transportation if there is no planning.

As a result, each stage complements the other, ensuring a high level of performance throughout the activity.

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collins college has annual fixed operating costs of $20,600,000 and variable operating costs of $2,400 per student. tuition is $12,000 per student for the coming academic year, with a projected enrollment of 2,000 students. expected revenues from endowments and federal and state grants total $400,000. how much must the college obtain from other sources?

Answers

Collins college must obtain $1,000,000 from other sources.

What is the operating cost?

Operating costs are described as the expenses that are borne by a business, and such costs arise from running a business on a day-to-day basis.

Given that,

Projected enrollment = 2000

Fixed operating costs = $20,600,000

Variable operating costs = $2,400/student

Hence, total variable costs = $2,400 x 2000 = $4,800,000

Tuition per student = $12,000 in an academic year.

Total tuition earned by Collins college = $12,000 x 2000 = $24,000,000

Expected revenue from endowments, and federal and state grant = $400,000

Total operating costs = $20,600,000 + $4,800,000 = $25,400,000

Total revenue = $24,000,000 + $400,000 = $24,400,000

Total deficit = total operating costs - total revenue = $25,400,000 - $24,400,000 = $1,000,000

The amount of $1,000,000 should be obtained from other sources.

It can be concluded that Collins college must obtain $1,000,000 from other sources.

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without having a plan in place, managers may focus only on instead of keeping a long-range view and anticipating new opportunities. multiple choice question.

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Without having a plan in place, managers may focus only on whatever in front of them instead of keeping a long-range view and anticipating new opportunities.

The management task of planning include deciding on a course of action for reaching goals and creating objectives. It is critical for managers to foresee future situations and be aware of current environmental factors affecting their firm. Additionally, effective decision-making is essential of managers.

Setting objectives, or declarations of what must be performed and by when, is a must for planners. The next step for planners is to decide on other strategies for reaching goals. Planners must choose the appropriate actions to take in order to accomplish goals after weighing the numerous choices. They must then decide on the essential actions and make sure that plans are carried out successfully. Finally, planners must continuously assess the effectiveness of their plans and make required corrections.

The complete question is, "Without having a plan in place, managers may focus only on _____ instead of keeping a long-range view and anticipating new opportunities.

A. competitors' movements

B. emerging opportunities for expansion

C. overall company strategy

D. whatever is in front of them"

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What is the term for the act that businesses commit when they agree to set prices and increase their control of the market share?.

Answers

Across various market types, collusion can take many distinct forms. Groups as a whole get an unfair edge in each case. Price fixing is one of the most popular forms of collusion.

When organizations or people band together to manipulate a market or pricing for their own gain, this is called collusion. Price manipulation, coordinated advertising, and the sharing of insider knowledge are examples of collusion.

Collusion is discouraged by whistleblower and antitrust laws. Price fixing happens when a given supplier market has a small number of firms, a situation known as an oligopoly. This small group of companies collaborate to establish the pricing for the same product they both sell.

Companies synchronizing their marketing campaigns run the risk of engaging in collusion. For an added benefit, the cooperating businesses in this scenario might want to restrict the consumers' understanding of a good or service.

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suppose the price of milk increases by 15%, causing the quantity demanded of cereal to decrease by 45%. what would the cross-price elasticity for milk and cereal be in this case?

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Based on the change in price for milk and the change in quantity demanded for cereal, the cross-price elasticity for milk and cereal can be found to be - 3

How to find the cross - price elasticity?

The cross-price elasticity for milk and cereal can be found by the formula:

= Change in the quantity demanded of cereal / Change in the price of milk

Solving for the cross - price elasticity gives:
Cross - price elasticity for milk and cereal = - 45% / 15%

= - 3

What this means is that the price of milk (cereal ) is inversely related to the quantity demanded for cereal (milk). For instance, if the price of milk increases, then the quantity demanded for cereal will decrease.

The reason for this is that both milk and cereals are compliments to each other and so will affect the other's quantity demand.

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you recently won a lottery and have the option of receiving one of the following three prizes: (1) $64,000 cash immediately, (2) $20,000 cash immediately and a six-year annual annuity of $8,000 beginning one year from today, or (3) a six-year annual annuity of $13,000 beginning one year from today. assuming an interest rate of 6% compounded annually, determine the present value for the above options. which option should you choose? a company wants to accumulate a sum of money to repay certain debts due in the future. the company will make annual deposits of $100,000 into a special bank account at the end of each of 10 years. assuming the bank account pays 7% interest compounded annually, what will be the fund balance after the last payment is made in ten years?

Answers

Interest rate - The fund balance after the last payment is made in ten years - 1381645

What is interest rate?
The interest rate is indeed the sum charged by a lender to a borrower and is expressed in terms of the principal—the sum loaned. The annual interest rate is the term used to describe the rate of interest on a loan (APR). An interest rate can also be used to the amount earned from a savings account or fixed deposit at a bank or credit union (CD). The income generated on these deposit accounts is referred to as the annual percentage yield (APY). Interest is essentially a fee levied against the borrower for using an asset. Borrowed assets might include cash, consumer goods, cars, and real estate. As a result, an interest rate can be considered the "cost of money" - higher rates make lending the same amount of cash more expensive.

2.  Debt due date = December 31, 2030
Payment will begin on December 31, 2021, and will end on December 31, 2030.
Total number of payments = ten
Future annuity value = monthly payment*[(1+i/m)(m*n)-1]/ (i)
Where the periodic payment equals $100,000
I = 7% (interest rate)
annual compounding (m) = 1
number of payments = 10
enter all of the values into the formula
100000*[(1+0.07)10 - 1]/ Future value (0.07)
= 100000*(1.967 - 1)/(0.07) (0.07)
= 100000*0.967/0.07
= 96715.136/0.07
= 1381644.8
or 1381645
The fund balance on December 31, 2030, following the last instalment.

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suppose you will need $12000 in 3 years. how much must you invest per month in order to have $12000 if money earns an annual rate 6% compounded monthly? how much of the $12000 is interest?

Answers

If you want to have $12000 in 3 years, you need to invest $ 305.06 each month. The interest you will earn is $1017.7.

The formula for the future value of an annuity is given by:

FV = C [(1 + r)ⁿ - 1] / r

Where:

r = interest rate per period

n = number of periods

C = amount of each annuity payment

Parameters given:

FV = 12,000

r = 6%/12 = 0.005

n = 3 years x 12 = 36 months

Plug these parameters into the formula:

12,000 = C [(1 + 0.005)³⁶ - 1] / 0.005

C = 60 / 0.1967 = 305.06

Hence, you need to deposit $305.06 per month.

The amount of interest = Future value - total deposit

                                      = 12,000 - (305,06 x 36)

                                      = 1017.7

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all of the following are reasons companies use promotion except multiple choice stabilize sales. stimulate demand. make customers forget about other products. inform customers. reinforce customers.

Answers

The reasons companies use promotion are the following except to make customers forget about other products (option C)

What is a promotion?

Generally, The term "promotion" encompasses a wide range of activities with the goal of bringing more attention to a product or furthering its standing in the market.

When discussing a person's employment history, the phrase "promotion" refers to the process of elevating an employee's rank or position within a hierarchical structure.

The primary objective of promotion is to raise consumers' awareness of the presence of items and their respective locations in the market.

Promotion may also be used to convince consumers that the product is superior to similar items offered by competitors and to remind them of the reasons they would want to make a purchase.

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a commercial bank sells a treasury bond to the federal reserve for $100,000. the potential money supply: multiple choice decreases. increases. is unaffected by the transaction.

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A commercial bank sells a treasury bond to the federal reserve for $100,000 the potential money supply, increases.

What is the potential for making money?

The process through which a nation, or an economic or monetary region, increases its money supply is known as money creation, sometimes known as money issuance. When a country's money supply is measured, the entire amount of cash and other liquid assets that are in circulation are referred to as the money supply. The following are the formulas for calculating changes in the money supply. First, Money Multiplier equals Reserve Ratio / 1. Use the equation Change in Money Supply = Change in Reserves × Money Multiplier to get the maximum change in the money supply.

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what are the two most significant year-over-year changes in terms of dollars? (you may select more than one answer. single click the box with the question mark to produce a check mark for a correct answer and double click the box with the question mark to empty the box for a wrong answer.)check all that apply 1net sales

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a. Two most significant year over year changes in terms of dollars.
Net sales, Cost of goods sold.

What is dollars?
The United States dollar (emblem: $; code: USD; also shortened US$ or U.S. Dollar to distinguish from other dollar-denominated currencies; known colloquially as the dollar, U.S. dollar, American dollar, or buck) is the main currency of the United States and various other countries. The Coinage Act of 1792 established the United States dollar on equal footing with the Spanish silver dollar, splitted it into 100 cents, and authorised the minting of coins in dollars and cents. Federal Reserve Notes, popularly known as dollar bills due to their primarily green colour, are the currency of the United States.

The Federal Reserve System which serves as the country's central bank, manages the country's monetary policy.

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on january 1, year 1, miller company purchased equipment for $36,000. residual value at the end of an estimated six-year service life is expected to be $8,000. the company uses the double-declining balance method. for how much would each item below be reported at the end of year 2?

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The item that would be reported at the end of year 2 after depreciation will be at $8,000

Finding the rate of depreciation -

= Year one/The useful life of the equipment

= 1/6

= 0.166

As per the double declining method -

The rate is double = 0.333%

In year 1,

Original cost is $36,000, so the depreciation is $12,000 after applying the 33.33% depreciation rate

In year 2 -

(36,000 - 12,000) × 33.33%

= 24,000 × 33.33%

= 7999.2 or

= 8,000

The depreciation expense is $8,000

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market value ratios lab r doors' year-end price on its common stock is $55. the firm has a profit margin of 11.5%, total assets of $30 million, a total asset turnover ratio of 2.00, no preferred stock, and there are 4.0 million shares of common stock outstanding. what is the pe ratio for lab r doors? (do not round intermediate steps.) multiple choice 31.884 0.273 14.493 0.546

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The pe ratio for labor doors =  31.884

Option A is correct

Common stock is a form of commercial equity power, a type of security. The terms advancing share and ordinary share are also used constantly outside of the United States. They're known as equity shares or ordinary shares in the UK and other Commonwealth realms

Simplification :

Working:      

a. Sales = Assets x Asset turnover ratio

                         = $   30 x 2

                          = $   60 Million  

b. Net Income = Sales x Profit margin  

                                          = $ 60 x 11.5%  

                               = $   6.9 Million  

c. Earning per common stock = Net Income/ Number of common stock

                       =        $  6.9 / $   4.00

                                                 = 1.725  

d. PE Ratio = Price per common stock/Earning per common stock

= $ 55.00 / $ 1.725

= 31.884  

Profit Margin :

Profit margin is a measure of profitability. It's calculated by changing the profit as a chance of the profit. There are 3 types of profit perimeters gross profit margin, operating profit periphery and net profit periphery. Gross Profit margin is calculated as gross profit divided by net deals.

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