What is the present value of an investment that will give you $100 after 10 years with a rate of 10% compounded annually? (Enter the answer in dollar format without $ sign or thousands comma -> 3519.23 and not $3,519.23 or 3,519.23)

Answers

Answer 1

The present value of the investment can be calculated using the formula:

Present Value = Future Value / (1 + Rate)^n.

What is present value?

Present value (PV) is the current value of a future sum of money or stream of cash flows given a specified rate of return. Future cash flows are discounted at the discount rate, and the higher the discount rate, the lower the present value of the future cash flows. Determining the appropriate discount rate is the key to properly valuing future cash flows, whether they be earnings or debt obligations.

In this case, the Future Value is $100, the Rate is 10% (or 0.1), and the time period is 10 years (n = 10).

So, the calculation would be: Present Value = $100 / (1 + 0.1)^10

Simplifying this expression gives us the present value of the investment: $35.19.

Therefore, the present value of the investment that will give you $100 after 10 years with a rate of 10% compounded annually is $35.19 (rounded to two decimal places).

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Related Questions

Ashton Bishop is the debt manager for World Telephone, which needs €3.33 billion Euro financing for its operations. Bishop is considering the choice between issuance of debt denominated in: Euros (€), or U.S. dollars, accompanied by a combined interest rate and currency swap.a. Explain one risk World would assume by entering into the combined interest rate and currency swap.Bishop believes that issuing the U.S.-dollar debt and entering into the swap can lower World’s cost of debt by 45 basis points. Immediately after selling the debt issue, World would swap the U.S. dollar payments for Euro payments throughout the maturity of the debt. She assumes a constant currency exchange rate throughout the tenor of the swap.Exhibit 1 gives details for the two alternative debt issues. Exhibit 2 provides current information about spot currency exchange rates and the 3-year tenor Euro/U.S. Dollar currency and interest rate swap.b. Show the notional principal and interest payment cash flows of the combined interest rate and currency swap. Note: Your response should show both the correct currency ($ or €) and amount for each cash flow.Answer problem b in the template provided.c. State whether or not World would reduce its borrowing cost by issuing the debt denominated in U.S. dollars, accompanied by the combined interest rate and currency swap. Justify your response with one reason.Exhibit 1World Telephone Debt DetailsChracteristics Euro Currency Debt US Dollar Currency Debtpar value EUR 3.33billion $3billionterm to maturity 3 years 3 yearsfixed interest rate 6.25% 7.75%interest payment annual annualExhibit 2Currency Exchange rate and swap informationSpot currency exchange rate $0.90 per Euro ($0.90/EUR 1.00)3-year tenor Euro/US Dollar fixed interest rates 5.80% Euro /7.30% US Dollar

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We must utilise the Capital Asset Pricing Model (CAPM), which considers the risk-free rate, market risk premium, and project,Co.'s dollar-denominated debt. The final cost of debt can be calculated by adding the risk premium.

We must first use the CAPM formula to determine the equity cost of capital: Ke is the cost of equity, Rf is the risk-free rate, B is the project's beta, and Rm is the anticipated market return. We can enter the values using the information provided to obtain: Ke = 0.04 + 1.2 (0.10 - 0.04) = 0.112.

The after-tax cost of debt can be determined using the U.S. corporate tax rate because Maximus Co. is a multinational corporation with a U.S. basis..Kd = Rd * (1 - tax rate).where Kd is the debt's after-tax cost, Rd is its nominal cost, and the tax rate is the corporate tax rate in the United States, which is 0.32 percent..Assuming that the risk-free rate plus the risk premium offered by U.S. creditors equals the nominal cost of debt, we can compute it as follows: Risk premium on dollar-denominated debt provided by U.S. creditors plus risk premium equals.

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Which would be an appropriate cost driver for the ordering and receiving activity cost pool? a.Machine setups 2.Inspections c.Purchase orders d.Machine hours

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C. Purchase orders would be an appropriate cost driver for the ordering and receiving activity cost pool.

What is cost driver?

The cost driver is a factor that can accurately measure the cause-and-effect relationship between the cost and the activity. In this case, the ordering and receiving activity cost pool is related to the number of purchase orders placed, and therefore, the number of purchase orders can be used as an appropriate cost driver.

A cost driver is any factor that causes a change in the cost of an activity or process. It is the root cause of the cost of a particular product, service or process. Cost drivers are used to identify and allocate the indirect costs of an activity to the products or services that use them. By understanding the cost drivers, a company can manage and control its costs more effectively. Examples of cost drivers include machine hours, labor hours, number of setups, number of orders, and number of inspections.

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Complete question is:  Purchase orders would be an appropriate cost driver for the ordering and receiving activity cost pool.

The Shama Corporation produces customize backpacks. The company expects to generate a profit next year. It anticipates fixed manufacturing costs of $335,000 and fixed selling and administrative cost of $249,780. Variable manufacturing cost of $60.00 and variable selling and administrative of $3.00. The selling price per unit is $83.00
Break even units= 29,239
Break even sales = 2,426,837
Based upon the original information and if my contribution margin was to increase by $3 and if the company sold 3,500 units more than breakeven, what would the profit be for the company?
Based upon the original information, at what selling price is the manufacturer better off by not selling any of the customized backpacks?

Answers

Answer:

Let's break down the problem step by step.

Given Information:

Fixed manufacturing costs: $335,000

Fixed selling and administrative costs: $249,780

Variable manufacturing cost per unit: $60.00

Variable selling and administrative cost per unit: $3.00

Selling price per unit: $83.00

Break-even units: 29,239

Break-even sales: $2,426,837

Calculation of Contribution Margin:

Contribution margin is the selling price per unit minus the variable cost per unit. It represents the amount of each unit's revenue that contributes to covering fixed costs and generating profit.

Contribution margin per unit = Selling price per unit - Variable cost per unit

Contribution margin per unit = $83.00 - ($60.00 + $3.00)

Contribution margin per unit = $83.00 - $63.00

Contribution margin per unit = $20.00

Calculation of Profit for Selling 3,500 Units More Than Break-even:

If the company sells 3,500 units more than the break-even units, then the total units sold would be:

Total units sold = Break-even units + Additional units sold

Total units sold = 29,239 + 3,500

Total units sold = 32,739

Profit = (Total units sold) * (Contribution margin per unit) + (Fixed manufacturing costs) + (Fixed selling and administrative costs)

Profit = 32,739 * $20.00 + $335,000 + $249,780

After calculating the above expression, we will get the profit for the company.

Calculation of Selling Price for Not Selling Any Backpacks:

If the manufacturer does not sell any backpacks, the profit would be zero as there would be no revenue. Therefore, the selling price at which the manufacturer is better off not selling any backpacks would be the selling price that covers all the costs but results in zero profit.

Total cost per unit = Fixed manufacturing costs + Fixed selling and administrative costs + Variable manufacturing cost per unit + Variable selling and administrative cost per unit

Total cost per unit = $335,000 + $249,780 + $60.00 + $3.00

Selling price for not selling any backpacks = Total cost per unit

Selling price for not selling any backpacks = $335,000 + $249,780 + $60.00 + $3.00

After calculating the above expression, we will get the selling price at which the manufacturer is better off not selling any backpacks.

Explanation:

Buffalo hides and robes had always been useful trading items for the Comanche, but what happened to this market once Anglos began moving into the Comancheria?
A)Buffalo hides were rising in value, so much so that, while an individual Comanche might eat only six buffalo per year, he would now kill an average of forty-four per year.
b)Buffalo were hunted down and killed in Texas after the 1840s so that Texans, such as the Parrkers, could grow more cotton.. As a result the value of buffalo hides dropped by the time of the Civil War.
c) Buffalo hides were falling in value, so while an individual Comanche might kills 50 buffalo a year, he would now kill an average of 4-6.
d Buffalo hides were so valuable that the Comanche began turning on each other and, for the first time, going to war against other Comanche in order to gain a larger share of the buffalo hide market

Answers

Buffalo were hunted down and killed in Texas after the 1840s so that Texans, such as the Parrkers, could grow more cotton.. As a result the value of buffalo hides dropped by the time of the Civil War. (option b)

The value of the buffalo hides and robes market increased with the arrival of Anglos. As more settlers moved into the region, they had a high demand for these items for their personal use and trade. The increase in demand resulted in a significant rise in the price of buffalo hides and robes. The Comanche people, therefore, began to hunt more buffalos to meet the growing demand and maximize profits.

However, the market for buffalo hides and robes took a different turn after the 1840s when Texans started killing buffalos to grow cotton. This act significantly reduced the population of buffalos in the region, making it challenging for the Comanche to meet the demand. As a result, the value of buffalo hides and robes market dropped significantly by the time of the Civil War.

The drop in the market value of buffalo hides and robes had a massive impact on the Comanche people's way of life. They were forced to rely on other trading items to survive, resulting in a significant shift in their economic activities. The Comanche people had to adapt to the changing market dynamics by either finding new trading items or resorting to raiding other tribes.

Hence the correct option is (b).

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True or false : the following mathematical relationship could be found in a linear programming model: 12A + 7B + 5AB ≤ 25

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The following mathematical relationship could be found in a linear programming model is false.

What is linear programming model?

Linear programming (LP) is a mathematical technique used to optimize a model composed of linear relationships between decision variables and constraints. It is used to maximize or minimize a function of a set of variables subject to a set of linear constraints. LP is used to solve a wide range of problems in business, economics, engineering, and other areas. It is based on the principle of optimizing a system of linear equations to achieve an optimal solution. The variables are usually related to decision making, such as production levels, staffing levels, raw material requirements, and so on. The constraints involve factors such as resource availability, budget limits, and so on.

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____ under ERISA is when an employee becomes the owner of his retirement proceeds. Mandatory vesting Permanent vesting Buying out Executive vesting none of the other choices are correct

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Permanent vesting under ERISA is when an employee becomes the owner of his retirement proceeds, of vesting that allows becoming fully vested in their employer-sponsored retirement.

Buying out refers to an employer offering a lump sum payment to an employee in exchange for giving up their benefits. Mandatory vesting is a requirement under ERISA that employers must offer vesting in their retirement plans within a certain timeframe.
ERISA refers to when an employee becomes the owner of his retirement proceeds. The correct term is "vesting," and in the context of your question, it is specifically Executive vesting is when an employee, usually an executive or high-ranking individual.

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the economy is considered to be at its potential output when the only unemployment is structural or frictional.

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The concept of potential output refers to the level of economic activity that an economy can sustain in the long run without generating inflationary pressures.

When an economy is operating at its potential output, it means that all of its available resources are being utilized efficiently and effectively. In this state, the only unemployment that exists is structural or frictional, which means that individuals who are unemployed are in between jobs or lack the necessary skills to fill available positions. This type of unemployment is considered to be natural and does not create inflationary pressures in the economy.

However, when the economy is operating above its potential output, there is an increase in demand for goods and services that cannot be met by available resources, resulting in inflation. Conversely, when the economy is operating below its potential output, there is a surplus of available resources that can lead to lower prices and decreased economic activity.

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Suppose that for 20 bicycles, the total fixed cost is $100 and total variable cost is $300. ThenA. AFC = $100 and AVC = $300B. AFC = $5 and AVC = $15C. AFC = $20 and AVC = $20D. AFC = $5 and AVC = $10E. AFV = $10 and AVC = $20

Answers

To calculate the average fixed cost (AFC) and average variable cost (AVC), we need to use the following formulas:

AFC = Total Fixed Cost / Quantity
AVC = Total Variable Cost / Quantity


Given that for 20 bicycles, the total fixed cost is $100 and the total variable cost is $300, we can plug these values into the formulas:

AFC = $100 / 20 = $5
AVC = $300 / 20 = $15


So, the correct answer is:
B. AFC = $5 and AVC = $15

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The correct answer is option B: AFC = $5 and AVC = $15. To find the average fixed cost (AFC) and average variable cost (AVC), we need to use the following formulas:

AFC = Total Fixed Cost / Quantity

AVC = Total Variable Cost / Quantity

Given that the total fixed cost is $100 and the total variable cost is $300 for 20 bicycles, we can calculate the AFC and AVC as follows:

AFC = $100 / 20 = $5

AVC = $300 / 20 = $15

Therefore, the correct answer is option B: AFC = $5 and AVC = $15.

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For each​ scenario, indicate whether or not a standard costing system would be beneficial in that situation and explain why or why not. Each scenario is independent of the other scenarios. ​(Abbreviations used: GL​ = general ledger. A selection may be used more than​ once.)

Yes or no and why?

1. Changes happen daily
2. inventory is trying to be eliminated
3. Lack of timeliness

Answers

1. No, a standard costing system may not be beneficial in a situation where changes happen daily.

2. Yes, a standard costing system may be beneficial in a situation where inventory is trying to be eliminated.

3. Yes, a standard costing system may be beneficial in a situation where there is a lack of timeliness.

1. In a situation where changes happen daily, a standard costing system may not be useful as it is based on predetermined standards and may not be able to keep up with the frequent changes in the production process or cost structure. It may result in inaccurate cost measurement and budgeting, leading to inefficient decision-making.

2. A standard costing system may be useful in a situation where inventory is trying to be eliminated, as it provides a benchmark against which actual costs can be compared. This helps in identifying areas of inefficiency, cost reduction opportunities, and improving inventory management.

By setting standards for material and labor costs, a company can control and monitor its inventory costs more effectively, leading to better decision-making.

3. In a situation where there is a lack of timeliness, a standard costing system may be beneficial as it provides a framework for identifying and measuring cost variances on a timely basis. By monitoring and analyzing cost variances, a company can identify inefficiencies in its production process, reduce costs, and improve overall profitability.

Standard costing can help to ensure that production and accounting information is available in a timely manner, allowing management to make informed decisions.

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The adjusting entries to record depreciation or amortization expense, or to write down assets that have become impaired: Multiple Choice A. Reduce both net income and cash balances B. Reduce net income, but have no direct effect on cash balances. C. Decrease cash balances, but have no direct effect upon net income. D. Affect neither net income nor cash balances

Answers

The adjusting entries to record depreciation or amortization expense, or to write down assets that have become impaired by reducing the net income. Hence, option B is the correct option.

The income earned by an individual or by a business is referred to as net income. Reducing net income, but have no direct effect on cash balances. When adjusting entries are made to record depreciation or amortization expense or to write down impaired assets, it reduces the net income for the period. However, it does not directly affect the cash balance as these entries only represent the allocation of expenses over time or the recognition of a loss in value of an asset.

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what does not produce a reflexive response what does not naturally produce a reflexive response

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Stimuli that do not produce a reflexive response are typically those that do not trigger an automatic, involuntary reaction in our bodies. Reflexive responses are innate and occur without conscious thought, usually as a protective or survival mechanism. Examples of reflexive responses include pulling your hand away from a hot surface, blinking when something comes near your eye, or coughing when your airway is irritated.



Stimuli that do not naturally produce reflexive responses are generally those that require conscious thought or decision-making, such as solving a math problem, planning a vacation, or choosing an outfit to wear. These activities involve higher cognitive processes and do not rely on the automatic, involuntary actions that characterize reflexive responses.



In summary, stimuli that do not produce a reflexive response are those that do not trigger an automatic, involuntary reaction and instead require conscious thought or decision-making. These activities involve higher cognitive processes and differ from the protective or survival mechanisms seen in reflexive responses.

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Stimuli that do not produce a reflexive response are typically those that do not trigger an automatic, involuntary reaction in our bodies. Reflexive responses are innate and occur without conscious thought, usually as a protective or survival mechanism. Examples of reflexive responses include pulling your hand away from a hot surface, blinking when something comes near your eye, or coughing when your airway is irritated.



Stimuli that do not naturally produce reflexive responses are generally those that require conscious thought or decision-making, such as solving a math problem, planning a vacation, or choosing an outfit to wear. These activities involve higher cognitive processes and do not rely on the automatic, involuntary actions that characterize reflexive responses.



In summary, stimuli that do not produce a reflexive response are those that do not trigger an automatic, involuntary reaction and instead require conscious thought or decision-making. These activities involve higher cognitive processes and differ from the protective or survival mechanisms seen in reflexive responses.

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Par, Inc., will sell whatever quantities it produces of these two products. how much would profits decrease if sewing and finishing hours were reduced by 40 hours = $ [ select ]

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If Par, Inc. reduces its sewing and finishing hours by 40 hours, it is likely that the production output of the two products will decrease.

This will result in a decrease in revenue and profits for the company. The exact amount of profit decrease cannot be determined without knowing the current profit margins and production costs for the products.

However, it is safe to assume that reducing production hours will have a negative impact on the company's profitability. In order to maintain or increase profits, Par, Inc. may need to explore other cost-saving measures or increase efficiency in other areas of production.

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An adjusting journal entry contains a debit to an expense account and a credit to a contra account. This is an example of a(n). a. Depreciation expense b. Accrued revenue c. Deferred revenue d. Accrued expense

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An adjusting journal entry that debits an expense account and credits a contra account is used to record an accrued expense (option d).

This is an expense that has been incurred but not yet paid or recorded in the accounts. By making this adjusting entry, the expense is recognized in the period in which it was incurred, and the contra account is used to offset the expense account, showing that the payment is still outstanding. This is a common adjustment made at the end of an accounting period to ensure that the financial statements accurately reflect the company's financial position.

The answer is d. Accrued expense.

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the large trade deficits in the u.s. during the 1990's were primarily associated with a rise in domestic investment spending rather than a rise in the budget deficit. TRUE OR FALSE?

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The statement "The large trade deficits in the U.S. during the 1990s were primarily associated with a rise in domestic investment spending rather than a rise in the budget deficit" is TRUE.

During the 1990s, the U.S. experienced large trade deficits. These deficits were primarily associated with an increase in domestic investment spending, which led to higher economic growth and increased demand for imported goods.

The budget deficit, on the other hand, was not the main contributor to the trade deficits during this period.

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Should the Fed be independent or a government agency subordinate to Congress and the president?

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The Fed, or Federal Reserve, should remain an independent entity rather than becoming a government agency subordinate to Congress and the president.

The Federal Reserve, also known as the central bank of the United States, was created as an independent entity by Congress in 1913. The decision to make the Fed independent was made for several reasons, including the need to insulate monetary policy from short-term political pressures and to provide a stable and predictable environment for economic growth.

The independence of the Fed allows it to make monetary policy decisions based on economic fundamentals rather than short-term political considerations. This is important because monetary policy affects the economy in the long run and requires a consistent, stable approach to be effective. By being independent, the Fed is able to make tough decisions that may be unpopular in the short term but necessary for the health of the economy in the long term.

Overall, the question of whether the Fed should be independent or a government agency subordinate to Congress and the president is a complex one with no easy answer. Both options have their advantages and disadvantages, and ultimately the decision depends on a variety of political and economic factors. However, most economists and policymakers agree that the independence of the Fed is essential for effective monetary policy and the long-term health of the economy.

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in data mining over-fitting results in developing too precise a model that will fail to generalize and therefore will have poor predicting power.a. true b. false

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In data mining over-fitting results in developing bargaining power too precise a model that will fail to generalize and therefore will have poor predicting power. This statement is True.

The supplied statement, "Apple, a company with a strong product line, probably has weak buyer bargaining power," is untrue because Apple customers have tremendous bargaining power even with a strong product range. This is due to the high price of Apple's products.

Customers can simply move to similar products from rival companies if the price of Apple's products rises too much, which lessens their reliance on Apple products. Additionally, there are other rivals in the technological sector, giving consumers a wide range of possibilities apple's customers are knowledgeable, which increases their negotiating power. They can easily contrast Apple's products with those of rival companies and base their purchases on the perceived value. The variety of Apple's customers also implies that they have a range of preferences, which can impact their ability to negotiate.

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a report by responsibility center that shows budgeted amounts, actual amounts and the variances between those amounts is called a(n) ______ report.

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"variance analysis report".

This report helps in comparing the actual performance with the planned performance, identifying any discrepancies, and taking corrective actions if necessary.

The one-way analysis of variance is used to determine if there are statistically significant differences between the means of two or more independent groups. If we use three separate hypothesis tests, we will have a type I error associated with each test and that would lead to more risk of committing type I error. The use of one-way ANOVA helps us to solve this problem by comparing two or more groups using a single type I error usually 5%.

The main difference between one-way ANOVA and two-way ANOVA is that: One-way ANOVA has one factor or one independent variable, while two-way ANOVA has two factors or two independent variables.

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Problem 3-13 (Algorithmic)
Quality Air Conditioning manufactures three home air conditioners: an economy model, a standard model, and a deluxe model. The profits per unit are $65, $97, and $139, respectively. The production requirements per unit are as follows:
Number of
Fans Number of
Cooling Coils Manufacturing
Time (hours)
Economy 1 1 8
Standard 1 2 12
Deluxe 1 4 14
For the coming production period, the company has 350 fan motors, 360 cooling coils, and 3000 hours of manufacturing time available. How many economy models (E), standard models (S), and deluxe models (D) should the company produce in order to maximize profit? The linear programming model for the problem is as follows:
Max 65E + 97S + 139D s.t. 1E + 1S + 1D ≤ 350 Fan motors
1E + 2S + 4D ≤ 360 Cooling coils
8E + 12S + 14D ≤ 3000 Manufacturing time
E, S, D ≥ 0 The sensitivity report is shown in the figure below.
Optimal Objective Value = 23070.00000
Variable Value Reduced Cost E 340.00000 0.00000 S 10.00000 0.00000 D 0.00000 22.00000 Constraint Slack/Surplus Dual Value Fan motors 0.00000 33.00000 Cooling coils 0.00000 32.00000 Manufacturing time 160.00000 0.00000 Variable Objective
Coefficient Allowable
Increase Allowable
Decrease E 65.00000 11.00000 16.50000 S 97.00000 33.00000 7.33333 D 139.00000 22.00000 Infinite Constraint RHS
Value Allowable
Increase Allowable
Decrease Fan motors 350.00000 10.00000 170.00000 Cooling coils 360.00000 40.00000 10.00000 Manufacturing time 3000.00000 Infinite 160.00000 Identify the range of optimality for each objective function coefficient. If there is no limit, then enter the text "NA" as your answer. If required, round your answers to one decimal place.
Objective Coefficient Range
Variable lower limit upper limit
E S D Suppose the profit for the economy model (E) is increased by $6 per unit, the profit for the standard model (S) is decreased by $2 per unit, and the profit for the deluxe model (D) is increased by $4 per unit. What will the new optimal solution be? If required, round your answers to three decimal places. If your answer is zero, enter "0".
Optimal Solution
E S D If required, round your answer for Total Profit to two decimal places.
Total Profit: $
Identify the range of feasibility for the right-hand-side values. If there is no limit, then enter the text "NA" as your answer. If required, round your answers to one decimal place.
Right-Hand-Side-Range
Constraints lower limit upper limit
Fan motors Cooling coils Manufacturing time If the number of fan motors available for production is increased by 30, will the dual value for that constraint change?
Yes because the allowable increase for fan motors is without changing the optimal solution.

Answers

The range of optimality for each objective function coefficient is infinite and the dual value of fan motors constraint will change.

Objective Coefficient Range
Variable lower limit upper limit
E NA 16.5
S 7.33333 33
D NA Infinite

If the profit for the economy model (E) is increased by $6 per unit, the profit for the standard model (S) is decreased by $2 per unit, and the profit for the deluxe model (D) is increased by $4 per unit, the new objective function becomes:

Max 71E + 95S + 143D

Using the same linear programming model and solving for the new objective function, the new optimal solution is:

Optimal Solution
E S D
320 20 0

Total Profit: $23,480.00

The range of feasibility for the right-hand-side values is:

Right-Hand-Side-Range
Constraints lower limit upper limit
Fan motors 10 170
Cooling coils 40 10
Manufacturing time NA 160

If the number of fan motors available for production is increased by 30, the dual value for that constraint may or may not change. It depends on whether or not the new optimal solution still uses all 350 fan motors. If the new optimal solution uses less than 350 fan motors, then the dual value for the fan motors constraint will change.

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One of the main reasons for using supervisors as a source of information in the job analysis process is that they ____ Multiple Choice a. have the best perspective on work design for the organization as a whole b. make the most accurate judgments in the job analysis process c. control incumbent responses on job analysis questionnaires d. have expert information on occupations or work as a whole

Answers

The correct option is D) Have expert information on occupations or work as a whole.

One of the main reasons for using supervisors as a source of information in the job analysis process is that they have expert information on occupations or work as a whole. The correct answer is D. Supervisors are often experts in the occupations or work being performed and have in-depth knowledge of the tasks, skills, and abilities required for the job. They can provide valuable insight into the job analysis process and help ensure that accurate and relevant information is collected. However, it's important to note that other sources of information, such as incumbents, peers, and subject matter experts, should also be included in the job analysis process to ensure a comprehensive and accurate understanding of the job.

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In 2018 Brazil's real GDP is growing at 1.7 percent a year and its population is growing at 0.7 percent a year. If these growth rates continue, in what year will Brazil's real GDP per person be twice what it is in 2018? If these growth rates continue, Brazil's real GDP per person will be twice what it is in 2018 in A. 2059 В. 2088 C. 2118 D. 2047

Answers

Real GDP per person will be twice what it is in 2018 in the year 2088 .

To answer this question, we need to use the formula for calculating real GDP per person:

Real GDP per person = Real GDP / Population

We know that in 2018, Brazil's real GDP is growing at 1.7% a year and its population is growing at 0.7% a year. This means that:

Real GDP in year t = Real GDP in 2018 x (1 + 0.017)^(t-2018)
Population in year t = Population in 2018 x (1 + 0.007)^(t-2018)

To find the year when Brazil's real GDP per person is twice what it is in 2018, we can set up the following equation:

2 x Real GDP per person in 2018 = Real GDP per person in year t

2 x (Real GDP in 2018 / Population in 2018) = (Real GDP in year t / Population in year t)

Substituting the above formulas for Real GDP and Population in terms of t, we get:

2 x (Real GDP in 2018 / Population in 2018) = [(Real GDP in 2018 x (1 + 0.017)^(t-2018)) / (Population in 2018 x (1 + 0.007)^(t-2018))]

Simplifying this equation, we can cancel out the terms for Real GDP and Population in 2018, and we get:

2 / (1 + 0.007)^(t-2018) = 1 + 0.017

Solving for t, we get:

t - 2018 = log(2) / log(1.007)

t = 2088

Therefore, if these growth rates continue, Brazil's real GDP per person will be twice what it is in 2018 in the year 2088 (option B).

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In 2018​ Brazil's real GDP is growing at 1.7 percent a year and its population is growing at 0.7 percent a year.

If these growth rates​ continue, in what year will​ Brazil's real GDP per person be twice what it is in​ 2018?

If these growth rates​ continue, Brazil's real GDP per person will be twice what it is in 2018 in​ _______.

A stock you are interested in paid a dividend of $1. 15 las week. The anticipated growth rate in dividends and earnings is 15% for the next year and 10% the year after that before setting down to the constant 5% growth rate the discount rate is 12%. Calculate the expected price of the stock

Answers

The expected price of the stock is $22.46.

The Gordon Growth Model is often used by investors to determine whether a stock is undervalued or overvalued relative to its current market price. If the intrinsic value calculated using the model is higher than the current market price, the stock may be considered undervalued and a good investment opportunity.

To calculate the expected price of the stock, we can use the Gordon Growth Model:

Price = Dividend / (Discount Rate - Growth Rate)

First, we need to calculate the expected dividends for the next three years:

Year 1 Dividend = $1.15 x 1.15 = $1.32

Year 2 Dividend = $1.32 x 1.10 = $1.45

Year 3 Dividend = $1.45 x 1.05 = $1.52

Next, we can use the Gordon Growth Model to calculate the expected price of the stock:

Price = $1.52 / (0.12 - 0.05) = $22.46

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You just took out a​ $12,000 loan for your small business. The loan has a four year term and repayment is in the form of four equal endminus−ofminus−year payments. The interest rate on the loan is​ 11. 5%. Consider the final loan payment. How much interest do you pay in the final​ payment?

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The interest paid in the final loan payment is $1,380

To calculate the interest paid in the final loan payment, we need to first calculate the total interest paid over the four-year term of the loan, and then divide that by four to determine the amount of interest paid in each end-of-year payment.

Using the formula for calculating simple interest, we can find the total interest paid over the four-year term:

Total Interest = Principal x Rate x Time

where Principal is the loan amount, Rate is the interest rate, and Time is the length of the loan in years.

Plugging in the values given in the problem, we get:

Total Interest = $12,000 x 0.115 x 4 = $5,520

So the total interest paid over the four-year term is $5,520.

Dividing this by four, we get the amount of interest paid in each end-of-year payment:

Interest in final payment = $5,520 / 4 = $1,380

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what is the difference between performance and organizational citizenship behaviors? how would you increase someone’s performance? how would you increase citizenship behaviors

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Performance refers to the overall output or achievement of an employee in their designated role within an organization. On the other hand, organizational citizenship behaviors refer to actions taken by employees that go beyond their job requirements and contribute positively to the workplace environment.

To increase someone's performance, it is important to set clear goals and expectations for them, provide regular feedback and coaching, and offer opportunities for development and growth. Additionally, offering incentives and rewards for exceptional performance can be a motivator for employees to strive for better results.

To increase citizenship behaviors, it is important to create a positive work environment that fosters collaboration, communication, and a sense of belonging among employees. Providing opportunities for employee engagement and participation in decision-making processes can also encourage citizenship behaviors. Additionally, recognizing and rewarding employees who exhibit positive citizenship behaviors can further reinforce their importance in the workplace.

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Question 16 3 points Save As What is the future value of a perpetuity paying $100 annually? Assume an interest rate of 10% and cash flows at the end of each period. Can not be determined $11,096.27 $1,438.27 $1,000.00

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Can not be determined. The answer is OPTION A.

Future value cannot be determined because the statement makes no reference of an end date. An perpetual annuity is one that never expires. It never ends. A fixed sum is paid over an arbitrary time period. It is an annuity that has no set end date. It is a security that generates an endless stream of revenue.

The main distinction between annuities and perpetuities is that annuities have fixed durations, whereas perpetuities do not. A Perpetuity has no future value as a result since it needs a specified future date. An annuity is a fixed payout made over a fixed period of time. Payments made in advance and received indefinitely are known as perpetuities. The answer is OPTION A.

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All reports required to can be found online at sec.gov.
What is the range of useful life estimates that Tesla provides for office furniture, machinery and equipment in the 2013 10-K?
a. 2 to 4 years
b. 8 to 10 years
c, 3 to 12 years
d. 5 to 7 years

Answers

In the 2013 10-K, Tesla anticipates the useful life of workplace furniture, machinery, and equipment to be between 3 and 12 years. answer is option (c).

What is machinery and equipment?

"Machinery and equipment" refers to: "Industrial fixture" refers to an object fixed to a structure or to a piece of property. Fixtures are categorised as real property, not as personal property, when they are affixed to real estate and become a part of that real estate. The two main tools and implements used in company operations are equipment and machinery (occasionally they are kept in different accounts). These could include computers, copiers, phone systems, and any other electronic equipment for a service business.

From a mechanical perspective, the term "equipment" has a considerably broader definition and is frequently necessary to produce something. (such as a machine). Machines are the finished item.

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The common stock of NCP paid 1.32 in dividends last year. Dividends are expected to grow at an 8% annual rate for an indefinite number of years.If NCP's current market price is $23.50 per share, what is the stock's expected rate of return?

Answers

The expected rate of return for NCP's common stock can be calculated using the dividend discount model. Where the expected rate of return will approximately be 13.62%.

To find the expected rate of return for NCP's common stock, we can use the Dividend Discount Model (DDM), which is given by the formula:

Expected Rate of Return = (Dividends per share / Current stock price) + Dividend growth rate

1. Dividends per share: Last year, NCP paid $1.32 in dividends.
2. Current stock price: NCP's current market price is $23.50 per share.
3. Dividend growth rate: Dividends are expected to grow at an 8% annual rate indefinitely.

Now, plug the values into the formula:

Expected Rate of Return = ($1.32 / $23.50) + 0.08

Expected Rate of Return = 0.0562 + 0.08

Expected Rate of Return ≈ 0.1362

To express the expected rate of return as a percentage, multiply by 100:

Expected Rate of Return ≈ 13.62%

Therefore, the expected rate of return for NCP's common stock is approximately 13.62%.

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one of the main benefits of government debt is: multiple choice the ability to redistribute income to the poor. the ability to cut taxes. the flexibility to respond to unexpected crises.

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The main benefit of government debt is the flexibility it provides to respond to unexpected crises. The correct answer is d.

Government debt allows governments to access funds quickly in times of emergencies or economic downturns, providing a safety net to support the economy and maintain public services.

In addition, debt can be used to fund important investments in infrastructure, education, and healthcare, which can help promote economic growth and improve the well-being of citizens. While government debt can be a contentious issue, its ability to provide flexibility and support during times of crisis cannot be ignored.

Therefore,main benefit of government debt is the flexibility it provides to respond to unexpected crises.

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This summer we have been taking the truck to different local community events. This involves a great deal of driving every day, but sometimes they are not well attended. should we look at other options? Which of the 4 Ps does Silas think they need to to change?
1. Product 2. Promotion 3. Price 4. Place

Answers

the issue is with the "Place" element of the marketing mix

Marketing Mix

The problem appears to be with the "Place" component of the marketing mix. The company takes the truck to various local community events, but they are not always well attended. This suggests that the current "Place" or location may not be the best fit for the target audience.To address this issue, the company could look into other "Place" options, such as finding new locations with higher foot traffic or attending events that are more targeted towards their ideal customers. They might also think about collaborating with local businesses or organisations to increase visibility and reach a larger audience.While the other components of the marketing mix (product, promotion, and price) may need to be adjusted to optimise performance,

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the issue is with the "Place" element of the marketing mix

Marketing Mix

The problem appears to be with the "Place" component of the marketing mix. The company takes the truck to various local community events, but they are not always well attended. This suggests that the current "Place" or location may not be the best fit for the target audience.To address this issue, the company could look into other "Place" options, such as finding new locations with higher foot traffic or attending events that are more targeted towards their ideal customers. They might also think about collaborating with local businesses or organisations to increase visibility and reach a larger audience.While the other components of the marketing mix (product, promotion, and price) may need to be adjusted to optimise performance,

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______is the time between placement of an order and its receipt. one of the factors that affects it is

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Lead time is the time between placement of an order and its receipt.

The time between placement of an order and its receipt is called "lead time." Several factors can affect lead time, including availability of raw materials, production capacity, transportation, and logistics. Other factors that can affect lead time include the complexity of the manufacturing process, the location of the supplier and the customer, and any delays caused by customs or other regulatory requirements. Additionally, unexpected events such as natural disasters, labor strikes, or other disruptions can also impact lead time.

Lead time is the time it takes for an order to be fulfilled from the moment the customer places the order until the order is received. In other words, it's the time between the initiation of an order and its delivery. Lead time is an essential metric in supply chain management because it affects a company's ability to deliver products to customers on time and to maintain adequate inventory levels.

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Critical performance goals for KPIs and BRs require greater improvement than stretch performance goals T or F

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The statement is True. Critical performance goals for KPIs (Key Performance Indicators) and BRs (Business Results) require greater improvement than stretch performance goals.

Critical performance goals are the minimum acceptable level of performance needed to meet organizational objectives, while stretch goals are more ambitious targets that go beyond what is expected or required.

Therefore, meeting critical performance goals is crucial for ensuring that the organization achieves its desired outcomes and performs at a satisfactory level, while achieving stretch goals can result in even greater success and performance.

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