general industries is expected to generate the below free cash flows over the next five years, after which free cash flows are expected to grow at a rate of 5% per year. if the weighted average cost of capital is 9% and general industries has cash of $15 million, debt of $45 million, and 80 million shares outstanding, what is general industries' expected current share price?

Answers

Answer 1

The predicted current share price for General Industries is $7.78. if the weighted average cost of capital is 9%, cash is $15 million, debt is $45 million, and there are 80 million shares outstanding.

Why should a value consider free cash flow?

A greater price to free cash flow ratio in comparison to similar businesses suggests that a company's stock is overpriced. The price to free cash flow ratio can be used to evaluate a company's stock price in relation to its historical cash management methods.

Free cash flow calculation methods is?

Subtract your capital expenditures and changes in working capital after adding your net income and depreciation. Net income plus depreciation and amortization, changed working capital, and capital expenditure are all included in free cash flow.

To learn more about Free Cash Flow here:

https://brainly.com/question/14762501

#SPJ4


Related Questions

What is a lobby or interest group?

Answers

The act of lobbying is the direct approach taken by a lobbyist to influence public figures to promote the agenda of their clientele. The National Rifle Association is an illustrative lobbying organization. Interest groups are associations of people who get together for the purpose of influencing the government.

As it was already established, lobbying comprises putting pressure on policymakers to produce favourable results. To accomplish their goals, interest groups develop a strategy or action plan and implement it using specific methods. The suggested technique and the actual procedures used, varies significantly amongst political regimes. Three factors are especially important when choosing lobbying tactics and strategies. One is whether a nation has an autocratic or democratic political system. Interest groups often have more opportunities in democracies since there are less restrictions on them. Plans and strategies are therefore more planned and transparent in democratic countries than they are in authoritarian ones, where they must be more ad hoc and less visible to the public.

Learn more about lobby from

brainly.com/question/29788405

#SPJ4

What is the largest expense of the government?

Answers

public welfare is the largest expense of the government. Government typically consists of the legislative, the executive branch.

An organized community is governed by a system or collection of people known as a government, which is typically a state.

Government typically consists of the legislative, the executive branch, and the judiciary, according to its broad associative meaning. Government is both a tool for deciding policy and a way to implement organizational policies. A constitution is a statement of a government's guiding ideas and ideology that is present in many nations.

Although all organizations have a governance structure, the term "government" is frequently used to refer more precisely to the roughly 200 autonomous national governments and subsidiary organizations.

Democracies, monarchies, and authoritarian and totalitarian regimes are the main categories of political structures in the contemporary.

[1] Monarchy, aristocracy, timocracy, oligarchy, democracy, theocracy, and tyranny are examples of historically common types of government.

Learn more about government here

https://brainly.com/question/16940043

#SPJ4

define coupon and market/effective interest rates as they determine bond pricing at par, premium, or discount values.

Answers

When a coupon is greater than the prevailing interest rate, bond prices rise; when a coupon is lower, bond prices fall.

Is the bond's price set at its par value by the coupon rate? Compared to other bonds, a bond's coupon rate .Bond prices are significantly influenced by current market interest rates.The price of a bond increases when a coupon is greater than the current interest rate; when a coupon is lower, the price of the bond decreases.If the purchase price of a bond is equal to its par value, its yield to maturity is also equal to the coupon rate.The face value of a bond, also known as the stated value of the bond at the time of issuance, is what is known as the bond's par value.The typical par value for bonds is $100 or $1,000.The interest rate is the cost that the lender levies to the borrower in exchange for the amount that is borrowed.The bond's face value, which is being invested, is used to determine the coupon rate.The risk associated with lending the money to the borrower is taken into account when calculating the interest rate.

To learn more about coupon rate refer

https://brainly.com/question/26376004

#SPJ4

why do you think setting aside money in your savings and looking for scholarships is a good ""preparation"" step before applying for financial aid?

Answers

yes, money in your savings and looking for scholarships is a good ""preparation"" step before applying for financial aid.

Because they enable you to finance your college education

Avoid going into deep debt after graduating.

Financial Aid: What Is It?

Financial aid is any form of college funding that doesn't come from personal or family resources like savings or income. Grants, scholarships, work-study positions, and loans from the government or the private sector are some examples. Most higher education costs, including tuition and fees, room and board, books and supplies, and transportation, can be met with financial aid.

There are many locations where people can find assistance. This can include organisations like colleges, high schools, community groups, foundations, businesses, and government and state-run institutions. The regulations established by the various sources, as well as federal, state, and university policies, will determine how much financial aid you will receive.

Know more about scholarships visit:

https://brainly.com/question/22685530

#SPJ4

Ip company pays for purchases of materials in full in the month following the purchase. during the previous month, ip had purchases of $25,000. during the current month, ip had purchases of $30,000.The amount that I will pay during the current month for purchases is: ________

Answers

I'll be spending $25,000 on goods in the current month.

What are transactions?

A buy is when something is obtained in exchange for some type of payment, such as products or services. The typical forms of payment are cash of card (to be paid later). A purchase might also be made in return for taking on an obligation or as part of a barter exchange where various non-cash assets are traded.

What do business purchases entail?

The quantity of items a corporation purchased throughout the course of this year is known as purchases in accounting. It also relates to details on the kind, caliber, amount, and pricing of purchased products that should be preserved. They are included in the stock. Purchase discounts and sales offset purchases.

To know more about purchases visit:

https://brainly.com/question/24112214

#SPJ4

why do you think people spend so much money on their wants despite the financial costs?

Answers

Some people spend a lot of money, because they just think about their actual needs  and don`t create budget. They also don't question whether they can function in life without what they want.

Which is more important to your needs or wants?

You can simplify your budget by following the 50-30-20 rule. It states that 50% and 30% of the budget should be devoted to needs and wants, respectively, and the remaining 20% ​​should be devoted to savings or debt repayment.

The difference between budget needs and wants is relatively simple. Needs are things you need to live a healthy life, and wants are things you wish you had but ultimately don't have.

Why should we put our needs before our wants?

Knowing what you need and want is essential in managing your finances. Categorizing your needs into your wants helps you track your spending and invest your extra money wisely. It also helps you cut costs.

To learn more about needs and wants visit:

https://brainly.com/question/17605433

#SPJ4

a project manager finds that a particular activity has a slack of one week based on the critical path method (cpm). which statement is correct?

Answers

The lengthiest series of activities that must be finished in order to finish a project.

What Is the Critical Path Method (CPM):

Project managers utilize the critical path method (CPM) to develop a project schedule and determine how long a project will take overall.

The CPM approach, sometimes referred to as critical path analysis (CPA), involves constructing a network diagram to illustrate the order in which activities must be carried out in order to finish a project. After defining these work sequences or pathways, their time is estimated to determine the crucial path, which establishes the project's overall length.

Why Is CPM Important in Project Management:

Tasks that make up projects must follow a timetable in order to finish them by the deadline. Although it seems straightforward, if the work isn't mapped out, your project's scope might easily spiral out of control and become unmanageable.

The critical path technique is crucial when managing a project since it helps you identify all the activities required to finish the project, decide which ones must be completed by a certain deadline, which ones may be postponed if necessary, and how much float or slack you have.

Learn more about Critical Path Method:

brainly.com/question/15091786

#SPJ4

Unfortunately, the employees have few alternatives to their current jobs, meaning the company "holds all the cards." Which approach to negotiation are you facing? Game theory Individual differences Situational characteristics Cognitive approach

Answers

This approach to negotiation resembles Situational characteristics.

What are the five negotiation strategies?

Five main negotiation strategies are available: accommodating, avoiding, cooperating, competing, and compromise. One or more of these many negotiating approaches are frequently used in a negotiation that is effective. Negotiation techniques can be helpful in both professional and private settings. The two main camps in negotiations are integrative (also known as collaborative, principled, value added, or win-win to name a few) and distributive (also called competitive, value- claiming, bargaining, or win-lose).

What is the most effective tactic for entering negotiations?

Negotiators should adhere to the following negotiating methods in order to launch a successful negotiation campaign: Never assume victory in a complicated, multiparty situation. Before you need their assistance, find possible allies and cultivate them. At the outset of the procedure, list all of your likely and potential opponents.

To know more about negotiation, visit:

https://brainly.com/question/6367770

#SPJ4

fedex corporation reported the following rounded amounts (in millions): 2019 2018 accounts receivable $9,415 $8,880 allowance for doubtful accounts (300) (400) accounts receivable, net of allowance $9,115 $8,480 net sales (assume all on credit) $69,690 $65,450 required: determine the receivables turnover ratio and days to collect for 2019. do the measures calculated in requirement 1 represent an improvement (or deterioration) in receivables turnover, compared to 2018, when the turnover was 8.1?

Answers

The debtor's turnover ratio, sometimes referred to as the accounts receivable turnover ratio, is an efficiency ratio that assesses how effectively a.

What is a good turnover ratio for receivables?

Companies should aim for a ratio of at least 1.0 to ensure they collect the whole amount of average accounts receivable at least once during a period. In general, a greater accounts receivable turnover ratio is advantageous.

Is an accounts receivable turnover ratio of 8 a good one?

industry average turnover rates for the company.

If you can compare an AR turnover ratio of 7.8 to the average for your industry, it has greater analytical value. A ratio of 5.7 would indicate that Company X is performing better than its competitors than the industry average of 10, which is 10.

To know more about receivables turnover visit:-

https://brainly.com/question/16447941

#SPJ4

It is most economically and environmentally sound to focus water resource management on.

Answers

The most sensible use of water is to concentrate on resource management, which will increase the effectiveness of how we use it.

What is the water resource management?

The process of planning, establishing, and managing water resources—both in terms of their quantity and quality—across all water users is known as water resources management (WRM). It encompasses the organizations, physical facilities, financial incentives, and informational systems that support and direct water management. Conservation, allocation, retrofit programs, and behavioral approaches are several categories of water management techniques.

What is the importance of water resources management and what are the methods of it?

Water management is crucial since it influences what can be expected from irrigation in the future. Water management is the control of water resources according to established rules and guidelines. Due to droughts and abuse, water, a resource that was previously plentiful, is now a more valuable commodity. Stormwater management, wastewater treatment, water supply, & preservation of existing water sources make up the four main pillars of integrated water resource management.

Reusing or conserving water, together with using alternate water sources, helps to recycle ground water. Rainwater irrigation, groundwater depletion, the reuse of gray water, and wastewater recycling are all aspects of this strategy.

To know more about Water Resource visit:

https://brainly.com/question/17087339

#SPJ4

Investments with longer payback periods are more​ desirable, all else being equal.

Answers

Investments with longer payback periods are more desirable, all else being equal. The payback method can be used when net cash inflows from the capital investment are unequal.

Investment is the determination of money to acquire an asset to obtain a growth in price over a time period. Investment requires a sacrifice of a few gift help, including time, cash, or effort. In finance, making an investment aims to generate a return from the invested asset.

The funding includes bonds, shares, and PPF amongst others, which enables growing cash and presents a further source of income. As investment enables us in developing our cash over a certain period of time, there is a particular risk accompanying the funding.

Learn more about investment here:-https://brainly.com/question/29699941

#SPJ4

When the executive branch and its agencies translate laws into routine procedures and practices, this is called?

Answers

When the executive branch and its agencies translate laws into routine procedures and practices, this is called implementation.

Congress created the Foreign Affairs, Treasury, and War departments as the three executive departments in 1789. Foreign Affairs was eventually renamed State in the same year. Furthermore, the roles of the attorney general and postmaster general were specified. Multiple departments were given jurisdiction over domestic problems by Congress. The initial internal building, 1852–1917.

Delegates to the Convention were reluctant to give one person too much authority.

In the end, they created the executive branch and included a system of checks and balances in the Constitution, resulting in the single President system we have today.

To know more about Executive Branch here

https://brainly.com/question/29817895

#SPJ4

the balances of the major classes of plant assets and accumulated depreciation by major classes should be disclosed in the balance sheet or notes. group of answer choices true false

Answers

This statement is true. The balances of the major classes of plant assets and accumulated depreciation by major classes should be disclosed in the balance sheet or notes.

What is balance sheet ?A balance sheet is a financial statement that presents a company's financial position at a specific point in time. It shows the balances of the major classes of assets, liabilities, and equity, and provides information about the company's assets, liabilities, and equity, as well as the net amount of assets and liabilities. The balance sheet is one of the three primary financial statements, along with the income statement and the statement of cash flows. These statements are important because they provide information about a company's financial position, performance, and cash flow, which can be useful to investors, creditors, and other stakeholders.

To learn more about balance sheet refer :

https://brainly.com/question/1113933

#SPJ4

unfavorable condition in revenues occurs when actual figures exceed budgeted figures, and vice versa. group of answer choices true false

Answers

The given statement is false. The organization gains from the budget variation when real revenue or expenses surpass or fall short of the budget.

A budget variation is the disparity between the baseline or planned amount of an expense or revenue and its actual amount.  It is occasionally possible to refer to the difference between actual assets and liabilities and budgeted assets and liabilities as the budget variance.

The baseline against which actual achievements are judged is frequently unreasonably low due to flawed assumptions or inappropriate budgeting (such as utilizing politics to establish an exceptionally simple budget objective).

By simply combining budget line items, it is possible to minimize some budget variations. For instance, the two line items might be consolidated for reporting purposes into a utilities line item with a net positive variance of $1,000 if there is a negative power budget variance of $2,000 and a positive telephone expense budget variance of $3,000.

To know more about revenues click here,

https://brainly.com/question/23706629

#SPJ4

Given existing inputs, markets, and legal institutions, what term is used to describe the maximum quantity that an economy can produce in the ad/as model?
a. GDP deflator b. aggregate supply c. potential GDP

Answers

Potential GDP, also known as full-employment GDP, is the greatest amount that an economy can create when all of its physical capital, human capital, technological resources, and institutional resources are utilized to their full potential.

The amount of output that a country's economy is capable of producing at a constant rate of inflation is known as the potential gross domestic product (GDP) and is specified in the OECD's Economic Outlook publication.

Potential labor force growth (the number of persons who desire to be employed when the labor market is robust) and potential labor productivity growth are the two factors that influence potential GDP growth.

To learn more about GDP

https://brainly.com/question/15682765

#SPJ4

the suta rate for westcoast publishers is 5.4% and its futa rate is 6.0% less the 5.4% suta credit. if its biweekly payroll was $32,806.00 for 47 employees and none was for payments to employees in excess of the $7,000.00 wage base, then what were the total futa and suta taxes for the payroll?

Answers

The suta rate for westcoast publishers is 5.4% and its futa rate is 6.0% less the 5.4% suta credit.The amount of credit the business would be granted in comparison to its SUTA contributions' FUTA tax =2896.21 (56900*3.1%*90%)+H(56900*(5.4%-3.1%) = 2896.21.

The amount Peroni Company would be required to pay the for the federal government's FUTA tax: 517.79

(56900"6%)-2896.21 =517.79 Amount the payment business lost as a result of its. Late fees equal 176.39=51779-(3414-1763.9-13087) =176.39.FUT rate is 0.6%. 5.4% for SUTA. Using both taxes on the initial $7,000 of employee pay (0.006 x $7,000) + (0.054 x $7,000) $42 + $378 = $420.FUTA stands for Federal Unemployment Tax Amount. by the employer on the initial $7,00 each paid during the year as salary for the employee. Whereas SUTA, which is the State Unemployment Tax.

To know more about Suta taxes visit:

https://brainly.com/question/12923477

#SPJ4

rustici says that most modern economists do not consider the smoot-hawley tariff a significant cause of the great depression. why reasoning do these economists give for their belief?

Answers

The Smoot-Hawley Tariff Act did not start the Great Depression, but it did make things worse.

Did the Smoot-Hawley Tariff cause the Great Depression?The Smoot-Hawley Tariff Act did not start the Great Depression, but it did make things worse. The Act raised tariffs, which put additional pressure on struggling countries—including those that owed money to the United States—and prompted other countries to retaliate by enacting their own levies.It significantly reduced the volume of exported goods and considerably increased the price of imports, making them expensive for all but the wealthy, which led to bank failures, particularly in rural areas.It became more difficult for the United States to emerge from its slump as a result of other nations' restrictions on international trade in response to the United States' tariffs.

To learn more about Smoot-Hawley Tariff Act refer,

https://brainly.com/question/2702140

#SPJ4

leadership is the ability to marshal human, informational, and other resources to get something done.a. trueb. false

Answers

Leadership is the ability to marshal human, informational, and other resources to get something done is false.

The Oxford Dictionary defines leadership as “the action of leading a group of people or an organization.” Leadership, put simply, is about taking chances and questioning the status quo. Leaders inspire followers to take new and improved actions.

A good leader is able to bring out the best qualities in his or her team members and inspire them to collaborate in order to achieve a common objective, so these abilities are crucial to possess. A good leader maintains the team’s focus and keeps them on task to prevent delays.

Leadership is the ability to marshal human, informational, and other resources to get something done is false.

To know more about Leadership visit:

https://brainly.com/question/29750214

#SPJ4

If the economy is currently in short-run equilibrium at point a, what type of monetary policy would be most effective to bring the economy back to long-run equilibrium?
a) expansionary monetary policy to shift AD to the right
b) expansionary monetary policy to shift SRAS to the right
c) contractionary monetary policy to shift AD to the right
d) contractionary monetary policy to shift SRAS to the right

Answers

Expansionary monetary policy to shift AD to the right would be most effective to bring the economy back to long-run equilibrium.

What is Expansionary monetary policy?

Short-term interest rates are lowered or the money supply is increased more quickly than normal as a result of expansionary monetary policy. It is implemented by central banks and accomplished through interest rate setting, reserve requirements, and open market activities.

Expansionary policy, sometimes referred to as loose monetary policy, expands the availability of money and credit to spur economic development. In difficult economic circumstances, a central bank may use an expansionist monetary policy towards lower unemployment and increase growth.

To learn more about Expansionary monetary policy

https://brainly.com/question/28038989

#SPJ1

medwig corporation has a dso of 34 days. the company averages $9,000 in sales each day (all customers take credit). what is the company's average accounts receivable? assume a 365-day year. round your answer to the nearest dollar.

Answers

The Medwig corporation's average amount receivables after rounding to the nearest dollar is $389.

The receivables turnover ratio, also known as the ratio of accounts receivable, is used in business accounting to quantify how well businesses are managing the credit that they extend to their customers. It does this by looking at how long it takes to collect the outstanding debt over the course of the accounting period. Two crucial business purposes are served by the accounts receivable ratio. Businesses must first comprehend how soon payments are gathered in order to pay their own expenses and efficiently plan upcoming investments. The ratio also enables companies to determine if their credit policies and practices support healthy cash flow and sustained business growth.

To learn more about Business click here

brainly.com/question/15826604

#SPJ4

What is the role of the central bank in a monetary economy?

Answers

monetary economy Conducting monetary policy to attain price stability low and stable inflation and assist in managing economic fluctuations is a crucial function of central banks.

Over the past few decades, significant modifications have been made to the policy frameworks within which central banks function. In order to implement monetary policy, central banks must modify the money supply, typically through open market operations. For instance, a central bank could lower the amount of money by obtaining funds from commercial banks by selling government bonds under a "sale and repurchase" deal. Fundamentally, monetary policy has the power to affect the price level, both the rate of inflation and the overall level of prices in an economy. Additionally, it makes sense to implement a more expansionary monetary policy when there is evidence that inflation is declining or will do so in the near future.

learn more about central bank monetary here:

https://brainly.com/question/29443687

#SPJ4

the crash, inc. has an roe of 12%, a payout ratio of 60%, earnings next year of $8 per share, a required return of 18%, and a current price of $36.36 find the present value of growth opportunities for crash. multiple choice question. -$10.10 -$8.08 -$13.11 -$9.28

Answers

The present value of growth opportunities for crash is -$10.10.

The Present Value of Growth Opportunities (PVGO) is calculated by subtracting the present value of future dividends from the current stock price.

Given the information provided, the present value of future dividends can be calculated as follows:

Earnings/Share * (1 - Payout Ratio) * (1 + Required Return) = Future Dividend/Share

$8 * (1 - 0.60) * (1 + 0.18) = $4.32

The present value of future dividends can then be calculated using the following formula:

Future Dividend/Share * (1 / (1 + Required Return)^Number of Years) = Present Value of Future Dividends

$4.32 * (1 / (1 + 0.18)^1) = $3.59

The Present Value of Growth Opportunities can then be calculated by subtracting the present value of future dividends from the current stock price:

Current Stock Price - Present Value of Future Dividends = Present Value of Growth Opportunities

$36.36 - $3.59 = $32.77

Therefore, the Present Value

To know more about value here

https://brainly.com/question/15518962

#SPJ4

What are three responsibilities of the dental assistant during operative procedures?

Answers

They prepare trays of instruments for dental treatments, sterilize and clean tools and equipment, and advise patients on post-operative and general oral health care.

A crucial element of the oral healthcare team is a highly qualified dental assistant. Dental assisting is a vocation that demands devotion, self-control, morality, and a dedication to further education.

The dental assistant is skilled in dental procedures and carries out routine office tasks, such as a range of patient care, office, and laboratory tasks. As dentists assess and treat patients, dental assistants work at the patient's side. Dental assistants prepare patients for examinations, treatments, and surgeries while recording vital signs, dental histories, and medical information.

In addition to preparing dental materials and injections, they expose and generate dental radiographs.

Dental assistants are well-versed in the tools, materials, techniques, and equipment needed for every dental operation, as well as in the correct cleaning, sanitizing, and infection control procedures.

learn more about dental treatments here

https://brainly.com/question/28288338

#SPJ4

assume there is a fixed exchange rate between the yen and the u.s. dollar. the expected return and standard deviation of return on the u.s. stock market are 21% and 15%, respectively. the expected return and standard deviation on the japanese stock market are 13% and 12%, respectively. the covariance of returns between the u.s. and the japanese stock markets is 2.5%. if you invested 60% of your money in the japanese stock market and 40% in the u.s. stock market, the expected return on your portfolio would be:

Answers

The deviation of a portfolio's returns from the mean is known as the standard deviation. The individual standard deviations and proportionate weights of the portfolio components are used to calculate it.

The portfolio's standard deviation is; qP=(wA2qA2+wB2qB2+2wAwBcovAB)1/2

What is meant by a standard deviation?

A measure of how dispersed the data are in relation to the mean is called the standard deviation (or ). Data with a low standard deviation are grouped around the mean, while data with a high standard deviation are more dispersed.

What is an example of a standard deviation?

Think about the data set: 2, 1, 3, 2, 4. The mean and the amount of squares of deviations of the perceptions from the mean will be 2.4 and 5.2, individually. As a result, the standard deviation will be 1.01 (5.2/5).

Learn more about standard deviation here:

https://brainly.com/question/23907081

#SPJ4

merchandise management is one aspect of customer service that should be carefully managed for the reasons listed except which one?

Answers

merchandise management is one aspect of customer service that should be carefully managed for the reasons listed except  Manage markdowns regularly to ensure slow.

The process through which each retailer chooses what products to carry, inventory levels, where items are put in a shop, and how they should be priced to maximize sales and profits is known as merchandise management. The fundamental unit used to manage items in a retail merchandise s a category. A company's products and promotional materials are sourced, managed, and curated by merchandise managers, who are analytical experts. Merchandising managers are responsible for managing the purchasing process, predicting inventory needs and trends, and negotiating with suppliers. It is known as merchandising. The four main parts of merchandising are planning, management, buying, and controlling. Above all, these four elements must result in offering the customers of the store a highly desired goods combination.

Learn more about merchandise  from

brainly.com/question/29239594

#SPJ4

which type of country is germany? a. global b. core c. semi-peripheral d. peripheral e. none of the above

Answers

Germany is a core country .Hence, option b. core is correct.

The core, semiperipheral, and periphery countries make up the hierarchy of the global economic system, according to Wallerstein.

Core nations (such as the United States, Japan, and Germany) are powerful capitalist nations distinguished by high levels of industrialization and urbanisation.

Germany unified in 1871 and quickly rose to prominence as the continent's top industrial nation. They became a core state because of their desire to rule the continent.

South Korea, Taiwan, Mexico, Brazil, India, Nigeria, and South Africa are examples of semi-peripheral countries that are more developed than peripheral countries but less developed than core countries. They act as a barrier between the core and the periphery of the world.

To know more about Germany here

https://brainly.com/question/12882742

#SPJ4

with no inflation, a bank would be willing to lend a business firm $5 million at an annual interest rate of 2%. but if the rate of inflation was expected to be 4%, the bank would most likely charge the firm an annual interest rate of

Answers

If no inflation, a bank would be willing to lend a business firm $5 million at an annual interest rate of 2%. but if the rate of inflation was expected to be 4%, the bank would most likely charge the firm an annual interest rate of 6%.

How to find the annual interest rate?

Using this formula to find the annual interest rate that the firm will be charge

Nominal interest rate = Annual interest rate + Rate of inflation

Where

Annual interest rate=2%

Rate of inflation =4%

Let plug in the formula

Nominal interest rate = 2% + 4%

Nominal interest rate =6%

Therefore we can conclude that the Nominal interest rate is 6%.

Learn more about Annual interest rate here:https://brainly.com/question/15886502

#SPJ1

dave krug finances a new automobile by paying $6,500 cash and agreeing to make 40 monthly payments of $500 each, the first payment to be made one month after the purchase. the loan bears interest at an annual rate of 12%. what is the cost of the automobile? (pv of $1, fv

Answers

Dave krug finances a new automobile by paying $6,500 cash and agreeing to make 40 monthly payments of $500 each, the first payment to be made one month after the purchase. the loan bears interest at an annual rate of 12%. The cost of the automobile is $22,917.34

The cost of the automobile can be calculate as follows:

Monthly Payment = (Cost of automobile - down payment)* interest

interest = [i/12]/[1-(1+i/12)⁻ⁿ] = [0.12/12]/[1-(1+0.12/12)⁻⁴⁰] = 0.03046

where

i is annual rate

n is long monthly payments

Therefore,

Monthly Payment = (Cost of automobile - down payment)* interest

500 = (C-6,500)*0.03046

C-6,500 = 500/0.03046 = 16,417.34

C = 22,917.34

The cost of the automobile was $22,917.34

your question is incomplete but most probably the full question was

dave krug finances a new automobile by paying $6,500 cash and agreeing to make 40 monthly payments of $500 each, the first payment to be made one month after the purchase. the loan bears interest at an annual rate of 12%. what is the cost of the automobile? PV of $1, FV of $1, PVA of $1, and FVA of $1) (Use appropriate factor(s) from the tables provided. Round PVA factor to 4 decimal places.)

learn more about cost of the car at https://brainly.com/question/17136371

#SPJ4

a company produces three types of shoes, formal, casual, and athletic, at its two factories; factory i and factory ii. the company must produce at least 6000 pairs of formal shoes, 8000 pairs of casual shoes, and 9000 pairs of athletic shoes. daily production of each factory for each type of shoe isoperating factory i costs $1500 per day and it costs $2000 per day to operate factory ii. what is the minimum cost to operate both factories? round your answer to the nearest whole number. do not include a dollar sign or comma in your answer.

Answers

Answer:

100000

Explanation:

Let x be the days Factory I operates and let y be the days Factory II operates. Since we are trying to minimize cost, our objective function represents the total cost from operating Factory I and Factory II. This function is defined by

C(x,y)=1500x+2000y

The first constraint is that the company must produce at least 6000 pairs of formal shoes and we know that Factory I and Factory II each produce 100 formal shoes. This translates into the following inequality.

100x+100y≥6000

The second constraint is that the company must produce 8000 pairs of casual shoes and we know that Factory I produces 100 casual shoes and Factory II produces 200 casual shoes. This translates into the following inequality.

100x+200y≥8000

The third constraint is that the company must produces 9000 pairs of athletic shoes and we know that Factory I produces 300 athletic shoes while Factory II produces 100 athletic shoes. This translates into the following inequality.

300x+100y≥9000

The fact that x and y must be positive numbers is represented by the following two constraints:

x≥0,y≥0

Using all of this information, our problem is as follows.

Minimize: C(x,y)=1500x+2000y

Subject to: 100x+100y≥6000

100x+200y≥8000

300x+100y≥9000

x≥0

y≥0

The point (40,20) gives lowest cost: $100,000 .

what is the total net amount of property plant and equipment that will be reported on the balance sheet

Answers

Property Plant and Equipment is the value of all buildings, land, furniture, and other physical capital that a business has purchased to run its operations. The term "Net" refers to the amount after depreciation has been deducted.

What is Property Plant and equipment?

Property, plant, and equipment (PP&E) are long-term assets that are critical to the operation of a business. Property, plant, and equipment are tangible assets, which means they are physical and can be touched; as a result, they are difficult to convert into cash.

Property, plant, and equipment (PPE) are recorded in a company's balance sheet, it is, therefore, essential that these assets are calculated appropriately. The formula for calculating PP&E is:-

Net Property Plant and Equipment = Gross PPE + Capital Expenditures - Accumulated Depreciation.

Therefore, total net amount of property plant and equipment that will be reported on the balance sheet will be after deducting the accumulated depreciation.

To learn more about Property, Plant and Equipment, click here:

https://brainly.com/question/17327177

#SPJ1

Other Questions
with blank selling, the salesperson is an expert on problem recognition and resolution, and novel solutions often arise, thereby creating unique value for the customer. Food cost percentage is defined as A vehicle with power steering makes a hissing or whirring sound when the wheel is turned all the way to the stops. Technician A says this is a normal condition. Technician B says a loud squealing noise during sharp turns may be caused by worn ball joints. Who is correct? which of the following taxpayers may qualify for the premium tax credit? each purchased health care coverage through the healthcare marketplace, and each received form 1095-a, health insurance marketplace statement. none received unemployment income. alanis. she files single and her tax liability is zero. caleb. he and his spouse file married filing separately, but live in the same house. jordan. he files head of household and was eligible for employer-sponsored coverage, but he chose not to enroll in the plan because it would have cost him 5% of his household income. sydney. she files single and will be claimed as a dependent on her grandmother's return. What is the meaning of the term splitting and why is it used? A recent income statement of mcclennon corporation reported the following data: units sold 8,000 sales revenue $ 9,600,000 variable costs 6,000,000 fixed costs 2,600,000 if the company desired to earn a target profit of $1,270,000, it would have to sell:. in a group of 700 people, must there be 2 who have matching first and last initials? why? (assume each person has a first and last name, and the initials are from the 26 letters of the roman alphabet.) An employee started a new job and must enroll in a new family health insurance plan. One of the options involves prescription drug coverage.The employee estimates that the entire family will fill 6 prescriptions per month, totaling $850. The monthly premium for the plan is $55, with 90% coverage for the first $600 in prescription costs, then 80% coverage for all prescription costs over $600. What is the total out-of-pocketexpense for one month?A. $685B $795C $110D $165 What are the 4 elements of satire? compared with autarky, international trade leads to _____ domestic production in exporting industries and _____ domestic production in import-competing industries. Jill left a classified document on a photocopier and Jack found it when he went to make a copy Jack has the appropriate personnel security clearance eligibility, but he does not have a need-to-know for the information that was left on the copier This is an example of unauthorized disclosure of classified information due to improper safeguarding procedures When aliquoting specimens a shield or splash-guard is used to protect phlebotomist from what is the most common presenting objective symptom of a urinary tract infection in older adults, especially in those with dementia? change in cognitive functioning back pain incontinence hematuria How do you find the scale factor of a dilation with coordinates? 95% of the word live in countries that have adopted the metric system true or false Claire said 4/3 /5/2 is 10/3. She reasoned 4/3 *5 = 20/3 and 20/3 / 2= 10/3 Maya planted sunflowers in the community garden. During her last visit to the garden, the plants were 80 inches tall. Today, Maya found them to be 15% taller. How tall are the sunflowers now? The main reasons both citizens and presidents wanted to refrain from getting involved with the second World War was because they wanted to prevent more American loss after the first war, and because they wanted to stay out of foreign affairs to minimize further conflict. The US wanted to maintain isolationism after World War I to keIs this plagiarized? the compound ammonia, nh3, is a weak base when dissolved in water. write the kb expression for the weak base equilibrium that occurs in an aqueous solution of ammonia: 4. how would your experimentally determined vinegar concentration have differed if you had over-titrated (added drops of naoh to the analyte beyond the stoichiometric equivalence point)?