You would have $532.77 in Amazon shares by the end of the period.
To find out how much you would have by the end of the 5-year period after investing $100 in Amazon at the beginning, given that the price of Amazon shares rose by 38.8% a year, follow these steps:
1. Convert the annual growth rate to a decimal: 38.8% = 0.388
2. Calculate the growth factor by adding 1 to the decimal: 1 + 0.388 = 1.388
3. Raise the growth factor to the power of the number of years (5): 1.388^5 = 5.3277 (rounded to 4 decimal places)
4. Multiply the initial investment by the growth factor: $100 x 5.3277 = $532.77
By the end of the 5-year period, you would have $532.77 in Amazon shares.
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What are the interest cost and the total amount due on a six-month loan of $1,500 at 13.2 percent simple annual interest? (Do not round intermediate calculations. Round your answers to the nearest whole number.)
The total amount due on the loan is $1,599. To calculate the interest cost and total amount due on a six-month loan of $1,500 at 13.2 percent simple annual interest, we can use the following formula:
Interest = Principal x Rate x Time
Where:
Principal = $1,500
Rate = 13.2% per year
Time = 6 months
To convert the annual interest rate to a monthly rate, we divide by 12:
Monthly rate = 13.2% / 12 = 1.1% per month
Now we can calculate the interest cost:
Interest = $1,500 x 1.1% x 6 = $99
The interest cost is $99.
To find the total amount due, we add the interest cost to the principal:
Total amount due = $1,500 + $99 = $1,599
The total amount due is $1,599
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How creamy is creamy
Answer:
creamy
Explanation:
Answer:
c r e a m
Explanation:
You are managing a project to build an urgent care clinic. Your company is expanding and has constructed 25 clinics so far. Which estimating technique makes the most sense to use in this situation?
Answer:
Delphi technique
Explanation:
The Delphi model is a technique of group communication in which a panel of experts reach consensus on a set of questions and discussions. This is used to predict or to forecast. First, choose an effective facilitator and experts with relevant expertise, and ensure that the issue is well established after that they reach with a decision
Therefore in the given case, the delphi technique is used
mom???????????????????????
mom ??????????????????????
Answer:
Go back to bed sweetie, here some fruit snacks now go to sleep.There are no monsters under your bed honey.
Explanation:
Have a great day.
ANSWER QUICKLY PLEASE
Read the following scenario, and then answer the question below.
An intern notices a problem with a new software package. She then complains to a technician who criticizes the new package. An engineer overhears their criticism, asks some more questions about the problem, and proposes a solution to their supervisor.
Who is demonstrating critical thinking?
the intern, who noticed the problem and complained about it
the technician, who criticized the new software package
the engineer, who investigated the problem and proposed a solution
the supervisor, who understood the problem and implemented the idea
Which of the following is least likely to help a team solve a problem together?
meet as a team and examine a problem
divide work according to skill and ability
reconvene with team members periodically until a problem is solved
limit communication between meetings to maximize creative thinking
Answer:c
Explanation:
the engineer, who investigated the problem and proposed a solution
An engineer, who investigated the problem and proposed a solution was demonstrating critical thinking. Hence, option C is appropriate.
Who is An Engineer?Engineers are specialists who create, design, analyze, construct, test, and evaluate machines, complex systems, buildings, gadgets, and materials to satisfy functional objectives and criteria while taking into account practicality, regulation, safety, and cost constraints.
An engineer is indeed a specialist who creates, designs and maintains a wide range of tools, buildings, and information systems. Engineers must also follow the budget and timeline requirements set forth by their employers. Engineers are masters in their domains, always inventing and developing.
The Latin terms ingeniare and Ingenium are the roots of the English word engineer (Latin inventor) ("cleverness"). A four-year liberal arts degree in engineering, or some territories, a master's degree in engineering, along with between four and six years of participant professional conduct (culminating in a project or thesis), and passing the engineering board examinations make up the fundamental requirements for becoming an engineer.
Hence, option C is correct.
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social responsibility is at its highest when the moderate view, or government's hand theory, of corporate social responsibility is utilized. true or false
The idea that social responsibility is at its highest when this view is utilized is false
What is social responsibilityThe moderate view or "government's hand" theory of corporate social responsibility suggests that businesses should comply with legal requirements and work in the best interest of their shareholders, while leaving social and environmental issues to the government to regulate. This view is more focused on economic performance and profit maximization than on social responsibility.
The idea that social responsibility is at its highest when this view is utilized is therefore incorrect. In fact, some argue that a more proactive and involved approach to social responsibility, such as the stakeholder theory, which considers the interests of all stakeholders, including employees, customers, suppliers, and communities, is necessary for businesses to be truly socially responsible.
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Assume that a certain business has $1,000 worth inventory, $1,000 cash in bank, and $10,000 receivable from customers in three months. Further, the business needs to pay a short-term loan worth $5,000 in less than six months. What might be the working capital requirement of this business?
A.
$5,000
B.
$6,000
C.
$7,000
D.
$8,000
E.
$12,000
Answer:
A. $5,000
Explanation:
Plato
The working capital requirement of this business is $5,000. Thus, option A is correct.
What is working capital?A financial term known as working capital (WC) measures the operating liquidity that is accessible to a company, organization, or other organization, including governmental agencies.
Working capital is seen as a component of operational capital, along with fixed assets like plant and equipment. Current assets are equal to gross working capital. Current assets less Current Liabilities equals Working Capital. An entity has a working capital deficiency, also known as a working capital deficit and negative working capital, if current assets are fewer than current liabilities. Despite having assets and profits, a business may lack liquidity if its assets cannot be quickly transformed into cash.
Therefore, we can conclude that option A is correct.
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Upward growth usually occurs when _______. a. high-rise buildings are available b. spreading out is possible c. resource conservation is unimportant d. a limited amount of land is available please select the best answer from the choices provided a b c d
Upward growth usually occurs when a limited amount of land is available.
The process of growth; development. The emergence of nuclear science. Something growing or growing upwards. Part of the pituitary gland is a palatal growth.
The logic is clear: the more people, the better. Adding employees means expanding your workforce. New residents mean new customers for local businesses and increased tax revenue. Increased income allows cities to invest more in roads, public transport, schools, arts, and parks.
Compared to bustling cities, rural areas have more available land, which helps keep housing costs low. More Space: There is more space physically in this country. In addition to a larger house, you can also purchase surrounding land.
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(Related to Checkpoint 9.3) (Bond valuation) Doisneau 25-year bonds have an annual coupon interest of 14 percent, make interest payments on a semiannual basis, and have a $1,000 par value. If the bonds are trading with a market's required yield to maturity of 12 percent, are these premium or discount bonds? Explain your answer. What is the price of the bonds? G a. If the bonds are trading with a yield to maturity of 12%, then (Select the best choice below.) O A. the bonds should be selling at a premium because the bond's coupon rate is greater than the yield to maturity of similar bonds. O B. there is not enough information to judge the value of the bonds. O C. the bonds should be selling at par because the bond's coupon rate is equal to the yield to maturity of similar bonds. O D. the bonds should be selling at a discount because the bond's coupon rate less than the yield to maturity of similar bonds.
The bonds are trading at a discount.
When the market's required yield to maturity is lower than the bond's coupon rate, the bond is said to be trading at a premium. However, in this case, the market's required yield to maturity is 12%, which is lower than the bond's coupon rate of 14%. This indicates that the bond is trading at a discount.
A bond's yield to maturity represents the total return an investor can expect to receive if the bond is held until maturity. When the yield to maturity is lower than the bond's coupon rate, it implies that investors are willing to accept a lower return on their investment compared to the coupon payments offered by the bond. This drives the price of the bond down, resulting in a discount.
To calculate the price of the bonds, we can use the present value formula for bond valuation. The price of a bond is the present value of its future cash flows, which include the coupon payments and the face value (par value) received at maturity. Given the coupon rate, coupon payments frequency, yield to maturity, and par value, we can determine the price of the bond using financial calculations.
In this case, the Doisneau 25-year bonds have a 14% annual coupon rate, and interest payments are made semiannually. The par value is $1,000. With a yield to maturity of 12%, we can calculate the price of the bond using the present value formula and the cash flows associated with the bond's coupon payments and par value.
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On January 1, the first day of the fiscal year, a company issues a $1,450,000, 5%, five-year bond that pays semiannual interest of $36,250 ($1,450,000 × 5% × ½), receiving cash of $1,408,720.
Complete Question:
On January 1, the first day of the fiscal year, a company issues a $1,450,000, 5%, five-year bond that pays semiannual interest of $36,250 ($1,450,000 × 5% × ½), receiving cash of $1,408,720
Journalize the first interest payment and the amortization of the related bond discount using the Straight line method
Answer:
Kindly check Explanation
Explanation:
Given the following :
Face value of bond issued = $1,450,000
Cash received on Issuance = $1,408,720
Number of Interest payment on bond = 5 × 2 = 10(semiannual)
Therefore, discount on bond :
$(1,450,000 - 1,408,720) = $41,280
Spreading or amortizing diacou t on bond over the bond duration (use te straight line method)
Discount / period
$41,280 / 10 = $4,128
Interest expense a/c Dr $40,378
To discount on bond payable a/c Cr $4128
To cash a/c $36,250
For the qfd problem 4 matrix, compute the customer requirements absolute weight. technical requirements absolute weight and factor. technical requirements relative weight and factor. which design and technical factors should be emphasized? why?
The following characteristics of a vehicle windshield are essential: glass type, perfect window tinting, window size, and windshield pitch.
What exactly does the word "client" mean?
Customer definition A client is a person or business that buys goods or services from another business. Customers are crucial since they generate revenue. Without them, businesses would not continue to operate.
What do a client and an example mean?
A buyer of products and services is referred to as a customer. Once a customer consumes the products or services, they are considered consumers. There are several types of potential clients, including purchasers, users, administrators, and distributors.
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Question #4
Multiple Choice
Values are principles that typically guide or influence an individual's decision-making process. Two
areas of life most often affected or influenced by values include
emotions and reactions
decisions and responses
physical health and feelings
attitudes and behaviors
The two spheres of life that are most frequently impacted or altered by values are attitudes and behaviors. The correct response is option (4).
Define attitudes and behaviors.An individual's attitude is defined as their mental perspective, or how they feel or think about someone or something. Behavior describes the actions, motions, conduct, or behaviors of an individual or a group toward other individuals. built upon. Experience and observation.
When people put more focus on their own attitudes and feelings, they tend to act more in line with those feelings, therefore there is a link between attitude and behavior. Additionally, when people feel greater responsibility for their individual actions rather than the actions of a collective, their opinions are more consistent with their behavior.
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What is the throughput time? multiple choice 26 days 6 days 12 days
Throughput time is the total time it takes for a product or service to move through a process or system from start to finish. This includes the time it takes for the raw materials to be transformed into finished goods, as well as the time it takes for the finished product to be delivered to the customer.
Throughput time is a critical metric in manufacturing and service industries because it provides insights into the efficiency of the production process and how quickly the business can respond to customer demands.
Throughput time is calculated by measuring the time it takes for a single unit to move through the production process. This includes the time spent in each stage of production, including setup, processing, inspection, and transportation. By tracking the time spent at each stage, businesses can identify bottlenecks in the production process and take steps to eliminate them.
For example, if the throughput time for a particular product is 12 days, a business may want to look at ways to streamline the production process to reduce the time it takes to produce the product. This could involve investing in new equipment, reorganizing the production line, or improving communication between different departments.
Ultimately, reducing the throughput time can help businesses become more competitive and responsive to customer demands. By producing products more quickly and efficiently, businesses can reduce costs, increase productivity, and improve customer satisfaction.
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PLZ HELP: FIND THE PROFIT
Fixed costs are £26,000 per year, and variable costs include wages at £10 per
unit, raw materials at £12 per unit and delivery/packaging at £3 per unit. It is expected that a business will make and sell 750 units during the year, with
a selling price of £26.
Answer:
Net loss -£25,250
Explanation:
The computation of the profit is shown below:
Sales (750 units × £26) £19,500
Less: Variable cost (750 units × £25) £18,750
Contribution margin £750
Less: Fixed cost £26,000
Net loss -£25,250
The £25 could be calculated below:
= £10 + £12 + £3
= £25
Basically applied the above format
the flow of materials from suppliers to customers can be described as a supply network, true or false?
The flow of materials from suppliers to customers can be described as a supply network. This statement is true.
What is supply network?
A supply network is a set of spatial and temporal operations that take place at facility nodes and along distribution channels and provide value for consumers by producing and delivering goods.
Integration, operations, purchasing, and distribution, the four parts of the supply chain, cooperate to build a competitiveness route that is both economical and efficient. A supply network is a collection of suppliers who help a company produce and transport goods while also helping customers. Visibility, optimisation, achieving the lowest cost possible, punctuality, and consistency are qualities of a strong supply chain.
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What was Roosevelt's recovery program called?
Roosevelt's New Deal Recovery programs focused on stabilizing the economy by creating long-term employment opportunities
What was Roosevelt's recovery program?Decreasing agricultural supply to drive prices up, and helping homeowners pay mortgages and stay in their homes, which also kept the banks solvent.The New Deal had three goals relief, recovery, and reform. Relief meant that the president wanted to help those in crisis immediately by creating jobs, bread lines, and welfare. The name of the project of President Franklin Roosevelt’s domestic program which spurred economic recovery in the United States is:According to the given question, we are asked to state the name of the project of President Franklin Roosevelt’s domestic program which spurred economic recovery in the United States.The New Deal was a series of programs, public work projects, financial reforms, and regulations enacted by President Franklin D. Roosevelt in the United States between 1933 and 1939.As a result of this, we can see that the New Deal program was a series of programs and projects which were initiated by the Federal Government to help reduce the economic crunch in the country and they managed to do so successfully.To learn more about recovery program refer to:
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Relationship service marketing differs from traditional service marketing in that in relationship service marketing:
need satisfaction is approached from the standpoint of the "part."
the primary sales contact is through a trained marketing professional.
profitability is assessed on individual services.
the emphasis is on selling the service a customer requests.
In relationship service marketing, the correct statement is: need satisfaction is approached from the standpoint of the "part."
Relationship service marketing focuses on building and maintaining long-term relationships with customers. It recognizes the importance of understanding individual customer needs and preferences. Rather than solely emphasizing selling the service a customer requests, relationship service marketing aims to identify and fulfill the broader needs of the customer, even those they may not explicitly express. It involves tailoring services to meet individual customer requirements and building trust and loyalty over time. The primary goal is to develop strong, mutually beneficial relationships with customers, considering their specific needs and preferences as the foundation for delivering exceptional service.
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Discuss the role of the father in attachment theory
Explanation:
Both parents are considered attachment figures in attachment theory, and the child-father attachment is autonomous from the child-mother attachment. Whereas mothers are commonly involved in caregiving and providing emotional refuge, fathers are particularly involved in play and exploratory undertakings.
Mario was surprised that the box that was supposed to tell him how many words he used in his document did not appear after the spelling and grammar check of his document was complete. Which step did Mario forget to do in Word’s Options dialog box?
Answer:
He forgot to tick 'Show readability statistics' in the Word's Option dialog box
Explanation:
Mario did a typing work using Microsoft word; he typed in the Word interface. Having finished typing the document, Mario used the 'spelling and grammar check' tool to ensure his document had no errors; the 'spelling and grammar' tool ensures that the document obeys the rules of lexis and structure of the language used in typing the document. The tool corrects typographical, grammatical & lexical errors. After having run the error check for spelling and grammar, a dialog box ought to open in the Word interface giving a summary of the corrections made. However, Mario did not get this dialog box. Herein is his dilemma.
Mario omitted a step in his proofreading work and that's why the dialog box did not pop-up. Mario can rectify his omission by following these steps:
I. Click on the 'File' tab from the menu bar
II. Click on 'Options' under the File tab
III. An interface opens, click on 'Proofing' menu
IV. Navigate to the heading 'When correcting spelling and grammar in Word'
V. Tick the box 'Show readability statistics'
When Mario follows this procedure, the box will open up after the spelling and grammar check giving him the summary of his document (the number of words used etc.). Mario forgot to enable/tick the 'Show readability statistics' in the Word's Option dialog box
Answer: D
Click the show the readability statistics option.
Explanation:
Hope this helps!!
if a corporation issues 5,000 shares of $5 par value common stock for $85,000, the journal entry would include a credit to:
The journal entry for the issuance of 5,000 shares of $5 par value common stock for $85,000 would include a credit to:
Common Stock: The credit would be made to the Common Stock account. Common Stock represents the portion of the company's equity that is allocated to the common shareholders. The credit entry would reflect the increase in the equity of the company due to the issuance of common stock.
The journal entry would typically be recorded as follows:
Debit: Cash (or the appropriate cash account) - $85,000
Credit: Common Stock - $25,000 ($5 par value * 5,000 shares)
When a corporation issues common stock, it receives cash or other assets in exchange for ownership shares in the company. The credit to Common Stock represents the increase in the company's equity resulting from the issuance of shares. The amount credited to Common Stock is determined by multiplying the par value per share by the number of shares issued.
The journal entry for the issuance of common stock would include a credit to the Common Stock account, reflecting the increase in equity resulting from the issuance of shares.
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seeking to end luke lea's hold on state government, what group composed of lea's enemies held public meetings throughout the state to expose his malfeasance and demand justice?
Answer: Public Emergency Comittees
Explanation:
Because an insurance policy is a legal contract, it must conform to the state laws governing contracts which require all of the following elements EXCEPT?
All of the following, with the exception of conditions, are required.
Describe insurance.One party will agree to compensate another in the event of a certain loss, damage, or injury in exchange for a fee in order to safeguard oneself from financial loss. It is a risk management technique that is typically used to guard against the danger of a hypothetical loss that may or may not materialise.
An underwriter, insurer, firm, or carrier is a company that provides insurance. A person or organisation that obtains insurance is known as a policyholder, whereas a person or organisation that the policy protects is known as an insured.
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What does deficit spending require a government to do?
lay off workers
cut taxes
take on debt
hire more workerscy
Answer:
c. TAKE ON DEBT
Explanation:
A deficit spending require a government to: C. take on debt.
What is deficit spending?A deficit spending can be defined as a situation in which the expenditure of government exceed the amount of money generated as revenues over a fiscal period.
This ultimately implies that, deficit spending typically occurs when government's expenditure is greater than its revenue over a specific period time.
Consequently, government tends to resort to borrowing or taking debt when there is deficit spending in its budget.
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If the next chair of the Federal Reserve Board has a reputation for advocating an even slower rate of money growth than the current chair, what will happen to interest rates? A. Slower money growth will lead to a liquidity effect, which will lower interest rates. Moreover, the lower income, price level, and inflation will reinforce the decrease in interest rates. B. Slower money growth will lead to a liquidity effect, which will raise interest rates; however, the lower income, price level, and inflation will tend to lower interest rates. C. Slower money growth will lead to a liquidity effect, which will lower interest rates; however, the lower income, price level, and inflation will tend to raise interest rates. D. Slower money growth will lead to a liquidity effect, which will raise interest rates. Moreover, the lower income, price level, and inflation will reinforce the increase in interest rates.
Answer: B. Slower money growth will lead to a liquidity effect, which will raise interest rates; however, the lower income, price level, and inflation will tend to lower interest rates.
Explanation:
Slower money growth would mean there is less money in the economy which means that there is less liquidity. This will increase interest rates because there would be less money available to loan out to people and so the ones that will be available have to be done at high rates.
As a result of the lower money supply though, people would have lower incomes and demand less goods which would reduce the price level. These will have the effect of reducing the rates to enable people get loans.
A critical analysis of some of the complexities and key issues involved in impairment testing especially in light of the COVID-19 pandemic. In your analysis, you can refer to one or more publications issued by the 'Big 4' firms, accounting professional bodies or academic journals. I need research on complexities with impairment testing. Here you will need to look at reports released by the Big 4 accounting firms or the professional accounting bodies like CPA, CA or ACCA. Briefly summarise what the key complexities could be. For example, I need to calculate recoverable amount for impairment testing which is fair value less costs to sell or value in use. Given the uncertainties posed by COVID, perhaps it is hard to calculate future cash flows for value in use, or fair values might no longer be available, or risk or interest rates might be of concern. You will need to analyse and summarise what key accounting bodies and accounting professionals have said about these types of issues.
A critical analysis of the complexities and key issues involved in impairment testing, especially in light of the COVID-19 pandemic, requires consideration of reports released by the Big 4 accounting firms and professional accounting bodies such as CPA, CA, or ACCA.
These sources offer insights into the challenges faced in impairment testing. Let briefly summarize some of the key complexities that may arise:Difficulty in calculating future cash flows: Due to the uncertainties brought about by COVID-19, estimating future cash flows for impairment testing may be challenging. This is particularly true for businesses heavily impacted by the pandemic, as their revenue and cash flow projections may be significantly affected.
Unavailability of fair values: Impairment testing often involves comparing the carrying value of an asset to its fair value. However, the COVID-19 pandemic has disrupted financial markets, making it difficult to determine reliable fair values. Market volatility and limited transaction data can contribute to this challenge. Concerns regarding risk and interest rates: The pandemic has introduced increased risk and volatility into the economy.
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Who has a tw octane on rocket leage?
Answer:
I do :)
Have a great day!
Answer:
me
Explanation:
what communication barrier is described in this situation?a. Lack of language skillb. Distractionsc. Differing frames of reference
The communication barrier described in option c. differing frames of reference refers to situation where people have different backgrounds, experiences, and perspectives, which can lead to miscommunications.
What is communication?Communication is the process of sharing information, ideas, and thoughts between individuals or groups through various means. It involves the sender encoding a message and transmitting it through a channel to a receiver who decodes the message and responds accordingly. Effective communication involves ensuring that the message is clearly understood by the receiver and feedback is provided to ensure the accuracy and completeness of the message. Communication can occur through various mediums, including verbal and nonverbal communication, written communication, and electronic communication. Good communication is essential in building and maintaining relationships, sharing information and knowledge, making decisions, and achieving common goals.
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what is it called when the government uses some tool other than money to allocate goods?
A. rationing
B. supply management
C. disequilibrium
D. resource allocation
which type of monetary policy involves increasing the growth of the money supply?
Expansionary monetary policy involves increasing the growth of the money supply.
What is Expansionary monetary policy?
Central banks may boost a weakening economy and GDP by implementing expansionary monetary policy.
Reduced reserve requirements for banks, a reduction in interest rates, and the purchase of government assets are the three expansionary monetary policy tools available to the Federal Reserve.
The objective of an expansionary monetary policy is to facilitate borrowing and spending by individuals and businesses, both of which serve as economic stimulants.
The rise, recession, and subsequently recovery of modern capitalist economies are recurring occurrences. The business cycle refers to this recurrent pattern of the economy.
The contractionary phase is characterised by a drop in the gross domestic product (GDP), which may result in an extended period of economic decline. By implementing an expansionary monetary policy, a country's central bank will encourage growth to counteract the downturn.
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Write down two or three ways you compare yourself to others.