Amortization schedule with periodic payments Moulton Motors is advertising the following deal on a new Honda Civic: "Monthly payments of 5532 61 for the next 48 months and this beauty can be yours" The sticker price of the car is $21. 0. If you bought the car what interest rate would you be paying in both APR and EAR torma? What is the amortization schedule of the first six payments ?

Answers

Answer 1

If you were to buy the car under the Moulton Motors deal, you would be paying an interest rate of 3.99% APR and 4.087% EAR. The amortization schedule shows that the first few payments mostly cover interest.

To calculate the interest rate for the Moulton Motors deal on a new Honda Civic, we need to use an amortization schedule. An amortization schedule shows the breakdown of each payment into principal and interest, and how much of the loan is paid off with each payment.

Using the monthly payment of $553.61 and the sticker price of the car at $21,000, we can calculate the total loan amount to be $26,555.88. Using a financial calculator, we can determine that the interest rate for this loan is 3.99% APR and 4.087% EAR.

The amortization schedule for the first six payments is as follows:

Payment 1:

Interest payment = $88.49

Principal payment = $465.12

Remaining loan balance = $26,090.76

Payment 2:

Interest payment = $87.07

Principal payment = $466.54

Remaining loan balance = $25,624.22

Payment 3:

Interest payment = $85.63

Principal payment = $468.00

Remaining loan balance = $25,156.22

Payment 4:

Interest payment = $84.17

Principal payment = $469.46

Remaining loan balance = $24,686.76

Payment 5:

Interest payment = $82.69

Principal payment = $470.94

Remaining loan balance = $24,215.82

Payment 6:

Interest payment = $81.19

Principal payment = $472.44

Remaining loan balance = $23,743.38

The amortization schedule shows that the majority of each payment goes toward paying off the interest, with only a small portion going toward the principal. This is because the loan is front-loaded with interest payments.

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Related Questions

What factors might lead a firm to decide to switch from internal to external recruitment or vice versa

Answers

The decision to switch from internal to external recruitment or vice versa can be influenced by various factors. Some of the most common factors that may lead a firm to choose one over the other include:

1. Talent availability: If there is a shortage of skilled employees within the organization, a firm may decide to turn to external recruitment to attract and hire new talent. Conversely, if there are highly qualified and experienced individuals within the company, internal recruitment may be preferred to fill open positions.

2. Diversity and inclusion: External recruitment can help firms bring in a diverse pool of candidates with different backgrounds, experiences, and perspectives. This can lead to a more inclusive and innovative workplace. Alternatively, if diversity and inclusion are already strong within the company, internal recruitment may be preferred to promote and develop existing talent.

3. Cost and time efficiency: External recruitment can be costly and time-consuming, especially if firms are using recruitment agencies or advertising extensively. In contrast, internal recruitment can be faster and cheaper since the firm already has a pool of potential candidates.

4. Organizational culture and values: Firms may choose internal recruitment to maintain their organizational culture and values, which can be harder to assess in external candidates. On the other hand, external recruitment may bring fresh ideas and perspectives that can help the organization evolve and adapt to changing market conditions.

Overall, the decision to switch from internal to external recruitment or vice versa will depend on various factors, including the talent availability, diversity and inclusion, cost and time efficiency, and organizational culture and values. A careful assessment of these factors can help firms make an informed decision that aligns with their business objectives and human resource strategies.

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3 Incorrect Caroline and Gustavo live together. Every Saturday, one of them goes shopping, alternatively. Their purchases are however not identical. At price CHF 5 per kilogram, the average price observed on the market, Caroline buys 500 grams of potatoes and Gustavo 1000 grams. At price CHF 4 per kilogram, Caroline buys 800 grams of potatoes and Gustavo 1200 grams. What is the price elasticity of demand for their average purchases of potatoes, when they cost CHF 4 per kilogram (in absolute value)? Mark 0. 0 out of 1. 0 Flag question Answer: 2 x The correct answer is: 1

Answers

Since the price elasticity of demand for potatoes is greater than 1, we can infer that consumer demand is elastic, meaning that a drop in price will result in a disproportionately large increase in the amount demanded.

The following formula elasticity can be used to determine the percentage change in potatoes quantity requested for each individual: In regards to Caroline:

Initial quantity requested (at CHF 5 per kilogram) equals 500 grams plus 800 grams, or 1300 grams. At CHF 4 per kilogram, the new quantity required is equal to 260 kg (500 grams at CHF 5 per kilogram plus 800 grams at CHF 4 per kilogram). Demand quantity change as a percentage: (260 - 1300)/1300 * 100% = -80.77%

Gustavo's benefit:

Initial quantity requested (at CHF 5 per kilogram) equals 1000 grams plus 1200 grams, or 2200 grams.

New quantity required (at CHF 4 per kilogram) equals 1000 grams at CHF 5 per kilogram plus 1200 grams at CHF 4 per kilogram for a total of 360 kg.

Demand quantity change as a percentage: (360 - 2200)/2200 * 100% = -83.64%

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which of the following describe the technical analysis method of determining a buy, sell, or hold price for a security? choose all that apply. use of several tools to identify and predict patterns in the market. compare intrinsic value to market price to determine whether or not the stock is a good investment. focus on the economy, industry, and company specific variables that affect value. consideration of support and resistance levels to determine when a stock should be purchased or sold. use of charting to predict buy and sell price points.

Answers

The following options describe the technical analysis method of determining a buy, sell, or hold price for a security:

Use of several tools to identify and predict patterns in the market.Consideration of support and resistance levels to determine when a stock should be purchased or sold.Use of charting to predict buy and sell price points.

Technical analysis involves using past market data and chart patterns to predict future price movements of securities. Technical analysts use various tools such as moving averages, trendlines, and oscillators to identify patterns and trends in the market. They also consider support and resistance levels, which are price points where buying or selling pressure may cause the stock to rebound or fall.

Charting involves the use of technical indicators to identify entry and exit points for trading. Technical analysis is based on the premise that historical price and volume data can provide insights into future market behavior.

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Suppose company A stock is last time traded at 43. 26$, and our analysis shows that in one year from now,


its price would either increase or decrease by 35%. (i. E. D=0. 65, u=1. 35) Assume that risk-free rate is 1%


and the company pays no dividend in this time period.



1) What would be the payoff for a European Put Option written on Company A equity, with time to maturity


of 1 year, and strike price of 35$? Calculate the payoff for the up and down scenarios

Answers

The payoff for a European put option written on Company A equity with a strike price of $35 and time to maturity of 1 year is $0 for the up scenario and $6.94 for the down scenario.

Using the given values, we can calculate that the up and down scenarios for the stock price after one year would be

Up scenario $43.26 * 1.35 = $58.46

Down scenario $43.26 * 0.65 = $28.06

To calculate the payoff for a European Put Option with a strike price of $35 and time to maturity of 1 year, we need to compare the strike price to the stock price in each scenario.

Up scenario the option would not be exercised, as the stock price is above the strike price. The payoff would be $0.

Down scenario the option would be exercised, as the stock price is below the strike price. The payoff would be $35 - $28.06 = $6.94.

Therefore, the payoff for a European Put Option in this scenario would be $0 in the up scenario and $6.94 in the down scenario.

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xyz inc. is deciding whether to buy a new building. the building will increase cash flows by $8,500,000 per year. the building has a 25-year life and will be obsolete 25 years from today. the building is currently priced at $25 million. the cost of the building will decline by $1,500,000 per year until it reaches 18 million, where it remains until it is obsolete. the required rate of return is 8%. assuming xyz is willing to wait and risk not being able to acquire the building, how many years from today should they wait to purchase the building to maximize the npv?

Answers

XYZ Inc. is considering purchasing a new building that would increase cash flows by $8,500,000 per year, with a 25-year life and an 8% required rate of return.

The building's price is $25 million and will decline by $1,500,000 per year until it reaches $18 million, where it remains until it becomes obsolete.To maximize the Net Present Value (NPV) of this investment, XYZ Inc. should determine the optimal time to purchase the building. They must consider the declining cost of the building and the cash flows generated by the investment. To do this, calculate the NPV of the investment for each possible waiting period (0 to 7 years), as the building's price reaches $18 million after 7 years. The NPV formula is: NPV = (CF / (1 + r)^t) - C

Where:
- NPV is the net present value
- CF is the annual cash flow ($8,500,000)
- r is the required rate of return (8%)
- t is the time in years
- C is the cost of the building

For each waiting period, calculate the NPV and compare the results. The optimal waiting period will have the highest NPV. If XYZ Inc. is willing to wait and risk not acquiring the building, they should wait until the NPV is maximized. Remember that waiting too long may result in the building becoming obsolete or unavailable, so XYZ Inc. should carefully consider the risks and potential rewards of waiting for the optimal time to purchase the building.

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unlike a perfectly competitive firm, a monopolistically competitive firm group of answer choices faces a perfectly inelastic demand curve. can earn positive economic profit in the short run and in the long run. does not have the same marginal revenue at every output level.

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Unlike a perfectly competitive firm, a monopolistically competitive firm faces a downward sloping demand curve, meaning that they have some market power and can influence the price of their product.

However, this demand curve is not perfectly inelastic as suggested in the question. In fact, the demand curve for a monopolistically competitive firm is relatively elastic because consumers have many substitutes available.
Because of this market power, a monopolistically competitive firm can earn positive economic profit in the short run, but not in the long run. In the short run, the firm can increase its price and still sell its product because there are no close substitutes available. This allows the firm to earn a profit. However, in the long run, new firms can enter the market and offer similar products, increasing competition and reducing the demand for the original firm's product. This results in a lower price and lower profit for the original firm.
Lastly, a monopolistically competitive firm does not have the same marginal revenue at every output level. This is because they have to lower the price of their product to sell more units, meaning that the marginal revenue decreases as output increases.
In summary, a monopolistically competitive firm has some market power and can earn positive economic profit in the short run, but not in the long run. Their demand curve is relatively elastic and they do not have the same marginal revenue at every output level.

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How many address
contains the same text: KTKEIHLPEQMKJAPDEK

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The exact number of addresses that contain the same text "KTKEIHLPEQMKJAPDEK" depends on the context and usage of the text, and more information is needed to provide an accurate answer.

The number of possible addresses that can contain the same text "KTKEIHLPEQMKJAPDEK" depends on the context of where the text is being used. Without additional information, it is difficult to determine the exact number of possible addresses.

If the text is being used as a password or a username for an online account, then the number of possible addresses would depend on the length and complexity requirements set by the website or application. For example, some websites may require passwords to be at least 8 characters long and contain a mix of uppercase and lowercase letters, numbers, and symbols. In such cases, the number of possible addresses that contain the text "KTKEIHLPEQMKJAPDEK" would be limited by the password requirements.

On the other hand, if the text is being used as a part of a larger string, such as a URL or an email address, then the number of possible addresses would depend on the length and combination of characters in the entire string. In such cases, the number of possible addresses containing the text "KTKEIHLPEQMKJAPDEK" would be much larger and harder to determine without additional information.

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data preparation, the third step in the crisp-dm data mining process, is more commonly known as .

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Data preparation, is the third step in the CRISP-DM data mining process, is more commonly called as data preprocessing.

Data preprocessing is the process of preparing and cleaning raw data before it is analyzed or used for machine learning models. The goal of data preprocessing is to transform the raw data into a clean and structured format that can be easily analyzed and used by algorithms.

These steps may include data cleaning, data integration, data transformation, and data reduction. Data preprocessing is a critical step in the data mining process because the quality of the data used for analysis can significantly impact the accuracy and validity of the results obtained from the data mining process.

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which manufacturing process would the be most appropriate to use if you were producing and selling custom design wedding cakes? which manufacturing process would the be most appropriate to use if you were producing and selling custom design wedding cakes? continuous flow production batch production make-to-stock line flow production assemble-to-order job shop production

Answers

The most appropriate manufacturing process for producing and selling custom design wedding cakes would likely be a job shop production process.

Job shop production is characterized by producing customized products in small quantities, often one-of-a-kind or unique items that require flexibility and customization to meet individual customer requirements.

Custom design wedding cakes are typically made to order and require personalized designs, decorations, and specifications based on the preferences and requests of the individual customers. Job shop production allows for the flexibility and versatility needed to accommodate these customizations and produce unique wedding cakes tailored to the specific needs and preferences of each customer.

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Complete Question

Which manufacturing process would be the most appropriate to use if you were producing and selling custom design wedding cakes?

A) Continuous flow production

B) Batch production

C) Make-to-stock

D) Line flow production

E) Assemble-to-order

F) Job shop production

write short notes on the following:a.understanding the spend category.b.supllier market assesmentc.supplier surveyd.building the strategy

Answers

Understanding the spend category refers to the detailed analysis of the organization's spending on products, goods, and services. The spend category is a system used to organize spending according to business needs, including the type of product or service being acquired and the total expenditure. Understanding the spend category helps businesses to identify savings opportunities and reduce costs through strategic procurement activities.

What is the meaning of supplier market assessment?

A supplier market assessment is a process of examining the supply market for potential suppliers. It entails identifying possible suppliers who can provide the required goods or services and assessing them based on various criteria. The criteria include the company's financial performance, business practices, quality standards, technical capabilities, and capacity to deliver goods or services. Supplier market assessment is critical in identifying reliable suppliers who can provide quality goods and services.

What is a supplier survey?

A supplier survey is a method of obtaining feedback from suppliers on various aspects of the business relationship, including quality, delivery times, and service levels. It aids in the identification of potential issues that may impact the supplier's ability to meet the organization's needs. The survey is an essential tool for collecting data and using it to improve supplier performance.

What is the meaning of building the strategy?

Building the strategy entails identifying the organization's goals and objectives and creating a roadmap for achieving them. The strategy outlines the activities that the business needs to undertake to attain its goals. Building the strategy involves analyzing market trends, identifying opportunities and risks, and developing action plans to address them. The strategy also outlines the resources needed to implement the plans and the timeline for achieving the objectives. Building the strategy is an iterative process that requires continuous monitoring and adjustment to ensure that it remains relevant and effective.

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What was operation bootstrap? a. was an failed economic development program in the south that drove many blacks to migrate to northern and midwestern cities. b. was a failed economic development program in the north that drove many manufacturing businesses out of the country. c. was an economic development program in mexico that brought lots of business to the country but drove many people to migrate to the u.s. d. was an economic development program in puerto rico that brought lots of businesses to the island but drove many people to migrate to cities like nyc.

Answers

Many Puerto Ricans migrated to the United States in search of better employment opportunities, particularly in cities like New York City. Despite its successes in attracting businesses, Operation Bootstrap's adverse effects on the local workforce contributed to significant migration and social challenges.

Operation Bootstrap was an economic development program in Puerto Rico that brought lots of businesses to the island but drove many people to migrate to cities like NYC. This option corresponds to option (d) in your list of choices.

Launched in the late 1940s, Operation Bootstrap aimed to transform Puerto Rico's economy from an agricultural-based system to an industrialized one. The program offered tax incentives and other benefits to attract businesses, particularly from the United States, to invest and set up manufacturing facilities on the island.

As a result, Operation Bootstrap did successfully bring numerous businesses to Puerto Rico, leading to economic growth and a more diversified economy. However, this rapid industrialization also led to a decline in traditional agricultural jobs, and the newly created jobs in manufacturing were often not enough to meet the growing population's demands.

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First National Bank is doing some scenario analysis. It believes that its source of funds (the Federal Reserve) will soon increase the cost of loans. In fact, the cost of making loans is expected to change from the current 2 percent interest to either 3 percent or 4 percent interest in the next year. There will be no change in its $2,000,000 income at the 2 percent interest level, but net income will fall to $1,000,000 if interest rates increase to 3 percent and decrease to $100,000 if the interest rates increase to 4 percent. Finally, National predicts a 10 percent probability of a decrease to 2 percent interest rate, a 50 percent probability of a 3 percent interest rate, and a 40 percent probability of an increase to 4 percent interest rate.


Required:


What is the expected financial impact of changing interest rates at First National Bank?

Answers

According to the financial projections, a change in interest rates at First National Bank is expected to result in a substantial decrease in income. The projected reduction amounts to $1,260,000, with income dropping from $2,000,000 to $740,000.

First National Bank is facing a scenario in which the cost of making loans is expected to change from the current 2 percent interest to either 3 percent or 4 percent interest in the next year. The bank predicts a 10 percent probability of a decrease to 2 percent interest rate, a 50 percent probability of a 3 percent interest rate, and a 40 percent probability of an increase to 4 percent interest rate. Given this information, we can calculate the expected financial impact of changing interest rates at First National Bank.

If the interest rate remains at 2 percent, the bank's income will be $2,000,000. If the interest rate increases to 3 percent, the bank's income will fall to $1,000,000. If the interest rate increases to 4 percent, the bank's income will decrease to $100,000. Using the probabilities provided, we can calculate the expected income for the bank as follows:

Expected income = (Probability of 2% interest rate x Income at 2% interest rate) + (Probability of 3% interest rate x Income at 3% interest rate) + (Probability of 4% interest rate x Income at 4% interest rate)

Expected income = (0.1 x $2,000,000) + (0.5 x $1,000,000) + (0.4 x $100,000)

Expected income = $200,000 + $500,000 + $40,000

Expected income = $740,000

Therefore, the expected financial impact of changing interest rates at First National Bank is a decrease in income from $2,000,000 to $740,000, or a decrease of $1,260,000. The bank should take steps to prepare for this potential decrease in income, such as cutting costs or finding new sources of revenue.

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Consider the economies of sporon and tralfamadore, both of which produce gaggles of gop using only tools and workers. suppose that, during the course of 30 years, the level of physical capital per worker rises by 5 tools per worker in each economy, but the size of each labor force remains the same. complete the following tables by entering productivity (in terms of output per worker) for each economy in 2016 and 2046. year sporon physical capital labor force output productivity (tools per worker)

sporon

physical capital labor force output productivity
year (tools per worker) (workers) (glops of gloop) (glops per worker)
2016 11 30 1,800 _______
2046 16 30 2,160 _______

Answers

Productivity is a measure of output per worker, and it can be affected by factors such as physical capital and labor force size.

In 2016, the economy of Sporon has a physical capital of 11 tools per worker and a labor force of 30 workers, producing a total output of 1,800 glops of gloop. To calculate productivity (glops per worker), we need to divide the total output by the labor force.

2016 Productivity: 1,800 (glops of gloop) ÷ 30 (workers) = 60 (glops per worker)

In 2046, the physical capital per worker has increased by 5 tools, resulting in 16 tools per worker. The labor force remains constant at 30 workers, and the total output has increased to 2,160 glops of gloop. We can now calculate productivity for 2046.

2046 Productivity: 2,160 (glops of gloop) ÷ 30 (workers) = 72 (glops per worker)

The increase in physical capital per worker has led to an increase in productivity in Sporon's economy. In 2016, each worker produced 60 glops of gloop, while in 2046, they produced 72 glops of gloop. This demonstrates the positive impact of additional tools on the productivity of an economy, allowing workers to produce more output with the same labor force.

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Your portfolio has provided you with returns of 11.4 percent, 6.2 percent, −.7 percent, and 14.6 percent over the past four years, respectively. what is the geometric average return for this period?

Answers

The geometric average return for the given period is 10.22%.

To calculate the geometric average return for the given period, we need to use the following formula:

Geometric average return =  [tex][(1 + R1) * (1 + R2) * (1 + R3) * (1 + R4)] ^{(1/4)-1}[/tex]

Where R1, R2, R3, and R4 are the returns for the four years.

Plugging in the values, we get:

Geometric average return = [tex][(1 + 0.114) * (1 + 0.062) * (1 - 0.007) * (1 + 0.146)] ^ {(1/4)-1}[/tex]
= [tex][1.114 * 1.062 * 0.993 * 1.146] ^ {(1/4) - 1}[/tex]
= [tex]1.2925 ^ {0.25 - 1}[/tex]
= 0.1022 or 10.22%

Therefore, the geometric average return for the given period is 10.22%.

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which of the following statements is true? a monopolistically competitive firm will produce the quantity at the point where the demand curve crosses the marginal cost curve. a monopolistically competitive firm will maximize profits by charging a price equal to marginal cost. a monopolistically competitive firm will maximize profits when it produces the quantity where marginal cost equals margin

Answers

The statement "A monopolistically competitive firm will maximize profits by charging a price equal to marginal cost" is true.

In addition to not producing the amount at the point where the marginal cost curve and the demand curve cross, a monopolistically competitive firm will not maximize profits by setting its price at the marginal cost.

Instead, a monopolistically competitive firm will produce the amount where marginal cost equals marginal income in order to maximize profits. Businesses generate differentiated goods that are imperfect alternatives for one another in a monopolistically competitive market.

Because of the higher price it will charge, a monopolistically competitive firm won't create the quantity at the point where the demand curve crosses the marginal cost curve.

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Which of the following methodologies takes the end product requirements from the mps and breaks them down into their component parts and subassemblies to create a materials plan? group of answer choices aggregate capacity planning materials requirement planning capacity requirements planning order scheduling none of the above.

Answers

The methodology that takes the end product requirements from the MPS (Master Production Schedule) and breaks them down into their component parts and subassemblies to create a materials plan is called Materials Requirement Planning (MRP).

MRP is a computer-based inventory management system that helps to ensure that the right materials are available at the right time and in the right quantities to meet production demands. MRP takes into account the lead time for each component or subassembly, current inventory levels, and the production schedule to determine the timing and quantity of materials needed for each stage of production.

This allows companies to minimize inventory carrying costs while ensuring that production schedules are met. Aggregate capacity planning, capacity requirements planning, and order scheduling are other methodologies used in production planning, but they do not specifically address materials planning and inventory management in the way that MRP does.

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cooperation is achieved in an oligopoly market when group of answer choices most of the firms in the market decide not to cheat. at least one of the firms in the market decide not to cheat. all of the firms in the market decide not to cheat. some of the firms in the market decide not to cheat.

Answers

Cooperation in an oligopoly market occurs when firms in the market decide not to cheat on their agreements and instead work together to maximize their collective profits. So, correct option is C.

Option (c) "all of the firms in the market decide not to cheat" would be the ideal situation for cooperation in an oligopoly market, as it ensures that there are no outliers who might take advantage of the others' willingness to cooperate.

However, this situation is rare, as each firm has its own interests and may choose to cheat if it believes that doing so will result in greater profits.

Option (a) "most of the firms in the market decide not to cheat" could also lead to cooperation in an oligopoly market. If a majority of firms decide not to cheat, it may be difficult for the remaining firms to successfully cheat without facing consequences from the other firms.

Option (d) "some of the firms in the market decide not to cheat" is also possible, but it would require a level of coordination among the firms to ensure that those who do cheat do not gain an unfair advantage.

Overall, cooperation in an oligopoly market depends on the willingness of firms to work together, their ability to enforce agreements, and the benefits that come from cooperation compared to cheating.

So, correct option is C.

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Complete question is:

cooperation is achieved in an oligopoly market when group of answer choices

a) most of the firms in the market decide not to cheat.

b) at least one of the firms in the market decide not to cheat.

c) all of the firms in the market decide not to cheat.

d) some of the firms in the market decide not to cheat.

Mr. Smith acquired a property consisting of one acre of land and a two-story building five years ago for $100,000. He also obtained an $80,000 mortgage loan from ACE Bank to provide financing to complete the purchase. This year, Mr. Smith constructed another building on the property with his own funds at a cost of $20,000. Mr. Smith has decided after completing the building to approach Duce Bank to borrow and mortgage the new building with a $16,000 loan. Is Duce Bank likely to provide the $16,000 in financing

Answers

The likelihood of Duce Bank providing a $16,000 loan to Mr. Smith for the newly constructed building will depend on several factors, including the value of the property, the outstanding balance on the existing mortgage with ACE Bank, and Mr. Smith's creditworthiness.

Ultimately, the decision of whether or not to provide the loan will depend on the specific circumstances of Mr. Smith's situation.

The likelihood of Duce Bank providing a $16,000 loan to Mr. Smith for the newly constructed building will depend on several factors, including the value of the property, the outstanding balance on the existing mortgage with ACE Bank, and Mr. Smith's creditworthiness.

One way to estimate the value of the property is to look at recent sales of similar properties in the area. If similar properties have sold for around $150,000, for example, then Mr. Smith's property might be worth around that amount as well.

If Mr. Smith still owes $70,000 on the original mortgage with ACE Bank, then the total value of the property would be $150,000 - $70,000 = $80,000. This means that the equity in the property (the value of the property minus the outstanding mortgage balance) is $80,000 - $16,000 = $64,000.

If Mr. Smith has good credit and a steady income, then Duce Bank may be willing to provide a loan secured by the newly constructed building. However, if Mr. Smith has poor credit or a history of delinquencies, Duce Bank may be hesitant to extend credit.

Ultimately, the decision of whether or not to provide the $16,000 loan will depend on the specific circumstances of Mr. Smith's situation, including the value of the property, the outstanding mortgage balance, and Mr. Smith's creditworthiness.

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The process of recording all interactions with potential new hires is called



a screening


b systematic processing


c application review


d applicant tracking

Answers

The correct answer to the question is d) applicant tracking.

Applicant tracking refers to the process of collecting and organizing information about job candidates throughout the hiring process. This includes recording all interactions with potential new hires, such as resumes, applications, emails, phone calls, and interviews. By using an applicant tracking system (ATS), recruiters and hiring managers can keep track of all applicants in one place, ensuring that no candidate falls through the cracks.

Applicant tracking is essential for companies that receive a high volume of job applications or have a lengthy hiring process. It allows them to manage and streamline their recruitment efforts, making it easier to identify top candidates and move them through the hiring process quickly. ATS also helps to ensure compliance with hiring regulations and reduce the risk of discrimination by keeping track of all applicants' qualifications and job-related information.

In summary, applicant tracking is the process of recording all interactions with potential new hires and managing their information throughout the hiring process. It is an essential tool for recruiters and hiring managers looking to streamline their recruitment efforts, improve the candidate experience, and make more informed hiring decisions.

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if a member of a limited ability company dissociates from the firm in violation of the operating agreement, the member can be held liable for any loss to the business resulting from the withdrawal True/False

Answers

It is true that if a member of a limited liability company (LLC) dissociates from the firm in violation of the operating agreement, they can be held liable for any loss to the business resulting from the withdrawal.

The given statement "if a member of a limited liability company (LLC) dissociates from the firm in violation of the operating agreement, they can be held liable for any loss to the business resulting from the withdrawal" is true because the operating agreement is a legally binding document that outlines the rights and responsibilities of each member in the LLC. When a member violates the terms of the agreement, they may be held liable for any damages or losses suffered by the firm as a result.

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susan is hired to manage a business that manufactures basketballs. this means that she has the authority to make contracts that are reasonably necessary for conducting the business, such as purchasing supplies. this type of authority is called:

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The type of authority described in the question is called implied authority.

Implied authority refers to the authority that an agent, such as Susan in this case, is presumed to have in order to conduct the business of the principal, which is the owner of the business.

Implied authority is not explicitly granted to the agent, as in the case of express authority, but is instead inferred from the circumstances of the relationship between the principal and the agent.

In other words, if it is reasonable to assume that certain actions are necessary for the agent to conduct the business of the principal, then the agent has implied authority to take those actions.

In the case of Susan managing the basketball manufacturing business, it is reasonable to assume that she would need to purchase supplies in order to conduct the business. Therefore, she has implied authority to make contracts for purchasing supplies, even if this authority is not explicitly stated in her contract with the principal.

Overall, implied authority is an important concept in agency law, as it helps to clarify the extent of an agent's authority to act on behalf of a principal in a given situation.

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What changes is the new CEO Martin planning to bring into Idle Time’s management practices?

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In order to answer the question you need to add the choices so I can solve it properly.

Explanation:

Hercules Exercise Equipment Co. Purchased a computerized measuring device two years ago for $50,000. The equipment falls into the five-year category for MACRS depreciation and can currently be sold for $20,800. A new piece of equipment will cost $140,000. It also falls into the five-year category for MACRS depreciation. Assume the new equipment would provide the following stream of added cost savings for the next six years. Use Table 12–12. Use Appendix B for an approximate answer but calculate your final answer using the formula and financial calculator methods

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Using Table 12-12, the depreciation percentages for each year are 20.00%, 32.00%, 19.20%, 11.52%, 11.52%, and 5.76% for years 1 through 6, respectively.

The present value of cost savings for the next six years of purchasing new equipment with a cost of $140,000 and a discount rate of 10% is $19,535.77.

Comparing this amount to the cost of the new equipment, it does not seem to be worth investing in the new equipment at this time, and the company would be better off using the current equipment and exploring other cost-saving measures.

The accumulated depreciation on the current equipment is $29,200, and it can be sold for $20,800. T

The equipment was purchased for $50,000 two years ago and falls into the five-year category for MACRS depreciation.

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A, agrees to deliver his old CTV for Rs. 30,000 to B, anelectronic dealer, in exchange fornew CTV and agrees to pay the difference in cash. Is it a validcontract of sale? What would beyour answer

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Yes, this is a valid contract of sale. .

A valid contract

The given problem states that A agrees to deliver his old CTV for Rs. 30,000 to B, an electronic dealer, in exchange for a new CTV and agrees to pay the difference in cash. It is asked whether this is a valid contract of sale or not.

The given problem presents a valid contract of sale. In this case, the old CTV is the subject matter of the contract while the new CTV is the price of the contract.

The agreement reached between A and B is perfectly valid and fulfills all the requirements of a valid contract of sale.As a result, the answer to the given problem is that it is indeed a valid contract of sale.

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By changing the norms of customer care and aligning the values of the managers employees and customers print was successful in improving performance through controls

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Yes, by changing the norms of customer care and aligning the values of the managers, employees and customers, Print was successful in improving performance through controls. By doing so, Print was able to foster a culture of exceptional customer service that permeated throughout the organization.

One of the key aspects of this shift was the establishment of a customer-centric approach. This approach involved creating a customer service charter that outlined the values and standards that Print aimed to achieve in all interactions with customers.

These values included empathy, transparency, and a commitment to resolving customer issues in a timely and efficient manner.

Another important aspect of this shift was the alignment of values between managers, employees, and customers.

This was achieved by involving all stakeholders in the development of the customer service charter and by providing extensive training to employees on how to deliver exceptional customer service.

Additionally, managers were tasked with leading by example and reinforcing the values outlined in the charter through their actions and decisions.

Finally, Print's success was also due to the implementation of performance controls that monitored and evaluated customer service standards across the organization.

This allowed for continuous improvement and ensured that all employees were held accountable for delivering exceptional customer service.

In conclusion, by changing the norms of customer care and aligning the values of managers, employees, and customers, Print was able to improve performance through controls.

This approach created a culture of exceptional customer service that led to increased customer satisfaction, loyalty, and ultimately, improved financial performance for the organization.

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Happy Giraffe has preferred stock that pays a dividend of $5. 00 per share and sells for $100 per share. It is considering issuing new shares of preferred stock. These new shares incur an underwriting (or flotation) cost of 2. 10%. How much will Happy Giraffe pay to the underwriter on a per-share basis

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Happy Giraffe will pay $2.10 to the underwriter on a per-share basis for each new share of preferred stock that it issues. This is because the underwriting cost is 2.10% of the selling price of the new shares, which is $100 per share.

Preferred stock is a type of stock that pays a fixed dividend and has priority over common stock when it comes to receiving dividends and assets in the event of bankruptcy. In this case, Happy Giraffe's preferred stock pays a dividend of $5.00 per share.

An underwriter is a financial institution or individual that helps companies like Happy Giraffe issue new securities, such as preferred stock. The underwriter buys the new securities from the company and then resells them to investors.

A dividend is a payment made by a company to its shareholders, typically out of its profits. In the case of Happy Giraffe's preferred stock, it pays a fixed dividend of $5.00 per share to its shareholders.

In summary, Happy Giraffe will pay $2.10 to the underwriter on a per-share basis for each new share of preferred stock that it issues. This cost is incurred due to the underwriting (or flotation) cost, which is a fee charged by the underwriter for its services in helping the company issue new securities.

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if profits are on the y-axis and output is on the x axis and a manager's preferences depend solely on output, their indifference curves will be

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If a manager's preferences depend solely on output and not on profits, then their indifference curves will be linear and parallel to the x-axis. This is because the manager will be indifferent between any combination of output and profits, as long as the output remains constant.

In other words, the manager's preferences will be solely based on maximizing output, and they will be indifferent to changes in profits. Therefore, their indifference curves will be horizontal lines, which represent all the combinations of profits and output that yield the same level of satisfaction for the manager.

If profits are on the y-axis and output is on the x-axis and a manager's preferences depend solely on output, their indifference curves will be straight lines since their preferences are not affected by changes in profits. This is because the manager is solely concerned with maximizing output and is indifferent to the level of profits. Therefore, any combination of output and profits that yield the same level of output will be equally preferred by the manager, resulting in straight-line indifference curves.

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in economics, people are assumed to responses a prefer more to less.prefer more to less. b experience positive marginal utility from consumption.experience positive marginal utility from consumption. c act to increase utility.act to increase utility. d prefer less to more.

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In economics, the basic assumption is that people respond to incentives by preferring more to less option A is correct. This means that individuals are motivated to consume more of a good or service if it brings them greater satisfaction or utility.

People also experience positive marginal utility from consumption, which means that the more they consume of a good or service, the greater the additional satisfaction or utility they derive from each additional unit. This is why people are often willing to pay more for additional units of a good or service.

To increase their utility, people act in ways that will maximize their satisfaction or happiness. This could involve buying more of a particular product, finding ways to reduce the cost of a product, or simply finding a more efficient way to consume the product. For example, if a person enjoys drinking coffee, they may try to find a cheaper brand or a way to make their own coffee at home to increase their overall utility.

In some cases, however, people may prefer less to more. This could happen if a good or service becomes too expensive or if there are negative consequences associated with consuming it. For instance, a person may choose to consume less junk food if they are concerned about their health, even if they derive pleasure from eating it.

Overall, the assumption that people prefer more to less, experience positive marginal utility from consumption, and act to increase their utility is central to understanding how individuals make economic decisions and how markets operate.option A is correct

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100 POINTS!!!!!!!Dan is opening a pizzeria. Match the cost to his type. 100 POINTS!!!!!!!!!!

Answers

Variable costs are:
Credit card fees
Dough
Pizza boxes

Fixed cost include:
Rent
Property Tax
Insurance
Employee wages
Answer:

Variable costs are:

Credit card fees

Dough

Pizza boxes

Fixed cost include:

Rent

Property Tax

Insurance

Employee wages

Sensitivity analysis: Boulder Creek Industries Boulder Creek Industries is considering an investment in equipment based on the following estimates: Cost of equipment $3,000,000 Residual value 200,000 Useful life 10 years a. Determine the net present value of the equipment, assuming a desired rate of return of 12% and annual net cash flows of $800,000. Use the present value tables appearing in Exhibit 2 and 5 of this chapter

Answers

The present value factor for 12% and 10 years is 3.605, which can be found in Exhibit 2. Using this factor, the present value of the annual net cash flows is $2,884,000, and subtracting the initial investment cost of $3,000,000 and the residual value of $200,000 results in a net present value of -$316,000.

The net present value (NPV) of the equipment investment for Boulder Creek Industries can be calculated using the given information.

Assuming a desired rate of return of 12% and annual net cash flows of $800,000 for 10 years, the NPV can be determined by calculating the present value of each year's net cash flow and subtracting the initial investment cost from the sum of these present values.

This indicates that the investment would not be profitable at a desired rate of return of 12%.

Sensitivity analysis could be performed to determine the minimum annual net cash flow required to achieve a positive NPV, or the maximum acceptable rate of return given a certain level of net cash flow.

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