3- Use the following data to answer the questions below:
Category
Billions of Dollars
Consumption $200
Investment $ 50
Government Spending $ 60
Exports $ 70
Imports $ 80
Depreciation $ 10
Foreign Factor Income $ 10
Please answer in whole numbers.
a. How much is net exports? $
b. How much is net investment? $
c. How much is GDP? $
d. How much is Net Domestic Product? $
e. How much is National Income?$

Answers

Answer 1

Explanation:

a. Net exports = Exports - Imports = $70 - $80 = -$10 b. Net investment = Investment - Depreciation = $50 - $10 = $40 c. GDP = Consumption + Investment + Government Spending + Net Exports = $200 + $50 + $60 - $10 = $300 d. Net Domestic Product = GDP - Depreciation = $300 - $10 = $290 e. National Income = Net Domestic Product + Foreign Factor Income = $290 + $10 = $300


Related Questions

what are reasons for a company to sell stocks choose more than one answer. brainpop

Answers

Companies sell stocks for a variety of reasons. One reason is to raise capital for future growth and expansion. Another reason is to pay off debt or fund new projects. Additionally, selling stocks can provide liquidity for company founders or early investors who want to sell their shares. Companies may also sell stocks to attract and retain employees by offering stock options or equity as part of their compensation package.

Finally, selling stocks can increase the company's visibility and credibility in the market, making it more attractive to investors.
There are several reasons for a company to sell stocks. Firstly, selling stocks can provide a company with funds for expansion, research and development, or capital investments, which can ultimately drive business growth. Secondly, issuing stocks can help a company reduce its debt-to-equity ratio, improving its financial health and stability.

Lastly, selling stocks can provide liquidity for the company's founders and early investors, allowing them to realize the financial gains from their initial investment. Overall, selling stocks can be a strategic decision to support a company's financial objectives and long-term growth plans.

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hat would happen to output, employment, and the price level if the government increased spending on infrastructure, ceteris paribus? output would decrease, employment would decrease, and the price level would decrease. output would decrease, employment would decrease, and the price level would increase. output would decrease, employment would increase, and the price level would increase. output would increase, employment would increase, and the price level would decrease. output would increase, employment would increase, and the price level would incre

Answers

If the government increases spending, output would increase, employment would increase, and the price level would increase. (option e)

What is the impact of increasing government spending?

When the government of a country increases its spending, it is known as an expansionary fiscal policy.

When government spending increases, the money supply in the economy would increase. As a result, production activities would increases. This would lead to an increase in employment. Also the price levels would also increase.

Other method by which the government can carry out an expansionary fiscal policy is by reducing taxes.

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A random variable follows a binomial distribution with a probability of success equal to 0.59. Find:
For a sample size of n=6, find: The probability of exactly 4 success
The expected value(mean)
The expected variance

Answers

If a random variable follows a binomial distribution with a probability of success equal to 0.59 then the expected variance is approximately equal to 1.468.

Given that a random variable follows a binomial distribution with a probability of success equal to 0.59.

We need to find the following values:

For a sample size of n = 6, find: The probability of exactly 4 successes The expected value(mean)The expected variance

The probability of exactly 4 successes

The probability of exactly 4 successes can be calculated by using the following formula:

P(X = k) = nCk * p^k * (1 - p)^(n - k)

Where, P = Probability of success

n = sample size

nCk = combination of k successes in n trials

Therefore, the probability of exactly 4 successes can be calculated as

P(X = 4) = 6C4 * 0.59^4 * (1 - 0.59)^(6 - 4) = 0.2676

The probability of exactly 4 successes is 0.2676.

The expected value (mean) The expected value (mean) of a binomial distribution is given by the formula: μ = np

where, μ = mean of the binomial distribution n = sample size p = probability of success

Therefore, the expected value is: μ = 6 * 0.59 = 3.54 The expected value (mean) is 3.54.

The expected variance of a binomial distribution is given by the formula: σ^2 = np(1 - p) where σ^2 = variance of the binomial distribution = sample size p = probability of success

Therefore, the expected variance is:σ^2 = 6 * 0.59 * (1 - 0.59)≈ 1.468

The expected variance is approximately equal to 1.468.

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david (age 45) withdraws $50,000 from his tax-sheltered retirement plan to invest in new business. assuming david is in the 28 percent marginal tax bracket and the contributions to the plan have not been taxed previously, how much will he pay in taxes and penalties?

Answers

The amount that David will pay in taxes and penalties for withdrawing $50,000 from his tax-sheltered retirement plan, will be $19000.



Step 1: Calculate the taxes on the withdrawal.
Since David's contributions to the plan have not been taxed previously and he is in the 28 percent marginal tax bracket, we will multiply the withdrawal amount by his tax rate:

$50,000 x 0.28 = $14,000

David will pay $14,000 in taxes on the withdrawal.

Step 2: Calculate the penalties for early withdrawal.
Since David is 45 years old and the standard age for penalty-free withdrawals from a tax-sheltered retirement plan is 59.5, he will have to pay a 10% early withdrawal penalty on the $50,000:

$50,000 x 0.10 = $5,000

David will pay $5,000 in early withdrawal penalties.

Step 3: Add the taxes and penalties together.

$14,000 (taxes) + $5,000 (penalties) = $19,000

In conclusion, when David withdraws $50,000 from his tax-sheltered retirement plan to invest in a new business, he will pay $19,000 in taxes and penalties.

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Which TCF checking account fee is the most expensive?

Answers

Answer:

Explanation: it’s o stop payment fee

All of the following actions lead to the payment of a credit card fee EXCEPT... Using your credit card to get cash from an ATM. Using your credit card to purchase items in a foreign country. Paying your credit card bill ten days after the Due Date. Paying your credit card bill in full and on time every month.

Answers

Answer:

Paying your credit card bill in full and on time every month.

Explanation:

The other choices will most likely prompt a fee to be charged.

3. ______ are defined as goods or services that are required for health and safety.

Answers

Occupational Health and Safety are defined as goods or services that are required for health and safety. Information standards are guidelines governing the information that must be provided to consumers when they purchase specific goods.

What is the safety of goods?

A safe product is one that delivers either no risk or a minimum tolerable level of risk, taking into account the product's typical or reasonably foreseeable use and the need to maintain a high level of consumer protection.

Occupational health and safety is a multidisciplinary discipline that deals with all elements of workplace health and safety, with a heavy emphasis on preventing workplace dangers.

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If the market equilibrium is at price = $11/hour, and the government imposes a minimum wage of $14, we will have a?

Answers

If the market equilibrium price is $11/hour and the government imposes a minimum wage of $14, we will have a situation of excess supply or surplus in the labor market.

In a competitive labor market, the equilibrium price is determined by the intersection of the demand for labor and the supply of labor. When the government imposes a minimum wage above the equilibrium price, it creates a price floor. In this case, the minimum wage is set at $14, which is higher than the equilibrium price of $11.

As a result, employers are legally required to pay a higher wage of $14/hour, but the quantity of labor demanded at that wage is lower than the quantity of labor supplied.

This creates an excess supply or surplus of labor, as there are more workers willing to work at the minimum wage than there are job opportunities available.

The magnitude of the surplus and its impact on the labor market can vary depending on various factors such as the elasticity of labor demand and supply.

However, in general, a minimum wage above the equilibrium price tends to lead to a decrease in employment opportunities and can result in unintended consequences such as reduced hiring, increased automation, or potential job losses.

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prime factorization of 1624​

Answers

Answer:

1624 = 2, 4, 8, 7, 56, 29, 1624 divided by 2, 2, 2, 7, 29

Explanation:

start by dividing the number by the first prime number which is 2.and continue dividing. only can divide by prime numbers since it's prime factorization.

what is a compounding period?

Answers

Answer:

Compounding periods are the time intervals between when interest is added to the account.

Explanation:

Interest can be compounded annually, semi-annually, quarterly, monthly, daily, continuously, or on any other basis.

You pay $9850 for a 180 -day T-bill. It is worth $10.000 at maturity. What is its investment rate? O 3.09% O 2.95% O 4.01% O 3.54%

Answers

The investment rate of the 180-day T-bill is approximately 3.09%.

To calculate the investment rate of a 180-day T-bill, you can use the following formula:

Investment Rate = ((Maturity Value - Purchase Price) / Purchase Price) * (365 / Number of Days) * 100

Plugging in the given values:

Investment Rate = (($10,000 - $9,850) / $9,850) * (365 / 180) * 100

Investment Rate = ($150 / $9,850) * (365 / 180) * 100

Investment Rate ≈ 0.01523 * 2.028 * 100

Investment Rate ≈ 3.09%

So, the investment rate of the 180-day T-bill is approximately 3.09%.

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The collection of interactions a company has with a customer who has already purchased a product is
called
When dealing with customers face-to-face, a good customer service technique is
to
When speaking with customers over the phone, it is important to be aware of
can change the meaning of what is said.

Answers

If the customer appears to be frustrated the company service agent should try to understand the situation and should be familiar with situation.

What is a customer service technique?

A good service technique is a face-to-face interaction, first listen, summarize the problems, and repeat one should try to get a detailed insight into the problem and understand the client's frustration they should remember to tackle the situation carefully. They should have patience, empathy, and other qualities.

What are three important technique of customer service?

Essentially, the three "p"s of professionalism, patience, and a "people-first" mindset are the three key components of good customer service. Although each customer's experience with customer care is unique, as long as you're adhering to these rules, you're on the right route.

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Answer:

The collection of interactions a company has with a customer who has already purchased a product is

called

✔ customer service

.

When dealing with customers face-to-face, a good customer service technique is

to

✔ maintain eye contact

.

When speaking with customers over the phone, it is important to be aware of

✔ tone of voice

because it can change the meaning of what is said.

Actually got it right.

Have a good one!

T/F : process costing is applied to operations with repetitive production and similar products.

Answers

True. Process costing is a cost accounting method that is specifically designed for operations with repetitive production and similar products. It is commonly used in industries such as manufacturing, chemical processing, oil refining, and food processing, where large quantities of identical or similar products are produced through a continuous or repetitive production process.

In process costing, costs are allocated to different production departments or processes rather than to individual units or products. The total costs incurred in each department or process are then divided by the number of units produced or processed during a specific period to determine the cost per unit. This method allows for the spreading of costs evenly across all units produced within a particular production process.

Process costing is particularly suitable for industries where products go through multiple stages of production and incur costs at each stage. The method provides valuable insights into the cost of each process or department and helps in determining the overall cost of production.

Overall, process costing provides a systematic approach to cost allocation and is an effective method for determining the cost of production in operations with repetitive production and similar products.

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50 pts! I really need help on this. Ignore the distribution part. Dont waste my points ;-; Will give Brainliest

Market Analysis: Research three countries you would like to distribute your game to and summarize the games, their prices, and how they are distributed in those markets (your competition). If you find that you might have chosen a market that is already too competitive, this is the time to identify another country and change your plan.

Countries I chose:
Japan
United States
Great Britain (UK)

Answers

Answer:

Japan 183-192billon dollars per year

USA 18.4 billion dollars

UK 5.05billion dollars

discuss three consequences of
unemployment on the individuals​

Answers

Answer:

it compells an individual to suffer form various problems like financial hardship and poverty, debt, homelessness and housing stress, family tensions ,etc.

Explanation:

hope it may help you

Being unemployed is a highly stressful situation, so it may cause stress-related health issues such as headaches, high blood pressure, diabetes, heart disease.

There ya go. :)

Question 1: ABL shares are currently trading at a price of $9, while HHT shares are trading at a price of $48.68. The risk-free rate is 1.29% per year. Using the information above, perform each of the following tasks:

a) Identify which of the following options are in-the-money, out-of-the-money or at-the-money: Call on ABL with a strike of $9.43, Call on ABL with a strike-price of $5, Put on HHT with a strike-price of $62.92

b) If HHT shares have a 77% chance of increasing by 10% and a 23% chance of decreasing by 10% by the date of the option expiration, what will be the expected return on HHT shares and the expected return on a protective put position? For simplicity you may assume the put has a price of $1 and has the same strike-price as listed above.

Answers

A. Call on ABL with a strike of $9.43 ⇒  out-of-the-money. Call on ABL with a strike-price of $5, ⇒ in-the-money. Put on HHT with a strike-price of $62.92 ⇒ out-of-the-money

B. The expected return on HHT shares is 5.4% and the expected return on the protective put position is 2.94%.

How did we calculate the expected return?

The expected return of HHT shares can be calculated by multiplying the outcomes by their respective probabilities and then summing these results.

Expected return = (0.77 × 10%) + (0.23 × -10%) = 7.7% - 2.3% = 5.4%.

If the HHT shares increase by 10%, the scenario remains the same, the new stock price will be

$48.68 × 1.10 = $53.55,

and the return from the position will be the increase in the stock price minus the cost of the put

(($53.55 - $48.68) / $48.68) - $1/$48.68 = 7.18%.

If the HHT shares decrease by 10%, the new stock price will be

$48.68 × 0.90 = $43.81.

Since the stock price is still above the strike price of the put, the put option won't be exercised, and the return from the position will simply be the decrease in the stock price minus the cost of the put

(($43.81 - $48.68) / $48.68) - $1/$48.68 = -11.27%.

The expected return on the protective put position is the probability-weighted average of these returns:

Expected return = (0.77 × 7.18%) + (0.23 × -11.27%)

= 5.53% - 2.59%

= 2.94%.

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Do you think careers in computer graphics and animations are more artistic or more technical? Explain your answer

Answers

I think careers in computer graphics and animations are more artistic than technical and this is because computer graphics and animations need a lot of visualization and artistry.

What is Computer Graphics Animation?

Computer Graphics is a type of graphics which involves generating images with the aid of a computer. This concept of computer graphics plays an integral role in the technology of today and that of the future. It is based on this that several aspects of digital photography, film, video games, cell phone and computer displays are produced.

   Computer animation involves the process of manipulating images on a computer to create a moveable object. This type of technology is the bases for producing moveable objects such as in filmography.

  Computer Graphics and animation is more artistic than technical because it involves a lot of artistry, visualization and imagination to put together a fine work of graphics.

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Disadvantages of choosing a job that is extremely popular or in demand

Answers

The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.

What is a high demand job?

This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.

The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.

The number of qualified persons may become more than the job that is available for the people to do in the long run.

Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.

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when demand hardly changes with a small change in the price of a product, the demand for the product is best described as ________.

Answers

When demand hardly changes with a small change in the price of a product, the demand for the product is best described as inelastic.

Elasticity of demand measures the responsiveness of quantity demanded to changes in price. When demand is inelastic, it means that consumers are not highly sensitive to price changes, and a small change in price leads to a relatively small change in quantity demanded.

Inelastic demand occurs when there are limited substitutes available for the product, the product is considered a necessity, or when consumers have a strong preference for the product regardless of its price. In such cases, consumers are less likely to adjust their purchasing behavior significantly in response to price fluctuations.

On the other hand, if demand is elastic, it means that consumers are highly responsive to price changes, and a small change in price leads to a proportionally larger change in quantity demanded. Elastic demand occurs when consumers have many substitutes available, the product is considered a luxury, or when consumers are price-sensitive and easily switch to alternatives based on price differences.

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Lavonda’s very wealthy grandmother recently died. After her death, everything she owned totaled $1,000,000. However, her family was only given $700,000. What MOST likely happened to the other $300,000?

It was used to cover income taxes.

It was used to cover sales taxes.

It was used to cover excise taxes.

It was used to cover estate taxes.

Answers

Answer: wrong it is estate taxes

Explanation:

The most likely event happened to the other $300,000 that It was used to cover estate taxes. Thus last option is correct.

What is the meaning of Estate taxes?

Estate Tax refers to the form of the tax in which a charge placed on a property owner's ability to transmit their possessions to others after passing away that takes the shape of a percentage of their taxable estate.

According to the above situation, the death of the Lavonda’s grandmother led to the implementation of the Estate Tax on her wealth of $1,000,000.

Therefore, the taxable estate to be included is  $300,000. Thus last option is correct.

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if the cross price elasticity of demand between two goods is negative, then the two goods are independent. complements. unrelated. substitutes.

Answers

If the cross price elasticity of demand between two goods is negative, it indicates that the two goods are complements, meaning an increase in the price of one good leads to a decrease in the demand for the other.

The cross price elasticity of demand measures the responsiveness of the quantity demanded of one good to a change in the price of another good. If the cross price elasticity of demand is negative, it indicates that the two goods are complements.

Complementary goods are products that are typically consumed together or used in conjunction with each other. For example, coffee and creamer, or smartphones and mobile data plans. When the price of one complement rises, consumers tend to reduce their demand for that particular good. Consequently, this decrease in demand for one product leads to a decrease in the demand for the complementary good as well.

The negative cross price elasticity reflects the inverse relationship between the prices and quantities demanded of the two goods. As the price of one complement increases, consumers may find it less affordable or less attractive, resulting in a decrease in the quantity demanded of that good and, subsequently, a decrease in the quantity demanded of its complementary good.

Understanding the cross price elasticity of demand is crucial for businesses to determine the impact of price changes on the demand for their products and the potential effect on related goods in the market.

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True/False :Manager of a software company should promote productivity and sacrifice quality and ethical approach a little bit if needed, because software engineering is a balancing act.

Answers

False. The manager of a software company should not promote productivity at the cost of sacrificing quality and ethical approach. In fact, it is the responsibility of the manager to ensure that the company produces quality software that meets the ethical standards.

Software engineering is indeed a balancing act, and the manager must balance productivity, quality, and ethics to ensure the success of the company.

Sacrificing quality and ethical approach in the pursuit of productivity can lead to serious consequences, such as loss of reputation, customer dissatisfaction, and legal issues. Quality and ethics should always be at the forefront of software development, and the manager must ensure that the team understands this.

Furthermore, promoting productivity at the cost of quality and ethics can actually be counterproductive in the long run. Poor quality software can result in increased costs due to maintenance and bug fixes, while unethical practices can harm the company's reputation and drive away potential customers.

In conclusion, while software engineering is indeed a balancing act, the manager of a software company should prioritize quality and ethical approach over productivity to ensure the long-term success of the company.

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your selection committee is choosing between two projects. project a has a cost of $100,000 with expected cash inflows of $10,000 per month. project b has a cost of $150,000 with expected cash inflows of $25,000 the first five months and $5,000 per month after that. which project should you recommend based solely on this information? a.project b because project b's payback period is 9 months b.project a because project b's payback period is 11 months c.project a because project b's payback period is 24 months d.either project a or project b because the payback periods are equal

Answers

Based on cash in flow analysis, we can recommend that Project B is the better choice. Not only does it have a shorter payback period, but it also generates more cash in the early stages of the project. (option a).

To determine which project is more favorable based on cash flow, we can calculate the payback period. The payback period is the amount of time it takes for a project to generate enough cash to cover its initial investment.

Using this formula, we can calculate the payback period for each project. Project A would have a payback period of 10 months (since the cost of the project is $100,000 and the expected cash inflows are $10,000 per month). Project B would have a payback period of 5 months (since it generates $25,000 in the first five months, and then $5,000 per month after that).

Hence the correct option is (a).

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What is profit?
A. Money lost after all other business expenses, including salaries,
rent, and taxes have been paid.
B. Money remaining when all expenses except salaries, rent, and
taxes have been paid.
C. Money invested after all business expenses, including salaries,
rent and taxes have been paid.
D. Money remaining when all other business expenses, including
salaries, rent, and taxes, have been paid.

Answers

Answer:

D.

Explanation:

Profit is all revenue that is left over after accounting for any and all business expenses incurred over a specific period of time.

For example if you're looking at profit over a quarter, it is the Revenue generated over that quarter - Expenses generated over that quarter, including salary expense, taxes, etc.

For retirement planning, you decided to deposit $1,000 per month and increase your deposit by $100 per month. How much will you have at the end of 10 years if the bank pays 3% annually, compounded monthly

Answers

You will have $143,815.52 at the end of annually, compounded monthly 10 years.

Assuming that the deposits are made at the end of each month and the interest is compounded monthly, we can use the formula for future value of an annuity to calculate the total amount:

FV = PMT x \((((1 + r/n)^{(nt) - 1)} / (r/n)) + PV x (1 + r/n)^{(nt)\)

where:

PMT = monthly deposit = $1,000

r = annual interest rate = 3% = 0.03

n = number of compounding periods per year = 12

t = number of years = 10

PV = initial deposit = $0

FV = future value

Plugging in the values, we get:

FV = \(1000 x (((1 + 0.03/12)^{(1210) - 1) }/ (0.03/12)) + 0 x (1 + 0.03/12)^{(1210)\)

= $143,815.52

Therefore, you will have $143,815.52 at the end of 10 years.

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All of the following individuals work to help set standard costs:_____.
a. purchasing managers
b. managerial accountants
c. engineers

Answers

All of the following individuals work to help set standard costs purchasing managers.

They evaluate suppliers, negotiate contracts, and check product quality. Purchasing managers oversee the work of buyers and buyers and typically undertake more complex procurement tasks.

Purchasing Manager Supply He is a key link in the chain, acting as a professional with ultimate responsibility for sourcing the highest quality goods and services at the best possible price, ensuring the company's cost efficiency.

Purchasing is generally responsible for selecting suppliers, negotiating and managing long-term contracts, monitoring supplier performance, placing orders with suppliers, developing a responsive supplier base, and maintaining good supplier relationships. increase.

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Make a list of getting information about employment an publishes.

Answers

( GETTING LIST OF INFORMATION ABOUT EMPLOYMENT AND PUBLISHES : )

-Personal contacts.

-School career planning and placement offices.

Classified ads.

-National and local newspapers. Professional journals.

-Trade magazines.

-Internet networks and resources.

-State employment service offices.

-Federal government.

-Professional associations.

-Labor unions.

in a ______ internet business model, an organization's web site strives to be a one-stop shopping center for customers seeking a particular kind of product.

Answers

In an Aggregator internet business model, an organization's website strives to be a one-stop shopping center for customers seeking a particular kind of product.

In the Aggregator model, the organization acts as an intermediary, collecting and curating products or services from multiple suppliers or vendors onto a single platform. The goal is to provide customers with a comprehensive and convenient shopping experience by offering a wide range of options within a specific product category. By aggregating products from various sources, the organization's website becomes a centralized hub where customers can browse and compare offerings, read reviews, and make purchases. This model is commonly found in e-commerce platforms or online marketplaces that bring together products from different sellers, enabling customers to find and purchase what they need from a single location.

The Aggregator model provides benefits to both customers and suppliers. Customers benefit from the convenience and variety of options available in one place, while suppliers gain access to a larger customer base and increased visibility by being featured on the aggregator's platform. Examples of companies that operate under the Aggregator model include Amazon, eBay, and Airbnb.

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You deposit $5,000 each year into an account earning 5% interest compounded annually. How much will you have in the account in 20 years?

Answers

You will have  $160,457.70 in the account after 20 years.

To calculate the future value of the account, we can use the formula for compound interest:

FV = P(1 + r)^n

Where:
FV = future value of the account
P = annual deposit ($5,000)
r = interest rate (5% or 0.05)
n = number of years (20)

Plugging in the values, we get:

FV = 5000(1 + 0.05)^20

Calculating this, we find that the account will have approximately $160,457.70 in 20 years.

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twu communications is considering a project with an initial fixed asset cost of $2.168 million which will be depreciated straight-line to a zero book value over the 10-year life of the project. at the end of the project the equipment will be sold for an estimated $495,000. the project will not directly produce any sales but will reduce operating costs by $634,000 a year. the tax rate is 30 percent. the project will require $128,000 of net working capital which will be recouped when the project ends. what is the net present value at the required rate of return of 15 percent?

Answers

the correct option is: E. the net present value at the required rate of return of 14.3 percent = $657,345.35

Initial cash flow = −$2,168,000 − 128,000

Initial cash flow =$2,296,000OCF = $634,000(1 − .21) + ($2,168,000/10)(.21)OCF = $546,388

Last cash flow = $128,000 + $495,000(1 − .21)

Last cash flow = $519,050NPV = −$2,296,000 + $546,388{[1 − (1/1.14310)]/.143} + $519,050/1.14310NPV = $657,345.35

Initial cash flow is the all-out cash that is accessible when an undertaking or business is in the arranging stages. The figure incorporates any advances or investments made in the task. It is normally a negative figure since sending off a business requires capital investment with expectations of creating future pay.

Equation. Initial cash flows = FC+WC-S + (S-B) * T Here, FC = fixed capital, WC = working capital, S = Rescue esteem, B = Book esteem, and T = Duty rate.

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Gateway Communications is considering a project with an initial fixed asset cost of $ 2.168 million which will be depreciated straight-line to a zero book value over the 10-year life of the project. Ignore bonus depreciation. At the end of the project, the equipment will be sold for an estimated $495,000. The project will not directly produce any sales but will reduce operating costs by $634,000 a year. The tax rate is 21 percent. The project will require $128,000 of networking capital which will be recouped when the project ends. What is the net present value at the required rate of return of 14.3 percent?

A) $668,019.24

B) $701,414.14

C) $652,108.10

D) $570,475.57

E) $657,345.35

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