The depletion expense for year 1 is $104500. The correct option is B. 104500.
To calculate the depletion expense for year 1, we first need to determine the depletion rate. This is calculated by dividing the total cost of the natural resource and development costs by the expected number of units to be extracted.
Total cost of natural resource and development = $1,200,000 + $520,000 + $370,000 = $2,090,000
Depletion rate = ($2,090,000 / 200,000 units) = $10.45 per unit
Next, we can calculate the depletion expense for year 1 by multiplying the depletion rate by the number of units extracted in that year.
Depletion expense for year 1 = ($10.45 per unit x 10,000 units) = $104,500
Therefore, the answer is B. $104,500. This is the amount that should be recorded as an expense on the income statement for year 1 to reflect the use of the natural resource. It is important to note that the remaining units and depletion rate will need to be recalculated at the end of each year as the resource is used up.
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Information systems analysis and design is a method used by companies to create and maintain information systems that perform basic business functions such as keeping track of customer names and addresses, processing orders, and paying employees. The main goal of systems analysis and design is to improve organizational systems, typically through applying software that can help employees accomplish key business tasks more easily and efficiently.
Discuss how the elements of efficiency, effectiveness and flexibility are crucial to the design of an information system
Efficiency, effectiveness, and flexibility are three key elements in designing an information system. An information system is designed to improve organizational systems by applying software that can help employees accomplish key business tasks more easily and efficiently.
Therefore, it must be efficient, effective, and flexible for it to accomplish its intended purpose. Let’s take a closer look at each of these three elements. Efficiency: Efficiency refers to the ability of an information system to achieve its goal while consuming minimal resources. The system should complete the task assigned to it in the shortest time possible and with the least amount of resources possible. Efficiency helps businesses achieve better productivity, save time, and reduce expenses. In terms of information systems, efficiency means that the system should perform the task assigned to it in a timely and accurate manner.
Effectiveness: The effectiveness of an information system is its ability to achieve the desired outcome or meet the objective for which it was designed. In other words, an information system should be designed in such a way that it performs the functions it was intended to perform. It should be designed with a specific objective in mind, and it should meet that objective to be considered effective. For example, if the objective of an information system is to track customer orders, it should be able to do so accurately and effectively.
Flexibility: Flexibility refers to the ability of an information system to be adaptable and accommodating. In other words, it should be able to adjust to the changing needs of the business. A flexible information system is one that can be easily modified to suit the needs of the business, without requiring a complete overhaul. It should be designed in such a way that it can be easily modified to accommodate new requirements and meet new business needs.
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A sum of $6,500 deposited in an account grows to $8,000 in 9 years. Assuming annual compounding, what interest rate is being paid
Answer:
The interest rate would be 2.33%, bringing the total after 9 years to $8,000.06
Explanation:
The final balance would be $8,000.06 and a total compound interest of $1,500.06
What is the role of the third part in mediation?
A. Adversary
B.Advocate
C.Friend
D.Facilitator
Answer:
b
Explanation:
Answer:
facilitator
Explanation:
Assume the economy is in a short-run equilibrium at point L. In the absence of any fiscal or monetary policy actions, what will happen in the long run
In the absence of any of government policy, the economy is going to return to a long run aggregate supply with time.
The monetary policy of the governmentThis is the use of fiscal tools by the government in order to ensure that the government of a country has an economy that is sustainable and also growing.
The fact that there is no intervention would end up making the supply curve to move to the right.
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what basis do you use to decide when to spend money in your everyday life, and do you think your decisions are always well thought out?
1) First, consider what is important to you and whether you have given it adequate funding. Many people immediately consider travel as one of their retirement interests. For some, the most important thing is to see friends and family as often as possible. It's difficult to forget the elderly uncles and aunts who make the effort to attend every family wedding or ceremony. If you want to travel, spend money on plane tickets, hotel reservations, and other expenses.
2) Second, unless you are willing to devote time, energy, and resources to your hobby, you may not be serious about it. If music is your passion and you believe you need to learn it formally, enrol in classes and take it seriously as a student. If you enjoy photography, invest in a good camera and lenses and do what it takes to pursue it seriously. If you believe you will pursue a new activity in retirement, set a reasonable budget for it and enjoy it.
3) Third, if there are expenses you've put off your entire life and now have the money to spend, bring them back to the table. Purchasing books that you enjoy reading, dining out to try new cuisines, attending exhibitions, shows, and concerts that interest you, or purchasing clothing and jewelry that you denied yourself during your saving days can all be financed if you have the money.
4) Fourth, think about allocating money to expenses that will improve your comfort. You might want to invest in a comfortable reading chair, a back-supporting couch, a higher-quality bed, blanket, or pillows, and other small items that will improve your comfort. You might want to hire a cab instead of taking public transportation; fly instead of taking the train; and so on. These may seem insignificant, but I have many elderly friends who will continue to pinch back on their own comfort from their frugality habit even when it is no longer necessary.
5) Fifth, if you believe you have more than you need, practise giving it away. Many people could make good use of that money. You may have made a difference in another person's life if you paid a hospital bill, a tuition fee, a coaching class fee, or if you purchased life-sustaining medicine or equipment, or even if you provided clothing, footwear, and other basic necessities. Donate to charities that work on issues that are important to you. Support your vegetable vendor, security guard, liftmen, cooks and cleaning staff, drivers, and others if you can be generous with them.
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A supplier in the country of Whiteland has current output of 10 Million units priced at
$1.10 per unit. Factor prices rise and costs increase to $1.30 per unit. Uh-oh... now not earning profit and producing for a $20 Million loss. The availability of competitor substitutes convince the supplier a price increase is out of the question.
A purchasing agent from the country of Knightland makes a timely appearance and offers to purchase for import an additional 10 Million units priced at $0.80 per unit.
1. Do you take the deal?
2. What principle/s do you apply to make your decision?
3. What is the size of the opportunity, if-any?
Yes, the deal should be taken. The principle of marginal analysis should be applied to make the decision.
Marginal analysis involves comparing the additional cost and revenue of a decision to determine if it is profitable or not. In this case, the supplier is currently producing 10 million units at a cost of $1.30 per unit, resulting in a loss of $20 million.
By accepting the offer to sell an additional 10 million units at $0.80 per unit, the supplier can increase revenue by $8 million while keeping the cost of production at $1.30 per unit. Therefore, the principle of marginal analysis supports the decision to take the deal.
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1. Consider a forest economy in which all timber stands are of equal quality and privately owned. Assume that the net price of harvested timber, p, is constant over time, as is the cost of planting a new stand of trees, c. Denote the discount rate as r.
a. Derive and intuitively explain Faustmann's rule for the optimal timber rotation for a representative stand of trees, denoted by T.
b. How and why does the optimal rotation change if (i) the discount rate increases, (ii) the cost of planting increases, and (iii) the net price of timber increases?
Faust man's rule is the formula for determining the best time to harvest trees in a forest economy in which all timber stands are of equal quality and privately owned. The optimal timber rotation for a representative stand of trees is represented by T.
Faust man's rule states that it is profitable to harvest timber when the present value of the benefits of the harvested timber is equivalent to the present value of the costs of planting a new stand of trees.
The optimal time to harvest trees is determined by the point at which the marginal value of the future increment of a given stand of timber is equal to the marginal cost of replanting the same stand of trees.
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Riskier investments can yield higher returns:
A) but, are generally less expensive
B)but, generally experience steeper downturns
C) so, you should invest all your money in high risk stocks
D) none of the above
The Riskier investments can yield higher returns, Because They put your money at higher risk. This means that if things go well, high-risk investments can produce high returns.
What is the investment?Investment is the ceremonial of money to purchase an asset to attain an increase in value over a time period of time. Investment requires a sacrifice of some present quality, such as time, medium of exchange, or effort. In finance, the purpose of investing is to generate a return from the invested asset.
The risk investment may offer the chance of higher returns than other investments might produce, but they put your money at higher risk. This means that if things go well, high-risk investments can produce high returns. But if things go badly, you could lose all of the money you invested.
Therefore, Thus option (D) is correct.
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Brainley is not letting me make an account and I don't know the email so that I can email them!!! helppp!!! plsss
Answer:
you are using an account right now.
Explanation:
ashley clicks on a link at the advertising age website that takes her to an article she wants to read from adweek. this is an example of:
A user, like Ashley, clicks on a link on one website, in this case, Advertising Age, and is directed to another website, such as Adweek is the example of referral traffic.
Referral traffic refers to the visitors who come to a website through links from other websites. In the given scenario, Ashley clicked on a link from the Advertising Age website that directed her to an article on the Adweek website. This resulted in Adweek receiving a referral traffic from Advertising Age.
Referral traffic is a valuable source of website traffic as it can bring in new visitors who are interested in the content or services offered by the website. Businesses can increase their referral traffic by partnering with other websites or by creating valuable content that is more likely to be shared and linked to by other websites.
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Which are examples of copyrighted online materials? Check all that apply.
an article from an Internet magazine
lyrics for a song written in the 1800s
photos taken by a student on his blog
a video game that is free for anyone to copy
an illustration sold by an artist on her website
an excerpt from a novel published in 1913
Answer:
a and d
Explanation:
Answer:
A & E
Explanation:
edge test
Can someone tell me if it’s correct, and which one is wrong
Answer:
Yes,they are correct.
Explanation:
Suppose Alcatel-Lucent has an equity cost of capital of 10.7%, market capitalization of $9.66 billion, and an enterprise value of $14.0 billion with a debt cost of capital of 7.3% and its marginal tax rate is 34%.
a. What is Alcatel-Lucent's WACC?
b. If Alcatel-Lucent maintains a constant debt-equity ratio, what is the value of a project with average risk and the following expected free cash flows?
Year 0 -$100 million
Year 1 $55 million
Year 2 $95 million
Year 3 $73 million
c. If Alcatel-Lucent maintains its debt-equity ratio, what is the debt capacity of the project in part (b)?
a. Alcatel-Lucent's WACC is 7.39%.
b. The value of the project with average risk is $180.66 million.
c. The debt capacity of the project is $405.99 million.
a. To calculate Alcatel-Lucent's weighted average cost of capital (WACC), we need to consider the proportion of equity and debt in its capital structure. The formula for WACC is:
WACC = (Equity proportion x Equity cost of capital) + (Debt proportion x Debt cost of capital x (1 - Tax rate))
Given that the market capitalization is $9.66 billion and the enterprise value is $14.0 billion, we can calculate the debt proportion as:
Debt proportion = (Enterprise value - Market capitalization) / Enterprise value
Debt proportion = ($14.0 billion - $9.66 billion) / $14.0 billion
Debt proportion = 0.3086
The equity proportion can be calculated as:
Equity proportion = 1 - Debt proportion
Equity proportion = 1 - 0.3086
Equity proportion = 0.6914
Now, we can plug in the values to calculate WACC:
WACC = (0.6914 x 10.7%) + (0.3086 x 7.3% x (1 - 34%))
WACC = 7.39%
b. To find the value of the project with average risk, we need to discount the expected free cash flows (FCFs) using the WACC. The formula to calculate the present value of FCFs is:
Present value = Year 0 FCF + (Year 1 FCF / (1 + WACC)) + (Year 2 FCF / (1 + WACC)^2) + (Year 3 FCF / (1 + WACC)^3)
Plugging in the values:
Present value = -$100 million + ($55 million / (1 + 7.39%)) + ($95 million / (1 + 7.39%)^2) + ($73 million / (1 + 7.39%)^3)
Present value = $180.66 million
c. To calculate the debt capacity, we need to determine the maximum amount of debt the project can support while maintaining the same debt-equity ratio. The debt capacity is equal to:
Debt capacity = (Equity proportion / Debt proportion) x Value of the project
Debt capacity = (0.6914 / 0.3086) x $180.66 million
Debt capacity = $405.99 million
In summary:
a. Alcatel-Lucent's WACC is 7.39%.
b. The value of the project with average risk is $180.66 million.
c. The debt capacity of the project is $405.99 million.
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1. Suzie’s Flowers purchases a wide variety of houseplants. One of Suzie's favorites, the large split leaf philodendron, costs $13.50 from the wholesaler and requires an additional $1.00 per plant to take care of and then package prior to sale. Suzie's normal markup on houseplants is 55%. What would be the retail selling price of a large split leaf philodendron?
2. A manufacturer sells a 3-person tent to its wholesalers for $59.95. Wholesalers take a markup on selling price of 15% and sell to retailers who take a markup on selling price of 45%. How much does this tent cost you?
Answer:
$22.475 and $99.96
Explanation:
1. Split-leaf philodendron, costs $13.50 and requires an additional $1.00 per plant to prepare for a sale. The total cost of the plant is $14.50 ($13.50 + $1.00)
If Suzie desires a 55% mark-up, the retail prices will be the cost price plus 55% of the cost.
The cost price of $14.50 is equal to 100%
the retail price will be 155% of $14.50
=155/100 x $14.50
=1.55 x $14.50
=$22.475
2. The manufacturer sells the tent for $59.95.
$59.95 is equivalent to 100%. If wholesalers mark-up is 15%, they will sell the tents to retailers at 115% of $59.95
=115/100 x $59.95
=1.15 x $59.95
=$68.94
Retailers mark up is 45% of $68.94. consumers buy the tents at 145% of $68.94
=145/100 x $68.94
=1.45 x $68.94
=$99.96
EXPLAIN THE NEED FOR A JHSC COMMITTEE AND DESCRIBE ITS
COMPOSITIONS.
The Joint Health and Safety Committee (JHSC) is a key element in any organization's health and safety management program. The committee serves as a forum for identifying and resolving health and safety issues, and it provides a platform for workers and management to work together to develop strategies to address those issues.
The committee's purpose is to promote a safe and healthy work environment, to identify hazards, and to develop measures to control or eliminate them. The JHSC's composition varies depending on the organization, but it must have both worker and management representation. The committee's size is proportional to the size and complexity of the workplace, and the number of members can range from 2 to over 20.
A majority of the members must be workers who are chosen by their peers, and management representatives are appointed by the employer.
The workers who make up the JHSC must be knowledgeable about the workplace and its hazards. They should be able to identify hazards, assess risks, and recommend controls.
Management representatives, on the other hand, should be knowledgeable about the organization's policies and procedures, and they should be able to provide guidance on the implementation of controls.
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D=8 H000, S=45. 00,H=2 wh hingat is EOQ, what happens if double,What happen if holding cost drop to half
The optimal order quantity for this product is approximately 848 units. The business could order fewer units to meet the same level of demand, which could result in lower holding costs.
In inventory management, EOQ stands for Economic Order Quantity. It is a mathematical formula that helps to determine the optimal order quantity that a business should place for a particular product to minimize the total cost of ordering and holding inventory.
Given the information provided, we can calculate the EOQ as follows:
EOQ = √(2DS/H)
where D = annual demand, S = setup cost per order, and H = holding cost per unit per year.
Substituting the given values, we get:
EOQ = √(2 x 8,000 x 45 / 2)
EOQ = √(720,000)
EOQ ≈ 848 units
If the demand doubles to 16,000 units, the EOQ formula would yield a new value, assuming that the other factors remain the same. The new EOQ would be approximately 1,196 units. This means that the business would need to place larger orders to meet the increased demand, which could result in higher ordering and holding costs.
If the holding cost drops to half, the EOQ formula would yield a lower value, assuming that the other factors remain the same. The new EOQ would be approximately 602 units. However, it is important to note that decreasing the holding cost too much could lead to stockouts and lost sales, which would negatively impact the business's revenue and customer satisfaction.
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An allocation base for a cost pool should ideally be:
machine hours.
a cost object.
a common cost.
a cost driver
direct labor, either cost or hours.
An allocation base for a cost pool should ideally be a cost driver.
This is because a cost driver represents the activity that causes costs to be incurred and helps to accurately allocate overhead costs to cost objects based on their usage of the cost driver.
Here are some reasons why an allocation base for a cost pool should ideally be a cost driver:
Cost Causality: A cost driver represents the activity or factor that directly causes costs to be incurred. By allocating costs based on the cost driver, the costs are more closely linked to the actual activity that drives those costs.
This helps in ensuring that the costs are allocated to the cost objects in a manner that reflects the actual consumption of resources.
Accuracy: Using a cost driver as the allocation base helps in achieving more accurate cost allocations. When the allocation base closely reflects the actual consumption of resources, it results in a more precise allocation of costs to cost objects.
This can help in avoiding over or under-allocation of costs, which can distort the true cost of products, services, or departments.
Fairness: Using a cost driver as the allocation base promotes fairness in cost allocation. Cost drivers are typically chosen to reflect the consumption of resources by different cost objects in a way that is reasonable and objective.
This helps in ensuring that the costs are allocated in a fair and equitable manner, reflecting the actual usage of resources by different cost objects.
Decision-Making: Using a cost driver as the allocation base provides more relevant information for decision-making. Cost allocation is often used for various decision-making purposes, such as product pricing, profitability analysis, and resource allocation.
When costs are allocated based on the actual activity that drives those costs, it provides more meaningful information for decision-makers to make informed decisions.
Transparency: Using a cost driver as the allocation base enhances transparency in cost allocation. Cost drivers are typically objective and quantifiable factors that can be easily understood and verified. This promotes transparency in the cost allocation process and helps in gaining trust and acceptance among stakeholders.
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The wages of factory maintenance personnel would usually be considered to be: Indirect labor Manufacturing Overhead A. No Yes B. Yes No С. Yes Yes D. No No a. Option A b. Option B c. Option C d. Option D
Available choice C's "Manufacturing overhead cost" is the realistic solution. The term "manufacturing overhead" refers to the indirect expenses incurred by a corporation during its production process.
Do manufacturing overheads include indirect factory labor?
Manufacturing overhead, sometimes referred to as production overhead, factory overhead, or factory burden, is the collective term for all the supplemental expenses needed to run your firm. They could consist of: indirect labor, such as cleaning and maintenance staff
What are the components of indirect labor costs?
Wages paid to employees who carry out tasks that assist others in producing goods and rendering services are referred to as indirect labor costs. The cost of labor is the component that is not directly related to production.
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f(5) =
f(3) =
f(-5) =
f(-3) =
Answer:
53636363633636336366363
(ANSWERED) When should a human resources professional post a job internally?
close
A.
Internal postings are useful when competition for jobs is undesirable.
done
B.
Internal postings are used when existing employees have the right skills.
C.
It is not a good idea to post jobs internally because existing employees don't have new ideas.
D.
The law requires that all jobs be posted internally for 30 days.
ANSWER - B. Internal postings are used when existing employees have the right skills.
Explanation:
Internal postings are used when existing employees have the right skills.
How does the price of oil impact the price of food?
Answer:
The price of Oil effect the price of food because it all works together in the economy/system
Explanation:
Tim Horton wants to raise funds to open a branch of their coffee shop in Trinidad. To raise the funds, Tim Horton would sell bonds 100 $1,000 par value with a coupon interest rate of 6%. The bonds would mature in 15 years and interest would be paid semi-annually. The required rate of return is expected to be 8%.
Requirement:
a) Calculate the value of one bond
b) What is the total amount Tim Horton would raise if all bonds were sold?
Answer:
a) The value of one bond is $837.08.
b) The total amount Tim Horton would raise if all bonds were sold is $83,708.
Explanation:
a) Calculate the value of one bond
This can be calculated as follows:
Annual coupon = Bond face value * Coupon interest rate = $1,000 * 6% = $60
Annual coupon discount factor = ((1 - (1 / (1 + r))^n) / r) .......... (1)
Where;
r = required semi-annual rate of return = required annual rate of return / number of semi-annual in a year = 8% / 2 = 0.08 / 2 = 0.04
n = number of semi-annuals = number of years * number of semi-annual in a year = 15 * 2 = 30
Substituting the values into equation (1), we have:
Semi-annual coupon discount factor = ((1-(1/(1 + 0.04))^30) / 0.04) = 17.2920333006645
Present value of coupon = ((Annual coupon / number of semi-annual in a year) * Semi-annual coupon discount factor) = (($60 / 2) * 17.2920333006645 = $528.76
Present value of the face value of the bond = Face value of the bond / (1 + r)^n = ($1,000 / (1 + 0.04)^30 = $308.32
Therefore, we have:
Bond value = Present value of coupon + Present value of the face value of the bond = $528.76 + $308.32 = $837.08
Therefore, the value of one bond is $837.08.
b) What is the total amount Tim Horton would raise if all bonds were sold?
Number of bonds expected to be sold = 100
Value of one bond = $837.08
Total amount that would be raised = Number of bonds expected to be sold * Value of one bond = 100 * $837.08 = $83,708
Therefore, the total amount Tim Horton would raise if all bonds were sold is $83,708.
steps on how to create your own app
Explanation:
● Steps on how to create your own app
First you have to know coding and programing...
what do risk managers need to do to help their company successfully launch a new product ? (is the new product going to be a WINNER or a LOSER)
Answer:
WINNERplease mark brainliest me :)
Define the word investing!
Thanks!
Answer:
To put money into Bank business property share accept in hope that you will make a profit. To spend money,time or energy on something that you think is good or useful.Explanation:
If you like my answer than please mark me brainliest thanks
Definition of literature
Answer:
writings in which expression and form, in connection with ideas of permanent and universal interest, are characteristic or essential features, as poetry, novels, history, biography, and essays
Explanation:
Answer:
the art of written works, and is not bound to published sources (although, under circumstances they can be exempt).
Explanation:
Cross-section of the artery of a dominant monkey vs. subordinate animal are___
Cross-section of the artery of a dominant monkey vs. subordinate animal are atherosclerosis.
Both dominant and submissive monkeys are more likely to develop atherosclerosis, which is the hardening and constriction of the arteries. In stable groups, atherosclerosis levels in dominant and subordinate monkeys were comparable.
Socially inferior animals, such as female monkeys, have more severe coronary artery atherosclerosis than their more dominant counterparts. Females that were dominant consistently acquired less atherosclerosis than their inferiors
As a result, the significance of the cross-section of the artery of a dominant monkey vs. subordinate animal are the aforementioned.
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Imagine you are a training and development specialist.
You are tasked with creating a training workshop about strong meeting facilitation. Create an outline for this workshop.
Include:
Medium: Is your training in-person, webinar, online, or some other method? Objectives: What are your intended outcomes?
Outline: What information topics will you deliver on? What activities will you ask the people in the training to do, individually and in groups? How will the content be organized?
Deliverables: What will you have attendees produce or accomplish by the end of the training to show that they have absorbed the information?
Evaluation: What can you do at the end to measure participants' feelings about the training?
The goal of training session is to provide attendees with knowledge, skills, and understanding that they can apply in their work or personal lives.
What is training?Training is the process of teaching or learning a particular skill, knowledge, or behavior through practice and instruction. In the context of machine learning, training refers to the process of teaching a computer algorithm to recognize patterns and make predictions based on input data. During training, the algorithm is fed a large amount of data, along with the correct outputs, and it adjusts its parameters to minimize the difference between the predicted output and the actual output. This process is repeated over many iterations until the algorithm can accurately make predictions on new, unseen data. Training is a crucial step in developing effective machine learning models and is essential for a wide range of applications, from image recognition and natural language processing to self-driving cars and fraud detection.
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easy 50 points a friend says that when two people form a general partnership, it is just like two sole proprietors working together to run the same business. do you agree or disagree? explain.
make it shorter and pls don't use a copy and pasted answer.
Answer:
Agree simply because a general partnership, and a sole proprietor, can relate in many ways.
Explanation:
It's simple work smart not hard.
Current Attempt in Progress Toronto Skaters Company is being offered a one-year variable rate loan at a rate of prime +0.75%. The loan is to be paid in quarterly installments and there are no other fees associated with it. The prime lending rate is currently 6% compounded quarterly. What is the effective annual cost of this loan? 6.75\% 6.14\% 6.92\% 6%
The effective annual cost of the loan is 6.92%.
To calculate the effective annual cost of the loan, we need to consider the compounding frequency and the interest rate. In this case, the prime lending rate is 6% compounded quarterly, and the loan carries an additional interest rate of 0.75% above the prime rate.
To find the effective annual cost, we first calculate the total interest rate by adding the prime rate and the additional rate: 6% + 0.75% = 6.75%.
Since the prime rate is compounded quarterly, we multiply the total interest rate by the number of compounding periods in a year: (1 + 0.0675/4)^4 - 1 = 0.0692 or 6.92%.
Therefore, the effective annual cost of the loan is 6.92%.
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