a project that provides annual cash flows of $17,400 for ten years costs $80,000 today. what is the npv for the project if the required return is 9 percent? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

Answer 1

The discount rate of 12.44% is the point at which the company is undecided on whether to accept or reject the proposal.

NPV at 9% Required Return: The NPV of the project at 9% required return can be calculated by discounting the annual cash flows at 9%.

The NPV calculation is performed as follows:

NPV = -$80,000 + $17,400/1.09 + $17,400/1.09² + $17,400/1.09³ + $17,400/1.09⁴ + $17,400/1.09⁵ + $17,400/1.09⁶ + $17,400/1.09⁷ + $17,400/1.09⁸ + $17,400/1.09⁹ + $17,400/1.09¹⁰

= -$80,000 + $15,521.11 + $14,180.37 + $12,993.42 + $11,936.90 + $11,004.48 + $10,194.96 + $9,497.60 + $8,904.86 + $8,411.05 + $7,994.39

= $96,734.78

Should the Firm Accept at 9% Required Return: Since the NPV of the project is positive at 9% required return, the firm should accept the project.

NPV at 21% Required Return: The NPV of the project at 21% required return can be calculated by discounting the annual cash flows at 21%. The NPV determine is as follows:

NPV = -$80,000 + $17,400/1.21 + $17,400/1.21² + $17,400/1.21³ + $17,400/1.21⁴ + $17,400/1.21⁵ + $17,400/1.21⁶ + $17,400/1.21⁷ + $17,400/1.21⁸ + $17,400/1.21⁹ + $17,400/1.21¹⁰

= -$80,000 + $14,389.01 + $11,948.67 + $9,998.20 + $8,390.50 + $7,018.56 + $5,859.31 + $4,895.41 + $4,106.03 + $3,479.37 + $2,994.05

= -$27,072.18

Should the Firm Accept at 21% Required Return: Since the NPV of the project is negative at 21% required return, the firm should reject the project.

Discount Rate at which the Firm is Indifferent: The discount rate at which the firm is indifferent between accepting the project and rejecting it can be calculated by setting the NPV equal to zero and solving for the discount rate.

The computation for the discount rate is as follows:

0 = -$80,000 + $17,400/r + $17,400/r² + $17,400/r³ + $17,400/r⁴ + $17,400/r⁵ + $17,400/r⁶ + $17,400/r⁷ + $17,400/r⁸ + $17,400/r⁹ + $17,400/r¹⁰

r = 12.44%

Therefore, the discount rate at which the firm is indifferent between accepting the project and rejecting it is 12.44%.

Complete Question:

A project that provides annual cash flows of $17,400 for ten years costs $80,000 today. What is the NPV for the project if the required return is 9 percent? (Do not round intermediate calculations. Round your answer to 2 decimal places, e.g., 32.16.) NPV $ At a required return of 9 percent, should the firm accept this project? Accept Reject What is the NPV for the project if the required return is 21 percent? (Negative amount should be indicated by a minus sign. Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) NPV $ At a required return of 21 percent, should the firm accept this project? Accept Reject At what discount rate would you be indifferent between accepting the project and rejecting it? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) Discount rate %

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Related Questions

you go to see a movie that you believe would turn out to be amazing. the ticket costs you $20. once in the theatre you realize that the movie is awful. if you leave now, you can still catch your favorite tv show. what should you do?

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If you leave the movie early, you will have the opportunity to catch your favorite TV show, which is something you were looking forward to. Ultimately, the decision is yours to make, but it's important to weigh the pros and cons before making any hasty decisions.

If you find yourself in a situation where you have paid to see a movie that you believed would be amazing but turned out to be awful, you might feel like leaving the theatre and cutting your losses. However, before making any decisions, it's important to consider a few things.

Firstly, if you leave the theatre early, you may miss some redeeming features of the movie or any plot twists that could change your opinion. Secondly, you may have the opportunity to get a partial refund if you approach the cinema staff and explain your situation.

If after considering these factors you still decide to leave the theatre early, it's important to do so quietly and respectfully to avoid disrupting other viewers. Additionally, it's important to make sure that leaving early won't cause you to miss any important commitments or plans.

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why does the fixed-period model have to cover the time period of t l, while the fixed-order quantity model must cover only the time period l

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The fixed-period model and fixed-order quantity model are both inventory management techniques used to determine when and how much to order.

The main difference between these two models is  time frame they cover. The fixed-period model requires orders to be placed at fixed time intervals, typically covering  entire period of demand from t to l. This is because amount of inventory needed to cover this period can vary, and the fixed-period model allows for adjustments to be made accordingly. On the other hand, the fixed-order quantity model orders a fixed amount of inventory each time an order is placed, covering only the time period l. This is because the quantity ordered remains constant, and only the frequency of ordering varies.

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work center data used to specify how an operation or sub-operation is scheduled, how costs will be calculated and how operations are confirmed once completed at work center are known as

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Routing data describes how an operation or sub-operation will be scheduled, how expenses will be determined, and how operations will be confirmed once they have been performed at a work center.

Routing data reveals details about the order of processes or actions necessary to produce a good or deliver a service. It contains information on the work center where each operation will be carried out, how long it will take to complete each activity, and what resources are required.

In order to ensure that products are produced successfully and efficiently, routing data is a crucial component of manufacturing and production planning. It also offers a foundation for figuring out the total cost of production, as well as the costs associated with each process.

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all of the following are steps included in the accounting cycle except: a. forecasting of expenses and revenues. b. posting journal information into ledgers. c. preparing a trial balance. d. recording information into journals.

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Forecasting of expenses and revenues is not included in the accounting cycle. The correct option is A.

The accounting cycle is a series of procedures used by a business entity to record its transactions. The cycle starts with the opening of books and concludes with the closing of the books for the accounting period in which it occurs. The accounting cycle comprises a number of actions that businesses must complete on a regular basis to keep their financial information up to date and accurate.

These actions provide insight into a company's financial transactions and ensure that a company's financial information is consistent and accurate, which is essential for making sound business decisions. The following are the steps included in the accounting cycle:

Analyze and record transactions in a journalPost to the ledgerPrepare a trial balanceAdjust entriesPrepare financial statementsClose the books

Forecasting of expenses and revenues is not a step in the accounting cycle. It's a process that businesses undertake before the accounting cycle begins. The aim of forecasting is to assist a company in developing an estimate of its future revenue and expenses.

Option A is the correct answer.

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the opportunity cost of capital owned by the firm should reflect group of answer choices all of them wage rate differences.

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The firm's opportunity cost of capital should reflect "the return forgone by using the capital rather than renting it to another firm." Option C is correct.

The opportunity cost of capital refers to the potential return that could have been earned if the capital had been used in an alternative investment. In the case of a firm, the opportunity cost of capital owned by the firm should reflect the return that could have been earned if the capital had been rented to another firm instead of being used by the current firm.

This reflects the fact that the capital could have been used to generate income for the firm in alternative ways, and therefore the return foregone by not doing so should be taken into account when assessing the value of the capital. Wage rate differences and acquisition cost may be factors that affect the opportunity cost of capital, but they are not the primary drivers of it.

Option C holds true.

The complete question:

The opportunity cost of capital owned by the firm should reflect...?

A. Wage rate differencesB. Acquisition costC. The return forgone by using the capital rather than renting it to another firmD. Both A and B

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what does the federal sentencing guidelines for organizations (fsgo) focus on? a. penalties for companies convicted of restraint of trade charges b. improving the quality of life for employees and communities c. schemes by top management to hide losses and other performance problems d. encouraging ethical and legal compliance by reducing penalties for firms with effective compliance programs

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The federal sentencing guidelines for organizations (FSGO) focus on encouraging ethical and legal compliance by reducing penalties for firms with effective compliance programs. The correct option is d.

What is the Federal Sentencing Guidelines for Organizations (FSGO)?

The Federal Sentencing Guidelines for Organizations (FSGO) is a set of regulations that dictate the sentences that must be given to organizations found guilty of federal crimes.

These guidelines, which are intended to assist judges in determining fair and proportional penalties, are considered essential to the United States criminal justice system's uniformity, transparency, and predictability.

What is the objective of the Federal Sentencing Guidelines for Organizations (FSGO)?

The FSGO's primary goal is to encourage ethical and legal compliance in organizations. The FSGO's penalty-reduction system is based on this concept. If organizations can establish that they have taken steps to reduce the likelihood of criminal conduct, the judge will reduce the penalty.

The Guidelines were amended in 2010 to include several sections devoted to "effective compliance and ethics programs," which provide suggestions for creating and maintaining compliance and ethics programs that will qualify organizations for the penalty reductions provided by the Guidelines.

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you have just started a new job and plan to save $5,050 per year for 39 years until you retire. you will make your first deposit in one year. how much will you have when you retire if you earn an annual interest rate of 9.75 percent?

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If you save $5,050 per year for 39 years and earn an annual interest rate of 9.75%, you will have approximately $1,934,947 when you retire. This calculation assumes that the interest rate remains constant throughout the 39-year period, which may not be the case in reality.

Assuming that you will be making annual deposits of $5,050 for 39 years, the total amount that you will save would be $5,050 x 39 = $197,050.

To calculate the future value of your savings at an annual interest rate of 9.75%, we can use the formula for compound interest:

FV = PV x (1 + r)^n

Where:

FV = Future Value

PV = Present value (or the amount you're investing)

r = Annual interest rate

n = Number of years

In this case, PV is the total amount that you will be saving over 39 years, which is $197,050. The annual interest rate is 9.75% or 0.0975, and n is the number of years that you will be investing, which is also 39.

Plugging these values into the formula, we get:

FV = $197,050 x (1 + 0.0975)^39

FV = $1,934,946.87

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xyz corporation issues bonds with a $100 face value that make coupon payments of $5 every 3 months. what is the coupon rate?

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Bonds having a $100 face value that make $5 coupon payments every three months are issued by XYZ corporation. The coupon rate is 20%.

The rate of interest that debt securities pay on the bond's face value is known as the dividend yield. It speaks of the ongoing interest rate that buyers of bonds are charged by bond issuers. The bond's face value (also known as par value) is utilized to calculate the coupon rate, not the issue price or market value. The interest rate a bond pays in relation to its par value, or face value, is known as the coupon rate. This will remain constant for the duration of a fixed-rate bond's maturity. The coupon rate is the set annual rate that a guaranteed-income instrument, frequently a bond, pays its holder or owner.

In this case, the annual coupon payment is $5 * 4= $20 (Since there are 4 coupon payment in a year)

So, the coupon rate is:

Coupon rate = (Annual coupon payment [tex]/[/tex] Face value) [tex]*[/tex] 100%

Coupon rate = ($20/ $100) * 100%

Coupon rate = 20%

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you have accepted a new listing for a vacation property that is two miles away from a scenic lake. what is the best way to advertise this property?

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Highlighting the property's proximity to the lake and highlighting the advantages of staying in a tranquil, natural location are the greatest ways to market the vacation rental that is two miles from a picturesque lake.

High-quality images of the lake and its surroundings, as well as explanations of the many different recreational options, like swimming, fishing, and hiking, might be included in advertisements.

The listing should also draw attention to any distinctive qualities of the vacation home itself, such as a sizable deck with a view of the lake or a warm fireplace for winter nights. To give potential guests a flavor of the neighborhood, it would also be beneficial to include information about neighboring amenities like restaurants and shops.

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you want to invest in a computer/internet company. which type of investment would you most likely choose?

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The stocks of a computer or internet company would probably be my first choice if I were wanting to invest.

By doing this, I would be able to buy stock in the company and maybe profit from my investment through dividends and capital gains.

Consequently, before making any investment selections, I would do my homework on the company's financial situation, management staff, development potential, and market environment. Also, spreading out my investing portfolio across many businesses and sectors could assist reduce risks.

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is each of the following policies an example of expansionary or contractionary fiscal policy? explain your answers in terms of the effect on aggregate demand. a. the government slashes funding for the environmental protection agency, without changing any other spending. this is (click to select) fiscal policy that will shift aggregate demand to the (click to select) . b. the government raises taxes on households making more than $250,000. this is (click to select) fiscal policy that will shift aggregate demand to the (click to select) . c. the government decides to fill gaps in medicare by making it available to more people. this is (click to select) fiscal policy that will shift aggregate demand to the (click to select) .

Answers

Expansionary fiscal policy is used to stimulate the economy by increasing government spending, lowering taxes, or both, leading to an increase in aggregate demand.

a. The government slashing funding for the Environmental Protection Agency without changing any other spending is an example of contractionary fiscal policy. The reduction in spending will decrease government expenditure, and as a result, there will be a decrease in aggregate demand. This policy will hurt the economy since it will lead to job losses and reduced economic activity.

b. The government raising taxes on households making more than $250,000 is an example of contractionary fiscal policy. This policy will lead to a reduction in disposable income for high-income households, which will reduce their spending. This reduction in spending will, in turn, reduce aggregate demand, leading to an economic slowdown.

c. The government deciding to fill gaps in Medicare by making it available to more people is an example of expansionary fiscal policy. This policy will increase government expenditure and provide more people with access to healthcare, leading to an increase in aggregate demand. The increase in government spending will also lead to an increase in jobs, which will stimulate economic activity.

Contractionary fiscal policy, on the other hand, is used to slow down the economy by reducing government spending or raising taxes, leading to a decrease in aggregate demand.

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bennett company has a potential new project that is expected to generate annual revenues of $266,600, with variable costs of $146,000, and fixed costs of $62,800. to finance the new project, the company will need to issue new debt that will have an annual interest expense of $27,000. the annual depreciation is $26,200 and the tax rate is 21 percent. what is the annual operating cash flow? multiple choice

Answers

The annual operating cash flow for the new project is $45,632. The annual operating cash flow can be calculated using the formula:

Operating Cash Flow = EBIT (1 - tax rate) + Depreciation

where EBIT is Earnings Before Interest and Taxes.

First, let's calculate EBIT:

EBIT = Annual Revenues - Variable Costs - Fixed Costs

EBIT = $266,600 - $146,000 - $62,800

EBIT = $57,800

Next, we can calculate the annual operating cash flow:

Operating Cash Flow = EBIT (1 - tax rate) + Depreciation

Operating Cash Flow = $57,800 (1 - 0.21) + $26,200

Operating Cash Flow = $45,632

Therefore, the annual operating cash flow for the new project is $45,632.

Answer: $45,632

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a company made an error by recording too much revenue. to correct this error, the revenue account should be

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A company made an error by recording too much revenue. to correct this error, the revenue account should be debited.

The receipts of the money or revenue that the person or firm obtains via their commercial activities are kept in revenue accounts, which are financial accounts.

Sales, service revenues, earned fees, interest revenue, and interest income are a few examples of revenue accounts. As services are rendered and billed, revenue accounts are credited, therefore they often have credit balances.

The income account has a credit balance and is an equity account. Hence, a credit to the revenue T-account results in a rise in the account balance. The enlarged accounting equation demonstrates how revenues raise equity.

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the unadjusted trial balance at the end of the year includes the following: accounts receivable$ 110,000 allowance for doubtful accounts2,200 both accounts have normal balances. the company uses the aging of accounts receivable method. its estimate of uncollectible receivables resulting from the aging analysis equals $7,600. what is the amount of bad debt expense to be recorded for the year?

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Answer: $7,600

When preparing an income statement, what is the formula for computing bad debt expense?

What is the Bad Debt Expense formula?

The formula for calculating the bad debt expense is as follows:

Beginning accounts receivable + credit sales - cash collections - ending accounts receivable = ending balance of accounts receivable

For instance, to determine the ending balance of accounts receivable, use the following formula:

Beginning balance of accounts receivable + sales made on credit - cash collections - bad debts = ending balance of accounts receivable

To calculate the bad debt expense, use the following formula:Bad debt expense = net credit sales × percentage of credit sales anticipated to be uncollectible

For example, if a company has net credit sales of $500,000 and anticipates that 3% of credit sales will be uncollectible, the bad debt expense would be:

$500,000 × 0.03 = $15,000

In the given problem, we are given accounts receivable$ 110,000 and allowance for doubtful accounts 2,200.

Both accounts have normal balances. The company uses the aging of accounts receivable method.

Its estimate of uncollectible receivables resulting from the aging analysis equals $7,600.

Therefore, the amount of bad debt expense to be recorded for the year is $7,600.

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which of the following contingencies that exist at the acquisition date should be recognized by the acquirer in a business combination? i. a contractual contingency to provide warranty services to prior customers of the acquiree. ii. an outstanding lawsuit against the acquiree for which legal experts believe there is a 90% probability that the suit will be successful.

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"An outstanding lawsuit against the acquiree for which legal experts believe there is a 90% probability that the suit will be successful" should be recognized by the acquirer in a business combination. Option II is the right answer.

Contingencies are probable events or uncertain conditions that are likely to result in a loss to the company. When companies enter into a business combination, they must recognize and measure such contingencies. As a result, the following contingencies should be identified by the acquirer in a business combination: An outstanding lawsuit against the acquiree for which legal experts believe there is a 90% probability that the suit will be successful.

A contractual contingency to provide warranty services to prior customers of the acquiree. Contingencies are probable events or uncertain conditions that are likely to result in a loss to the company. It is an essential concept in the financial accounting cycle as it helps companies identify potential risks and measure their impact on financial statements.

Thus, option II is the correct answer.

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swifty corporation has several outdated computers that cost a total of $14800 and could be sold as scrap for $6000. they could be updated for an additional $2400 and sold. in deciding whether to update the computers and sell them, what amount is considered sunk costs? select answer from the options below $9000 $2400 $17200 $14800

Answers

The sunk cost of the outdated PCs as a whole is $14800.Therefore, the correct option is d.

Moreover, the investment which has already been made but cannot be recouped is referred to as a sunk cost, also known as a retrospective cost.

Sunk costs in company include things like marketing, research, installing new software or equipment, paying for workers and benefits, or paying for facilities.

As can be seen, the price is $14800.

For $ 6000, the computers can be sold as scrap.

At $2400, we might even update.

Find the item's current as-new market price to determine the sunk cost of a piece of equipment that needs to be replaced.

Next, make an effort to determine the item's current market value, which should be simple with some web research. To get the sunk cost, deduct the current value from the as-new price.

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the bonds of xyz, inc. are currently quoted at 97.65 and mature in 13 years. the bonds pay a $45 semiannual coupon. what is the current yield on these bonds?

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The current yield on the bonds of XYZ, Inc. can be calculated by dividing the annual coupon payment by the current market price of the bond, and then multiplying the result by 100 to get the percentage.

First, we need to calculate the annual coupon payment by multiplying the semiannual coupon payment by 2: $45 x 2 = $90. Next, we can use the current market price of the bond to determine the yield: ($90 / $1,000) x 100 = 9%

Therefore, the current yield on the bonds of XYZ, Inc. is 9%. This means that an investor who buys the bond at the current market price of 97.65 will receive a yield of 9% per year, based on the semiannual coupon payments and the bond's maturity value in 13 years.

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teresa says that the decision to start plant fantasies was exciting. the decision to stay in business was a.even more exciting. b.exhilarating. c.intuitive. d.excruciating.

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Teresa found the decision to start Plant Fantasies exciting. However, the decision to stay in business was even more thrilling, but it's unclear whether it was exhilarating, intuitive, or excruciating. Thus option A is correct.

Teresa describes beginning Plant Fantasies as an exciting choice. However, it appears that the choice to remain in the company was even more difficult. While she did not clarify whether the experience was exhilarating or intuitive, it is obvious that it was important.

Perhaps there were obstacles or chances that complicated or emotionally charged the choice. It's also conceivable that she merely enjoyed the ongoing journey of operating a company. Teresa's statement, however, indicates that remaining in business was a significant choice for her.

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according to the 2019 jobvite survey of 1,500 americans, which is the most important motivating criteria to job seekers? multiple choice question. career growth opportunities retirement benefits financial compensation health care

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The most important motivating criteria to job seekers according to the 2019 Jobvite survey of 1,500 Americans is financial compensation.

What's financial compensation

Financial compensation is the amount paid to a person or organization for services rendered. It can be in the form of money, bonuses, stocks, or other forms of payment that can be converted into money.

This form of payment is the most important motivating criteria to job seekers. They take into consideration the financial benefits before they accept a job offer.

In some cases, the job may come with benefits such as health care, retirement benefits, and career growth opportunities, but if the financial compensation is low, it may be a turn-off to the job seeker.

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amazon is an example of a company that used the differentiation strategy to enter the market. the differentiation features included multiple choice minimal customer service. traditional back office logistics. traditional delivery logistics. using a one-click online ordering system to make ordering simpler.

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Amazon is an example of a company that used the differentiation strategy to enter the market.

What are the differentiation features that Amazon used to enter the market?

Amazon's differentiation features included:

1. Using a one-click online ordering system to make ordering simpler.

2. Providing minimal customer service.

3. Traditional back-office logistics.

4. Traditional delivery logistics.

What is the best approach to entering a new market using differentiation strategy?

The best approach to entering a new market using differentiation strategy is to create a unique or different product, service, or offering that is more valuable than similar offerings in the market.

The differentiation features must provide unique features and benefits to customers that are not provided by other market players. Additionally, it is essential to create an effective marketing and promotion plan that will help attract customers and build brand awareness.

Lastly, it is crucial to create a sustainable business model that will enable the business to continue providing unique value to customers and staying ahead of competitors.

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discuss the pros and cons of each financial tool compared to each other: npv, irr, payback, and profitability index.

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NPV accounts for time value of money, but can be sensitive to input assumptions. IRR is easy to understand, produce multiple solutions but doesn't account for scale of investment. Payback is easy to use, but doesn't account for time value of money. Profitability index accounts for money scale of investment, but can be sensitive to input assumptions.

Net Present Value (NPV) is a powerful tool for accounting for the time value of money, but can be sensitive to input assumptions. Internal Rate of Return (IRR) is easy to understand and produces multiple solutions, but it does not account for the scale of the investment.

Payback period is easy to use but also doesn't account for the time value of money. The Profitability Index, while accounting for the scale of the investment, can also be sensitive to input assumptions. When deciding which tool to use, it's important to understand the limitations of each so you can make an informed decision.

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which of the following are true about a bond's face value? multiple select question. it is the market value of the bond at the time of maturity. it is the principal amount repaid at maturity. it is also known as the par value. a bond's face value is the same for all corporations.

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Option (b) and (c), The face value of a bond is also referred to as the par value and the principal amount repaid at maturity, both of which are accurate terms.

The face value sometimes referred to as the par value or nominal value, of a bond or stock is stated in the corporate charter. A bond's par value is typical $1,000 (or, to a lesser extent, $100) because these are the most common denominations in which they are issued.

Yes. We talk about the initial dollar value of a financial instrument when we talk about face value. The bond's "par value" or "face value" is the amount that the issuer will pay when it matures. The price at which a stock is initially issued—also referred to as the face value of the shares—is set by the issuer.

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our organization recently adopted a new website design interface. some of our employees are having difficulty navigating the new system but are fully capable and willing to learn. this is an example of .

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Our organization recently adopted a new website design interface. some of our employees are having difficulty navigating the new system but are fully capable and willing to learn, this is an example of the learning curve that comes with adopting new technology.

Employees who are used to the old system may struggle initially with the new interface, but with time and training, they can become proficient in using it.

It is important for the organization to provide resources and support to help employees adapt to the new system. This may include training sessions, user manuals, or online resources that employees can access to learn how to use the new interface.

Ultimately, the goal is to ensure that all employees can use the new system effectively and efficiently.

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the lowest rate of unemployment compatible with price stability, variously estimated at between 4 and 6%, is . multiple select question. natural rate of unemployment gdp employment inflation-adjusted unemployment full employment

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The lowest rate of unemployment compatible with price stability, variously estimated at between 4 and 6%, is natural rate of unemployment. The answer is OPTION A

The lowest jobless rate that accomplishes this is known as the "non-accelerating inflation rate of unemployment," or NAIRU. The NAIRU idea, its significance, and the variables affecting its level are all explained in this Explainer.

Disguised unemployment is the kind of unemployment that occurs in India's agricultural industry when there are more workers than needed. High unemployment was typically correlated with deflation or reduced inflation, while low unemployment was typically correlated with higher inflation. It makes reason logically that these two things are connected. The answer is OPTION A

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charles volunteers at a local soup kitchen for approximately 15 hours per week. he is currently not seeking paid work. is charles considered unemployed?

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Charles is not considered unemployed according to the ILO definition, other measures of unemployment may have different criteria and include individuals who are not seeking paid work but are working part-time or seeking employment.

According to the International Labour Organization (ILO), a person is considered unemployed if he or she is without work but is actively seeking and available for work. In the case of Charles, he is not seeking paid work and is volunteering at a local soup kitchen for 15 hours per week.

Therefore, Charles is not considered unemployed according to the ILO definition. However, it is important to note that there are different definitions and measures of unemployment used by different countries and organizations.

For instance, some countries may include individuals who are not actively seeking work or who are working part-time but seeking full-time employment as unemployed. Additionally, some measures of unemployment may also take into account discouraged workers who have stopped actively seeking work.

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Which word best describes the process of orientation, training and development and performance evaluation.

Answers

The correct answer is option D) Talent management is a process that involves recruiting, onboarding, orientation, training, development, and performance evaluation of an organization's employees.

It is a holistic strategy for managing human capital that covers the entire gamut of initiatives to draw in, keep, and develop top-tier workers.

The objective of talent management is to create a workforce with the knowledge and abilities necessary to support the firm in achieving its strategic goals.

Organizations can use talent management to spot high-performing workers with leadership potential as well as those who might be having trouble and require more help and direction.

By concentrating on staff development and career planning, it can also assist firms boost employee retention and engagement.

Complete Question:

Which of the following processes best describes orientation, training, development, and performance evaluation?

A) Recruiting

B) Onboarding

C) Career planning

D) Talent management

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6. suppose that you put a specific tax on the monopolist of $20 per unit output. what would its profit maximizing level of output be?

Answers

The monopolist's profit-maximizing level of output with the tax is 10/6 units.

If a specific tax of $20 is imposed on the monopolist, the monopolist's profit-maximizing level of output will change. The monopolist will now choose to produce the level of output where the marginal revenue (MR) equals the marginal cost (MC), but with the tax added to the marginal cost;

MR = MC + Tax

The monopolist's original marginal cost curve is;

MC = 10 + 4Q

where Q is the quantity of output.

With the tax, the monopolist's new marginal cost curve is;

MC + Tax = 10 + 4Q + 20

MC + Tax = 30 + 4Q

The monopolist's marginal revenue curve is;

MR = 40 - 2Q

Setting MR equal to MC + Tax, we have;

40 - 2Q = 30 + 4Q

6Q = 10

Q = 10/6

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recently, agile project management has been discussed and utilized. a.rarely; over b.widely; increasingly c.widely; decreasingly d.rarely; under

Answers

Recently, agile project management has been discussed and utilized Widely; Increasingly. Option b is the correct option.

Agile project management is an approach to project management that focuses on delivering value through rapid, iterative cycles. It emphasizes collaboration, flexibility, and continuous improvement. By using an iterative approach to project management, agile teams are able to deliver projects more quickly and with greater accuracy.

Agile project management has been gaining in popularity in recent years; organizations are recognizing the value of shorter, more focused project cycles and embracing the agile methodology to deliver business value. Agile project management can help organizations become more agile, flexible, and responsive to customer demands, while delivering projects more quickly and efficiently.

Agile project management can also help reduce project risk by allowing for rapid feedback loops and iterative development. Additionally, agile project management can help teams build better relationships by encouraging collaboration and communication. By utilizing agile project management, organizations are able to deliver projects faster and more accurately, while also gaining greater visibility into the project’s progress and success.

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The complete question is:

recently, agile project management has been discussed and utilized:

a.rarely; over

b.widely; increasingly

c.widely; decreasingly

d.rarely; under

in monopolistic competition, a firm has some ability to affect the price for its product because of group of answer choices economic profits. many competitors. easy entry and exit. product differentiation.

Answers

In monopolistic competition, a firm has some ability to affect the price for its product because of c) product differentiation."

In monopolistic competition, firms produce differentiated products that are not perfect substitutes for each other. This means that a firm can differentiate its product in terms of quality, design, packaging, or branding to make it more attractive to consumers.

As a result, the firm has some ability to affect the price of its product because consumers perceive it as different from other products in the market.

However, because there are many competitors producing similar but not identical products, the firm cannot charge a price higher than the perceived value of its product without losing customers. Additionally, easy entry and exit into the market prevent the firm from earning economic profits in the long run.

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which of the following statements is correct? a. if a company has two classes of common stock, class a and class b, then the stocks may pay different dividends, but under all state charters the two classes must have the same voting rights. b. the stock valuation model, p0

Answers

The correct statement is A. If a company has two classes of common stock, Class A and Class B, the stocks may pay different dividends.

However, under all the state charters, the two classes should must have the same voting rights. This ensures that all shareholders, regardless of the class of stock that they hold, have an equal say in the company's decision-making process.

However, the two classes must have equal voting rights under all state charters. This guarantees that every shareholder has an equal voice in the company's decision-making process, regardless of the class of the shares they have own. The correct statement is A

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