Periodic cash flows that decrease by a fixed amount every subsequent period are known as arithmetic gradient cash flows.
What is meant by arithmetic gradient cash flows?A cash flow that fluctuates (increases or lowers) by the same amount during each cash flow period is known as an arithmetic gradient cash flow. This is an arithmetic gradient cash flow series with the gradient, G, equal to $100, for instance, if the cash flow in period 1 is $800 and in period 2 it is $900, with amounts rising by $100 in each succeeding month.
P = G (P/G, i,n) is the standard factor notation equation for the present value of an arithmetic gradient cash flow. This equation determines the present value of only the gradient (i.e., the $100 increases in the example above), not the initial sum of money (i.e., the $800 in the case above), upon which the gradient was constructed.
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What phrase could a licensee use in advertising that would not discriminate on the basis of familial status
Senior discount is the phrase that a licensee could use in advertising that would not discriminate.
A familial status discrimination is known to occurs when the landlord, manager or property owner treats someone very differently.
The other options clearly discriminate the familial status.
Hence, the Senior discount is the phrase that a licensee could use in advertising that would not discriminate.
Therefore, the Option is correct.
Missing options "Couples only Empty nesters No bicycles allowed Senior discount"
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Cleared checks:
a) Are available as online images for you to refer to or as reduced images sent with each monthly statement
b) Must be destroyed so that they don't get cashed again
c) Should be used to notify the people you wrote the check to since they havent cashed the checks yet
. d) Are automatically redeposited if the check image is lost
Explanation:
should be used to notify the pepole you wrote the check to since they haven't cashed the checks yet
Ahmad has some saving where do you suggest him to keep and why
Answer:
It depends on how much money Ahmad has saved.
Explanation:
If he has a small amount of money, the best he can do is to put his savings on a safe investment, like treasury bonds, an ETF, or a safe and low risk bond of a trustworthy company.
If Ahmad has a larger amount of money, he can put his savings in riskier assets like stock, which could give him a higher return. He could also create a more diverse investment portfolio, with some of his savings going to safer, lower yield investment instruments, and the rest going to riskier, higher yield investment instruments.
What is cold Storewhat is cold Store
Answer:
Explanation:
Cold
Why do you think a higher percentage of those over 35 years old invest in the market compared to those under 35? Help please!
Answer:
Yes I think those over 35 invest in a market compared to people not 35, because they been though school, and have more experience in the market company.
Explanation:
The Member accepting delegation of approval authority is called a _____.
Answer:
Delegation
Explanation:
to be successful, strategic planning requires a company to have a ______ orientation.
To be successful, strategic planning requires a company to have a long-term orientation.
What is strategic planning?Strategic planning can be defined as the way of making use of techniques that will enables a company to achieve their future goals and objective.
On the hand long-term orientation can be defined as the future goals they a company or an organization has the plan to achieve.
Therefore the statement that filled the gap is long term.
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Drag each label to the correct location on the image.
Match the given examples to the types of revenue earned by an organization.
sales revenue
service fees
interest income from a loan
income from renting office
premises
Revenue form Primary Activities Revenue form Secondary Activities
In response to your question, the correct classification of revenue types for given examples, categorizing them into two types of revenue, are as follows:
Sales revenue = Revenue from Primary ActivitiesService fees = Revenue from Primary ActivitiesInterest income from a loan = Revenue from Secondary ActivitiesIncome from renting office premises = Revenue from Secondary ActivitiesPrimary activities are the core operations of an organization that contribute directly to its main business. Secondary activities, on the other hand, are peripheral or supportive activities that do not directly contribute to the main business but still generate revenue.
Given the examples:
Sales revenue - This would be classified as revenue from primary activities, as it directly relates to the main business operations.Service fees - This would also be classified as revenue from primary activities, as it is earned through the provision of services that the organization offers.Interest income from a loan - This would be classified as revenue from secondary activities, as it is generated through a financial activity that is not directly related to the main business operations.Income from renting office premises - This would be classified as revenue from secondary activities, as it is earned through a supportive activity (renting out office space) that is not directly related to the main business operations.Learn more about financial activities: https://brainly.com/question/7066178
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A new equipment requires an investment of $130,000 to generate an income of $20,000 for the first 3 years, thereafter, increasing by $10,000 for the remaining life of 10 years. To recover the investment under a no-return payback condition it will take:
To recover the investment under a no-return payback condition, it will take 6 years.
The payback period is a financial metric used to determine how long it takes to recover the initial investment in a project or equipment. In this case, the investment for the new equipment is $130,000, and the income generated is $20,000 for the first 3 years, increasing by $10,000 for the remaining 10 years.
To calculate the payback period, we need to determine when the total cumulative income equals or exceeds the initial investment. For the first 3 years, the total income generated would be $20,000 per year, resulting in a cumulative income of $60,000. We subtract this from the initial investment of $130,000, leaving a remaining amount of $70,000.
Since the income increases by $10,000 per year for the remaining 10 years, it will take an additional 7 years to accumulate $70,000. Therefore, the total payback period would be 3 years + 7 years = 10 years.
However, since we are looking for the payback period under a no-return condition, where no income is generated after recovering the investment, we subtract the additional 7 years from the total payback period. Hence, the final payback period under a no-return condition is 10 years - 7 years = 6 years.
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6. Simplify the following ratios:
12 cm: 1m
Answer:
its already simplified.
Explanation:
Salmon, Incorporated issues 500,000 shares of preferred stock for $60 a share. The stock has a fixed annual dividend rate of 5% and a par value of $18 per share. The current price of the preferred stock is $64 a share. If sufficient dividends are declared, preferred stockholders can anticipate receiving annual dividends of: _________
If sufficient dividends are declared, preferred stockholders can anticipate receiving annual dividends of: $0.90 per share.
Using this formula
Annual dividends= Par value × Fixed Annual dividend rate
Where:
Par value= $18 per share
Fixed Annual dividend rate= 5% or 0.05
Let plug in the formula
Annual dividends= $18 per share × 0.05
Annual dividends= $0.90 per share
Inconclusion if sufficient dividends are declared, preferred stockholders can anticipate receiving annual dividends of: $0.90 per share.
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In the business environment, organizations dread weaknesses and
are very mindful of them. Why is this always the case?
In the business environment, organizations dread weaknesses and are very mindful of them. There are several reasons for this:First, weaknesses can lead to negative consequences such as decreased sales, loss of customers, lower profits, and even bankruptcy.
For example, if a company has outdated technology, it may not be able to offer the same level of service or quality as its competitors. This can lead to decreased market share and even the loss of key customers. Finally, weaknesses can make it difficult for companies to attract and retain talented employees.
This is because they can lead to negative consequences such as decreased sales, loss of customers, lower profits, and even bankruptcy. They can also undermine a company's reputation and credibility, make it difficult to compete in the marketplace, and make it difficult to attract and retain talented employees. As such, it is important for organizations to identify and address weaknesses in a timely and effective manner.
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Write a sample professional greeting you would record on your professional cell phone to be heard by employers and recruiters if they reach your voice mail.
Answer:
hello you have reached Micah micks office line if this is an emergency please hang up and call my personal line if this isn't please leave an voicemail and ill get back to you shortly thank you goodbye
Explanation:
Answer:
Hello this is *your name* from the *blank* department. If you're calling for an emergency please contact my regular phone and I will try my hardest to get in contact with you as soon as possible.
Explanation:
Use the "Fiscal Policy with a Fixed Money Supply" Figure 35-2. Assume that this economy is at E1. Now government deficit spending is increased, but the Federal Reserve does NOT expand the money supply. According to this model:
a. real GDP will expand just as much as if the Federal Reserve had expanded the money supply
b. real GDP will decrease because the Federal Reserve did not expand the money supply
c. real GDP will expand, but not as much as if the Federal Reserve had expanded the money supply
d. interest rates will decrease
e. real GDP will expand by more than it would have, if the Federal Reserve had expanded the money supply
According to this model, real GDP will expand, but not as much as if the Federal Reserve had expanded the money supply (option c).
In the given scenario, when the government increases deficit spending, it means that it is spending more money than it collects in revenue. This leads to an increase in government borrowing, as the government needs to finance the deficit by issuing bonds.
However, the Federal Reserve does not expand the money supply, which implies that it does not engage in open market operations to purchase government bonds and inject new money into the economy.
The lack of additional money in circulation limits the impact of the increased government spending on real GDP growth. While there may still be some expansion in real GDP due to government spending, it will not be as significant as it would have been if the Federal Reserve had expanded the money supply.
To summarize, according to this model, the correct answer is:
c. Real GDP will expand, but not as much as if the Federal Reserve had expanded the money supply.
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In the early 1890s, the average employee in the united states worked about how many hours per week?.
In the early 1890s, the average employee in the United States worked approximately 100 hours per week.
Workers are part of the workforce. While the labor force is everyone who is involved or trying to be involved in productive activities that produce goods and services. Meanwhile, workers or working residents are people who work in any field for a salary or pay.
Based on the type of activity, workers can be divided into two types, including:
Spiritual Worker (Non-physical) Spiritual or non-physical workers are workers who in their work activities use more thought processes, ideas, ideas, and so on. For example, managers, secretaries, directors, and consultants.Physical Worker (Physical) Physical or physical workers are workers who in carrying out their work activities use physical or physical energy. For example, construction workers and public transport drivers.You can learn more about Workers here brainly.com/question/13715326
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this form will be sent to Lily by the end of January. She will use this form to...
Answer:
\(\large\colorbox{white}{File her income taxes}\)
Explanation:
\(\large\colorbox{orange}{ɪ ʜᴏᴘᴇ ɪᴛ ʜᴇʟᴘs}\)
\(\large\colorbox{lime}{Xxᴊᴀsʜ13xX}\)
When a team agrees on the level of performance expected by each member, they have a _____.
shared standard
collaborative effort
unified commitment
team structure
THE ANSWER IS SHARED STANDARD
Answer:
shared standard
Explanation:
Teamwork refers to the collective approach towards the completion of a common goal. Methods and sources are agreed upon by each member of the team and the focus is relied on the achievement of the goal. Each individual works together and extend their efforts collectively. Shard standard refers to the level of acceptance on a particular point that each team member agrees on. Merging at a certain point is very essential part of teamwork. Disagreement among the team members may cause the team work fall behind.
Which of the following statements is true?
Answer:
True
Explanation:
compare and contrast reference theory of meaning and idea theory of meaning
Explanation:
Reference theory of meaning is a philosophical thought that believes the meaning of a word or acronym is doing in what it points out in the world. But the idea theory of meaning feels the meaning of a word or acronym lies in the group it represents.
For example, the meaning of the term would be seen as relating to illnesses and viruses as well as number of years from the point of view of idea theory of meaning. While the reference theory of meaning would allude the meaning using proper reference to the illness (Coronavirus) that caused the disease.
ANSWER ASAP PLEASE Which statement describes a way to use credit responsibly?
paying attention to the APR
and not the
APY
paying only the minimum payment each month
opening several different credit accounts
o understanding the account's interest rate
Answer:
understanding the interest rate
Explanation:
i took the test
Why must derivative classifiers use authorized sources of classification guidance only?.
To ensure that the original classification of information is maintained, derivative classifiers must use only authorized sources of classification guidance to derivatively classify information.
Classification is a system associated with categorization, the system in which thoughts and objects are diagnosed, differentiated, and understood. The category is the grouping of associated information into training. The category is a method related to categorization, the manner in wherein ideas and items are recognized, differentiated, and understood. Class is the grouping of associated statistics into training. Class of customers, for marketing (as in master facts control) or for profitability (e.G. By way of activity-based costing) labeled statistics, as in felony or authorities documentation job type, as in job evaluation trendy business classification, monetary activities.
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Mr. Coffey bought a house for $195,000. He made a 20% down payment. The interest
rate is 5.25% for 30 years. Use the loan payment calculator to answer the following
questions. (do not use commas or dollar signs in your answer)
What is his monthly payment?
Answer: $861.44
Explanation:
Given the following :
Purchase price = $195,000
down payment = 20%
Interest rate = 5.25%
Period = 30 years
Down payment = 0.2 × $195,000 = $39,000
Therefore, loan amount will be :
$(195,000 - 39,000) = $156,000
The payment per period (monthly payment) can be calculated using the annuity calculator.
Present value = $156,000
Number of periods = 30yrs = 30× 12 = 360 months
Interest = 5.25% / 12= 0.4375% = 0.004375
Future value = 0 (Amount when entire loan has been paid)
Therefore, the payment per period is $861.44 using the financial calculator.
Why would it be a good idea to mix stocks and bonds in your investment portfolio?
Answer:
To have more variety and just more in general!
Explanation:
Hope this helps!
Name and briefly describe your first marketing communication channel
I can provide an overview of one common marketing communication channel used by businesses: email marketing.
Email marketing involves sending promotional messages or newsletters via email to a list of subscribers who have opted-in to receive communications from a business. This channel can be highly effective as it allows businesses to reach their target audience directly, and can be personalized and tailored to individual subscribers based on their preferences and behaviors.Email marketing can also be used to nurture leads and encourage customers to make repeat purchases. It can be cost-effective and can provide detailed analytics and metrics to measure the success of campaigns.However, it's important to use email marketing responsibly and avoid spamming subscribers with irrelevant or too frequent messages. The content of emails should be valuable and engaging to the recipient to build trust and loyalty over time.
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Making good decisions is what market research is all about. False True
Answer:
True
.............................................
What vision do you have for your own future?
A short summary of imagination positive future and pls include doctors cuz when I grow up I wanna be a doctor
No one can write down a vision for your future, its your vision and future.
Tara was shopping for a new pair of shoes for work. The salesperson was very helpful and friendly, bringing Tara some styles she hadn't thought to try on but that she ended up really liking. Noticing Tara's University of Wisconsin tee-shirt, the salesperson said that she was a student there. Tara ended up buying three pairs of shoes rather than the one pair she had planned on. Tara's experience shows the effect of ________ on consumer behavior.
Answer:
salespeople
Explanation:
In the context, Tara wishes to buy new shoes for her work. She went to shoe shop and try out different shoes. The salesperson is helping her a lot in finding out her new pair of shoes and is also showing Tara some of the latest designs that are available in the shop.
The salesperson is polite and helpful to her. Tara found out that the salesperson also belonged to the same university where Tara studied. And she ended up in buying three pair of shoes instead of one. This shows the effect of the salesperson on the consumer behavior of Tara.
Explain the difference between the common misconception people have about tax brackets and how they actually work
Answer:
Tax brackets misconception is that it defines how much tax will be paid by an individual but this is not true. It only determines the rate of tax which will be applied to the individual for his income.
Explanation:
The tax bracket is determined for an individual based on his salary. After the computation of taxable income tax brackets are selected and rate is applied which ever tax bracket falls correctly. The tax rate applied to the taxable incomes gives the tax amount which is to be paid by an individual.
Which of the following is not an example of how you can reduce the full
cost of higher education?
The method used to lower the full cost of higher education is not as follows. As soon as you can, purchase every book from the bookstore.
How can the price of education be lowered?Think about dual enrollment.
Attend a community college first.
Examine the many housing possibilities.
Pick the appropriate menu.
Purchase no new textbooks.
Earn money while attending classes.
Look into all of your available help.
Take good care of your student loans.
What higher education expenses are not deemed to be additional costs?The cost of attending a college or university includes tuition, books, transportation, and room & board.
When figuring out how to pay for college, which of the following should you think about first?The Free Application for Federal Student Aid, or FAFSA, should be filled out by families that are worried about how to pay for college, according to experts. By doing this, you can access a variety of financial aid opportunities, such as loans, grants, and scholarships.
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the primary participants in corporate governance, according to monks and minow, are all the stakeholders, board of directors, and employees.group startstrue or false
The given statement is "primary participants in corporate governance, according to monks and minow, are all the stakeholders" is true because Monks and Minow argue that corporate governance should not be limited only to the board of directors and shareholders.
But should include all stakeholders who have an interest in how a company is managed. This includes customers, suppliers, lenders, employees, and other members of the general public who may be impacted by the firm's activities.
All these stakeholders are considered essential participants in corporate governance since their influence on a company's performance can be significant. Furthermore, for effective corporate governance systems to exist there must be transparency regarding decision-making processes which requires communication between all stakeholders involved. In
conclusion, all stakeholders should have a voice in corporate governance since it affects them directly or indirectly and without their involvement meaningful decisions cannot be taken.
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