1. According to the table, what has the investor done with money earned through interest?
2. From looking at the table, explain the concept of compound interest.
3. According to the table, if the interest rate on this account were 10 percent, how much money would you have in the account at the end of the first year?
4. According to the table, if you added $50 to this account every year, what effect would it have on the interest rate that you earned?
5. According to the table, the investment has doubled in worth by the start of which year?
Answer:
1. According to the table, the customer leaves the money earned through interest to be added to the principal, to serve as the new principal on which an interest is calculated for the next period or year
2. Compound interest is the interest calculated based on a principal that is the addition of the previous interest to the previous beginning principal. The compound interest can also be called the interest on interest or the interest due to reinvestment of the interest added to the initial amount of each period
3. If the interest rate was 10% rather than 5%, then, with a principal of $100.00 the interest will be $100 × 10/100 = $10, and the total in the account will be $100.00 + $10.00 = $110.00
4. If $50 is added to the account every year, it will increase the interest, but the interest rate will stay the same
5. The investment has more than doubled in worth from $100.00 to $207.90 at the start of the 15th year
Explanation:
Which is a disadvantage of withdrawing more money than is available in a checking
account?
a) late payment fee
b) overdraft fee
c) interest fee
FIRST ANSWER GETS BRAINLIEST
Answer: Your answer is B. Overdraft fee
Explanation:
B. Overdraft fee
May I have brainliest please? :)
If a driver with an insurance policy drives infrequently, it can
raise costs.
lower costs.
create risk
share risk.
Answer: lower cost
Explanation:
An insurance policy is a contract between an insurance company and a policyholder, which helps the policyholder to be able to make claims when there's an accident or death in case of life insurance.
In the above scenario in the question, if a driver with an insurance policy drives infrequently, it can lower costs.
Therefore, the correct option is B.
Answer: Lower cost.
Explanation: This is the correct answer on Edge 2020 ( I just took the quiz and got it right ^-^).
QUESTION 3 of 10: Last month, sales in the following categories were: Promotional items ($1,401 with returns of $214 and discounts of
$159), Staple items ($2,306 with returns of $178), All other items ($2,298 with returns of $56). The total square footage of selling space is
5,000 square feet. Compute the sales per square foot of selling space.
ОООО
a) $0.78/square foot
b) $1.08/square foot
c) $1.54/square foot
d) $1.67/square foot
Answer:
b) $1.08/square foot
Explanation:
The sales per square foot will be the net sales/total square feet.
Net sales :
promotional items = sales - returns- discount
=$1,401 - $214 - $159
=$1028
Staple items = sales -returns
= $2,306- $178
=$2,128
Other items
= $2,298- $56
=$2,242
Total net sales = $1028 + $2,128 + $2,242
=$5,398
The sales per square foot of selling space will be
=$5,398/5000
=$ 1.079
=$1.08
Suppose a customer at a restaurant is deciding whether or not to order dessert. Marginal thinking means that the customer should compare: Group of answer choices the additional benefit from the dessert with the additional cost of the dessert. the total benefit from the entire meal and dessert with the additional cost of the dessert. the total benefit from the entire meal and dessert with the total cost of the meal and dessert. the marginal benefit from the meal with the marginal cost of the dessert. PreviousNext
Answer:
the additional benefit from the dessert with the additional cost of the dessert.
Explanation:
According to economics, everyone should act by comparing the marginal benefits obtained by purchasing a good or service vs the marginal cost of obtaining this good or service.
In this case, the customer places a certain value on the utility received from consuming dessert, and if that value is equal or higher to the cost of the dessert, then the consumer will order and eat it. If the perceived value of the benefits received form consuming the dessert are lower than the cost of the dessert, then the consumer will not order it.
Why are parents buying more puzzles than
ever before?
A)Schools and daycares have forbidden kids
from playing with puzzles.
B)Their children are at home with nothing to
do because of the pandemic.
C)Normal board games are out of stock.
D)WiFi systems are being overtaxed with
demand.
Answer:
B
Explanation:
children are more bored than ever so parents buy them puzzles so they stay busing doing something instead of saying they are bored to their parents every 3 seconds.
What decision did a London Court Reach In this case?
Answer:
A.
Explanation:
I did B from the person above and got it wrong and it said that A was the answer :)
Answer:
A. The writing of The Da Vinci Code did not violate copyright law.
Explanation:
Right on ED2021, goodluck!
Determine the profit maximizing price and quantity of resources in factor markets under perfect and imperfect competition by use of marginal analysis.
The demand for resources is derived from the demand for products and services, since most resources in their native form have little benefit. Businesses buy resources from households, who are the direct or indirect owners of land, labor, capital, and entrepreneurial resources, to produce the products and services that society desires. This is part of the circular flow model where businesses supply products that households demand and where businesses demand resources that households supply
Resource demand depends on the productivity of the resource in creating the good and also on the market value of the good produced. The production function relates the quantity of inputs used to produce a good to the quantity of output of that good.
Output Quantity
Production Function = ÷
Input Quantity
Graph of the production function, showing the relationship of the quantity of product output over the quantity of resource input.
However, for a firm with fixed assets, the production function increases more slowly as the quantity of inputs increases.
Marginal product (MP) is the additional output that results when using an additional resource unit.
Output Change
Marginal Product = ÷
Additional Input
When variable resources are applied to fixed resources or fixed assets, the marginal product diminishes as more additional resources are added, which is called, naturally enough, the principle of diminishing marginal product.
why is it not possible to have a stable market always?
A stable market with low trading volume that can nevertheless absorb a large sale without a major change in price. In most low volume markets, a single large sale causes a big jump or drop in price because there are relatively few other sales against which to compare the large sale. This can be difficult to carry out at times since you need a reliable and secure market considering price change and such. Unstable markets leads to a misallocation of resources and to the weakening of economic fundamentals.
The explanation regarding why it should not be possible for stable market always is as follows:
A stable market with low trading volume that can nevertheless absorb a large sale without a major change in price. In most low volume markets, a single large sale causes a big jump or drop in price because there are relatively few other sales against which to compare the large sale.Learn more: brainly.com/question/16911495
what are the criticisms of fiscal policy
Answer:
Fiscal policy is the adjustment of tax rate and government spending that is used to handle current economic situation.
There are several of criticism that usually found on fiscal policies.
- Time Lags.
The effect of fiscal policies could only be felt years after the policies are made. Often times, this goes unnoticed by the citizens of the country, making it look like that the government took no action to handle their economic issues.
- Strengthening foreign influence
One of the things that the government can do to reduce the inflation is by selling government bonds to the public. These bonds can be bought by companies from another countries. This will strengthen that country's influence over US economy.
- It could create a budget deficit for the next government officials.
Government in United States were reshuffled between 2-4 years. While the effect of fiscal policies could need more than 10 years before it actually can be felt. Sometimes, fiscal policies taken by previous government could create a deficit that had to be handled by the next government after the election.
What is the price elasticity of supply when the price rises from $2 to $4
Pleaseeeeeeeeeee follow on the gram at FelineKrew!!!!
Answer:
yesh maaam.. or sir
Explanation:
HEY PLS DON'T JOIN THE ZOOM CALL OF A PERSON WHO'S ID IS 825 338 1513 (I'M NOT SAYING THE PASSWORD) HE IS A CHILD PREDATOR AND A PERV. HE HAS LOTS OF ACCOUNTS ON BRAINLY BUT HIS ZOOM NAME IS MYSTERIOUS MEN.. HE ASKS FOR GIRLS TO SHOW THEIR BODIES AND -------- PLEASE REPORT HIM IF YOU SEE A QUESTION LIKE THAT. WE NEED TO TAKE HIM DOWN!!! PLS COPY AND PASTE THIS TO OTHER COMMENT SECTIONS!! (please dont report)
Wasif would like to add some flair to text on a slide in his presentation. Which option can he use to create more dynamic graphics for his text?
fonts
WordArt
Format Painter
SmartArt
Answer:
I believe its WordArt but if not it is fonts.
Explanation:
Answer:
The answer is "WordArt".
Explanation:
WordArt is used in the Presentation. It is a tool that includes new versions of Word. It is normally used to make an organized presentation. It converts the text in dynamic graphics like 3D effects, outlines, and colors. other options are not correct that can be described as:
Fonts option provides simple text or fonts. Format Painter is a tool that copies format and pastes into another slide. SmartArt is a tool that provides shapes and It also provides an effect on these shapes.
7. If you make $35,000.00 a year and your company buys accidental life insurance for you that covers your life with 3x coverage, how much would your beneficiary receive if you accidentally die?
Answer:
$105,000.00
Explanation:
3x 35,000.00= 105,000.00
Which of the following is a general two-year college-level degree?
a master's degree
an associate's degree
a bachelor's degree
a technician's degree
Answer:
an associate's degree
Explanation:
An associate's degree is an undergraduate, two-year degree program. The associate degree transposes into the first two years of a bachelor's degree. It intends to equip students with the necessary technical skills and academic knowledge required in the workplace. An associate degree prepares a student for further study in their chosen field.
A bachelor's degree takes four years, while a master's degree requires getting a bachelor's degree first.
Answer:
b
Explanation:
hy plz help me. why do people run a business?
Answer:
to make more money
Explanation:
to sustain and earn a lot of money and live comfortable in life
Answer: Usually, the reason why people want to run a business or having business ownership is because it offers to having a unique business idea or passion they want to bring to life.
Explanation: There are also financial benefits to consider along with the ability to gain new skills and put existing ones to use. The primary purpose of a business is to maximize profits for its owners or stakeholders while maintaining corporate social responsibility.
True/False. The "North American Classification Code" can be used to look up your industry and focus your market research.
Answer: True
Explanation: I got it right. Have a blessed day!!! :)
Which type of degree is earned after a master’s degree?
A:doctorate
B:secondary
C:bachelor’s
D:associate’s
(I asked my teacher and he said it was a Bachelor's Degree, please confirm if this is right or not)
Answer:
I think it is A. doctorate
After a master's you would get your doctorate. Bachelor is before master's.
What type of account is recommended for unexpected expenses?
Answer:
emergency fund
Explanation:
Which government tax incentive retirement account allows a person to contribute after-tax earnings?
Answer:
Roth IRA accounts
Explanation:
Select the correct answer.
When will the Social Security fund dry up at its current level?
A. 2022
B. 2027
C. 2042
D. 2097
E. 2117
The Social Security fund dry up at its current level in 2042. Thus, option C is correct.
What is Social security?Social Security is a pay-as-you-go system in which revenues and any cumulative surplus support all benefits; payroll tax payments are not set aside for future payouts to a specific taxpayer.
Current employees will continue to receive Social Security payments when the trust fund's reserves run out in 2034, but future retirees may only get 78% of their full benefits unless Congress acts.
On August 14, 1935, US President Franklin D. Roosevelt signed the Social Security Act into law. Yet, it will take more time for the Social Security program to become the backbone of the United States' social safety net.
Employees and companies pay a specific payroll tax to finance Social Security benefits. Hence, option C is correct.
Learn more about Social security here:
https://brainly.com/question/23913541
#SPJ7
黑。Will someone help me come up with a name for my product?
I’m having a hard time coming up with a name for my cinnamon body scrub. I don’t want the name to be “Cinnamon Body Scrub.” Anyone have an suggestions or ideas?
請和謝謝你!
Cinnamon Scrub is a fine name
Westerville Company's beginning and ending inventories for the month of May are May 1 May 31 Direct Materials $67,000 $62,000 Work in Process $145,000 $171,000 Finished Goods $85,000 $78,000 Production data for the month of May follows: Direct labor $200,000 Actual manufacturing overhead $132,000 Direct materials purchased $163,000 Transportation in $2,000 Westerville Company uses one overhead control account and charges overhead to production at 70% of direct labor cost. The company does not formally close the account until the end of the year. Westerville Company's total manufacturing cost for May is $363,000 $510,000 $503,000 $502,000
Answer:
$510,000
Explanation:
The computation of the total manufacturing cost is shown below:
= Direct material + direct labor + manufacturing overhead
where,
Direct material is
= Opening balance + purchase + transportation - ending balance
= $67,000 + $163,000 + $2,000 - $62,000
= $170,000
Direct labor is $200,000
And, the manufacturing overhead is
= $200,000 × 70%
= $140,000
So, the total manufacturing cost is
= $170,000 + $200,000 + $140,000
= $510,000
what happens to the APR after 10 months
Answer: Once your 0% introductory APR period is over, you'll be charged a new interest rate and may even owe interest on any unpaid balance from before.
Explanation:
i think that's what you mean
sweet night :) sleep tight
Answer:
good night
Explanation:
sweet dreams :)
A personal career profile form can be used to match what you know about yourself to what you know about different careers. TRUE or FALSE.
Answer:
True
Explanation:
If you look you can understand that personal helps you know yourself.
Answer:
trueeee
Explanation:
on edge
What amount do you need to invest to obtain $20,000 at 6 percent simple interest per year, after ten years?
You need to invest $___________
at 6 percent simple interest to obtain $20,000 after 10 years.
(This is a Plato question)
Answer:
12500
Explanation:
6% of 12500 is 750 and 750 times 10 is 7500 and 7500 plus 12500 is 20000
We need to invest $12500 at 6 percent simple interest to obtain $20,000 after 10 years. 6% of 12500 is 750 times 10 is 7500 and 7500+12500=20000.
What is simple interest?Simple interest is an interest charge that borrowers pay lenders for a loan. It is calculated using the principal only and does not include compounding interest. Simple interest relates not just to certain loans. It's also the type of interest that banks pay customers on their savings accounts.
The formula to determine simple interest is an easy one. Just multiply the loan's principal amount by the interest rate by the term. This type of interest usually applies to automobile loans or short-term loans, although some mortgages use this calculation method. Simple interest is calculated by multiplying loan principal by the interest rate and then by the term of a loan.
Simple interest can provide borrowers with a basic idea of a borrowing cost.
Learn more about simple interest, here:
https://brainly.com/question/25845758
#SPJ3
Melanie graduated from the college of business at the university of Arizona. What Typer of higher education institution did she attend?
Answer:
A university
Explanation: done deal
Answer:
B.
A university
Explanation:
Melanie graduated from the College of Business at the University of Arizona. What type of higher education institution did she attend?
The Digital Electronic Quotation System (DEQS) Corporation pays no cash dividends currently and is not expected to for the next five years. Its latest EPS was $19.50, all of which was reinvested in the company. The firm’s expected ROE for the next five years is 15% per year, and during this time it is expected to continue to reinvest all of its earnings. Starting in year 6, the firm’s ROE on new investments is expected to fall to 10%, and the company is expected to start paying out 50% of its earnings in cash dividends, which it will continue to do forever after. DEQS’s market capitalization rate is 26% per year.What is your estimate of DEQS's intrinsic value per share? (Do not round intermediate calculations. Round your answer to 2 decimal places.)
Answer:
$32.34
Explanation:
year dividend EPS
0 0 $19.50
1 0 $22.43
2 0 $25.79
3 0 $29.66
4 0 $34.11
5 0 $39.22
6 $21.57 $43.14
growth rate up to year 5 = 15%
ROE growth rate starting year 6 = 10%
sustainable growth rate starting year 6 = 10% x (1 - 50%) = 5%
cost of equity = 26%
horizon value at year 5 = $21.57 / (26% - 5%) = $102.71
current intrinsic value per stock = $102.71 / 1.26⁵ = $32.34
PLEASE HELP ME ANSWER EACH QUESTION! IM GIVING ALL MY POINTS!
BRAINLIEST!
1.) For every problem-solving activity, it’s crucial that no less than five alternatives be considered.
True
False
2.)Clarifying the issues of a problem is the _____ step in the problem-solving process.
first
seventh
sixth
second
3.)Recognizing a problem exists and taking actions to resolve it is an example of _____.
compromise
initiative
diplomacy
communication
4.)A(n) _____ is an unbiased third party used to make suggestions to a group that is having difficulty resolving a problem.
mediator
judge
arbitrator
diplomat
5.)Respecting others, valuing their perspective, and being sensitive to their concerns is _____.
a leader
diplomatic
an arbitrator
unbiased
Answer:
1. True
2. First
3. Initiative
4. Arbitrator
5. Unbiases