Joe just completed his engineering degree and started to work for an engineering firm. Joe wants to retire early after 30 years working. He plans to invest $5,000 at the end of every year for a 30-year career. If Joe needs $3,954,750 in savings at retirement, what interest rate must the investment earn?A. 10%B. 12.16%C. 18%D. 20%

Answers

Answer 1

Answer:

Joe will need to save at an interest rate of:

C. 18%

Explanation:

a) Data and Calculations:

Working life = 30 years

Annual investment = $5,000

Future expected savings = $3,954,750

Joe will need an annual return rate of 18.000% to reach the future value of $3,954,750.00.

FV (Future Value) $3,954,752.25

PV (Present Value) $27,584.01

N (Number of Periods) 30.000

I/Y (Interest Rate) 18.000%

PMT (Periodic Payment) $5,000.00

Starting Investment $0.00

Total Principal $150,000.00

Total Interest $3,804,752.25


Related Questions

If the net present value of a project is positive (non-zero), then the project's:________.a) PI will be less than 1. b) internal rate of return will exceed its required rate of return. c) costs exceed its benefits. d) discounted payback period will exceed the life of the project. e) payback period must equal the life of the project.

Answers

Answer:

b) internal rate of return will exceed its required rate of return.

Explanation:

The internal rate of return is the discount rate at which the NPV = 0. If the NPV is positive when calculated using the project's discount rate, then the IRR is going to be higher than the discount rate.

Option A is wrong because the profitability index (PI) of a project is calculated by dividing the present value of its cash flows by its cost. If the NPV is positive, it means that the present value of its cash flows will be greater than the costs, so the pI will be more than 1.

Option C is wrong because if the costs exceed the benefits, then the NPV will be negative.

Option D is wrong because that would mean that the NPV is negative.  

Option E is something made up that doesn't make any sense.

how to choose the answer .

Answers

The answer is B. Just trust me

Answer:

the answer is b

Explanation:

A potential obligation that depends on the future outcome of past events is a contingent liability. true false

Answers

Answer:

TRUE

Explanation:

A potential obligation that depends on the future outcome of past events is a contingent liability!

- An obligation is something that is to be done

- A potential obligation is a thing or activity that is among the options of stuff that can be done

- When something depends on the future outcome of past events, it introduces or carries with it, the cost of waiting (for future outcomes)

- A contingent liability is something that poses probability of loss instead of gain. The opposite of liability is asset.

So in business, a potential obligation or action that depends on the future outcome of past events is a contingent loss rather than gain.

Variable costs of service departments are allocated to user departments using ________ cost rates instead of ________ cost rates.a) actual; budgeted.b) budgeted; actual.
c) long-range; short-range.
d) short-range; long-range.

Answers

Answer:

answer c is correct i did this

Advantages of large group communication ?

Answers

Answer:

1: Increased output: The first and most important advantage of group work is, that it increases total productivity

2: More resources :The more member you have in a group, the resources you have at the end of the day...

3: Reliability: Project are safer with team than with individual.

4: proper decision making

5:Exposure to diversity.

Answer:

andvatage whem itsits when couple enoustryied withcouple walangjowa ble

Explanation:

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A proposed capital budgeting project has initial cash outflows, followed by cash inflows, which are then followed by more cash outflows. We call these types of cash flows: Group of answer choices non-normal cash flows. normal cash flows. None of these are correct. reflective cash flows. mutually-exclusive cash flows.

Answers

Answer:

a. Non-normal cash flow

Explanation:

Non-normal cash flows are also called as unconventional cash flows and it consist of cash-flow patterns that changes direction more than once.  

Administrators
According to the video, what sort of education do Postsecondary Education Administrators need?
a high school diploma
O a college experience without a degree
advanced education
O an orientation

Answers

Answer:

advanced education

Explanation:

just got it right on edge 2020

Answer:

advanced education

Explanation:

hope this helps!

True or False? A Product is a good or service that a customer needs. It can also be an experience that a customer wants.

Answers

Answer:

I think it is true.

Eastern Corporation has $21,000,000 in equipment that has a 15 year class life. The equipment is 8 years old. Eastern is selling the equipment for $10,000,000. Eastern uses simplified straight line depreciation (zero salvage value) and has a marginal tax rate of 34%. What is the terminal cash flow?

Answers

Answer:

$9,932,000

Explanation:

Calculation for the terminal cash flow

First step is to calculate the Sales value

Sales value =21,000,000/15 years*7years

Sales value=9,800,000

Note 15 years -8 years will gives 7 years

Second Step is to calculate the tax amount

Using this formula

Tax amount=Book Value-Sales value

Let plug in the formula

Tax amount=10,000,000-9,800,000*(34%)

Tax amount=200,000*34%

Tax amount=68,000

Last step is to calculate the terminal cash flow

Using this formula

Terminal cash flow=Book value-Tax amount

Let plug in the formula

Terminal cash flow=10,000,000-68,000

Terminal cash flow=$9,932,000

Therefore the Terminal cash flow will be $9,932,000

Wishbone Company issued $700,000 of 9%, 10-year bonds on January 1, 2022 at face value. Interest is payable annually on January 1. Prepare the adjusting journal entry to be recorded by Wishbone Company on December 31, 2022.

Answers

Answer:

Interest Expense $63,000

Interest Payable $63,000

Explanation:

$700,000 X 9% = $63,000 which is the annual interest expense that they will incur each year. Because it isn't paid until January 1st, it is rolled into the Interest Payable account.

Below is a table for the present value of $1 at Compound interest.

Year 6% 10% 12%
1 0.943 0.909 0.893
2 0.890 0.826 0.797
3 0.840 0.751 0.712
4 0.792 0.683 0.636
5 0.747 0.621 0.567

Below is a table for the present value of an annuity of $1 at compound interest.

Year 6% 10% 12%
1 0.943 0.909 0.893
2 1.833 1.736 1.690
3 2.673 2.487 2.402
4 3.465 3.170 3.037
5 4.212 3.791 3.605

Using the tables provided, if an investment is made now for $23,700 that will generate a cash inflow of $7,900 a year for the next 4 years, the net present value (rounded to the nearest dollar) of the investment, assuming an earnings rate of 10%, is:________

Answers

Answer: $‭1,343‬

Explanation:

Net Present Value = Present value of Cash inflows - Present value of Cash outflows

Cash inflows are constant and so are an annuity.

Present value of Cash inflows = Annuity * Present value interest factor of annuity, 4 years, 10%

= 7,900 * 3.170

= $‭25,043‬

Net Present Value = ‭25,043‬ - 23,700

= $‭1,343‬

Inter-Personal Intelligence is:
a) The sensitivity to tackle deep questions about human existence, such as the meaning of life, how we got here, and why we die.
b) By the capacity to detect and respond appropriately to the moods, motivations, and desires of others.
c) The well-developed language skills; sensitivity to the meetings and effects of words.

Answers

Answer:

on my view its c for sure

You want to invest $50,000 in a portfolio with a beta of no more than 1.4 and an expected return of 12.4%. Bay Corp. has a beta of 1.2 and an expected return of 11.2%, and City Inc. has a beta of 1.8 and an expected return of 14.8%. The risk-free rate is 4%. You can invest in Bay Corp. and City Inc. How much will you invest in each?

Answers

Answer:

Assume the weight to be invested in Bay Corp is x. That means (1 - x) will be the weight for City Inc. The expression for the expected return will be;

(x * 11.2%) + ( (1 - x) * 14.8%) = 12.4%

0.112x + 0.148 - 0.148x = 0.124

-0.036x = -0.024

x = 0.67

Portfolio beta is;

= 0.67 * 1.2 + ( 1 - 0.67) * 1.8

= 1.398 so beta condition is satisfied.

Amount in Bay Corp.;

= 0.67 * 50,000

= $33,500

Amount in City Inc.;

= 50,000 - 33,500

= $16,500

The amounts that will be invested in Bay Corp. and City Inc. will be $33500 and $16500.

Let the weight invested in Bay Corp be x.Therefore the weight invested in City Inc. will be 1 - x.

Therefore, the equation to solve the question will be:

( x × 11.2%) + [(1 - x) × 14.8%)] = 12.4%

Open the brackets

0.112x + 0.148 - 0.148x = 0.124

Collect like terms

-0.036x = -0.024

x = -0.024 / 0.036

x = 0.67

The portfolio beta will be:

= 0.67 * 1.2 + ( 1 - 0.67) × 1.8

= 1.398 .

Therefore, the amount invested in Bay Corp will be:

= 0.67 × $50,000

= $33,500

Therefore, the amount in City Inc. will be:

= $50,000 - $33,500

= $16,500

Read related link on:

https://brainly.com/question/18353908

A certain company has net income of $114.9 million, sales of $698.4 million, total assets of $730.2 million, a debt-to-equity ratio of 0.48, and current assets of $101 million. What is their return on equity (ROE)

Answers

Answer:

30.26%

Explanation:

Return on equity measures how profitable a business is, when compared to it's equity.

Return on equity is computed as;

= Net income / Shareholder's equity

Where,

Shareholder's equity = Company's assets - Debts

= $114,900,000 / ($730,200,000 - $350,496,000)

= $114,900,000 / $379,704,000

= 30.26%

Keesha Co. borrows $200,000 cash on November 1 of the current year by signing a 90-day, 9%, $200,000 note. 1. On what date does this note mature

Answers

Answer:

29th day of January the following year.

Explanation:

The date the loan matures can be determined by adding the number of days or periods that is covered by the term of the note to the initial date of Note Issuance.

This Note is Issued over a term of 90 days (November  - 30 days + December - 31days  + January - 29 days ).

So on the 29th day of January the following year, the loan matures.

Bill wants to attend a college with a current tuition of $10,000 a year. He will graduate from high school in five years. Roughly how much will Bill need to save for one-year’s tuition to account for an annual rate of inflation of 3%? $638.30 $667.50 $656.50 $633.30

Answers

Answer:

$1,592.74

Explanation:

The computation is shown below;

The future value be

= Present value × (1 + rate of interest)^time period

= $10,000 × (1 + 0.03)^5

= $10,000 × 1.159274074

= $11,592.74

Now the more amount would be

= $11,592.74  - $10,000

= $1,592.74

This is the answer but the same is not provided in the given options

Hence, the more amount is $1,592.74

We simply applied the above formula so that the correct value could come

And, the same is to be considered

Answer:

A. $11,590.00

Explanation:

Career research and decision making
1. Define your problem related to college or career goals.

Answers

Answer: The difficulty of choosing the right career

Explanation: One of the major problems I experienced was choosing the right career for me. When you are young and just got out of high school right away you think about college but, what career is the right one? that was not just my problem but a lot of young adults and teenagers deal with this.

The thing is people feel pressure in going to college and sometimes make bad decisions when choosing a career, thats why is important to take some time before deciding which career studying.

Johnson Company has current year accounts payable of $25,000 and cost of goods sold of $100,000. Compute Johnson Company’s days’ payable outstanding.

Answers

Answer:

the days payable outstanding is 91.25 days

Explanation:

The computation of the days payable outstanding is  shown below:

Days' payable outstanding is

= (Accounts Payable ÷  Cost of goods sold) × total number of days in a year

= ($25,000 ÷ $100,00) × 365 days

= 91.25 days

We simply applied the above formula so that the correct value could come

And, the same is to be considered

Hence, the days payable outstanding is 91.25 days

The Jewel Golf Club Company, which recently began using a Kanban system, has had problems with high inventory levels of one of the handle grips used to make several versions of its clubs. Daily demand for the grip is 3000 units, average waiting time during production is 0.20 day, processing time is 0.10 day per container, and a container holds 150 grips. How many Kanban containers would Jewel require if a 15% policy variable is used?
a. three or fewer
b. four or five
c. six or seven
d. eight or more

Answers

Answer:

c. six or seven

Explanation:

The computation of the number of kanban containers required is shown below:

Number of Kanbans = (Average Demand During lead Time + Safety Stock) ÷ Size  of container

= (3,000 units × 0.3 + 0.15 × 3000 × 0.3) ÷ (150)

= (900 + 135) ÷ 150

= 6.9

So the number of kanbans required is 6.9 i.e. it lies between six or seven

hence the correct option is c.

https://brainly.com/?tr-ct=a

Answers

Answer:

What do you want me to search the link?

Compare the opportunities and threats that small businesses face. Which opportunities are most compelling

Answers

Answer:

Explanation:

The main opportunity that small businesses face (and the most compelling one) is the chance to be successful, make lots of profit and grow exponentially. If a small business has a great product, marketing, and strategy they can begin to become immensely profitable which leads to exponential growth. On the other hand, small businesses usually face competition as their biggest threat. When entering a new market there are bound to be a large number of competitors that can outprice your products and ultimately run you out of business if the small business does not have a proper strategy in place.

If the ending inventory of a firm is overstated by $58,000, by how much and in what direction (overstated or understated) will the firm's operating income be misstated? (Hint: Use the cost of goods sold model, enter hypothetically "correct" data, and then reflect the effects of the ending inventory error and determine the effect on cost of goods sold.) Operating income__________ by _________

Answers

Answer:

The firm's operating income will be overstated by $58,000.

Explanation:

Cost of Goods Sold Model is as below

Opening Inventory                           xxx

Add: Cost of goods manufactured xxx

Cost of goods available for sale    xxx

Less: Ending inventory                     xxx

Cost of goods sold                           xxx

It is the cost of goods sold so obtained, that is taken to the income statement. Hence, overstatement of the ending inventory will result in understatement of the cost of goods sold to the same extent. Consequently the operating profit will be overstated to the same extent.

The Executive Level is the highest level of the tall hierarchy pyramid.
True or False

Answers

The answer is false

The nominal interest rate is 6 percent and the real interest rate is 2.5 percent. What is the inflation rate?

Answers

Answer:

3.5 percent

Explanation:

West Corp. issued 15-year bonds two years ago at a coupon rate of 7.3 percent. The bonds make semiannual payments. If these bonds currently sell for 103 percent of par value, what is the YTM?

Answers

Answer:

7.44 %

Explanation:

The Yield to Maturity (YTM) is the Interest rate that makes the Present Value of Coupons and Principle equal the Market Price or Current Price of the Bond.

The Yield to Maturity can be calculated using a financial calculator as follows :

PV = - $100

N = (15 -2) × 2 = 26

PMT = ($100 ×  7.30%) ÷ 2 = $3.65

FV = $103

P/YR = 2

YTM = ?

Therefore, Inputting the values in the calculator as shown gives the Yield to Maturity is 7.44 %.

Assume the company is considering investing in a new machine that will increase its fixed costs by $42,500 per year and decrease its variable costs by $10 per unit. Prepare a forecasted contribution margin income statement for 2020 assuming the company purchases this machine.

Answers

Answer:

The company should purchase the machine.

Explanation:

Note: The complete question is attached below

Forecasted contribution margin income statement

For the Year Ended December 31

Particulars                                       Amount$

Sales                                                2,440,000

Variable cost(10,000*185(195-10))  1,850,000

Contribution margin                        590,000

Fixed cost (327,600+42,500)         370,100

Income                                              $219,900

Because the income increase by $57,500 due to the pruchase, the company should purchase the machine

The rule in Garner v. Murray deals with​

Answers

Answer:

In the event of the insolvency of a partner any losses should be shared in the ratio of the last agreed capital balances before the dissolution took place. This is known as the Garner v Murray rule.

Which of the following is an advantage to purchasing a commercial property compared to a residential property?A. Business tenants are generally easier to deal with than apartment house tenants.B. The vacancy rate is higher than residential properties.C. Only residential property owners have to pay property taxes.D. These properties do not qualify for homestead exemptions.Seller Blake's home just hosted a caravan for his agent's brokerage. What should he or his agent do to get feedback from the other licensees?A. Nothing, it is illegal to ask for their opinions.B. Text each agent after the home tour.C. Ask them to give their opinions orally while still looking at the property.D. Ask each agent to fill out an evaluation.Title records protect the public by giving all concerned parties ________ of the condition of a property's legal titleA. marketable dataB. destructive warningC. removable noticeD. constructive notice

Answers

Answer: A. Business tenants are generally easier to deal with than apartment house tenants.

D. Ask each agent to fill out an evaluation.

Explanation:

Property tax is a tax that is paid by an individual to the government for having a property such a a real estate. An advantage to purchasing a commercial property compared to a residential property is that business tenants are generally easier to deal with than apartment house tenants. Typically, apartment house tenants are tougher to deal with because there are a lot of challenges or misunderstanding that one will encounter with them.

For Blake or his agent to get a feedback from the other licensees, he should ask them to fill out an evaluation. This will be vital to know how they feel and other necessary issues can also be addressed using the evaluation.

Suppose apples come in two quality levels, low and high. At a store in the apple-growing region, the price of low-quality apples is $1 per pound, and the price of high-quality apples is $4 per pound. Johnny lives in the apple-growing region and buys eight pounds of each type. His marginal utility of apples is 3 utils for low-quality apples and 12 utils for high-quality apples.

a. Is Johnny maximizing his utility?
b. Suppose Johnny moves to an area outside the apple-growing region. Shipping the apples to his new area adds $2 to the price of a pound of apples, for both low- and high-quality apples. To simplify matters, assume Johnny's income increases by an amount large enough to fully offset the higher prices of apples. In other words, he can still afford the original bundle of eight pounds of each type of apples. If he continues to buy eight pounds of apples of each type, is he maximizing his utility? If not, how should he change his mix of high- and low-quality apples?
c. What are the implications for the mix of high- and low-quality apples in apple-growing areas and other regions? Where will most of the high-quality apples be sold?

Answers

Answer:

a. Is Johnny maximizing his utility?

in order to determine if Johnny is maximizing his utility we must calculate the utils per dollar spent on apples:

low = 3 / $1 = 3 utils per $high = 12 / $4 = 3 utils per $

since both types of apples yield the same utility per dollar spent, then Johnny is maximizing his utility.

b. Suppose Johnny moves to an area outside the apple-growing region. Shipping the apples to his new area adds $2 to the price of a pound of apples, for both low- and high-quality apples. To simplify matters, assume Johnny's income increases by an amount large enough to fully offset the higher prices of apples. In other words, he can still afford the original bundle of eight pounds of each type of apples. If he continues to buy eight pounds of apples of each type, is he maximizing his utility? If not, how should he change his mix of high- and low-quality apples?

low = 3 / $3 = 1 util per $high = 12 / $6 = 2 utils per $

Johnny is no longer maximizing his utility since he should buy less-low quality apples and more high-quality apples

c. What are the implications for the mix of high- and low-quality apples in apple-growing areas and other regions? Where will most of the high-quality apples be sold?

Since distribution costs increase the price of apples equally regardless of their quality, low-quality apples will be consumer more in the areas surrounding apple-growing fields. On the other hand, high-quality apples will be sold in larger amounts in areas far away from apple-growing fields. Distribution costs are based on weight and volume, not quality. That is why it is more profitable to sell high-quality goods far away.

Information on Kimble Company's direct labor costs for the month of January is as follows:________. Actual direct labor hours 34,800 Standard direct labor hours 35,600 Total direct labor payroll $ 269,700 Direct labor efficiency variance-favorable $ 5,600 What is Kimble's direct labor rate variance?

Answers

Answer:

Direct labor rate variance= $26,100 unfavorable

Explanation:

To calculate the direct labor rate variance, we need to use the following formula:

Direct labor rate variance= (Standard Rate - Actual Rate)*Actual Quantity

Actual rate= 269,700/34,800= $7.75

First, we need to calculate the standard rate:

Direct labor time (efficiency) variance= (Standard Quantity - Actual Quantity)*standard rate

5,600 = (35,600 - 34,800)*standard rate

5,600/800= standard rate

$7= standard rate

Now, the direct labor rate variance:

Direct labor rate variance= (7 - 7.75)*34,800

Direct labor rate variance= $26,100 unfavorable

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