In a plant to optimize fluid friction of a liquid some experiments are performed with different temperature of a liquid by keeping other parameters constant. So fluid friction only changes with single variable i.e. temperature of liquid. The experiments are carried out from 70°C to 130°C and maximum six experiments can be performed. Compare different search methods. Also show which method is better with all the probable calculations.

Answers

Answer 1

When comparing different search methods to optimize fluid friction with varying temperatures, several commonly used search methods can be considered, such as linear search, binary search, and interpolation search. Let's explore each of these methods and determine which one is more efficient for finding the optimal temperature.

Linear Search:

The linear search method involves sequentially checking each temperature value within the given range until the optimal temperature is found. This method has a time complexity of O(n) since it checks each temperature one by one.

Binary Search:

Binary search is a more efficient search algorithm that works on sorted data. In this case, the temperatures are already sorted from 70°C to 130°C. The binary search method divides the search space in half at each step, reducing the search time significantly. Binary search has a time complexity of O(log n) for finding the optimal temperature.

Interpolation Search:

Interpolation search is an improvement over binary search, especially when the data is uniformly distributed. It uses interpolation to estimate the position of the optimal temperature within the sorted range. Interpolation search has an average time complexity of O(log log n) and can be more efficient than binary search in certain scenarios.

To determine the best search method, we need to consider the number of experiments that can be performed (maximum of six) and calculate the number of steps required for each method.

For the given range of temperatures (70°C to 130°C), let's assume we have six data points evenly spaced, such as 70°C, 80°C, 90°C, 100°C, 110°C, 120°C, and 130°C.

Linear Search:

The linear search method will require a maximum of six steps to find the optimal temperature.

Binary Search:

Binary search will require a maximum of log2(6) ≈ 2.585 steps to find the optimal temperature.

Interpolation Search:

Interpolation search may require fewer steps than binary search since it uses interpolation to estimate the position. However, the exact number of steps depends on the actual data distribution and cannot be determined without additional information.

Based on the calculations, it appears that binary search is the most efficient search method for finding the optimal temperature within the given range. It requires fewer steps compared to linear search, especially when the number of data points is small. Interpolation search could potentially perform better than binary search, but its efficiency depends on the data distribution, which is not specified in this scenario. Therefore, binary search is the recommended method based on the given information.

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Related Questions

Mark and Spencer Limited issued a semi-annual interest rate bond with a face value of $1,000. The bond is currently trading at $1,028.50, with 5.0 percent coupon rate. If the yield to maturity is 5.2 percent, calculate the number of years to maturity of Mark and Spencer’s bond.

a. 8.28 years

b. 8.80 years

c. 10.80 years

d. 10.94 years

Answers

The number of years to maturity of Mark and Spencer's bond is 8.28 years. (Option A)

To calculate the number of years to maturity, we can use the formula for bond price calculation:

Bond Price = (Coupon Payment / (1 + Yield)^1) + (Coupon Payment / (1 + Yield)^2) + ... + (Coupon Payment + Face Value / (1 + Yield)^n)

In this case, the bond price is given as $1,028.50, the coupon rate is 5.0%, and the yield to maturity is 5.2%. The face value of the bond is $1,000.

By plugging in these values into the formula and solving for 'n', we find that the number of years to maturity is approximately 8.28 years.

Therefore, option A is the correct answer.

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Exercise 19-17 (Algo) Analyzing a special offer for a service company LO P3 Grand Garden is a hotel with 140 suites. Its regular suite price is $210 per night per suite. The hotel's total cost per night is $150 per suite and consists of the following. Variable cost Fixed cost Total cost per night per suite The hotel manager receives an offer to hold the local Bikers' Club meeting at the hotel in March, which is the hotel's slow season with a low occupancy rate per night. The Bikers' Club would reserve 120 suites for one night if the hotel accepts a price of $118 per night. $ 110 40 $ 150 (a) What is the contribution margin from this special offer? (b) Should the Bikers' Club offer be accepted or rejected? Contribution margin from Bikers' Club special offer: Revenues from special offer Should the Bikers' Club offer be accepted or rejected?

Answers

The Bikers' Club offer should be accepted. The contribution margin from this special offer is positive and financially beneficial.

Does accepting the Bikers' Club offer make financial sense?

The contribution margin from the Bikers' Club special offer is $8 per suite. This is calculated by subtracting the variable cost per suite ($110) from the special offer price per suite ($118). Since the fixed costs remain the same, the contribution margin helps determine the profitability of accepting the offer.

By accepting the offer, the hotel would generate $14,160 in revenues from the Bikers' Club reservation (120 suites x $118 per suite). With a contribution margin of $8 per suite, the total contribution margin from the special offer would be $960 (120 suites x $8 per suite).

The decision to accept or reject the Bikers' Club offer should consider the contribution margin, which represents the amount of revenue available to cover the fixed costs and contribute to the hotel's profit. In this case, the contribution margin of $960 indicates that accepting the offer would be financially beneficial.

To make a more informed decision, the hotel should also consider the impact of accepting the Bikers' Club offer on its overall occupancy rate, potential future business, and any potential trade-offs in terms of customer experience or reputation.

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TRUE / FALSE. "In
order to be considered a destination, a place must have a physical
boundary that separates it from other places.

Answers

The statement "In order to be considered a destination, a place must have a physical boundary that separates it from other places" is false because destination is a place that people visit for various reasons, such as leisure, business, and other reasons.

Some destinations are more prominent than others, attracting large numbers of tourists each year. Some well-known tourist destinations include Bali, Paris, and New York City.

The physical boundary of a place is a line that separates one area from another. Physical borders are apparent in areas that have visible geographical features, such as rivers or mountains. These borders are used to designate a specific area or region as a separate entity, whether it is a country, state, city, or neighborhood.

Although these boundaries may appear to be rigid and immutable, they can also change over time as a result of political or social changes, such as the formation of a new country or a natural disaster. In any case, the physical boundary is a critical element in defining a specific place.

While it is true that some destinations have physical boundaries, it is not necessary for all destinations to have them. Instead, a destination is defined by its attractions, activities, and culture. The concept of a destination is more abstract than the physical boundaries that may or may not surround it. Furthermore, many popular tourist destinations, such as theme parks or shopping centers, do not have physical borders but are still considered destinations because of their unique attractions and activities.

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Suppose that there are just three types of investors with the following tax rates: Individuals Corporations Institutions Dividends 35 % 20 % 0 % Capital gains 18 8 0 Individuals invest a total of $81.5 billion in stock and corporations invest $11.80 billion. The remaining stock is held by the institutions. All three groups simply seek to maximize their after-tax income. These investors can choose from three types of stock offering the following pretax payouts per share: Low Payout Medium Payout High Payout Dividends $ 8 $ 8 $ 35 Capital gains 18 8 0 These payoffs are expected to persist in perpetuity. The low-payout stocks have a total market value of $101.5 billion, the medium-payout stocks have a value of $51.5 billion, and the high-payout stocks have a value of $121.5 billion. a. Who are the marginal investors that determine the prices of the stocks? Individuals Corporations Institutions b. Suppose that this marginal group of investors requires an after-tax return of 12%. What are the prices of the low-, medium-, and high-payout stocks?(Do not round intermediate calculations. Round your answers to 2 decimal places.) Price of low-payout stock $ Price of medium-payout stock $ Price of high-payout stock $ c. Calculate the after-tax returns of the three types of stock for each investor group. (Do not round intermediate calculations. Round your answers to 2 decimal places.) Institutions Individuals Corporations Low-payout stock % % % Medium-payout stock % % % High-payout stock % % % d. What are the dollar amounts of the three types of stock held by each investor group? (Leave no cells blank - be certain to enter "0" wherever required. Round your answers to 2 decimal places.) Institutions Individuals Corporations Low-payout stock $ $ $ Medium-payout stock $ $ $ High-payout stock $ $ $

Answers

Marginal investors who determine the prices of stocks are individuals.

a) Marginal investors who determine the prices of stocks are individuals.

b) Prices of the low-payout, medium-payout, and high-payout stocks are:

$87.64, $74.85, $201.51 respectively.

c) After-tax returns for different investors are:

Low-payout stock Medium - payout stock High-payout stock

Institutions 6.00%, 13.04%, 0.00%

Individuals 8.91%, 8.91% and 19.39%

Corporations 16.96%, 16.96% and 34.78%

d)The dollar amounts of the three types of stock held by each investor group are:

Low - payout stock Medium - payout stock High-payout stock

Institutions $27.90B, $0.00B and $121.50B

Individuals $53.30B, $28.70B and $0.00B

Corporations $20.30B, $22.80B and $0.70B.

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Compare and contrast two forms of project management methodologies by answering the following questions:
- How are the methodologies similar?
- How are they different?
- When might you choose one methodology over the other?
- How do enterprise goals and business environment impact what methodology is used?

Answers

Waterfall is sequential, while Agile is iterative. Waterfall suits stable requirements, Agile is adaptable. Enterprise goals and business environment influence methodology selection.

To investigate two task the board techniques, we should think about two famous methodologies: Cascade and Spry.

1.Similitudes among Cascade and Lithe:

a. The two approaches plan to convey projects effectively and accomplish wanted results.

b. The two strategies include arranging, execution, and control of venture exercises.

c. The two of them require clear objectives, extension, and targets for the undertaking.

d. The two techniques underscore the significance of powerful correspondence and joint effort among colleagues.

2.Contrasts among Cascade and Coordinated:

a. Approach: Cascade follows a successive, straight methodology, where each stage is finished prior to moving to the following. Light-footed, then again, follows an iterative and steady methodology, taking into account adaptability and variation all through the undertaking.

b. Adaptability: Cascade has restricted adaptability for evolving necessities, as it accepts that prerequisites are fixed toward the start. Coordinated embraces change, inviting new necessities and considering changes at every emphasis.

c. Conveyance: Cascade holds back nothing, complete item toward the finish of the task. Nimble spotlights on conveying working additions of the item all through the task.

d. Documentation: Cascade requires broad documentation forthright, including nitty gritty undertaking plans and necessities determinations. Dexterous underscores working programming over exhaustive documentation, zeroing in on conveying esteem as opposed to broad desk work.

e. Group Design: Cascade frequently plays particular parts and responsibilities regarding different colleagues, like venture administrators and engineers. Spry advances cross-practical groups and empowers coordinated effort among colleagues.

Picking one system over the other:

a. Cascade may be reasonable when:

Prerequisites are distinct and far-fetched to fundamentally change.

The task has a decent financial plan, timetable, and extension.

There is a reasonable, consecutive work process, and undertakings can be effectively arranged ahead of time.

b. Coordinated may be favored when:

Necessities are questionable or prone to advance.

Adaptability and versatility are critical.

Successive input and consistent improvement are wanted.

Joint effort and client association are fundamental.

Effect of big business objectives and business climate:

The decision of venture the board strategy is vigorously impacted by big business objectives and the business climate.

Undertaking objectives: Assuming the association values consistency, adherence to plans, and point by point documentation, Cascade might be liked. In the event that the emphasis is on development, responsiveness, and iterative enhancements, Coordinated can be a superior fit.

Business climate: In quickly changing enterprises or exceptionally serious business sectors, where necessities can develop rapidly, Dexterous gives a benefit. In additional steady conditions or businesses with administrative imperatives, Cascade may be more reasonable.

At last, the choice of an undertaking the board procedure relies upon elements like task qualities, partner assumptions, group elements, and the particular setting where the venture works.

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True or False? Why?
Could a deficit of the economy be a sign of overvalued exchange
rate?

Answers

False, a deficit of the economy is not a sign of overvalued exchange rate. The exchange rate and trade balance are related but it is not always an overvalued exchange rate that leads to a trade deficit. This is because trade deficits are caused by many factors, including differences in savings rates, investment rates, and government policies.

To put it simply, a deficit in the economy is a situation in which the total amount of goods and services produced in a country is less than the amount consumed by its residents. On the other hand, an overvalued exchange rate is a situation where a country's currency is worth more than its real value.Therefore, there is no direct relationship between a deficit of the economy and an overvalued exchange rate. While an overvalued exchange rate can affect trade, there are many other factors that can contribute to a trade deficit.

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Choose your favourite brand and write a three paragraph story about it. Describe the brand's attributes, personality, and positioning? How do you feel about the brand? In other words, describe your emotions and beliefs about it. W

Answers

Choosing a favorite brand could be a daunting task since there are a plethora of popular brands. In this case, I will choose Nike as my favorite brand. Nike is a multinational corporation that designs, develops, and sells athletic apparel, footwear, and accessories.

Nike has gained a significant reputation for its innovation, durability, and performance. These attributes have made it a household name, especially in the sports industry. Nike's personality is portrayed through its logo, slogan, and marketing campaigns. The iconic swoosh logo is recognized worldwide, and it represents motion and speed. The brand's slogan, "Just Do It," is motivational and encourages consumers to be active and chase their dreams. Nike's marketing campaigns are usually associated with high-performance athletes who inspire others to push beyond their limits.In terms of positioning, Nike targets athletes and sports enthusiasts of all levels. It positions itself as a brand that caters to everyone's needs, from beginners to professionals. Nike's products are designed to meet the demands of different sports and to enhance athletic performance.Personally, I feel a strong emotional connection to Nike. I have always admired the brand for its quality, durability, and performance. As an avid runner, I have used Nike shoes for several years, and they have never disappointed me. The brand's slogan "Just Do It" has motivated me to pursue my fitness goals and to stay active. Furthermore, I appreciate Nike's commitment to sustainability and social responsibility.The brand's efforts to reduce its environmental impact and to support social causes resonate with my values and beliefs. Overall, I believe that Nike is not only a brand but also a lifestyle.

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which statements are true in the long run for a company operating with negative economic profit and positive accounting profit?
a. Operation is not sustainable.
b. The firm will most likely stay in the market.
c. Operation is sustainable but not advisable.
d. The firm will most likely exit the market.

Answers

The correct statement in this case is: c. Operation is sustainable but not advisable.

When a company is operating with negative economic profit but positive accounting profit, it means that the company's total revenue is sufficient to cover its explicit costs (including accounting costs), but not enough to cover its implicit costs (including the opportunity cost of capital). In other words, the company is earning a return on its accounting investment, but not on its economic investment.

a. Operation is not sustainable: This statement is incorrect because the company is generating positive accounting profit, which means it can continue its operations in the short run.

b. The firm will most likely stay in the market: This statement is not necessarily true. While the firm can continue operating in the short run, it may reassess its long-term prospects and consider exiting the market if it continues to experience negative economic profit.

d. The firm will most likely exit the market: This statement is also not necessarily true. The decision to exit the market depends on various factors such as the firm's long-term prospects, its ability to improve profitability, and the competitiveness of the industry.

c. Operation is sustainable but not advisable: This statement is accurate. The company can sustain its operations in the short run due to positive accounting profit, but it is not advisable in the long run since it is not generating a return on its economic investment.

When a company operates with negative economic profit and positive accounting profit, it can continue its operations in the short run but should consider improving its profitability or reassessing its long-term viability in the market. While sustainable in the short run, it is not advisable to persist in the long run without generating a return on the economic investment.

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Edwards Company has the following partially completed stockholders' equity section of the 2021 balance sheet. *Stockholders' Equity*
7% Preferred Stock, 8,000 shares issued $1,160,000 Common Stock, 59,000 shares issued 1,534,000 Additional Paid-In Capital 2,510,000 Retained Earnings 1,360,000 Treasury Stock, 5,000 shares at cost -210,000 Total Stockholders' Equity $6,354,000
Required: (a) Calculate the par value per share for preferred stock. (b) Calculate the number of outstanding shares of common stock. Par value per share for preferred stock $ ____
Number of outstanding shares of common stock ___

Answers

(a) Calculation of Par value per share for preferred stock:We have the following information:7% Preferred Stock, 8,000 shares issued $1,160,000So, the Par value per share for preferred stock= Total amount received / No of shares issued= 1,160,000/8,000= $145 per share(b)

Calculation of Number of outstanding shares of common stock:We have the following information:Common Stock, 59,000 shares issued 1,534,000We do not have any information regarding whether there are any treasury shares. Thus, the number of outstanding shares will be 59,000.

So,Number of outstanding shares of common stock = 59,000Therefore, Par value per share for preferred stock is $145 and the number of outstanding shares of common stock is 59,000.

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If the cost of an item of inventory is $60 and the current replacement cost is $65, the amount included in inventory according to the lower of cost or market is:
a. $5
b. $60
c. $65
d. $125

Answers

The amount included in inventory according to the lower of cost or market is, $60. Option b is correct.

The cost of an item of inventory refers to the amount spent to acquire or produce the item, including any direct costs associated with its acquisition or production, such as purchase price, transportation costs, and production costs.

The lower of cost or market rule states that inventory should be valued at the lower of its cost or its market value. In this case, the cost of the item is $60, and the current replacement cost is $65. Since the cost is lower than the market value, the inventory would be valued at its cost of $60. Option b is correct.

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If
Country A has a current account surplus with the rest of the world,
citizens in Country A are saving more than the rest of the world.
True or False? Explain in no more than two or three
sentences.

Answers

Answer : The given statement "If Country A has a current account surplus with the rest of the world, citizens in Country A are saving more than the rest of the world." is TRUE.

Explanation:

When a country has a current account surplus with the rest of the world, it implies that the total value of its exports exceeds the total value of its imports. When a country exports more than it imports, it receives a net inflow of funds from the rest of the world. This means that the country is receiving more money from its exports than it is spending on imports. So, it's highly likely that the citizens of Country A are saving more than the rest of the world.

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.Which of the following should not be included in the acquisition cost of the equipment:
A. Unclaimed cash discount.
B. Duties paid to customs when the equipment is imported.
C. The shipping cost of the equipment to the factory.
D. Interest expense on borrowings to purchase equipment.

Answers

The following should not be included in the acquisition cost of the equipment as an unclaimed cash discount.

The option (A) is correct.

The unclaimed money rebate alludes to a markdown that might have been gotten yet was not guaranteed or exploited. Since it was not asserted or used, it doesn't address a real expense caused in getting the gear. In this manner, it ought not to be remembered for the procurement cost.

The expense of hardware would incorporate all costs related to the procurement of the gear as the need might have arisen to prepare it for use by the organization.

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ZYK Inc. has to buy a new machine. There are two options:

Machine A: machine costs $12,382 and is expected to have a scrap value of $7,110 whenever it is retired. Operating and Maintenance costs are $1,087 for the first year and expected to increase by $1,838 thereafter.

Machine B: machine costs $11,403 and is expected to have a scrap value of $7,531 whenever it is retired. Operating and Maintenance costs are $1,931 for the first year and expected to increase by $1,058 thereafter.

If the MARR is 10%, determine the minimum equivalent uniform annual cost associated with the optimal economic life of the machine that offers the lowest EUAC. The service life of each machine is 4 years.

Answers

Based on the calculations, here are the answers  -

Machine A  -  EUAC - $7,726.48

Machine B  -  EUAC - $7,617.06

Thus the minimum EUAC associated with the optimal economic life of the machine that offers the lowest EUAC is $7,617.06 for Machine B.

Why is   this so ?

To determine the minimum   Equivalent Uniform Annual Cost (EUAC) associated with the optimal economic life of the machine that offers the lowest EUAC,we need to calculate the EUAC for both machines over their respective service lives and compare them.

The EUAC is calculated using the following formula  -

EUAC = Initial Cost + Annual Operating and Maintenance Cost + Annualized Scrap Value

Where  -

- Initial Cost - The initial cost of the machine.

- Annual Operating and Maintenance Cost -  The annual cost of operating and maintaining the machine.

- Annualized Scrap Value -   The annualized value of the scrap value at the end of the machine's service  life.

Let's calculate the EUAC for both machines  -

Machine A  -

Initial Cost = $12,382

Annual Operating and Maintenance Cost (Year 1) = $1,087

Annual Operating and Maintenance Cost (Year 2-4) = $1,087 + $1,838 = $2,925

Scrap Value = $7,110

EUAC = $12,382 + $1,087 + $2,925 + $7,110 / EUAC Factor

EUAC Factor = (1 - (1 + MARR)^(-Service Life)) / MARR

MARR = 10%

Service Life = 4 years

EUAC Factor= (1 - (1 + 0.1)^(-4))   / 0.1 = 3.16986

 EUAC = $12,382 + $1,087 + $2,925+ $7,110 / 3.16986

= $7,726.48

Machine B  -

Initial Cost = $11,403

Annual Operating and Maintenance Cost (Year 1) = $1,931

Annual Operating and Maintenance Cost (Year 2-4) = $1,931 + $1,058 = $2,989

Scrap Value = $7,531

EUAC   Factor =(1 - (1 + 0.1)^(-4)) / 0.1 = 3.16986

EUAC =$11,403 + $1,931 + $2,989 + $7,531 / 3.16986

= $7,617.06

Therefore, the minimum EUAC associated with the optimal economic life of the machine that offers the lowest EUAC is $7,617.06 for Machine B.

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A(n) _____ entails even closer economic integration and cooperation than a common market.
a. customs union
b. free trade area
c. economic union
d. full political union

Answers

An economic union entails even closer economic integration and cooperation than a common market. Thus the correct answer is option C.

An economic union represents a higher economic integration level among participating countries than a common market. While a common market aims to remove trade barriers and allow for the free movement of goods, services, and capital, an economic union goes beyond that by harmonizing economic policies and adopting a common set of regulations and standards.

Member countries in an economic union often develop a single market with a united trade policy towards non-member countries. This means they not only abolish trade barriers and quotas but also coordinate their economic policies, which include monetary policy, fiscal policy, and labour market rules.

Furthermore, an economic union frequently entails the establishment of a single currency, shared institutions, and a greater level of decision-making authority over member nations' economic affairs.

An economic union aims to promote economic stability and growth among member nations through deepening economic integration, fostering tighter collaboration, and promoting economic stability and prosperity. An economic union strives to create a more smooth and efficient economic environment by removing trade barriers, harmonizing regulations, and integrating markets, allowing for increased trade, investment, and resource mobility within the union.

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A market is described by the following supply and demand curves:
QS = 2P
QD = 300 – P
a) Solve for the equilibrium price and quantity.
b) If the government imposes a price ceiling of $90, does a shortage or surplus (or neither) develop?What are the price, quantity supplied, quantity demanded and size of the shortage or surplus?
c) If the government imposes a price floor of $90, does a shortage or surplus (or neither) develop? What are the price, quantity supplied, quantity demanded and size of the shortage or surplus?
d) Instead of a price control, the government levies a tax on producers of $30. As a result, the new supply curve is QS = 2(P – 30).
Does a shortage or surplus (or neither) develop? What are the price, quantity supplied, quantity demanded and size of the shortage or surplus?

Answers

a) Equilibrium price = $100, Equilibrium quantity = 200. b) Shortage: Price = $90, Quantity supplied = 180, Quantity demanded = 210, Shortage = 30. c) Neither shortage nor surplus. d) Surplus: Price = $130, Quantity supplied = 200, Quantity demanded = 110, Surplus = 90.

To find the equilibrium price and quantity, we set the quantity supplied equal to the quantity demanded:

2P = 300 - P

Combining like terms, we get:

3P = 300

Dividing both sides by 3, we find:

P = 100

Substituting the equilibrium price back into either the supply or demand equation, we can find the equilibrium quantity:

Q = 300 - P = 300 - 100 = 200

Therefore, the equilibrium price is $100 and the equilibrium quantity is 200.

If a price ceiling of $90 is imposed, it is below the equilibrium price. This will create a shortage in the market. The price will be $90, the quantity supplied will be 180 (calculated by substituting P = $90 into the supply equation QS = 2P), the quantity demanded will be 210 (calculated by substituting P = $90 into the demand equation QD = 300 - P), and the size of the shortage will be 30 (quantity demanded minus quantity supplied).

If a price floor of $90 is imposed, it is above the equilibrium price. This will create a surplus in the market. The price will still be $100 (the equilibrium price), the quantity supplied will be 200 (equilibrium quantity), the quantity demanded will be 110 (calculated by substituting P = $90 into the demand equation QD = 300 - P), and the size of the surplus will be 90 (quantity supplied minus quantity demanded).

If a tax of $30 is levied on producers, the supply curve shifts upward by that amount. The new supply equation becomes QS = 2(P - 30). This will create a surplus in the market. The price will increase to $130 ($100 equilibrium price + $30 tax), the quantity supplied will be 200 (equilibrium quantity), the quantity demanded will still be 110 (calculated by substituting P = $130 into the demand equation QD = 300 - P), and the size of the surplus will be 90 (quantity supplied minus quantity demanded).

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Plastics Ontario Plastics Ontario (PO) has recently been incorporated under federal legislation. All the shares are owned by one man, Jimmy Arbuckle. PO will be active in the molded plastics industry, making everything from custom lettered signs to consumer products (e.g., toys) and industrial products (e.g. car dashboards). They will also supply chemicals to other, smaller plastic molding operations. Arbuckle has 20 years’ experience in both production and sales with a large Canadian plastics firm. He took advantage of several recent bankruptcy sales to acquire the manufacturing and molding equipment necessary to start his own firm. He has obtained a 10-year, fixed interest loan from the Federal Business Development Bank, a line of credit from a chartered bank for working capital and has invested $400,000 of his own money. Both banks required audited financial statements. The major pieces of equipment acquired cost $700,000. Another $60,000 will be spent transferring them to PO’s new leased facility. Arbuckle estimates another $80,000 will be spent "debugging" the equipment. Sales are expected to be made on three bases: 1. Custom signs on a prepaid basis. Signs would normally be completed within five business days but could take up to a month for a large order or if volume was high. 2. Direct sales to distributors and manufacturers on terms of 2/10, n/30. Interest on overdue accounts will be 1.4 percent per month. Customers can return defective goods for full credit, and, in common with the industry, goods carry a six-month warranty. 3. Customer goods to retail outlets on a consignment basis. Arbuckle does not expect to be able to run his molding equipment at full capacity from "outsider" orders for at least two years. Therefore, he plans to design and market a few consumer products (e.g., doll houses) to keep his operation busy. Several large retail chains have expressed interest in carrying these items but only on a consignment basis. Arbuckle estimates that it will cost him $40,000 to design and develop these items. Arbuckle hopes to break even in the second year of operation and show a profit in the third year. Losses are anticipated for the first year. He has planned to take an extremely low salary for the first three years until he is satisfied that the company can prove its viability. Arbuckle has established relatively low salary levels for his management team but has promised them generous bonus based on net income. Arbuckle has approached you, CPA, to act as financial advisor. He has requested advice on accounting policies and other relevant issues.

Required: Adopt the role of adviser to Mr. Arbuckle and draft a report responding to his request.

Answers

Recommendations: Follow proper revenue recognition, inventory valuation, and budgeting practices.

Accounting policy recommendations for Plastics Ontario (PO)?

[Your Name]

Certified Public Accountant (CPA)

[Date]

Mr. Jimmy Arbuckle

Plastics Ontario (PO)

[Address]

Dear Mr. Arbuckle

Subject: Financial Advisory Report for Plastics Ontario (PO)

I am writing to provide you with advice on accounting policies and other relevant issues for Plastics Ontario (PO) as requested. Based on the information provided, I have outlined key recommendations and considerations for your business.

Accounting Policies:

Revenue Recognition:

Prepaid Custom Signs: Revenue should be recognized when the signs are completed and delivered to the customer.

Direct Sales: Revenue should be recognized when goods are delivered to the customer and all revenue recognition criteria are met.

Consignment Sales: Revenue should be recognized when the products are sold by the retail outlets to end customers.

Inventory Valuation:

Molded Plastics and Chemicals: These should be valued at the lower of cost (including any necessary debugging costs) or net realizable value. Costs include direct material, direct labor, and allocated production overhead.

Consumer Products (e.g., doll houses): These should be valued at the lower of cost or net realizable value. Costs include direct material, direct labor, and allocated production overhead, including the cost of design and development.

Bad Debts:

Allowance for doubtful accounts should be established for potential losses from customers who fail to pay their debts.

Depreciation:

Depreciate the major pieces of equipment over their estimated useful lives using an appropriate method (e.g., straight-line) and any applicable salvage value. Consider engaging a professional appraiser to determine the useful lives and salvage values, if necessary.

Warranty Expenses:

Accrue for estimated warranty expenses based on historical data or industry standards.

Bonus Accruals:

Accrue for bonus expenses based on predetermined criteria and calculations established for the management team.

Financial Reporting:

Prepare audited financial statements annually for compliance with the requirements of the Federal Business Development Bank and the chartered bank providing the line of credit.

Consider providing monthly or quarterly management financial statements for internal decision-making and monitoring.

Cash Flow Management:

Establish cash flow projections to monitor the availability of funds for loan repayment, working capital, and investment in growth initiatives.

Regularly review and update cash flow projections to ensure the business remains financially stable.

Budgeting and Forecasting:

Develop annual budgets and forecasts to plan for future operations, monitor performance, and assess the feasibility of your profit targets.

Continuously evaluate actual results against budgets and forecasts to identify areas for improvement or potential risks.

Tax Planning:

Consult with a tax professional to ensure compliance with federal and provincial tax laws.

Explore potential tax incentives or deductions available for businesses in the plastics industry.

Please note that this report provides general guidance, and it is recommended that you consult with an experienced accounting professional to tailor these recommendations to your specific circumstances. Additionally, I recommend regular communication with your CPA to address any emerging financial or accounting issues and to ensure ongoing compliance.

I trust that this advice will assist you in establishing sound accounting policies and help drive the success of Plastics Ontario. Should you require any further assistance, please do not hesitate to reach out.

Wishing you every success in your new venture.

Sincerely,

[Your Name]

Certified Public Accountant (CPA)

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A market in which private businesses do not pay all of the production costs themselves represents a ________ and will produce ________ than the socially optimal quantity.

negative externality; less

negative externality; more

positive externality; more

positive externality; less

natural monopoly; less

Answers

A market in which private businesses do not pay all of the production costs themselves represents a negative externality and will produce less than the socially optimal quantity. The correct answer is a negative externality; less.

The externality is a type of market failure that arises when the creation or usage of a product or service has an impact on a third party that is not engaged in the transaction. Positive and negative externalities are the two types of externalities.

Negative externalities, such as pollution from factory production, smoking, or driving cars, have an impact on third-party individuals. Negative externalities have the potential to cause market inefficiencies, resulting in a misallocation of resources and a reduction in the social welfare of society.

When a market failure such as an externality arises, the socially optimal quantity is the level of production that maximizes social welfare by striking a balance between the marginal cost and marginal benefit of producing or using a product or service. When a market has a negative externality, the market produces less than the socially optimal amount.

Hence, the correct answer is a negative externality; less.

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Sheridan Company issued $1,240,000, 12-year bonds. It agreed to make annual deposits of $99,000 to a fund (called a sinking fund), which will be used to pay off the principal amount of the bond at the end of 12 years. The deposits are made at the end of each year into an account paying 6% annual interest.

(For calculation purposes, use 5 decimal places as displayed in the factor table provided.)
What amount will be in the sinking fund at the end of 12 years? (Round answer to 2 decimal places, e.g. 25.75.) Amount in the sinking fund $____

Answers

The amount in the sinking fund at the end of 12 years is $1,395,428.56,

Given that Sheridan Company issued $1,240,000, 12-year bonds and agreed to make annual deposits of $99,000 to a fund (called a sinking fund), which will be used to pay off the principal amount of the bond at the end of 12 years.

The deposits are made at the end of each year into an account paying 6% annual interest

.The amount in the sinking fund at the end of 12 years is $1,240,000.

The formula for the sinking fund is given by:

S = FVIF(i,n) × A

where

S = amount in the sinking fund

FVIF(i,n) = Future Value Interest Factor

A = annual deposit

i = interest rate

n = number of years

Substituting the given values in the formula,S = $1,240,000

FVIF(6%,12) × $99,000

Using the Future Value Interest Factor table for 6%, 12 years, we get FVIF(6%,12) = 1.12246

Substituting the value, we get:

S = $1,240,000 × 1.12246 × $99,000S = $1,395,428.56

Therefore, the amount in the sinking fund at the end of 12 years is $1,395,428.56, rounded to two decimal places as $1,395,428.56 is the final answer.

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Discuss the income tax implications of the following. Include references to the legislation, case law and taxation rulings. (a) Profit of $25,000 made by a manufacturing company on the disposal of one of the machinery it has leased to carry on its business. (b) Gifts and payments made by a soccer club and its supports to a star professional player, largely in their delighted response to his being selected to play for Australia. The club gave him a car valued at $35,000; supporters through a collection at one game, gave him $2,900. (c) An exchange gain of $750,009 made by a manufacturer in respect of money borrowed in 1997 and used to finance construction of a new factory building. (d) A boat valued at $75,000 given to an amateur tennis player to turn professional. (e) A $20,000 bonus paid by the Australian Cricket Board to the captain of the Australian cricket team for outstanding leadership during a successful tour around Australia. (f) A waitress in a restaurant receives flowers every week from a regular Friday night customer.

Answers

Income tax implications: When a manufacturing company disposes of its leased machinery, the profit it earns is regarded as a capital gain under section 108-5 of the Income Tax Assessment Act 1997. Since the gain is earned from the sale of an asset that was purchased after September 1985, it is considered taxable in accordance with Section 6-5 of the same act.

The correct option is c .

However, the company is entitled to reduce the capital gain by the indexation component of the cost base as specified in Division 110 of the Income Tax Assessment Act 1997.References to legislation, case law, and taxation rulings: Income Tax Assessment Act 1997.(b) Income tax implications: Gifts and payments made to a professional player by a soccer club and its supporters are considered income in accordance with Section 6-5 of the Income Tax Assessment Act 1997, and they are taxable in accordance with the same act.

The car given to the professional player by the club is also considered income, and its value is included in the player's taxable income. As a result, he would have to pay income tax on the $35,000 value of the car given to him by the club. References to legislation, case law, and taxation rulings: Income Tax Assessment Act 1997.(c) Income tax implications: When a manufacturer earns an exchange gain on borrowed money that was used to finance a new factory building, it is considered taxable income in accordance with Section 6-5 of the Income Tax Assessment Act 1997. The manufacturer is required to convert the gain into Australian dollars as per subsection 960-50(1) of the same act. Since the borrowing was for the purpose of producing assessable income, the exchange gain is considered ordinary income and is taxable under Section 6-5 of the same act.

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Use the annual data on unit labor costs (https://data.oecd.org/lprdty/unit-labour-costs .htm#indicator-chart) and labor productivity (https://data.oecd.org/lprdty/multifactor- productivity.htm). Plot the trends of these variables for any one country over time.

Answers

The graph showing the trends of the labor costs for the United States over time is attached accordingly.

What is the explanation for the above trend?

The United States has experienced increasing unit labor costs over time due to factors like rising wages and input prices.

However, abor productivity has   also been rising due to technological innovation and capital investment.

This has narrowed the gap   between unit labor costs and labor productivity, leading to higher wages for   American workers. It's important to monitor these trends as they impact acountry's competitiveness.

Policymakers   can use this information to make informed decisions and adjustments to economic policies.

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The entire market for a good is 1,000 units, and the minimum efficient scale is 5 units. Which of the following terms accurately describes this market?

Inefficient

Concentrated

Fragmented

Monopolized

Diseconomy

Answers

Fragmented is the correct term that accurately describes the market where the entire market for a good is 1,000 units, and the minimum efficient scale is 5 units. The correct answer is Fragmented.

The following term accurately describes the market when the entire market for a good is 1,000 units, and the minimum efficient scale is 5 units. Fragments are a word that accurately describes this market. Fragmented markets are a market with a lot of small companies, none of which has a significant market share. This market is said to be fragmented when the companies that make up the market are unable to capture a substantial portion of the market share. For example, consider a market with a minimum efficient scale of 5 units and a market for a good of 1,000 units. This market will be very fragmented because no single firm can effectively meet consumer needs. As a result, the market will be fragmented, with several companies offering a few units each to meet the demand for the good.

Therefore, fragmented is the correct term that accurately describes the market where the entire market for a good is 1,000 units, and the minimum efficient scale is 5 units.

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Contractionary fiscal policy would involve all of:________

Answers

Contractionary fiscal policy involves the following measures

Decreasing government spendingIncreasing taxesDecreasing government transfersImplementing restrictive fiscal policies

Measure involve in fiscal policy

Decreasing government spending: The government reduces its spending on goods, services, and programs. This reduction in spending aims to decrease aggregate demand and control inflationary pressures.

Increasing taxes: the government raises tax rates or eliminates certain tax benefits to reduce disposable income and decrease consumer spending. Higher taxes reduce the purchasing power of individuals and businesses, leading to a decrease in aggregate demand.

Decreasing government transfers: The government reduces the amount of money it transfers to individuals or households through programs such as welfare benefits or unemployment insurance. This reduction in transfers aims to reduce disposable income and decrease consumption.

Implementing restrictive fiscal policies: The government may adopt measures to control borrowing and limit access to credit. This can include tightening regulations on lending or increasing interest rates to discourage borrowing and investment.

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Remington is a general partner who owns 50% interest in Steele Enterprises. Rutger is a limited partner who owns 50%. The partnership has $80,000 in recourse liabilities and $45,000 in nonrecourse liabilities. What is Rimington's total share of liabilities?

Answers

Remington's total share of liabilities in the Steele Enterprises partnership would be $62,500

To find out Remington's total share of liabilities, use the following formula:

Remington's total share of liabilities = Remington's share of recourse liabilities + Remington's share of nonrecourse liabilities

To calculate the Remington's share of recourse liabilities, divide the total amount of recourse liabilities by the number of general partners in the partnership and multiply by Remington's percentage ownership:

Remington's share of recourse liabilities = ($80,000 ÷ 1) x 50%

= $40,000

To calculate the Remington's share of nonrecourse liabilities, multiply the total amount of non recourse liabilities by Remington's percentage ownership:

Remington's share of non recourse liabilities = $45,000 x 50%

= $22,500

Finally, add the Remington's share of recourse liabilities and Remington's share of non recourse liabilities to calculate Remington's total share of liabilities:

Remington's total share of liabilities = $40,000 + $22,500

= $62,500

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A typical family on Sandy Island consumes only juice and cloth. Last​ year, which was the base​ year, the family spent ​$12 on juice and ​$30 on cloth. In the base​ year, juice was​ $3 a bottle and cloth was ​$6 a length.This​ year, juice is $2 a bottle and cloth is ​$3 a length. Calculate

a. The CPI basket.
b. The CPI in the current year.
c. The inflation rate in the current year.

Answers

a) The CPI basket consists of 4 bottles of juice and 5 lengths of cloth. b) The CPI in the current year is approximately 54.76. c) The inflation rate in the current year is approximately -45.24%.

To calculate the Consumer Price Index (CPI), we need to follow these steps:

Calculate the CPI basket;

The CPI basket consists of the quantities and prices of goods and services consumed by a typical family. In this case, the family only consumes juice and cloth.

For the base year;

Juice quantity = $12 (expenditure on juice) / $3 (price per bottle) = 4 bottles

Cloth quantity = $30 (expenditure on cloth) / $6 (price per length) = 5 lengths

So, the CPI basket for the base year consists of 4 bottles of juice and 5 lengths of cloth.

Calculate the CPI in the current year;

To calculate the CPI in the current year, we compare the prices of the CPI basket items in the current year to the base year.

Juice price in the current year = $2 (price per bottle)

Cloth price in the current year = $3 (price per length)

For the current year;

Juice expenditure = 4 bottles × $2 (price per bottle) = $8

Cloth expenditure = 5 lengths × $3 (price per length) = $15

Total expenditure in the current year = $8 + $15 = $23

CPI in the current year = (Total expenditure in the current year / Total expenditure in the base year) × 100

CPI in the current year = ($23 / $42) × 100 ≈ 54.76

Calculate the inflation rate in current year;

The inflation rate measures the percentage change in the CPI from the base year to the current year.

Inflation rate = (CPI in the current year - CPI in the base year) / CPI in the base year × 100

Inflation rate = (54.76 - 100) / 100 × 100 ≈ -45.24%

Therefore, The CPI basket consists of 4 bottles of juice and 5 lengths of cloth. The CPI in the current year is approximately 54.76, and the inflation rate in the current year is approximately -45.24%.

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Emma Jones is planning to move this coming summer to Oxford, MS to start her new job at a technology firm. She has not yet decided whether she wants to rent or buy a property here in Oxford and she is asking your team to help her make this financial decision. Her monthly budget is $1,500 to cover any housing expenses including rent or owners’ costs (example: mortgage, hazard insurance, property taxes, and Home Owner Association fees). A good start of the analysis is by applying financial concepts such as the "time value of money."

Emma’s contract is for three years and is renewable for three more. Her plan is to stay in the Oxford area for no more than 8 years. Even if her job continues to work out well, she will try to move from the location she selects to a bigger house.

Answers

Emma Jones is planning to move to Oxford, MS to start her new job at a technology firm.

She has not yet decided whether she wants to rent or buy a property here in Oxford and she is asking your team to help her make this financial decision. Her monthly budget is $1,500 to cover any housing expenses including rent or owners’ costs (example: mortgage, hazard insurance, property taxes, and Home Owner Association fees).A good start of the analysis is by applying financial concepts such as the "time value of money." She will have more money to put down on the house and can decrease the amount she needs to finance. Emma must consider the value of the property in the future as well as the present when considering whether to rent or buy a property in Oxford. The house value could appreciate, depreciate, or stay the same. Based on the appreciation or depreciation of the house value, she can decide whether she should buy or rent a property. Since Emma plans to stay in the Oxford area for no more than 8 years, she should rent rather than buy a property.

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Garage, Inc., has identified the following 2 mutually exclusive projects:
Year Cash Flow A Cash Flow B
0 -$43,000 $-43,500
1 $21,400 $6,400
2 $18,500 $14,700
3 $13,800 $22,800
4 $7,600 $25,200
What is the IRR for each of these projects? Using the IRR decision rule, which project should the company accept? Is this decision necessarily correct?
If the required return is more than 11%, what is the NPV for each of these projects? Which project will the company choose if it applies the NPV decision rule?
Over what range of discount rates would the company choose project A? Project B? At what discount rate would the company be indifferent between these 2 projects? Explain.

Answers

Based on the IRR and NPV decision rules, the company should choose Project B over Project A as it has a higher IRR and NPV. Project B remains the preferred choice across all discount rates.

Using a financial calculator or spreadsheet software, we can find the IRR for Project A is approximately 13.42%, and for Project B is approximately 18.15%. According to the IRR decision rule, the company should accept the project with the highest IRR. In this case, the company should choose Project B, as it has a higher IRR.

However, the IRR decision rule assumes that cash flows will be reinvested at the project's internal rate of return, which may not always be realistic. Therefore, the decision based solely on IRR may not always be correct.

If the required return is more than 11%, we can calculate the NPV for each project by discounting the cash flows using the required return rate. For Project A, assuming a required return of 11%, the NPV is approximately $3,010.47. For Project B, assuming a required return of 11%, the NPV is approximately $4,373.38.

According to the NPV decision rule, the company should choose the project with the highest positive NPV. In this case, the company should choose Project B. The company would choose Project A over the range of discount rates where its NPV remains positive, which is below approximately 18.15%. Project B would be chosen over the entire range of discount rates.

The discount rate at which the company would be indifferent between the two projects is the discount rate where their NPVs are equal, which occurs at approximately 18.15%. At this discount rate, the NPV of both projects is zero, indicating that they have the same value to the company.

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In 2019, the Health Survey of England estimated that 28% of Britons are obese and a further 36% are overweight. Michael is interested in understanding the effects of obesity on individuals' labour market outcomes. a. Explain four reasons why we might expect obesity to affect individuals' labour market outcomes. (8 marks) b. Michael has two friends - Vincent and Tariq. Vincent is obese and earns £30,000 a year; while Tariq has a healthy weight and earns £40,000 a year. Michael believes that the difference in earnings between Tariq and Vincent - £10,000 - is the effect of being obese on individual earnings. Do you think he is correct? Explain your answer

Answers

Michael's claim is incorrect. This can result in lower earnings or reduced opportunities for advancement. It is possible that there are other factors, such as different job roles, different levels of experience, or education, that contribute to the disparity in income.

A. Obesity affects an individual’s labour market outcomes in the following four ways: Health: People with obesity are more likely to have poorer health. They may have more time off work or struggle with the physical demands of some jobs. Obesity affects self-esteem and mental health: People with obesity may suffer from a negative self-image and a lack of self-confidence.

Their mental health may also suffer, making it more challenging to cope with the demands of work. Obesity and discrimination: Obese people may suffer from discrimination. They may have trouble getting work or promotions, or they may be paid less than people of a healthy weight. This can result in less motivation and engagement on the job. Obesity and productivity: Studies show that people with obesity are less productive than people of a healthy weight. This can result in lower earnings or reduced opportunities for advancement.

B. It is not appropriate to say that the difference in earnings between Vincent and Tariq is due to obesity alone. It is possible that there are other factors, such as different job roles, different levels of experience, or education, that contribute to the disparity in income. Therefore, Michael's claim is incorrect.

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Lisa consumes only two goods, pizzas and burritos. In equilibrium, her marginal utility per slice of pizza is 26 and her marginal utility per burrito is 13. Instructions: Enter your answer rounded to two decimal places. If a slice of pizza costs $3, then the price of a burrito must be $ [

Answers

In equilibrium, her marginal utility per slice of pizza is 26 and her marginal utility per burrito is 13. If a slice of pizza costs $3, the price of a burrito must be $1.50.

To determine the price of a burrito, we can use the concept of marginal utility and the principle of equating marginal utilities to prices.

Given that Lisa's marginal utility per slice of pizza is 26 and her marginal utility per burrito is 13, we can assume that she consumes the two goods in such a way that the marginal utility per dollar spent on each good is equal.

Let's assume the price of a slice of pizza is $3. To find the price of a burrito, we divide the marginal utility of a burrito (13) by the marginal utility of a slice of pizza (26) and multiply the result by the price of a slice of pizza:

Price of a burrito = (Marginal utility of a burrito / Marginal utility of a slice of pizza) * Price of a slice of pizza

Price of a burrito = (13 / 26) * $3

Price of a burrito = $1.50

Therefore, if a slice of pizza costs $3, the price of a burrito must be $1.50.

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Which of the following is not a risk typically associated with outsourcing. O Increased employee morale O Increased reliance on 3rd parties O Poor service O Failure to realize expected savings
ORFI h

Answers

The risk that is typically not associated with outsourcing is a. Increased employee morale

The practise of hiring external, third-party service providers to carry out particular corporate processes or duties is known as outsourcing. While outsourcing has a number of advantages, there are also some hazards. Using outside vendors or service providers to conduct crucial corporate operations is known as outsourcing. When outsourcing, there is a chance that the outside provider will provide inferior service. Cost savings are frequently one of the main drivers of outsourcing.

However, there is a chance that unexpected expenditures, hidden costs, or ineffective outsourcing contract management may prevent the anticipated cost reductions from occurring.  Increased employee morale does not correspond to traditional outsourcing dangers. Instead, it is more frequently viewed as a possible advantage of outsourcing when done well. Employers may be able to focus on core business operations, lessen workloads, and improve job satisfaction by outsourcing some tasks, all of which have a favorable effect on staff morale.

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Complete Question:

Which of the following is not a risk typically associated with outsourcing.

a. Increased employee morale.

b. Increased reliance on 3rd parties

c. Poor service

d. Failure to realize expected savings

Show step-by-step solution and solve manually:
3. A salary loan worth 100,000 pesos is to be settled by making
equal monthly payments at 12% interest compounded monthly for 3
years. How much is the mo

Answers

The monthly payment for the salary loan is approximately 3,152.96 pesos and the outstanding balance after 1 year is approximately 62,164.48 pesos.

To solve the problem manually, we can use the formula for calculating the equal monthly payment on a loan:

P = (r * PV) / (1 - (1 + r)^(-n))

Where:

P = monthly payment

r = monthly interest rate

PV = present value or loan amount

n = number of periods (months)

Step 1: Convert the annual interest rate to a monthly rate.

Since the interest is compounded monthly, we divide the annual interest rate by 12 to get the monthly interest rate:

Monthly interest rate = 12% / 12 = 1%

Step 2: Calculate the monthly payment.

Given:

PV = 100,000 pesos

r = 1% (0.01 as a decimal)

n = 3 years * 12 months/year = 36 months

Plugging in the values into the formula:

P = (0.01 * 100,000) / (1 - (1 + 0.01)^(-36))

P = 1000 / (1 - (1.01)^(-36))

P = 1000 / (1 - 0.682793)

Performing the subtraction and division:

P = 1000 / 0.317207

P = 3,152.96 pesos (rounded to two decimal places)

Therefore, the monthly payment for the salary loan is approximately 3,152.96 pesos.

Step 3: Calculate the outstanding balance after 1 year.

To determine the outstanding balance after 1 year, we need to subtract the total amount paid in 1 year from the initial loan amount.

The total amount paid in 1 year is the monthly payment multiplied by the number of months:

Total amount paid in 1 year = P * 12

Total amount paid in 1 year = 3,152.96 * 12 = 37,835.52 pesos.

Outstanding balance after 1 year = PV - Total amount paid in 1 year

Outstanding balance after 1 year = 100,000 - 37,835.52

Outstanding balance after 1 year = 62,164.48 pesos

Therefore, the outstanding balance after 1 year is approximately 62,164.48 pesos.

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Question:A salary loan worth 100,000 pesos is to be settled by making equal monthly payments at 12% interest compounded monthly for 3 years. How much is the monthly payment? How much is the outstanding balance after 1 year?

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