deborah wants to have $1,000,000, 35 years from now. she invested $55,000 that she got from an inheritance. what rate of return does her investment need to earn in order for her to have the $1,000,000, 35 years in the future?

Answers

Answer 1

The answer is 17.18%, it is the rate of return if Deborah wants to have $1,000,000, 35 years from now and she invested $55,000.

An easy way to define investing

A purchase made for the purpose of earning money or appreciating in value is known as an investment. When an asset's value rises over time, this is referred to as appreciation. When someone buys something as an investment, they don't intend to utilize it right now to make money; instead, they plan to use it later to do so.

What are investment and its various forms?

Two broad categories—Equity and Debt—can be used to categorize investments. Investing in equity basically entails purchasing various types of company shares. When you invest in debt, you buy securities that trade on the money market.

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Related Questions

Which qualifications are most helpful for Foreign Service careers? Check all that apply.

foreign language skills
stress-management skills
design skills
independence
math skills
adaptability and flexibility

Answers

The main qualification needed for Foreign Service careers includes

foreign language skillsstress-management skillsadaptability and flexibility.

A typical Foreign Service careers includes any job that required the employees to be present in the foreign country.

The main qualification needed for Foreign Service careers includes foreign language skills, stress-management skills, adaptability and flexibility.

In conclusion, the Option A, B and F is correct.

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Answer:

A. B. F.

Explanation:

Edge

Select the correct answer.
Which equation is the correct fundamental accounting equation?
OA owner's equity = liabilities -assets
OB.
assets liabilities - owner's equity
=
OC. assets = liabilities + owner's equity
O D.
assets + liabilities = owner's equity

Answers

Answer:

Assets=liabilities+owner's equity

ken yalters, the coo of freshskin, asked his cost management team for a product line profitability analysis for his firm's two products - askin and bskin. the two products are skin care products that require a large amount of research and development and advertising. he received the report below. ken concluded that askin was the more profitable product, and that perhaps cost-cutting measures should be applied to the bskin product. askin bskin total sales $ 4,000,000 $ 2,600,000 $ 6,600,000 cost of goods sold (2,600,000 ) (2,100,000 ) (4,700,000 ) gross profit $ 1,400,000 $ 500,000 $ 1,900,000 research and development (1,170,000 ) selling expenses (130,000 ) profit before taxes $ 600,000 seventy-five percent of the research and development and selling expenses were traceable to askin. profit before taxes for the askin product, per life-cycle income statements, is:

Answers

The profit before taxes for the Askin product, per life-cycle income statement, is $425,000.

Ken Yalters, the COO of Freshskin, wanted a product line profitability analysis for the company's two items: Askin and Bskin. Askin and Bskin are skin care products that need significant research and development and advertising.

Income statement of Askin

total sales is $ 4,000,000

cost of goods sold is (2,600,000)

gross profit $ 1,400,000

research and development (75% of $1,170,000) which is $ 877,500.

selling expenses (75% of $130,000) which is $ 97,500.

profit before taxes is $ 425,000

Therefore, the profit before taxes for the Askin product is $425,000 according to the life-cycle income statements.

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What management movement does assume there is no one best way to structure or to manage organizations?

Administrative Movement

Scientific Management

Contingency Theory

Behavioral Movement

Answers

The management movement that assumes there is no one best way to structure or manage organizations is the Contingency Theory. Contingency Theory suggests that there is no universal approach or one-size-fits-all solution to managing organizations effectively.

Contingency Theory assumes that there is no one best way to structure or manage organizations. This management movement recognizes that different situations or contexts require different approaches to management and that there is no universal formula or set of principles that can be applied to all organizations. Contingency Theory suggests that effective management practices and structures depend on various factors such as the organization's goals, external environment, size, technology, and the characteristics of its employees. It emphasizes the importance of adapting management strategies to fit the specific circumstances and demands of a given situation. Rather than advocating a one-size-fits-all approach, Contingency Theory promotes the idea that managers should analyze and understand the unique aspects of their organization and make choices that align with those specific circumstances. This approach allows for flexibility and recognizes that what works in one situation may not work in another.

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The market system depends on private property and the protection of property rights to:.

Answers

Answer:

provide an incentive to maintain property and allow for the orderly transfer of property ownership

Keynes believed that the best method for boosting an economy during a recession was to _____ a. increase money supply so that individuals would have more incentive to spend. b. cut government spending and increase taxes to reduce or even eliminate fiscal deficit. c. increase government spending and cut taxes so that consumers could spend more. d. cut both government spending and taxes to reduce government expenditure in the economy. e. increase both government spending and taxes to increase the role of government in the economy.

Answers

Answer:

c. increase government spending and cut taxes so that consumers could spend more.

Explanation:

John Maynard Keynes was a British economist born on the 5th of June, 1883 in Cambridge, England. He was famous for his brilliant ideas on government economic policy and macroeconomics which is known as the Keynesian theory. He later died on the 23rd of April, 1946 in Sussex, England.

Keynes believed that the best method for boosting an economy during a recession was to increase government spending and cut taxes so that consumers could spend more. This would lead to an aggregate demand.

Aggregate demand (AD) can be defined as the total quantity of output (final goods and services) that is demanded by consumers at all possible price levels in an economy at a particular time.

A town has a population of 2000 and grows at 2. 5% every year. To the nearest year, how long will it be until the population will reach 2700?.

Answers

A town has 2000 people and is growing at a 2.5% annual rate. It will take 7 years, or the closest year, for the population to reach 2700.

In order to calculate the time it will take for the population to reach 2700, we need to use the formula for exponential growth:

P = P0 * (1 + r)^t

Or,

P * r ^ t=  P0

Where:

P is the final populationP0 is the initial population (2000)r is the growth rate (2.5%)t is the number of years

Hence:

2000 * (1.025)^t = 2700

Where t is the number of years that have passed.

We can rearrange this formula to solve for t using the natural log method as follows:

ln(1.025^t) = ln(2700/2000)t * ln(1.025) = ln(1.35)t = ln(1.35)/ln(1.025)

t is approximately equal to 6.6 years, rounded to the nearest year, t is 7 years.

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In reviewing the security logs for a company's headquarters in New York City, which of these activities should not raise much of a security concern?

A recently hired data scientist in the Medical Analytics department has repeatedly attempted to access the corporate financial database

One evening an employee logs in from home and downloads all of the files associated with the new product he is working on

An employee has started logging in from home for an hour or so during the last 2 weeks of each quarter

Each night one headquarters employee logs into his account from an ISP in China

Answers

A recently hired data scientist in the Medical Analytics department has repeatedly attempted to access the corporate financial database activities should not raise much of a security concern. The answer is OPTION A

The three guiding principles of confidentiality, integrity, and availability make up the CIA Triad (CIA). These tenets collectively constitute the basis for information security policies. A program, organization, system, or enclave's cybersecurity is under the control of this role.

Information Systems Security Officer (ISSO) Cybersecurity Officer is another name for the person who fills this position. Inform your legal team as soon as you can about the breach and provide them with all relevant information so that your organization is prepared for any scenario.

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what are some basic marketing strategies

Answers

Claim Your Business Online.  

think positively.ALWAYS THINK POSITVE!!!

promote it n social media.

be loud to people to everybody be aware of your buisness.

Advertise Online.  

HOPE this helps

take care have a good day

When deciding what price to charge consumers, the monopolist may choose to charge them different prices based on the customers a. geographical location. b. age. c. income. d. All of the above are correct

Answers

When a monopolist is deciding what price to charge consumers, they may choose to use price discrimination and charge different prices based on various factors, including the customer's geographical location, age, and income. Option D.

Who Is a Monopolist?

A monopolist refers to an individual, group, or company that dominates and controls the market for a specific good or service.

This allows the monopolist to extract more revenue from each customer and increase their profits. However, price discrimination can also lead to customer dissatisfaction and potential legal issues.

Hence, the right answer is geographical location. b. age. c. income. All of the above, option d.

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What is the marginal revenue and marginal cost for this diagram?

What type of market is this? Explain your answer

What is the marginal revenue and marginal cost for this diagram?What type of market is this? Explain

Answers

Marginal revenue :

2060120200300420560

Marginal cost :

108210192640

It is a Monopolistic market structure because marginal revenue is greater than the marginal cost.

Marginal Revenue is the increase in the revenue by selling one extra product in the market. It is calculated by the Change in revenue divided by the change in output.

Marginal cost is the change in cost by producing one extra unit of output. It is calculated by a change in cost divided by the change in units.

Monopolistic market structure is where there are multiple companies producing similar products in the market.Example for monopolistic structure can be a grocery store.

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What are 20 things to do at home when I have nothing to do and have done all my online school?

Answers


1. Eat a carrot
2. Vomit because carrots are disgusting
3. Play video games DUHH
4. Don’t waste your time on brainly

If chameli had ₹600 left after pending 75% of her money ,how much did he have in the beginning?

Answers

Chameli had ₹600 left after pending 75% of her money, so she must have had ₹600/0.75 = ₹800 in the beginning.

Chameli had ₹600 left after pending 75% of her money we can find uch money Chameli had before she spent 75% of it, we need to work out what 75% of her money was.

To find out how much money Chameli had before she spent 75% of it, we need to work out what 75% of her money was. To do this, we first convert 75% into a decimal, which is 0.75.

We then divide the remaining amount by 0.75 to find out how much she had in the beginning. In this case, Chameli had ₹800 before she spent 75%.

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Drivers can incur fines for the following reasons:
A. Obstructing driveway issues on Complaint $60.50
B. Parking in a Handicap space/no plate or card $200.00
C. Parked on sidewalk $25.00
D. All the Above

Answers

Answer:

D. All of the above

Explanation:

Answer:

All of the above

Explanation:

You can deduct money on all these reasons

7. Name 5 main decision makers in macroeconomics

Answers

Answer:

1. Households

2. Firms

3. Governments

4. "The Rest of the World"

I don't know a good fifth

Explanation:

Real estate agents are authorized to do which of these? « Perform all activities in the name of the
broker. Make deposits into their own escrow accounts. All of the above

Answers

Real estate agents are authorized to perform all activities in the name of the broker and make deposits into their own escrow accounts. Hence, option (c) will be considered as the relevant option.

Give a brief account on real estate agent.

A real estate agent or broker is someone who works on behalf of buyers or sellers of real estate. Although a broker may operate independently, an agent who represents clients often works with a licensed broker. To negotiate sales contracts and handle the paperwork needed to close real estate transactions, brokers and agents must hold a state license. Buyers and sellers are often encouraged to speak with a licensed real estate expert for a formal explanation of each state's unique laws of agency. In a few of states, all participants are required to sign official disclosures outlining their respective duties.

Real estate brokers and salespeople in the United States must obtain a license from their respective states rather than the federal government. There is a real estate commission (regulatory body) in each state that supervises and issues licenses to real estate brokers and agents.

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receipt of dividends on investment in stock a) operating activity (added to net income) b) operating activity (deducted from net income) c) investing activity d) finacnign activity e) significant noncash investing and financing activity f) not separetely reportedin the statement of cash flows

Answers

Answer:

a) operating activity (added to net income)

Explanation:

Operating activities are those activities that deals to day to day expenses and revenues i.e. salary expense, advance cash received,etc. Also it records the changes in working capital amounts

Here the receipt on dividend held on stock investment considered to be an operating activity and since it is a cash inflow so the same is to be included in the net income

Therefore option a is correct

The unit cost, in dollars, to produce bins of cat food is $15 and the fixed cost is $8400. The revenue 2x² + 325x function, in dollars, is R(x) = Find the cost function. C(x) = Find the profit function. P(x) = T At what quantity is the smallest break-even point? Select an answer

Answers

The cost function for producing bins of cat food is C(x) = 15x + 8400 dollars. The profit function is P(x) = R(x) - C(x), where R(x) is the revenue function. The break-even point occurs when the profit is zero.

The cost function, C(x), represents the total cost of producing x bins of cat food. In this case, the unit cost to produce each bin is $15, and there is also a fixed cost of $8400. The cost function can be expressed as C(x) = 15x + 8400 dollars.

The profit function, P(x), is calculated by subtracting the cost function from the revenue function. The revenue function, R(x), is given as 2x² + 325x dollars. Therefore, the profit function is P(x) = R(x) - C(x).

To find the break-even point, we need to determine the quantity at which the profit is zero. This means that the revenue and cost are equal. By setting P(x) = 0 and solving for x, we can find the quantity at the break-even point.

solve the equation P(x) = 0 to find the exact quantity at which the break-even point occurs.

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A passive fund manager would be most likely to do which of the following ?A- Research the stocks in the benchmakr's portfolio extensively so as to align with itB- Align with both the market and individual funds by using competitive informationC- Beat the Benchmark Index performance by achivieng a higher returnD- Match the fund's performance to the benchmark index 's performance

Answers

A passive fund manager would be most likely to do Match the fund's performance to the benchmark index's performance. Thus the correct option is D.

What is a Passive fund?

Funds that are managed passively stick to an index. High turnover may potentially be a problem for passively managed funds since the fund will experience it if the index experiences it. It results in lower risk, flexibility, effective tax rates, and ease of use.

An objective of a passive fund manager is to monitor the performance of a specific index or stock market. The index that passive managers are seeking to track and use to rebalance the fund are at odds with one another.

Therefore, option D is appropriate.

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Sam received $10.50 in interest after placing money in his bank. if the account paid 4% in simple interest and he only left it in the account for 9 years, what is the principal?​

Answers

Answer:

$29.166

Explanation:

I = p x r x t

Where I= Interest: $10.50

P= principal amount: ????

r= interest rates: 4% or 0.04

t= time in years: 9

Therefore;

$10.50 = P x 0.04 x 9

$10.50 = P0.36

P=$10.50/0.36

P=29.166

Principal = $29.166

What happens to an inferior good when income decreases?

Answers

When incomes drop or the economy weakens, the demand for subpar goods rises. When this occurs, inferior good alternatives to more expensive goods are made available.

Explain about the inferior good?

In economics, when income rises or the economy grows, the demand for subpar products declines.

Customers will be more likely to spend money on more expensive alternatives when this occurs. This change may be the result of various factors, such as quality or a movement in the socioeconomic level of the consumer.Everything that a consumer would purchase less of even with an independent certification of real income is considered an inferior item, which is the polar opposite of a normal good. They might also be connected to people who are typically from lower socioeconomic classes.

In contrast, when earnings drop or the economy weakens, the demand for subpar goods rises.

Thus, when this occurs, less priced alternatives to more expensive goods are made available.

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a small company has developed a specialized product that it configures specially for each customer. new customers usually have specific requirements to be incorporated into their system, and they pay for these to be developed. the company has an opportunity to bid for a new contract, which would more than double its customer base. the new customer also wishes to have some involvement in the configuration of the system. explain why, in these circumstances, it might be a good idea for the company owning the software to make it open source

Answers

It's good idea for a company owning the software to make it open source . The key benefits of open source are is that it opens up development and debugging of the product.by making it open source the cost of expansion must be reduced.

In this case, because the product is specialized to the needs of different users , the company that own the software can still charge these users to make the changes to the system. Hence, the loss in revenue from selling the software is compensated  by the additional effort available to service more customers.

Furthermore, large companies are often reluctant to buy from small companies who may go out of business.To some extent, open source provides reassurance to customers that, even of the original owners of the software are unavailabe , they can get access to the source code and hence continue to maintain their system.

Finally, open source may increase knowledge of the company's product and so attract more customers.

So, In this way it will be a good idea for the company owning the software to make it open source.

What do you mean by small companies?

According to Section 2(85) of CA, 2013, Small Company means the company which satisfies the following conditions: – It has paid up share capital of not more than 50 lakhs or such higher amount as may be prescribed which shall not be more than 10 crores; and It has annual turnover of not more than 2 crores or such higher amount as may be prescribed which shall not be more than 100 crores.

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Seller Mary is currently under an exclusive buyer agency agreement with Broker Sam. She meets Broker Adam at a soccer game and they discuss real estate trends. What action can Adam take, if any, when Mary contacts him and asks Adam to help her find a home

Answers

Answer:

just ask  your teacher, thats what they are there for

Explanation:

the sequence of work for a job is also known as its

Answers

Answer:

Routing

Explanation:

project planners develop a broad definition of what the project is and what its scope will be during the: group of answer choices concept phase. project definition phase. performance phase. planning phase.

Answers

During the idea phase, project managers create a comprehensive definition of the project's purpose and intended audience.

Why is a good performance so crucial?

An effective performance management system aids staff in comprehending the company's objectives and their respective roles in achieving these objectives. This indicates that they are aware of how their contributions impact the company's overall expansion.

What constitutes excellent work performance?

the level of labor (accuracy, thoroughness, competence) amount of work required (productivity level, time management, ability to meet deadlines) work experience (skills and understanding of the work) relational collaborations (ability to work with others, communication skills)

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Which of the following choices incur speculative risk?

a.stocks

b.fire insurance on a house

c.options

d.life insurance


e.high interest savings account

Answers

Answer: correct option is A.

Explanation: A speculative risk can be defined as risk that is taken willingly either it results in profit or loss and the stocks involve in probability of gain and loss making it a speculative risk.

Stocks incur speculative risk. Therefore option A is correct.

What are Stocks?

A stock usually referred to as equity, is a type of investment that denotes ownership in a portion of the issuing company. Shares, also known as units of stock, entitle their owners to a share of the company's assets and income in proportion to the number of shares they possess.

Common stock and preferred stock are the two primary categories of stocks.

Owners of common stock are entitled to dividends and the right to vote at shareholder meetings.

Common stockholders often do not have voting rights, while preferred stockholders typically get dividend payments ahead of time and are given preference over common investors in the event of a firm bankruptcy and asset liquidation.

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A major drugstore chain whose stocks are traded on the New York Stock Exchange was considering a 2-for 5 reverse split. If the pre-split market cap was 1.71B, what would the post-split market cap be?

Answers

A major drugstore chain whose stocks are traded on the New York Stock Exchange was considering a 2-for 5 reverse split. the post-split market cap be 684 million

What is market cap?

Generally, In a 2-for-5 reverse split, every 5 shares of stock are combined into 2 shares. This means that the number of outstanding shares of stock will be reduced by 2.5 times. If the pre-split market cap is 1.71B, the post-split market cap can be calculated by dividing the pre-split market cap by 2.5:

1.71B / 2.5 = 684 million

So, the post-split market cap would be approximately 684 million. Please note that this calculation is based on the assumption that the value of the company's stock remains the same after the reverse split. In practice, the value of the stock may change as a result of the reverse split.

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To the right is a graph of . How can you use this graph to describe the relationship between the rate of return and the number of years it would take the investment to double?

Answers

Answer:

The graph you provided shows a relationship between the rate of return and the number of years it would take an investment to double . The horizontal axis represents the rate of return, while the vertical axis represents the number of years it would take for the investment to double.

From the graph , we can see that as the rate of return increases, the number of years it takes for the investment to double decreases. This makes sense because a higher rate of return would mean that the investment is growing faster, thus leading to a quicker doubling time. Conversely, a lower rate of return would mean that the investment is growing more slowly, so it would take longer to double.

Therefore, investors can use this graph to estimate how long it would take for their investment to double based on the rate of return they are expecting. For example, if an investor is hoping for a 10% rate of return, they can look at the graph and estimate that it would take around 7 years for their investment to double.Explanation:

Piechocki Corporation manufactures and sells a single product. The company uses units as the measure of activity in its budgets and performance reports. During May, the company budgeted for 6,500 units, but its actual level of activity was 6,450 units. The company has provided the following data concerning the formulas used in its budgeting and its actual results for May: Data used in budgeting:
Fixed element per month Variable element per unit
Revenue - $ 34.00
Direct labor $ 0 $ 6.00
Direct materials 0 13.60
Manufacturing overhead 35,000 1.50
Selling and administrative expenses 25,300 0.70
Total expenses $ 60,300 $ 21.80
Actual results for May:
Revenue $ 220,100
Direct labor $ 38,580
Direct materials $ 88,900
Manufacturing overhead $ 42,500
Selling and administrative expenses $ 30,450
The revenue variance for May would be closest to:

Answers

The revenue variance for May would be closest to $300.

When comparing predicted and actual sales, revenue variances are utilized as a gauge. This data is required to assess the effectiveness of a company's sales efforts and the perceived allure of its goods.

Activity Variance for Direct Labor

= Direct Labor cost for Budgeted  – Direct Labor cost for Actual at Budgeted Cost

= 6500 units - 6450 units

= 50 units

Budgeted Direct Labor Cost for Budgeted 6500 units

= 6500 units × $ 6.00

= $ 39,000

Budgeted Direct Labor Cost for Actual 7350 units

= 6450 units × $ 6.00

= $ 38,700

Activity Variance for direct labor cost

= $ 39,000 – $ 38,700

= $ 300

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What system did merchants in early centuries use to make commercial transactions easier

Answers

In the early centuries, merchants made use of the Mercantilism system for commercial transactions.

What is Mercantilism?

In simple terms, it is an economic theory and practice known as "mercantilism," which was prevalent in Europe from the 16th to the 18th century.

Mercantilism advocated governmental regulation of a country's economy with the goal of enhancing state power at the expense of competing for national powers.

According to the theory, a strong nation should have a sizable population because a sizable population would offer a supply of labor, a market, and soldiers.

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