(Present value of complex cash flows) How much do you have to deposit today so that beginning 11 years from now you can withdraw $8,000 a year for the next 7 years (periods 11 through 17) plus an additional amount of $26,000 in the last year (period 15)? Assume an interest rate of 6 percent.

Answers

Answer 1

you would need to deposit approximately $54,355.25 today in order to withdraw $8,000 a year for the next 7 years plus an additional $26,000 in the last year, beginning 11 years from now, assuming an interest rate of 6 percent.

To determine the present value of the cash flows, we need to discount each cash flow back to the present using the interest rate of 6 percent. The cash flows consist of annual withdrawals of $8,000 for 7 years (periods 11 through 17) and an additional amount of $26,000 in the last year (period 15).

Using the formula for the present value of an annuity:

PV = C × [(1 - (1 + r)²(-n)) / r]

Where:

PV = Present value

C = Cash flow per period

r = Interest rate per period

n = Number of periods

Calculating the present value of the annuity:

PV_annuity = $8,000 × [(1 - (1 + 0.06)²(-7)) / 0.06]

PV_annuity ≈ $40,973.49

Calculating the present value of the additional amount:

PV_additional = $26,000 / (1 + 0.06)²15

PV_additional ≈ $13,381.76

Calculating the total present value:

PV_total = PV_annuity + PV_additional

PV_total ≈ $40,973.49 + $13,381.76

PV_total ≈ $54,355.25

Therefore, you would need to deposit approximately $54,355.25 today in order to withdraw $8,000 a year for the next 7 years plus an additional $26,000 in the last year, beginning 11 years from now, assuming an interest rate of 6 percent.

To know more about Interest Rate related question visit:

https://brainly.com/question/14556630

#SPJ11


Related Questions

PLEASE HELP ME WITH THIS! Identify the ways of talking during a group discussion that are cooperative or create conflict.
I don’t think I agree.
Could you explain?

Wow! That sounds dumb.

Let's ask what everyone
feels about this.

I understand how you feel,
but I’d like you to consider
a different perspective.

You’re not making any
sense right now.

Answers

Answer:

I understand how you feel,

but I’d like you to consider

a different perspective.

Explanation:

i hope this helps :)

Answer:

Drag each label to the correct category.

Identify the ways of talking during a group discussion as either cooperative or conflict-creating.

I don't understand

what you’re saying.

Could you clarify?

Your perspective is

limited.

So you can't

see the truth.

I understand what

you mean, but let's

ask if everyone feels

the same way.

I am open to your

views, but would

you mind considering

my perspective as well?

What I say is right

because I have proof.

Do you still

want to argue?

Explanation:

Budgeting provides a guide for efficient business decisions O TRUE O FALSE​

Answers

Answer:

true, budgeting allows for responsible money usage especially for new businesses. Without budgeting, money management would be very difficult.

what is the difference between policy owner and insured

Answers

The policy owner normally pays the premium whilst the insured could technically be himself or also another person he is paying the insurance for. For example a father paying medical insurance for the entire family. THere he would be policy owner but also the rest of the family would be insured.

In order for family-managed businesses to survive and prosper, management guru Peter Drucker advises them to:A. fill at least one key position with a nonfamily member.B. discontinue hiring family members.C. allow for minimal performance by family members.D. exclude outsiders while planning succession.E. hire family members alone.

Answers

In order for family-managed businesses to survive and prosper, management guru Peter Drucker advises them to fill at least one key position with a nonfamily member. The answer is OPTION A.

He held the opinion that an effective manager should be knowledgeable in fields such as psychology, physics, and religion, as well as be guided by moral and ethical standards. Drucker maintained that managers should be leaders above all else and favored creative management over bureaucratic management.

These include competitiveness in the market, creativity, productivity, financial and material resources, profitability, managerial effectiveness and growth, employee effectiveness and attitude, and civic responsibility. Kimani lists four key management theories as the foundation of organizations: bureaucratic theory, scientific management theory, behavioral management theory, and human relations theory. The answer is OPTION A.

To learn more about management, click here.

https://brainly.com/question/29023210

#SPJ4

list one career cluster and three career pathways related to this cluster

Answers

Answer:

Business Management & Administration: General Management pathway: general manager: Walmart.

Business Management & Administration: Business Information Management pathway: IT manager: Walmart.

Business Management & Administration: Human Resources Management pathway: HR director: Meijers.

Business Management & Administration: Operation Management pathway: Operations manager: Meijers.

Business Management & Administration: Administrative Support pathway: Administrative assistant: Kroger.

Finance: Securities & Investments pathway: Bank teller: Huntington.

Finance: Business Finance pathway: accountant: Kroger.

Finance: Accounting pathway: auditor: H&R Block.

Finance: Insurance pathay: insurance claim agent: Amica.

Finance: Banking Services pathways: bank teller: Huntington.

Marketing: Marketing Management pathway: forecast manager: Adidas.

Marketing: Professional Sales pathway: salesperson: Adidas.

Marketing: Merchandising pathway: Sales Promotion manager: Walmart.

Marketing: Marketing Communications pathway: Advertising manager: Adidas.

Marketing: Marketing Research pathway: product planner: Nikes.

Explanation:

Business management and administration can be one of the career clusters.

What is a career?

You maintain the same line of employment when you have a career. A profession can consist of one or several jobs. You may work for a single corporation or several. A career education, experience, and professional experience. A career is often referred to as a "career path."

One of the career clusters is a business management and administration.

Three paths to careers in this cluster

Management of corporate information will help them to become managers and know how to handle people.Management, in general, will help in smooth working. Human resource administration will make sure that the relationship between the employee and the employer is working smoothly.

Learn more about career, Here:

brainly.com/question/30040900

#SPJ2

a bank with insufficient reserves can increase its reserves by buying municipal bonds. calling in loans. buying short-term treasury securities. lending federal funds.

Answers

A bank with insufficient reserves can increase its reserves by calling in loans

Option B is correct.

Call loans:

A call loan is a kind of loan in which the lender can ask for full payment at any time. If the borrower's credit has deteriorated, the borrower's collateral has lost value, or the lender is concerned about the borrower's future ability to pay, the lender will call off the loan.

What is the rate for calls?

The benchmark interest rate that banks charge brokers who borrow money to fund margin loans is known as the call money rate. Individual investors typically pay a service fee on a margin account in addition to the call money rate, which is also known as the broker loan rate.

Question is incomplete:

A bank with insufficient reserves can increase its reserves by

A) lending federal funds.

B) calling in loans.

C) buying short-term Treasury securities.

D) buying municipal bonds.

Learn more about call in loans:

brainly.com/question/7442355

#SPJ4

He is sincere change into Negative plssss​

Answers

He is not sincere.

This is the negative form of the sentence.

CalebCorp expects to pay the following dividends on its stock: $3.00 in year 1, $3.50 in year 2, zero dividends in year 3, and $4.50 in year 4. The company expects that dividends will grow at 6.5% annually thereafter. What will you pay for a share of CalebCorp stock if your required rate of return is 10%?

Answers

To find the price of a share of CalebCorp stock, we need to use the Dividend Discount Model (DDM). The DDM is a method used to value a company's stock based on the present value of its expected future dividends. The formula for the DDM is:

P0 = (D1 / (1 + r)^1) + (D2 / (1 + r)^2) + (D3 / (1 + r)^3) + ... + (Dn / (1 + r)^n)

Where:
P0 = the current stock price
D1, D2, D3, ... Dn = the expected dividends for each year
r = the required rate of return

Using the information provided in the question, we can plug in the values for the expected dividends and the required rate of return into the formula:

P0 = ($3.00 / (1 + 0.10)^1) + ($3.50 / (1 + 0.10)^2) + ($0.00 / (1 + 0.10)^3) + ($4.50 / (1 + 0.10)^4) + (($4.50 * 1.065) / (0.10 - 0.065)) / (1 + 0.10)^4

P0 = $2.73 + $2.89 + $0.00 + $3.09 + $82.99

P0 = $91.70

Therefore, the price you will pay for a share of CalebCorp stock is $91.70.

To know more about dividends

https://brainly.com/question/29510262

#SPJ11

a company reports operating expenses of $2 million. operating expenses include rent expense. prepaid rent at the beginning and end of the year is $20,000 and $70,000, respectively. all other operating expenses were paid in cash as incurred. what is the amount of cash paid for operating expenses?

Answers

The amount of cash paid for operating expenses is $1,950,000.

The company reported operating expenses of $2 million, which include rent expense.

To determine the cash paid for operating expenses, we need to adjust for the change in prepaid rent.At the beginning of the year, prepaid rent was $20,000, and at the end of the year, it was $70,000.

This means that the company paid an additional $50,000 in rent during the year ($70,000 - $20,000).

To find the cash paid for operating expenses, subtract the additional rent expense from the total operating expenses:

$2,000,000 (total operating expenses) - $50,000 (additional rent expense) = $1,950,000

To know more about cash visit:

brainly.com/question/30036624

#SPJ11

Melissa plans to become a nurse. What would be a good extracurricular activity for Melissa during high school? O A. O B. O C. O D. joining the cheerleading squad taking charcoal drawing lessons participating in gymnastics volunteering at a health clinic after school​

Answers

Answer:

Volunteering at a health clinic after school​

Explanation:

If Melissa plans on becoming a nurse, she should look for extracurriculars which could help support her in her future years. Volunteering at a health clinic could provide her with hands on experience opposed to cheerleading or charcoal drawing which are good for hobbies and fun activities. But if Melissa really has a passion to become a nurse she should look for extracurriculars which not only interest her but may be of benefit to her.

Look for _____ in research information showing preferential treatment or consideration regardless of legitimate reasoning.

credibility
relevance
bias
additional sources

Answers

Answer:

bias

Explanation:

bias is the true anwer

Which economic system has the most government control? (Select the best answer.)
A planned economy . A traditional economy . A mixed economy . A market economy​

Answers

Answer:

A planned economy because they know what is going to be put in place at any certain time, so they have the most power. Hope it helps! Please vote Brainliest!

Explanation:

Answer:

A planned economy that is the answer

Which of the following is an appropriate front and point size selection for a business letter

Answers

Answer:

Times New Roman also remains the default font for many word processing programs. When using Times New Roman in a business letter, set the size as 12-point in order for the document to be read most easily.

Also

If you can't decide between sizes, a 12-point font is usually the reliable choice because it's incredibly common in the business world.

Explanation:

A retailer buys books from publishers for $6 each and prices them for sale to consumers at $9. What percentage markup for these books?

Answers

Answer:

50% is the correct answer

Explanation:

Answer:50

Explanation:

just took the test

Which of the following elements comprise strategic management? (Check all that apply.)Multiple select question.a. formulationb. implementationc. realizationd. analysise. definition

Answers

The three main components of strategic management are strategic analysis, strategic choice, and strategy implementation.

Which components make up strategic management?

Strategic management frequently entails strategy assessment, internal organization analysis, and company-wide strategy implementation.

What are the five components of strategy?

These five components of strategy are arenas, differentiators, vehicles, staging, and economic logic. Donald Hambrick and James Fredrickson, two strategists, created this paradigm.

What are the fundamental four components of strategy?

Visioning, goal-setting, resource allocation, and prioritization are the four most commonly acknowledged fundamental elements of corporate strategy.

To know more about management visit:

https://brainly.com/question/29023210

#SPJ4

Explain the benefits of international trade

Answers

Answer:International trade allows countries to exchange good and services with the use of money as a medium of exchange. ... Nations with strong international trade have become prosperous and have the power to control the world economy. The global trade can become one of the major contributors to the reduction of poverty.

Explanation:

what type of 3pl originated from the public or contract warehousing business?

Answers

Public warehousing is the type of 3PL that originated from the public or contract warehousing business. A public warehouse is a business that provides storage space and related logistics services to companies on a contract basis.

The facility is open to any company or individual that requires storage or distribution services, and clients only pay for the space they use. Public warehouses may also offer value-added services such as packaging, labeling, and transportation coordination. Public warehouses are typically located in close proximity to transportation hubs such as ports, rail yards, and airports in order to expedite the distribution process.

A public warehouse is ideal for businesses that lack the capital to purchase and maintain their own storage facilities, or for those with fluctuating storage needs. Companies can benefit from the flexibility and cost-effectiveness of public warehousing by only paying for the space they need, without incurring the additional expenses of maintaining their own warehouse.

Learn more about Public warehousing: https://brainly.com/question/32631846

#SPJ11

Which of the following contributes to the ability of the federal government to borrow vast sums?
Like personal borrowing, age limits the federal government's ability to borrow.
Higher interest rates make it easier to repay debt and this encourages more borrowing.
Buyers of government debt typically cash-in their bonds when Treasury securities mature.
Government debt is not backed by assets.

Answers

One of the reasons why the federal government has the ability to borrow vast sums is that government debt is not backed by assets.

Government debt is referred to as the sum of all outstanding bonds and other securities that the United States Treasury has issued in order to borrow money from the public. The government can use these funds to finance its operations, which can range from basic tasks like funding road maintenance and law enforcement to more complex initiatives such as scientific research or military development. The fact that government debt is not backed by assets is a critical factor in its appeal to investors, as it allows the government to borrow more without incurring the risks associated with personal borrowing. If an individual were to borrow money without assets to back up the loan, they would be considered a high-risk borrower, and this would lead to higher interest rates and limited loan amounts. However, since the federal government has a good credit rating and has a lot of clout in the financial markets, investors are willing to lend the government money without any asset backing. In general, the more investors are willing to lend the government money, the lower the interest rates, and the easier it is for the government to repay the debt. This encourages more borrowing, which enables the government to keep up with the nation's growing needs and expenditures. Thus, this contributes to the ability of the federal government to borrow vast sums.

To know more about borrow visit:

brainly.com/question/29550173

#SPJ11

Use the information below to answer the following question. Exchange Rate Interest Rate APR So($/€) $1.45 - €1.00 is 4% F360($/€) $1.48 - €1.00 ie 3% If you had borrowed $1,000,000, traded them for euros at the spot rate, and invested those euros in Europe, how many euros do you receive in one year?

Answers

You would receive approximately €717,241.38 in one year if you borrowed $1,000,000, exchanged them for euros at the spot rate, and invested those euros in Euro.

Given:

Spot Exchange Rate: $1.45/€1.00

Interest Rate (APR) in Europe: 4% (F360)

First, let's calculate the amount of euros received by exchanging $1,000,000 at the spot rate:

€1,000,000 = $1,000,000 / $1.45/€1.00 = €689,655.17

Next, let's calculate the interest earned on the invested euros using the interest rate in Europe:

Interest = €689,655.17 * 4% = €27,586.21

Finally, let's calculate the total amount of euros received after one year by adding the initial investment and the interest earned:

Total Euros = €689,655.17 + €27,586.21 = €717,241.38

To know more about Interest Rate click here:-

https://brainly.com/question/28272078

#SPJ11

How does “principal” relate to an auto/college loan?

Answers

The relation of “principal” to an auto/college loan is given below:

What is principal?

The term "principal" refers to the amount of money borrowed in a loan, not including interest. In an auto loan or college loan, the principal is the initial amount of money that the borrower receives from the lender.

For example, if you take out a $20,000 auto loan to purchase a car, the principal of the loan would be $20,000. This is the amount of money that you receive from the lender to purchase the car.

Interest is a fee that the lender charges the borrower for the use of the money. The interest is typically expressed as a percentage of the principal and is paid over the term of the loan.

For example, if the interest rate on the $20,000 auto loan is 5% per year and the loan term is 5 years, the total interest paid over the course of the loan would be $2,500 (5% of $20,000 per year for 5 years). This means that the total cost of the loan, including both the principal and the interest, would be $22,500 ($20,000 principal + $2,500 interest).

Hence, the principal of a loan is the initial amount of money borrowed, while interest is a fee charged by the lender for the use of the money.

To learn more about principal from the given link:

https://brainly.com/question/25720319

#SPJ1

What are the three 3 important roles of central bank in general?

Answers

The three 3 important roles of central bank in general: Monetary policy, Financial stability and Currency issuance.

What is central bank?

A central bank is a financial institution that is responsible for managing a country or region's currency, money supply, and interest rates. It is typically the highest financial authority of a country and is responsible for supervising the commercial banking system of its country. Central banks also often oversee the implementation of monetary policies, set interest rates, and act as lender of last resort to the banking sector during times of financial crisis. Additionally, central banks often have other responsibilities such as regulating the financial markets, supervising and regulating banks, and providing banking services to the government.

1. Monetary policy: A central bank is responsible for setting and implementing the monetary policy of an economy. This involves controlling the supply of money in circulation and setting interest rates in order to achieve economic objectives such as inflation control, price stability, and full employment.
2. Financial stability: Central banks are responsible for promoting financial stability by monitoring and supervising the banking system and regulating financial institutions. This includes activities such as setting capital requirements and preventing money laundering.
3. Currency issuance: Central banks are responsible for issuing the domestic currency, which is used for all transactions within an economy. This also includes activities such as setting exchange rates and managing foreign exchange reserves.

To learn more about central bank
https://brainly.com/question/29631914
#SPJ4

Type your summary here. Use the Internet to find an article that presents a forecast of the economy's performance in the next three months to a year. Once you have found and read your article, record your summary using the following format in the box below and include the link. Be sure to include the URL links you used as resources in the space below.

Paragraph #1 - Summary of article including the link.
Paragraph #2 - How it relates to entrepreneurship.
Paragraph #3 - Your opinion of whether or not you agree with the prediction and the evidence provided to support the forecast.

Answers

The exercise is about summaries. It tests your ability to summarize an article.

What is a Summary?

A summary refers to a concise statement or account or report of the key points of an event, story, or literature.

A summary is usually exclusive of details that are not necessary. It focuses on the key points.

The key points of a text are usually found in the introduction and the conclusions of the text. One must however ensure that they read through the entire text to get the true context of what is being summarized.

Learn more about Summaries at:

brainly.com/question/25605883

Answer:

The article I read was "The World Bank slashes its forecast for global economic growth." by New York Times https://www.nytimes.com/2022/04/18/business/the-world-bank-slashes-its-forecast-for-global-economic-... . To summarize, the estimation made by The World Bank that the economy would grow at a rate of 4.1 percent was revised due to the conflict in Ukraine. The World Bank is now estimating the economy would grow 3.2 percent globally. The article then goes into the effect the conflict will have on consumers.

This topic relates to entrepreneurship because global economic growth benefits entrepreneurs because knowing the projected economic growth can allow business owners to better predict the growth they should expect to see. This is important when examining the statistics of a business because it gives a baseline of comparison to see if the business is successfully growing of if changes need to be made to ensure proper growth.

In my opinion I agree with the prediction, I can see the possible impact the conflict can have on the global growth of the economy. I believe the corrected projection of less than originally thought is appropriate considering the affect the conflict has had on consumers. The reduced stimulation of the economy caused by less consumer interaction will indeed decrease the rate at which the economy will grow.

Explanation:

n/a

If a new shirt costs $34.99 and the sales tax is $2.10, the sales tax rate is?

Answers

Answer:

6%

Explanation:

sales tax 2.10 divided by shirt cost will give you the sales tax rate

2.10/34.99 = .0600 or 6%

Answer:

The answer is C) 6 percent

Explanation:

Organizational success relies considerably on effective purchasing and.

Answers

Organizational success relies considerably on effective purchasing and supply chain management. The efficient and strategic management of purchasing activities and the supply chain can have a significant impact on various aspects of an organization's performance and competitiveness.

Here are some key reasons why effective purchasing and supply chain management are crucial for organizational success: Cost Savings: Effective purchasing practices, such as negotiating favorable contracts, optimizing supplier relationships, and implementing cost-effective sourcing strategies, can lead to cost savings for the organization.

Quality and Reliability: Purchasing the right quality materials, components, and services is essential for maintaining product and service quality. Effective purchasing ensures that organizations work with reliable suppliers who deliver goods and services on time, meeting quality standards.

Learn more about strategic management

https://brainly.com/question/31190956

#SPJ11

What number is 0.1 more than 30.7?

Answers

Answer:

30.8

Explanation:

A specialized accounting book in which information is accumulated into specific categories and posted so managers can find all information about one account in the same place is a.

Answers

A specialized accounting book for accumulating and posting business transactions into specific categories is a ledger.

What is a ledger?

A ledger is a specialized accounting tool.  It can also be described as a financial book or computer program.

In the ledger, information from accounting journals is accumulated and posted into specific categories matching the type of accounts.

From the ledger, the trial balance is extracted, which forms the basis for preparing the financial statements that show an entity's financial profitability and position.

Thus, a specialized accounting book for accumulating and posting business transactions into specific categories is a ledger.

Learn more about the ledger accounts at https://brainly.com/question/17143087

On January 15, the end of the first biweekly pay period of the year, North Company’s payroll register showed that its employees earned $32,000 of sales salaries. Withholdings from the employees’ salaries include FICA Social Security taxes at the rate of 6.2%, FICA Medicare taxes at the rate of 1.45%, $3,000 of federal income taxes, $772 of medical insurance deductions, and $260 of union dues. No employee earned > $7,000 in this first period. Prepare the journal entry to record North Company’s January 15 (employee) payroll expenses and liabilities.

Answers

Answer:

January 15, wages expense

Dr Wages expense 32,000

    Cr Federal income taxes withheld 3,000

    Cr FICA taxes (OASDI) withheld payable 1,984

    Cr FICA taxes (Medicare) withheld payable 464

    Cr Medical insurance payable 772

    Cr Union dues payable 260

    Cr Wages payable 25,520

Unemployment taxes, both FUTA and SUTA, are only paid by the employer, therefore, they are not included in this journal entry. The employer also contributes the same amount of FICA taxes as employees.

Suppose a company will issue new 20-year debt with a par value of $1,000 and a coupon rate of 8%, paid annually. The issue price will be $1,000. The tax rate is 35%. If the flotation cost is 2% of the issue proceeds, then what is the after-tax cost of debt? Disregard the tax shield from the amortization of flotation costs. Round your answer to two decimal places. % What if the flotation costs were 11% of the bond issue? Round your answer to two decimal places. %

Answers

Answer:

if the flotation costs were 2%, the after-tax cost of debt is 5.10%

if the flotation costs were 11%, the after-tax cost of debt is 4.63 %

Explanation:

After-tax cost of debt = Market Interest × ( 1 - tax rate)

Calculation of the Market Interest

Hint : Use the time value of money principles

Pv = -$1,000

Pmt = $1,000 × 8 % = $80

P/yr = 1

N = 20

Fv = $1,000

YTM = ?

Using a financial calculator, the market interest is 8%

After-tax cost of debt = Market Interest × ( 1 - tax rate)

                                   = 0.08 × (1- 0.35)

                                   = 0.052 or 5.20 %

If Flotation cost is 2%

Net Receipts after flotation cost = Cost × ( 1 - flotation rate)

                                                     = 5.20 % × (1-0.02)

                                                     = 5.096 % or 5.10% (two decimal places)

If Flotation cost is 11%

Net Receipts after flotation cost = Cost × ( 1 - flotation rate)

                                                     = 5.20 % × (1-0.11)

                                                     = 4.628 % or 4.63 % (two decimal places)

How does American style differ from Japanese style? Japanese style is identified as casually elegant, often using very luxurious fabrics while American style is noted for being chic, sophisticated, and smart. Japanese style is identified as casually elegant, often using very luxurious fabrics while American style is noted for being chic, sophisticated, and smart. American style is identified as casual, athletic, and clean-cut while Japanese style is noted for having complicated cutting and structure. American style is identified as casual, athletic, and clean-cut while Japanese style is noted for having complicated cutting and structure. American style is identified as casually elegant, often using very luxurious fabrics while Japanese style is noted for being chic, sophisticated, and smart. American style is identified as casually elegant, often using very luxurious fabrics while Japanese style is noted for being chic, sophisticated, and smart. Japanese style is identified as casual, athletic, and clean-cut while American style is noted for having complicated cutting and structure.

Answers

Answer:

American style is identified as casual, and ethic and clean cut while japanese style is considered poorly and has been noted for having complicated cutting and structure

Explantion:

got it right on Edge 2022

Shondra’s family’s monthly net income is $6,654. The family’s budget is shown in the circle graph below. The family decides to increase the savings budget by 3 percent by decreasing one of the variable expenses by 3 percent. A circle graph titled Family Budget. Housing is 30 percent, Food is 27 percent, Savings is 10 percent, Transportation is 12 percent, medical is 7 percent, clothing is 10 percent, emergency fund is 4 percent. If the family decreases the clothing budget by 3 percent, what amount will it have to spend on clothing? Round to the nearest dollar. $266 $466 $645 $665

Answers

Answer:

B. 466

Explanation:

All you need to do is take the net income and multiply it with the percentage of the clothing budget. Since the budget for clothing is brought down from 10% to 7% the equation becomes:

\(6654(0.07)=465.78\)

Answer:

I believe that the answer is B

Explanation:

Other Questions
Which element is considered the most versatile element in living organisms and why?hydrogen, because it provides most of the mass of human bodieshydrogen, because it can be found in both organic and inorganic moleculescarbon, because it can bond with many elements to form complex moleculescarbon, because it provides strength to the important protein, keratin help please and thank you environment friendly products is analyzing a proposed project. the company expects to sell 12,000 units, plus or minus 5 percent. the expected variable cost per unit is $3.20 and the expected fixed costs are $30,000. the fixed and variable cost estimates are considered accurate within a plus or minus 5 percent range. the depreciation expense is $24,000. the tax rate is 34 percent. the sales price is estimated at $7.50 a unit, plus or minus 4 percent. what is the operating cash flow for a sensitivity analysis using total fixed costs of $31,000? ......... export facilities as an important businessman?1- Do you have to2-Do you have3-Have you got4-Does you do1 or 2 please ? Suppose that P(t) is the cumulative distribution function for the age in the US, where x is measured in years. What is the meaning of the statement P(70) = 0.76? 4. Let f : A B.(a) Decide if the following statement is true or false, and prove your answer: for all subsets S and T of A, f(S \ T) f(S) \ f(T). If the statement is false, decide if the assumption that f is one-to-one, or that f is onto, will make the statement true, and prove your answer.(b) Repeat part (a) for the reverse containment. Was the barber either right or wrong in his decision to not kill Captain Torres?Please include Logos (intellectual appeal of your argument) and Ethos (ethical appeal of your argument)Please write as much as you can, maybe a paragraph form if you can?Book: Just Lather, That's All Please help me. Correct gets 100 points Which of the following best describes the events of the Boston Massacre?Boston townspeople attacked and killed five British soldiers.British soldiers attacked and killed five Boston townspeople.British soldiers attacked Boston townspeople, who shot five soldiers deadBoston townspeople attacked British soldiers, who shot five colonists dead. Ryan practiced 43.2 minutes on Monday on his violin. Tuesday, he practiced 37.48 minutes. If he practiced a total of 114.34 minutes for Monday, Tuesday, and Wednesday, how many minutes did Ryan practice on Wednesday?Ryan practiced ________ minutes on Wednesday. please help :) Dimples are dominant; no dimples are recessive. Mr. Dowling is heterozygous for dimples, and Mrs. Dowling is also heterozygous for dimples. Whatcare the possibilities of their offspring? Convert 14x + 6y = 36 to Y intercept form. Financial information does not demonstrate consistency when :_______ What trig function and angle is equivalent to sin(270)? According to this graph, what are the benefits of testing? 14. Neglecting air resistance, what maximum height will be reached by a stone thrown straight up with an initial speed of 35 m/s? (a) 98 m (b) 18 m (c) 160 m (d) 63 m You must evaluate a proposal to buy a new milling machine. The purchase price of the milling machine, including shipping and installation costs, is $109,000, and the equipment will be fully depreciated at the time of purchase. The machine would be sold after 3 years for $50,000. The machine would require a $4,000 increase in net operating working capital (increased inventory less increased accounts payable). There would be no effect on revenues, but pretax labor costs would decline by $30,000 Teens who are identifying themselves as unique individuals with their own traits and abilities are developing ______. which obstacle is currently the most serious obstacle to the enforcement of clean water laws in china? Identify all pairs of congruent corresponding parts.