Over the past 30 years, the Australian home housing market has experienced a general upward trend characterized by increasing prices and demand.
This trend has been influenced by factors such as population growth, low interest rates, and limited housing supply.
The demand curve for the Australian home housing market in 2020 would generally slope downward, indicating that as the price of houses increases, the quantity demanded decreases. This suggests that the demand for housing is price elastic, meaning that changes in price have a relatively large impact on the quantity demanded.
On the other hand, the supply curve for the Australian home housing market would generally slope upward, indicating that as the price of houses increases, the quantity supplied also increases. The supply curve may have a lower price elasticity compared to the demand curve, implying that changes in price have a relatively smaller impact on the quantity supplied.
Now, let's consider the impact of each event on the housing market in Australia:
i) Australians emigrate to other countries: This event would decrease the demand for housing as the population decreases. The demand curve would shift to the left, resulting in a decrease in equilibrium house prices and quantity.
ii) A significant decrease in interest rate on home loans in Australia: This event would increase the demand for housing as lower interest rates make borrowing more affordable. The demand curve would shift to the right, leading to an increase in equilibrium house prices and quantity.
iii) More young Australians unable to repay their mortgage and selling off their residential house: This event would increase the supply of housing as more houses become available for sale. The supply curve would shift to the right, resulting in a decrease in equilibrium house prices and an increase in quantity.
iv) Increase in prices of building materials: This event would increase the cost of construction and, consequently, the cost of supplying housing. The supply curve would shift to the left, leading to an increase in equilibrium house prices and a decrease in quantity.
Each of these events demonstrates how changes in supply and demand factors can affect the equilibrium in the home housing market, resulting in changes in prices and quantity.
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Do you think large multinational corporations in general like Wal-Mart, Apple, McDonalds and Frito Lay are good or bad for the world? Is "globalization" another word for “Americanization”? Why or why not? (3 points) Explain using complete sentences.
Answer:
I think multinational corporations in like these are bad. Because even people on diets or trying to diet, and people buy it for them not knowing its hard for them to say no.
Explanation:
Hope this helps!
What is one method that helps control online fraud? O A. Deleting odd emails before reading B. Reporting odd emails to police • C. Reporting odd emails as spam • D. Signing into email in many locations
Answer: C. Reporting odd emails as spam
Explanation:
use of an assessment center: group of answer choices should be avoided should be used for all types of positions in all types of organizations provides multiple work samples for complex jobs such as manager should allow only personnel from the hr department to assess candidates
Utilizing an assessment center should be avoided for any and all jobs in any and all organizations. Here option A is the correct answer.
It provides multiple work samples for complex jobs such as a manager. Assessment centers are particularly useful for evaluating candidates for complex or high-level positions, as they provide a range of simulated work activities that allow candidates to demonstrate their skills and competencies.
Option (a) is incorrect because assessment centers can be effective for many types of positions and organizations, depending on the specific needs and resources of each organization. Option (c) is incorrect because it may be beneficial to involve a range of stakeholders in the assessment process, including managers, peers, and external experts.
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Complete question:
Which of the following statements is true about the use of an assessment center?
a) It should be avoided for all types of positions in all types of organizations.
b) It provides multiple work samples for complex jobs such as manager.
c) Only personnel from the HR department should be allowed to assess candidates.
Consider a second hand car market where three types of cars are being sold: High quality (H), medium quality (M) and low quality (L). Sellers value an H at $2000, an M at $1200 and an L at $800, whereas buyers value an H at $1800, an M at $1600 and an L at $1400. As discussed in the "Akerloff's Lemons Market", sellers are able to distinguish between different quality cars but buyers are not and a buyer believes that in this market 40% of the cars is an H, 30% of the cars is an M and 30% of the cars is an L. a) Determine which type of cars will be sold at the efficient allocation. b) Determine which type of cars will be sold at the market equilibrium.
Answer:
a) Determine which type of cars will be sold at the efficient allocation.
All cars would be sold in a Pareto efficient allocation.
In a Pareto efficient market, resources are all allocated in teh most efficient possible way. This is the reason why this is just a theoretical concept that does not necessarily apply in real life.
b) Determine which type of cars will be sold at the market equilibrium.
Since consumers are only willing to pay up to $1,620 for a used car, only medium quality and low quality cars will be sold. The price of high quality used cars is higher than the equilibrium price.
Explanation:
the most a buyer would be willing to pay for a used car is ($1,800 x 40%) + ($1,600 x 30%) + ($1,400 x 30%) = $720 + $480 + $420 = $1,620
Master Card and other credit card issuers must by law print the Annual Percentage Rate (APR) on their statements. If the APR is stated to be 20%, with interest compounded daily (365 days in a year), what is the card's effective annual interest rate?
The effective annual interest rate would be 19.5%.
APR is stated to be 20%, with interest compounded daily (365 days in a year),the card's effective annual interest rate will be 19.5 %.
What is Annual Percentage Rate (APR) ?The yearly interest rate you'll pay if you have a balance on your credit card is referred to as the annual percentage rate (APR). Some credit cards feature variable APRs, which means that over time, your rate may go up or down.
The best credit card APR is one that is around 10%, but you might need to visit your neighborhood bank or credit union to discover one. An APR that is lower than the average would also be regarded favorably by the Federal Reserve, which monitors credit card interest rates.
APR per year=20%
APR per month=20%/12=1.67%
EFF%=Effective Annual rate= (1+1.67%)12-1
EFF%=Effective Annual rate= (1.067)12-1
EFF%=Effective Annual rate= 1.1950-1=.1950 or 19.50%
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Stock X has a beta of 0.5 and Stock Y has a beta of 1.5. Which of the following statements must be true, according to the CAPM?
Group of answer choices
-If the expected rate of inflation increases but the market risk premium is unchanged, the required returns on the two stocks should increase by the same amount.
-If you invest $50,000 in Stock X and $50,000 in Stock Y, your 2-stock portfolio would have a beta significantly lower than 1.0, provided the returns on the two stocks are not perfectly correlated.
-Stock Y's realized return during the coming year will be higher than Stock X's return
-Stock Y's return has a higher standard deviation than Stock X.
The CAPM provides a framework for determining required returns based on beta and market risk premium, but it does not make assumptions about realized returns or standard deviations of individual stocks.
Based on the information provided, we can conclude that according to the Capital Asset Pricing Model (CAPM):
If the expected rate of inflation increases but the market risk premium is unchanged, the required returns on the two stocks should increase by the same amount.
If you invest $50,000 in Stock X and $50,000 in Stock Y, your 2-stock portfolio would have a beta significantly lower than 1.0, provided the returns on the two stocks are not perfectly correlated.
However, we cannot draw conclusions about the following statements based on the given information:
Stock Y's realized return during the coming year will be higher than Stock X's return.Stock Y's return has a higher standard deviation than Stock X.These conclusions are based on the understanding that the CAPM provides a framework for determining required returns based on beta and market risk premium, but it does not make assumptions about realized returns or standard deviations of individual stocks.
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which of the following describes the term productivity
Productivity is the measurement of physical output relative to each unit of input, typically expressed in labour hours.
What is Productivity?
Productivity refers to the efficiency with which goods or services are produced. Productivity can also be expressed as a ratio of the entire output to a single input, the sum of all the inputs utilised in a production process, or the output per input, usually over a defined time period. The (aggregate) measure of labour productivity, using GDP per worker as an example, is the most common illustration. The selection of a productivity definition (including those that do not refer to ratios of output to input) depends on the goal of the productivity assessment and/or the availability of data. The main cause of variation across productivity metrics is frequently (directly or indirectly) connected to how the inputs and outputs are combined to produce such a ratio-type productivity indicator.
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Resources for financial planning can be found from:_________
a. digital media.
b. financial institutions.
c. financial specialists.
d. print media.
e. all of these.
Option e. All of these. Resources for financial planning can be found from digital media, financial institutions, financial specialists, and print media.
Digital media, such as websites, blogs, and online forums, provide a wide range of financial planning resources. These resources may include articles, videos, tutorials, and interactive tools that can help individuals learn about various financial topics and create a personalized financial plan.
Financial institutions, such as banks, credit unions, and investment firms, offer resources like financial planning calculators, budgeting tools, and educational materials. They may also provide access to financial advisors who can offer personalized guidance and advice based on an individual's financial goals and circumstances.
Financial specialists, such as certified financial planners (CFPs) and financial advisors, are trained professionals who can provide comprehensive financial planning services. They can help individuals evaluate their financial situation, set financial goals, create a budget, and develop an investment strategy.
Print media, including books, magazines, and newspapers, can also be valuable sources of information for financial planning. These resources often provide in-depth analysis, expert advice, and real-life examples to help individuals better understand and manage their finances.
There are various resources available for financial planning, including digital media, financial institutions, financial specialists, and print media. It is beneficial to explore multiple sources to gather a well-rounded understanding of financial planning concepts and strategies.
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good x generates external benefits, while good y generates external costs. compared to their efficient levels of output, would unregulated markets produce too much or too little of goods x and y?
Good x generates external benefits, while good y generates external costs. Compared to their efficient levels of output. Good X will produce too little and good Y will produce too much.
What is a market?
In the field of economics, a market is a collection of mechanisms that allow for the exchange of goods and services between parties. The majority of markets rely on sellers providing their goods or services to purchasers in exchange for money, however parties may exchange goods and services by barter.
A market is a gathering place for consumers and sellers where they can exchange goods and services. Markets might be real-world, like a physical store, or digital, like an online merchant. The black market, the auction market, and the financial market are more examples.
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TRUE OR FALSE: A mathematics professor at a university would fall under both the Education and Training career cluster and the STEM career cluster.
This communication channel is typically used to provide an audience with information about a product or service, usually for informational or persuasive purposes. It is a one-way communication in a visual medium.
Answer:
Online advertisement
Explanation:
In the ever-increasing technological world, online advertising is an extremely elaborate solution for the sale of any item or service or for the information about that item or service.
The use of online advertisements is usually an elaborate way of providing detailed information about goods and services in which information about goods and services is provided to individuals viewing through movable images, communication in the online advertising technological world.
This is a large medium of information as well as it is also a proper means of giving unilateral information.
Why does the quantity supplied of stock go up when prices go up? A. Companies want to issue more stock when prices are high B. So Supply will match Demand C. More current owners are willing to sell their shares at a high price D. More expensive stocks make better investments
Answer:
I think its A
Explanation:
what would be the effect on operating income of accepting a special order for units at a sale price of per product?
A special order will only result in a gain in net operating income if the revenue it generates outweighs the additional costs it incurs.
Which should I think about before accepting a special order?Before deciding whether to accept a certain order, management must take into account a variety of factors, including the amount required to complete the order. if the buyer's suggested price will cover the production costs.
What does "special order decision" mean?The management of a corporate organisation makes special order decisions while deciding whether or not to process an unusual request from the customers. Typically, a request for a cheaper price on an order in quantity or that is customised is involved.
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Question 2 of 10
What is product positioning?
O
A. The set of plans for product, price, place, and promotion that the
marketer will use
O
B. The use of names and symbols to identify the company's products
O C. The process of dividing up a total market into groups (segments)
with similar needs and buying behaviors
OD. A definition of how the company intends for customers to view its
product relative to the competition
Answer:
I think it should be D keep checking just in case
By training family members in 3 areas--teaching differentiation, avoiding triangulation, and ________, Bowen therapists can enable a single individual to transform the whole network of his or her family system.
By training family members in three areas—teaching differentiation, avoiding triangulation, and fostering emotional self-regulation—Bowen therapists can enable a single individual to transform the whole network of his or her family system.
Emotional self-regulation refers to the ability to manage and regulate one's own emotions effectively. When family members develop emotional self-regulation skills, they can navigate challenging situations with more composure and clarity, reducing reactivity and emotional escalation within the family system.By teaching differentiation, which involves developing a sense of self and maintaining individuality while staying emotionally connected to others, family members can learn to express their thoughts, feelings, and needs openly and honestly. This fosters healthier communication patterns and reduces the likelihood of conflicts and misunderstandings.
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Mrs. roberts has original medicare and would like to enroll in a private fee-for-service (pffs) plan. all types of pffs plans are available in her area. which options could mrs. roberts consider before selecting a pffs plan?
Mrs. Roberts consider before selecting a PFFS plan is a Medicare Advantage Prescription Drug (MA-PD) PFFS plan that combines medical benefits and Part D prescription drug coverage. Thus, option (a) is correct.
A Medicare Advantage Prescription Drug (MA-PD) PFFS plan that compounds benefits and Part D direction drug coverage, a PFFS plan that only supplies M benefits, or a PFFS plan in conjunction with a stand-alone direction drug.
A form of Medicare-approved health plan offered by a private firm that you can use instead of Original Medicare to cover the majority of your Part A and Part B services. It frequently includes medication coverage (Part D).
As a result, the significance of the could Mrs. Roberts consider before selecting a PFFs plan are the aforementioned. Thus, option (a) is correct.
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Your question is incomplete, but most probably the full question was.
Mrs. Roberts has original Medicare and would like to enrol in a private fee-for-service (PFFS) plan. all types of PFFS plans are available in her area. which options could Mrs. Roberts consider before selecting a PFFS plan?
a. A Medicare Advantage Prescription Drug (MA-PD) PFFS plan that combin benefits and Part D prescription drug coverage, a PFFS plan offering only m benefits, or a PFFS plan in combination with a stand-alone prescription drug.
b. A stand-alone prescription drug plan in combination with a PFFS plan or a Medigap Supplemental Insurance plan.
c. A PFFS plan offering only medical benefits or a PFFS Medigap Suppleme Insurance plan.
d. A Medicare Advantage Prescription Drug (MA-PD) PFFS plan that combin benefits and Part D prescription drug coverage, a PFFS plan offering only m benefits, or PFFS Medigap Supplemental Insurance plan.
what do we mean when we say a customer has the resources to buy a product?
Cameron brought a set of 7 classic paperbacks to a secondhand store to sell. he was paid cash for the entire set. before he left, cameron used $4 of his earnings to purchase a used book light. he had $6.50 remaining. what was the value of each paperback in the set?
Answer: The equation used to solve this problem is 7x - 4 = 6.50 and the value of each paperback in the set is $1.5
What is an equation?
An equation is an expression that shows the relationship between two or more numbers and variables.
Let x represent the value of each paperback in the set. Hence:
7x - 4 = 6.50
x = $1.5
The equation used to solve this problem is 7x - 4 = 6.50 and the value of each paperback in the set is $1.5
Which business letter feature is found at the top of the page?
answer:
Letter head
Explanation:
typically has the companies logo at the top of the page
All types of work are covered by a minimum wage?
pepe's pizza restaurant places ads in local newspapers throughout the greater new haven area. choosing a target market based on where they live is called
pepe's pizza restaurant places ads in local newspapers throughout the greater new haven area. choosing a target market based on where they live is called Geographic Segmentation.
In virtual photograph processing and pc imaginative and prescient, image segmentation is the system of partitioning a digital photograph into multiple image segments, additionally referred to as image areas or image objects (units of pixels). The goal of segmentation is to simplify and/or exchange the representation of a photograph into something this is greater meaningful and easier to investigate. Picture segmentation is normally used to find gadgets and obstacles (strains, curves, etc.) in photos. Extra exactly, image segmentation is the technique of assigning a label to each pixel in an photograph such that pixels with the same label percentage positive traits.
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Dade Corp. has residual income of $10,840. If operating income equals $31,000 and the minimum required rate of return is 8%, what are average invested assets
Based on residual income, the operating income, and the minimum rate of return, the average invested assets must be $252,000.
What are the average invested assets?First find the required return on assets amount as:
= Operating income - Residual income
= 31,000 - 10,840
= $20,160
This amount is equal to the 8% required rate of assets so the average invested assets is:
= Required return amount / Required return rate
= 20,160 / 8%
= $252,000
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If you buy a home for $100,000 and put up for 20,000 for your down payment, what will be the principal amount of the actual money you will borrow with the loan?
A: $120,000
B: $80,000
C: $20,000
D: $100,000
Typical buyers of bonds include all of the following except
________.
Question options:
pension funds
medium- to large-sized banks
mutual funds
governments in need of funds
Typical buyers of bonds include pension funds, medium- to large-sized banks, mutual funds, and governments in need of funds. However, the exception among these options would be governments in need of funds.
Governments in need of funds are not typically buyers of bonds but rather issuers of bonds. When governments need to finance their activities or fund infrastructure projects, they often issue bonds to raise capital from investors. These bonds are then purchased by various entities such as pension funds, banks, mutual funds, and individual investors.
Pension funds, as institutional investors, often invest a portion of their assets in bonds to generate income and diversify their portfolios. Medium- to large-sized banks may also invest in bonds as part of their asset management activities or to meet regulatory requirements. Mutual funds pool money from individual investors to invest in a variety of assets, including bonds, to achieve specific investment objectives.
In contrast, governments in need of funds issue bonds to borrow money from the market and attract investors who are seeking fixed-income investments. These investors, such as the ones mentioned above, buy these bonds to lend money to the government and earn interest on their investments.
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What is a good explanation of leadership?
Answer:
Leadership is a process of social influence, which maximizes the efforts of others, towards the achievement of a goal.
How do I verify my LPC in Texas?
Visit the website at www.bhec.texas.gov/verify-a-license/index.html.
To search by license number, click the link.
To check the status of my license, which is in good standing and active status, enter my license number (36337) and click Search.
How can I find out whether my Texas LPC has been approved?You can check the status of any applications you've begun or finished in the past. By selecting the "Select" button from the Main Menu next to "Check Status of Your Applications. You can check your applications' status, the type of license they were submitted for, when they were submitted, and more here.
How frequently must you renew your Texas LPC license?A license holder must renew their license(s) every two years. Licensees are sent a postcard reminder at least 30 days before their renewal date to inform them that they need to renew their license.
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Kerry Manufacturing Company is a German subsidiary of a U.S. company. Kerry records its operations and prepares financial statements in euros. However, its functional currency is the British pound. 8 Kerry was organized and acquired by the U.S. company on June 1, 20X4. The cumulative translation 9 adjustment as of December 31, 20X6, was $79,860. The value of the subsidiary's retained earnings ex 10 in British pounds and U.S. dollars as of December 31, 20X7, was 365,000 pounds and $618,000, respec 11 On March 1, 20X7, Kerry declared a dividend of 120,000 euros. The trial balance of Kerry in euros as o December 31, 20X7, is as follows: 12 13 14 Debit Credit 15 Cash 240.000 16 Accounts Receivable (net) 2.760.000 17 Inventory (at cost) 3.720.000 18 Marketable Securities (at cost) 2.040.000 19 Prepaid Insurance 210.000 20 Depreciable Assets 8.730.000 21 Accumulated Depreciation 1.417.000 22 Cost of Goods Sold 17.697.000 23 Selling. General. and 24 Administrative Expense 4.762.000 25 Sales Revenue 26.430.000 26 Investment Income 180.000 27 Accounts Pavable 2.120.000 28 Unearned Sales Revenue 960.000 29 Loans and Mortgage Pavable 5.872.000 30 Common Stock 1.500.000 31 Paid-in Capital in Excess of Par 210.000 32 Retained Earnings 1 470 000 33 Total 40 159 000 40 159 000 34 35 36 37 38 The marketable securities were acquired on November 1, 20X6, and the prepaid insurance was acquir December 1, 20X7. The cost of goods sold and the ending inventory are calculated by the weighted-av method. 39 40 O 41 e following items are measured in at the December 31, 20x7. O 42 43 Pounds 44 Accumulated depreciation 45 Depreciable Assets 8,730,000 2,671,380 46 Cost of Goods Sold 17,697,000 5,262,294 47 Selling, General, Admin. Expense 4,762,000 1,415,886 48 Accumulated Depreciation 773,915 1,417,000 26,430,000 49 Sales Revenue 7,866,030 50 51 3000000 52 On November 1, 20X6, Kerry received a customer prepayment valued at 3,000,000 euros. On February 1, 20X7, 2,040,000 euros of the prepayment was earned. The balance remains unearned as of December 31, 20X7. 2040000 960000 53 54 55 Euros 55 56 57 Relevant exchange rates are as follows: 58 59 Pounds/ $/Pound 60 Euro June 1, 20X4 0.31 61 $1.60 March 1, 20X6 0.3 62 $1.64 November 1, 20X6 0.305 $1.65 63 0.31 December 31, 20X6 64 $1.68 0.302 February 1, 20X7 65 $1.67 March 1, 20X7 0.3 66 $1.66 December 1, 20X7 0.29 67 $1.64 68 December 31, 20X7 0.288 $1.64 20X7 average 0.297 69 $1.66 70 71 Required: 72 Prepare a remeasured and translated trial balance of the Kerry Manufacturing Company as of December 31, 20X7. 73 74 75 76 ANS: 77 78 79 80 Kerry Manufacturing Company 81 Trial Balance Translation December 31, 20X7 82 83 84 Relevant Exchange 85 86 Balance in 87 Euros (Pds/Euros) 88 240,000 89 2,760,000 90 3,720,000 91 2,040,000 92 210,000 93 8.730.000 94 17,697,000 95 4,762,000 96 97 40.159.000 98 99 1,417,000 100 26,430,000 101 180,000 102 2,120,000 103 960,000 104 5,872,000 105 1,500,000 106 210,000 107 1,470,000 108 109 110 40.159.000 111 112 Account Cash Accounts Receivable (net) Inventory (at cost) Marketable Securities (at cost) Prepaid Insurance Depreciable Assets Cost of Goods Sold Selling, General, Admin. Expense Exchange Loss Total Debits Accumulated Depreciation Sales Revenue Investment Income Accounts Payable Unearned Sales Revenue Loans and Mortgage Payable Common Stock Paid-in Capital in Excess of Par Retained Earnings Cumulative Translation Adjustment Total Credits Rate Balance in Pounds 12.183.001 0 12.183.001 Relevant Exchange Rate ($/Pds) Balance in Dollars 20.117.316 -19.392 20.117.316
The remeasured and translated trial balance of the Kerry Manufacturing Company as of December 31, 20X7, is as follows:Account Balance in Euros Relevant Exchange Rate Balance in Pounds Balance in Dollars
The remeasured and translated trial balance reflects the balances of various accounts of the Kerry Manufacturing Company as of December 31, 20X7, after applying the relevant exchange rates. The balances are presented in euros, British pounds, and U.S. dollars.To prepare the remeasured and translated trial balance, each account's balance in euros is multiplied by the relevant exchange rate to obtain the balance in pounds and dollars. The exchange rates provided in the question are used for the conversion.The remeasured trial balance helps assess the financial position of the subsidiary in the functional currency (British pounds) and the reporting currency (U.S. dollars). It considers the impact of exchange rate fluctuations.
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Eloise, the director of Human Resources at her organization
Since Eloise is working to determine its human resource needs for the next five years, her first course of action is: assessing the future labor supply.
What is Human resources management?Human resources management (HRM) can be defined as an art that involves effectively and efficiently managing, controlling and improving the functions, number of employees or workers, activities that are being used by an organization.
This ultimately implies that, human resources managers are saddled with the responsibility of recruiting, managing and improving the welfare and working conditions of the employees working in an organization because they are the most important asset of any organization.
In conclusion, Eloise's first course of action is assessing the future labor supply for her organization.
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Complete Question:
Eloise, the director of human resources at her organization, is working to determine its human resource needs for the next five years. Eloise's first course of action is?
Planning , using a five step process.
When performing a payback analysis calculation, you should show all dollar amounts using the ____.
a.time value of money
c.computer simulation
b.money value of time
d.benchmarking
When performing a payback analysis calculation, it is recommended to show all dollar amounts using the time value of money. This is because the time value of money takes into consideration the principle that a dollar today is worth more than a dollar in the future due to the potential earning power of that money over time.
Therefore, by using the time value of money, the payback analysis calculation can accurately reflect the true value of the investment over time. This calculation takes into account factors such as inflation and interest rates which can greatly impact the actual value of the investment. It is important to note that while computer simulation and benchmarking can be helpful in evaluating investments, they are not directly related to the payback analysis calculation and do not replace the need for accurate consideration of the time value of money in the calculation.
Hi! When performing a payback analysis calculation, you should show all dollar amounts using the "time value of money" (option A). The time value of money is a concept that recognizes a dollar today is worth more than a dollar in the future because of its earning potential. By taking into account the time value of money, you can accurately evaluate the profitability of an investment or project by considering the present value of cash flows, which allows for a more accurate comparison of projects with different cash flow timings. In a payback analysis, this approach helps you determine how long it will take to recover your initial investment, considering the value of the money over time. By incorporating the time value of money, you can make better-informed decisions when evaluating projects and investments.
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susan has a chance to take two weeks of unpaid leave from her job to go on a trip to antarctica that will cost $5,000. she earns $2,000 per week. she estimates that the trip would be worth twice what she has to pay for the pleasure it would give her. the total cost of the trip for susan is $ and the benefit of the trip for susan is
The benefit of the trip for Susan is $10,000.
The total cost of the trip for Susan can be calculated by adding the cost of the trip ($5,000) to the income she would forgo during her two weeks of unpaid leave.
Susan earns $2,000 per week, so for two weeks, her forgone income would be $2,000 x 2 = $4,000.
Total cost of the trip = Cost of the trip + Forgone income
Total cost of the trip = $5,000 + $4,000 = $9,000
Therefore, the total cost of the trip for Susan is $9,000.
The benefit of the trip for Susan is estimated to be twice the cost she has to pay.
Benefit of the trip = 2 x Cost of the trip
Benefit of the trip = 2 x $5,000 = $10,000
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