Business

FinanceQ&A LibraryThe future value of $200 received today and deposited at 8% for three years is ……. $151.94 $201.94 $251.94 The present value of $100 to be received 10 years from today, assuming an opportunity cost of 9%, is …….. $178.95 $42.24 $1587.33 You deposit $17,000 each beginning of year for 10 years at 7%. How much will you have at the end of the period? 251,321.19 148,963.78 721,960.12 Suppose you are going to receive $10,000 per year for 5 years. The appropriate interest rate is 11%. What is the present value of the payments if they are in the form of an ordinary annuity? $63,995 $36,959 $120,369Start your trial now! First week only $4.99!*arrow_forward*

Question

**Underline the right answer:**

- The future value of $200 received today and deposited at 8% for three years is …….
- $151.94
- $201.94
- $251.94
- The present value of $100 to be received 10 years from today, assuming an opportunity cost of 9%, is ……..
- $178.95
- $42.24
- $1587.33
- You deposit $17,000 each beginning of year for 10 years at 7%. How much will you have at the end of the period?
- 251,321.19
- 148,963.78
- 721,960.12
- Suppose you are going to receive $10,000 per year for 5 years. The appropriate interest rate is 11%. What is the present value of the payments if they are in the form of an ordinary annuity?
- $63,995
- $36,959
- $120,369

1 Rating

Tagged in

Business

Finance

Find answers to questions asked by students like you.

Q: What is the relationship between total carrying cost and totalordering cost at the EOQ?

A: It indicates an inverse relationship between the cost of ordering and the cost of holding at Economi...

Q: a)fast internationalization strategy for Better Generation has some associated risks. What are these...

A: The strategies that are followed by the organization with the purpose of expanding their business ac...

Q: . Skinner’s Fish Market buys fresh Boston bluefish daily for $4.20 per pound and sells it for $5.70p...

A: Computation: From the table, if SL is 0.45455 then the Z value is -0.11.

Q: 7. Valuing semiannual coupon bonds Bonds often pay a coupon twice a year. For the valuation of b...

A: Calculation of Value of Treasury Note: Excel Spreadsheet:

Q: Next Pharmacy Ltd, an all equity finance company has started the production of a vaccine against COV...

A: Dividend = 150 Grow rate = 10% Beta = 1.75 Risk free rate =5% Market return =18.34%

Q: ■ What is Monte Carlo simulation?

A: Monte Carlo Simulation: Monte Carlo Simulation is a mathematical method that makes random variables ...

Q: The Everly Equipment Company's flange-lipping machine was purchased 5 years ago for $100,000. It had...

A: Calculation of Initial Cash Flow, Incremental Cash Flows and NPV: Excel Spreadsheet:

Q: Explain Limited Liability Partnerships?

A: It is like a usual partnership aside from that it has two classes of partners. The usual partners ha...

Q: b. You are an investment advisor and you are asked to guide a new investor to trade shares on the Gh...

A: Six listing requirements are: 1. For listing, payment of share must be fully made. Partly paid share...