In the context of cash flow analysis, Return on investment (ROI) is a useful measure as a means to evaluate performance when there is a separation between managers and owners.
ROI (Return on investment) is a financial metric that assesses the efficiency of an investment or compares the efficiency of several investments.
ROI can be used to compare the costs and benefits of any investment, including money, time, and resources.
ROI is a financial performance measure that calculates the percentage return on an investment relative to its cost. ROI takes into account both the gain from an investment and the cost of the investment.
It is a popular metric for evaluating performance in the context of cash flow analysis when there is a separation between managers and owners.
The formula for calculating ROI is simple:
ROI = Net Profit / Cost of Investment
This indicates that ROI is equal to the net profit of an investment divided by the cost of the investment. This ratio is normally expressed as a percentage or a ratio.
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What are tic tac like what is good for you
Answer: Ingredients. Sugar, fructose, maltodextrin, peppermint essential oil, rice starch, gum arabic, filling agent (magnesium salts of fatty acids), glazing agent (carnauba wax).
Explanation:
They are NOT good for u. :(
A bottle hold 24 ounce of water it ha X ounce of wate. What doe 24-x repreent in thi ituation
Answer:
24x represents the constant- starting amount.
Explanation:
what would happen to the per-worker production function and the capital to labor ratio if more children went to school in a country and then grew into adult workers? [reworded slightly from the multiple choice question in the 1st stage]
The per worker production function is a formula that helps organizations and economies determine the productivity of a single employee. It uses either land available or capital invested as one of the function's variables, depending on which model you're following for your calculations.
What would happen to the per-worker production function and the capital to labor ratio if more children went to school in a country and then grew into adult workers?
When more children receive education and become skilled adult workers, the per-worker production function is likely to increase. This is because education enhances the human capital of the labor force, leading to higher productivity and output per worker. As a result, the production function would shift upwards.The capital to labor ratio, which is the amount of capital divided by the number of workers, might be affected as well. As more educated workers enter the labor force, the demand for capital may increase to take advantage of their higher productivity. If the capital stock doesn't grow at the same rate as the labor force, the capital to labor ratio may decrease. However, if investments are made to increase the capital stock alongside the growing labor force, the capital to labor ratio could remain stable or even increase.In summary, increased education and skilled adult workers would likely lead to a higher per-worker production function and could have varying effects on the capital to labor ratio, depending on capital investments in the economy.
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13. Ceteris paribus, a decrease in the demand for loanable funds A. drives the interest rate down.
B. drives the interest rate up.
C. might not have any effect on interest rates.
D. results from an increase in business prospects and a decrease in the level of savings. E. results from an
Interest rates are always lowered when demand falls, regardless of the circumstances. The demand for funds would rise if business prospects improved. The savings rate influences the finances rather than the sales for them. As a result, option (A) is the best choice.
How much variables contribute to a decrease in the source of loanable funds?
When consumers start spending more, they put less money in the bank. This results in fewer depositors and reserves that the government can lend out, reducing the availability of loanable funds.
What effect can the ceteris paribus assertion have on a demand curve?
Because it considers elasticity, the ceteris paribus assertion has an impact on a quantity demanded. If the price of an item rises whereas all other factors remain constant, the demand for it will fall.
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Beginning work-in-process inventory was 50% complete for direct materials and direct labor costs. Ending work-inprocess inventory was 75% complete for direct materials and direct labor costs. Direct material work-in-process inventory on January 1 was $50,000. Direct material costs added during the quarter were $720,000. What is the total value of material costs in ending work-in-process inventory using the weighted-average unit cost inventory valuation method
Answer:
WIP ending inventory= $180,000
Explanation:
First, we need to calculate the equivalent units of production for direct materials in ending inventory.
The weighted average method blends the costs and units of the previous period with the costs and units of the current period.
Units completed in the period + Equivalent units in ending inventory WIP (units*%completion) = Equivalent units of production
Equivalent units of production= 720,000*0.75
Equivalent units of production= $540,000
Now, work in process ending inventory:
WIP ending inventory= 720,000 - 540,000
WIP ending inventory= $180,000
Bob's gift shop sold a record number of cards for mother's day. One salesman sold 27 cards, which was 2% of the cards sold for mother's day. How many cards were sold for mother's day?.
1350 cards were sale on mothers day.
27=2% then 1%=13.5
then 100%= 13.5×100=1350 cards
What do you mean by sales?A sale is a deal in which two or more parties trade goods or services for cash or other assets. In the financial markets, a sale is an agreement between a buyer and a seller including the cost of a security and its delivery for predetermined payment.
Which sales are there?Sales representatives mostly work with the two categories of inside sales and outside sales. interior sales. Any transactions made at home or remotely are considered to be inside sales. These sales take place over the phone, over email, through CRM systems, and via VOIP.
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Because an insurance policy is a legal contract, it must conform to the state laws governing contracts which require all of the following elements EXCEPT?
All of the following, with the exception of conditions, are required.
Describe insurance.One party will agree to compensate another in the event of a certain loss, damage, or injury in exchange for a fee in order to safeguard oneself from financial loss. It is a risk management technique that is typically used to guard against the danger of a hypothetical loss that may or may not materialise.
An underwriter, insurer, firm, or carrier is a company that provides insurance. A person or organisation that obtains insurance is known as a policyholder, whereas a person or organisation that the policy protects is known as an insured.
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Coming into effect in 1994, NAFTA encouraged free trade between the United States and which two other countries? Question 4 options: a) Japan and China b) Canada and Mexico c) Panama and Brazil d) Canada and Cuba
NAFTA, or the North American Free Trade Agreement, came into effect in 1994 and encouraged free trade between the United States and two other countries B. Canada and Mexico.
NAFTA aimed to promote economic growth by reducing trade barriers and fostering investment between the three member countries. It eliminated most tariffs and other trade restrictions, allowing for the easier flow of goods and services across borders. As a result, businesses and consumers benefited from lower prices, increased trade, and enhanced competitiveness in the global marketplace. The agreement also facilitated cooperation in areas like environmental and labor regulations, setting standards that the member countries agreed to follow.
Overall, NAFTA has played a significant role in shaping the economic landscape of North America, contributing to increased trade and investment between the United States, Canada, and Mexico. Although the agreement has faced criticism for its impact on certain industries and job markets, it has also led to numerous benefits for businesses and consumers in the region. Therefore, the correct option is B.
The question was incomplete, Find the full content below:
Coming into effect in 1994, NAFTA encouraged free trade between the United States and which two other countries? Question 4 options:
a) Japan and China
b) Canada and Mexico
c) Panama and Brazil
d) Canada and Cuba
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because monopolies have market power and can influence the price of the goods they sell, they tend to restrict and charge a higher than would prevail in a competitive equilibrium.
Because monopolies have market power and can influence the price of the goods they sell, they tend to restrict output and charge a higher price than would prevail in a competitive equilibrium.
What is a monopoly?A scenario known as monopoly occurs when there is only one seller in the market. The monopoly case is viewed as the polar opposite of perfect competition in conventional economic analysis.
A company with a monopoly is one where its product is sold exclusively and there are no close substitutes. Unrestrained monopolies have the ability to set prices and exercise market power. Examples include Microsoft and Windows, DeBeers and diamonds, and your neighborhood gas provider.
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because monopolies have market power and can influence the price of the good they sell, they tend to restrict ___ and change a higher _____ than would prevail in a competitive equilibrium
Please Help
What distinguishes comparative advantage from absolute advantage in production? (1 point)
A. A country has comparative advantage in production when its opportunity costs of producing a good are higher than another B. A country has comparative advantage in production when it requires more total inputs than does another country to produce the same output.
C. A country has comparative advantage in production when its opportunity costs of producing a good are lower than another country's.
D. A country has comparative advantage in production when it requires fewer total inputs than does another country to produce the same output.
C. A country has comparative advantage in production when its opportunity costs of producing a good are lower than another country's distinguishes comparative advantage from absolute advantage in production
Comparative advantage and absolute advantage are both concepts in international trade that explain why countries specialize in producing certain goods and services. The main difference between these two concepts is as follows:
Absolute advantage refers to a situation where one country can produce a good or service using fewer resources (i.e. labor, capital, land) than another country.
Comparative advantage refers to a situation where one country has a lower opportunity cost of producing a good or service than another country.
Opportunity cost is the value of the best alternative forgone when choosing a particular option.
In other words, a country has a comparative advantage if it gives up less of one good to produce more of another good compared to another country.
Therefore, comparative advantage is not based on the absolute efficiency of production, but rather on the relative opportunity costs of producing a good or service.
Option c ) is correct answer.
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For the period 1926-2011, small-company stocks had a risk premium of 12.6 percent. What does the term risk premium mean
The term "risk premium" refers to the additional return or compensation that an investor expects to receive for taking on a higher level of risk compared to a risk-free investment, such as government bonds.
Small-company stocks for the period 1926–2011, the risk premium of 12.6 percent means that small-company stocks provided an average annual return that was 12.6 percent higher than the return on risk-free investments during that period.
This implies that investors were willing to accept the higher volatility and uncertainty associated with small-company stocks in exchange for the potential for higher returns.
It's important to note that the risk premium can vary over different time periods and for different asset classes, and is influenced by factors such as market conditions, economic trends, and investor sentiment.
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Which of the following would be an advantage of engaging in international
trade over domestic trade?
A. Higher cost of production due to higher labor costs
B. Larger growth opportunities based on market size
C. Clear understanding of laws and statues concerning business
operations
D. Less choice for consumers because of fewer products
Answer:
B. Larger growth opportunities based on market size
Explanation:
Took the test and guessed it correctly
What are the benefits of price comparison?.
Comparing product prices on various websites can help you spot differences and reflect the actual selling price of a product.
You can get new models cheaply as well as reasonable prices for the age. The main reason people use price comparison websites is that they can search hundreds of sites offering deals from different providers to find the best deals. There may be smaller or lesser-known companies that offer the service you want at a much lower price. It is to point out the similarities outside.
Comparison shopping helps in buying the product of choice at the desirable cost. As internet shopping is developing very fast the comparison shopping has become easier. More than 80% of buyers compare the prices of the items they want to buy. It is seen that the higher the price of the item the percentage of cost comparison of that item online increases.
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only the short-run phillips curve is downward sloping because
The short-run Phillips curve is a graph that illustrates the relationship between unemployment and inflation. It is believed to be downward sloping because of the inverse relationship between unemployment and inflation.
In the short run, there are factors such as price stickiness, wage rigidity, and imperfect information that affect the economy's adjustment to changes in unemployment and inflation. These factors cause short-run fluctuations in the economy, leading to movements along the Phillips curve. In contrast, in the long run, these factors become less relevant, and the economy reaches its natural rate of unemployment, leading to a vertical Phillips curve. Thus, the short-run Phillips curve is downward sloping because of the temporary nature of economic fluctuations and the presence of short-run factors that impact the economy's adjustment to changes in unemployment and inflation.
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hinguys im back!!!
folloe nyo ko pingay ko points ko sa inyo
dont forget folloe
Answer:
hii have a great day ahead tq for the points
A recommended way to allay employee anxieties about job analysis is?a.to promise that no job reductions will occur in the next 12 months.b.to conduct wage and salary surveys at the same time, because usually this will result in an upward adjustment of employee pay.c.include employees in the revision of job descriptions.d.to use a consulting firm to conduct the job analysis, thus removing the process from internal organizational politics.
The best way to allay employee anxieties about job analysis is to include employees in the revision of job descriptions. This will demonstrate to employees that they are valued and their input matters.
Employers should also explain why job analysis is important and the expected outcomes of the process. Employers should also reassure employees that job reductions are not the goal of job analysis.
If possible, employers should conduct wage and salary surveys at the same time as the job analysis, as this can result in an upward adjustment of employee pay.
Finally, employers may want to consider using a consulting firm to conduct the job analysis, thus removing the process from internal organizational politics. This can help to create a more neutral and objective environment for the job analysis.
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Now that Rory understands how comprehensive income is, he is wondering if he needs to record the $500 scholarship he was awarded from his local community to help pay his college tuition. If so, in which category of income should it be recorded: earned income, unearned income, or received income from government programs
Whether or not Rory needs to record the $500 For more questions on Scholarship he was awarded for college tuition will depend on whether it is considered taxable income or not.
In general, scholarships and grants used for Assuming that the scholarship money is tax-free, education expenses such as tuition and books are tax-free.
However, if the scholarship money is used for non-qualified expenses such as room and board, it may be taxable.
Assuming that the scholarship money is tax-free, Rory does not need to record it as income. It is not considered earned income, unearned income, or income received from government programs.
However, if any portion of the scholarship money is taxable, Rory would need to record it as income in the appropriate category depending on how it is classified.
If it is earned through work, it would be recorded as earned income. If it is awarded without any work required, it would be recorded as unearned income.
If it is received through a government program, it would be recorded as income received from government programs.
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Which of the following statements is correct?
Select one:
a.
Other things held constant, it is generally safer to invest money in a proprietorship than in corporation.
b.
There really is no difference between a general partnership and a corporation, because both have multiple owners and both offer limited liability to the owners.
c.
If you are planning to start a business, which you will run as the sole employee, and if you expect the business to earn $1,000,000 per year before taxes, you always can minimize the total taxes you pay by setting up the business as a corporation.
d.
According to the text, "agency problems" tend to increase when managers own larger relative amounts of the company's stock.
e.
Maximizing the income statement item "net income" might not be the best goal for a corporation if the managers are interested in maximizing the economic welfare of the firm's stockholders (that is, the firm's stock price).
The correct statement is e. Maximizing the income statement item "net income" might not be the best goal for a corporation if the managers are interested in maximizing the economic welfare of the firm's stockholders (that is, the firm's stock price).
This statement is correct because focusing solely on net income might not take into account other factors that can affect the overall economic welfare of the stockholders, such as risk, cash flow, and long-term growth.
The primary goal of a corporation should be to maximize shareholder value, which can be achieved through a combination of strategies, including optimizing cash flow, minimizing risk, and investing in growth opportunities.
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following distance (the distance between the taxi and the lead car) was recorded. The sample mean following distance was 3.50 meters and the sample standard deviation was 1.13 meters. ( )m Interpret the interval. (b) What assumption must be made in order to generalize this confidence interval to the population of all taxi drivers in Greece? We need to assume that taxi drivers used in the study are all drive the same make and model car. We need to assume that taxi drivers used in the study are representative of all taxi drivers in Greece. We need to assume that taxi drivers used in the study are representative of all drivers who have used the simular We need to assume that taxi drivers used in the study are representative of all drivers in Greece. We need to assume that taxi drivers used in the study are all using the same mobile phone.
a) Interpretation of the interval is as follows: There is a 95% chance that the true average following distance of all the taxi drivers in Greece lies between 3.17 meters and 3.83 meters.
The following interval is obtained by using the formula for a confidence interval where the sample mean following distance is 3.50 meters, the sample standard deviation is 1.13 meters, sample size is 100, degrees of freedom (df) is 99, and t (value for 95% confidence interval) is 1.984 (obtained using t-distribution table). Thus, the interval is calculated as follows: $$(\bar{x}-t_{\alpha/2}\frac{s}{\sqrt{n}},\bar{x}+t_{\alpha/2}\frac{s}{\sqrt{n}})$$$$=(3.50-1.984\frac{1.13}{\sqrt{100}},3.50+1.984\frac{1.13}{\sqrt{100}})$$$$=(3.17,3.83)$$b)
The assumption that must be made in order to generalize this confidence interval to the population of all taxi drivers in Greece is that the taxi drivers used in the study are representative of all taxi drivers in Greece. Therefore, option B is correct. It is important to have a random sample of taxi drivers to ensure that the results of the study can be generalized to the population of all taxi drivers in Greece. If the sample is not random and representative, the results of the study cannot be applied to the population and it would not be valid to generalize the findings.
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Tickets to a fundraiser are $14 if purchased ahead of time and $25 if purchased at the door. The total amount raised from all ticket sales was $625. If eleven tickets were purchased at the door, how many tickets were purchased ahead of time?.
the jobs listed below need to be completed. assume that it is now day 140. if the jobs are sequenced according to the shortest processing time rule, what is the average completion time?
To calculate the average completion time of the jobs, we need to order them by their processing time in ascending order. Then, we need to add the processing time of each job to the current day (140) and divide the sum by the number of jobs. For example, if there are three jobs with processing times of 2, 4, and 6 days, the average completion time would be (140 + 2 + 4 + 6) / 3 = 150.67 days.
About AverageAverage a number that represents a set of data. In statistics, mean, average, or mean has three related meanings: Arithmetic mean, the meaning most commonly known to the layman. Expected value of a random modifier. A measure of the centrality of a probability distribution.
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in the battle over taxation, one of the most intense issues is?
In the battle over taxation, one of the most intense issues is the distribution of tax burdens among different income groups within the society.What is taxation?Taxation is a governmental policy of imposing a tax on citizens to raise revenue for public expenses.
Taxation is the primary source of revenue for modern governments. Taxation policies vary across different countries.What is the distribution of tax burdens The distribution of tax burdens refers to the burden of taxation imposed on different income groups in the society. The distribution of tax burdens is a controversial issue, and it is one of the most intense issues in the battle over taxation. In conclusion, in the battle over taxation,
the most intense issue is the distribution of tax burdens among different income groups within the society.The distribution of tax burdens is a controversial issue, and it is one of the most intense issues in the battle over taxation.In conclusion, in the battle over taxation,
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One of the reasons a firm carries inventory is to ______, that is, to achieve constant output and use inventory to meet overly high requirements during seasonal periods.
Firms do carry inventory in order to have smooth production requirements and to achieve constant output .
What is an Inventory?Inventory serves as those goods and materials that a business holds so they can resale or production or utilisation purpose.
inventory can be used to meet overly high requirements during seasonal periods.
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Medicare is a government program funded by tax dollars to:
A-provide health insurance to children in a recount
B-provide health insurance to working adults
C-provide hospital insurance for those over 65
Answer: C
Explanation: Trust me
According to ipsos eye-tracking research, approximately how much tv advertising goes unseen?.
Answer:
55%
Explanation:
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ESPN 30 for 30 – BROKE
Tell me your initial reaction, what do you think the film is about?
What do you think of the amounts of money pro athletes make?
How did sports salaries change in the 1990’s?
What contributed to that change?
Explain the phrase “Keeping up with the Joneses”.
Why do you think that phrase may lead to bad money management decisions?
What are some of the bad investments these athletes made?
How could athletes like Andre Rison and Allen Iverson have prevented personal bankruptcy?
What money management lessons could the average person learn from these stories?
If you were a financial planner, how would you handle a pro athlete’s money?
Answer:basket ball
Explanation:
well if you paratactic then you get better
help fast! Ed and Maria’s gross monthly income is $3,700 and monthly debt is $2,500. What is their debt-to-income ratio to the nearest percent?
A. 53%
B. 68%
C. 82%
D. 25%
Answer:
C. 68
Explanation:
Dorae Berhad acquired 60% interest in the issued share capital of Nobi Berhad on 31 December 2020. The consideration was RM10 millions of which RM2 millions were in cash and the balance by an issue of 2 million Dorae Berhad ordinary shares valued at RM4 millions. At the acquisition date, the retained profits of Nobi Berhad were RM4 millions. Apart from recording the cash paid, Dorae Berhad has not recorded the issuance of shares to reflect the acquisition.
In the given scenario, Dorae Berhad acquired a 60% interest in Nobi Berhad on 31 December 2020.
The consideration for the acquisition was RM10 million, consisting of RM2 million in cash and the issuance of 2 million Dorae Berhad ordinary shares valued at RM4 million. However, Dorae Berhad has not yet recorded the issuance of shares to reflect the acquisition, apart from recording the cash paid.
To properly account for the acquisition, Dorae Berhad needs to recognize the fair value of the shares issued as consideration. Since 2 million Dorae Berhad ordinary shares were issued and valued at RM4 million, the fair value of each share can be calculated as RM4 million divided by 2 million shares, resulting in RM2 per share.
Dorae Berhad should record the acquisition by debiting the investment in Nobi Berhad for RM6 million (60% of RM10 million) and crediting cash for RM2 million (the amount paid in cash). Additionally, Dorae Berhad should credit share capital for RM4 million (2 million shares issued at RM2 per share) to reflect the issuance of shares as consideration for the acquisition.
It is important for Dorae Berhad to properly record the acquisition in its financial statements to accurately reflect the investment and its ownership in Nobi Berhad.
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Dorae Berhad acquired 60% interest in the issued share capital of Nobi Berhad on 31 December 2020. The consideration was RM10 millions of which RM2 millions were in cash and the balance by an issue of 2 million Dorae Berhad ordinary shares valued at RM4 millions. At the acquisition date, the retained profits of Nobi Berhad were RM4 millions. Apart from recording the cash paid, Dorae Berhad has not recorded the is- suance of shares to reflect the acquisition. The statement of financial position of both companies for the year ended 31 December 2021 were as follows: RM000 Dorae Berhad RM'000 16,000 5,000 18,000 Nobi Berhad RM'000 RM'000 10,000 Share capital Revaluation reserves Retained profits 10,000 39,000 20,000 Long term loans 7,000 46,000 5,000 25,000 Property, plant and equipment Freeho land, ost Others non-current assets, at net book value 8,000 30,000 38,000 16,000 20,000 2,000 Investment in Nobi Berhad Current assets Current liabilities 18,000 (12,000) 6,000 46,000 15,000 (10,000) 5,000 25,000 At the acquisition date, the freehold land of Nobi Berhad was said to have a fair value of RM6 millions. No adjustment was made for this value. On 31 December 2021, Nobi Berhad on the advice of professional valuer, placed a valuation on an existing use basis of RM10 millions on the freehold land. This new valuation has not been incorporated in the statement of financial position. The directors wish to incorporate this new valuation in the final accounts. The movements in the retained profits of the two companies for the year ended 31 December 2021 were as follows: Dorae Berhad Nobi Berhad RM'000 RM'000 Retained profit for the year 3,000 2,000 Retained profits brought forward 15,000 8,000 Retained profits carried forward 18,000 10,000
suppose you have taken out a $400,000 fully amortizing fixed-rate mortgage loan that has a term of 15 years and an interest rate of 4.25%. in month 8 of the mortgage, how much of the monthly mortgage payment does the principal repayment portion consist of?
The principal repayment portion of the monthly mortgage payment for a $400,000 fully amortizing fixed-rate mortgage loan that has a term of 15 years and an interest rate of 4.25% in month 8 is $1,702.62.
How to calculate the principal repayment portion of a mortgage payment?
A fully amortizing fixed-rate mortgage payment is calculated as the sum of monthly interest charges and principal repayments. The principal repayment portion of a mortgage payment is calculated using the following formula:
Principal repayment portion = Monthly payment − Monthly interest charge
In this case, the monthly payment for the mortgage is:
$400,000 fully amortizing fixed-rate mortgage loan with a term of 15 years and an interest rate of 4.25%
Monthly payment = $3,060.62
The monthly interest charge for the first month is calculated as follows:
Monthly interest charge = Balance × Monthly interest rate
Balance = $400,000 (initial balance)
Monthly interest rate = Annual interest rate ÷ Number of months in a year
Annual interest rate = 4.25%
Number of months in a year = 12
Monthly interest rate = 4.25% ÷ 12 = 0.003542
The monthly interest charge for the first month is:
$400,000 × 0.003542 = $1,416.67
Thus, the principal repayment portion of the first monthly mortgage payment is:
$3,060.62 − $1,416.67 = $1,643.95
In month 8, the principal repayment portion of the monthly mortgage payment is:
$1,702.62 (rounded to the nearest cent).
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any good business plan ideas
my business will be something to do with tie Dye
Answer:
nike socks for sure
Explanation: