To determine the Year-0 net cash flow, project recurring cash flows in Years 1, 2, and 3, additional Year-3 cash flow, and the NPV of the project, we need specific cash flow figures and the cost of capital. As the information provided does not include these details, I'm unable to provide the exact values. However, I can explain the concepts and formulas involved.
a. Year-0 net cash flow: The Year-0 net cash flow represents the initial cash flow associated with the project, including any investments or initial expenses. It is calculated by summing the cash inflows and cash outflows at the beginning of the project.
b. Project recurring cash flows: These are the cash flows generated by the project in subsequent years after Year 0. To calculate these cash flows, you need to consider the project's revenue, expenses, taxes, and any other relevant factors specific to the project.
c. Additional Year-3 cash flow: The additional Year-3 cash flow includes any cash flows that occur specifically in Year 3. This may include after-tax salvage value (if any equipment or assets are sold at the end of the project) and the return of working capital (if any working capital was invested and can be recovered).
d. NPV of the project: The NPV (Net Present Value) of the project is a measure of its profitability, taking into account the project's cash inflows and outflows over time and the cost of capital. It is calculated by discounting the cash flows to their present value and subtracting the initial investment. The discount rate used is the project's cost of capital, which represents the required rate of return for the project.
To calculate the NPV, you would discount each year's cash flow using the cost of capital and sum them up. If the NPV is positive, it indicates that the project is expected to generate a positive return, while a negative NPV suggests the project may not be financially viable.
Without specific cash flow figures and the cost of capital, it is not possible to provide the exact values for the Year-0 net cash flow, project recurring cash flows, additional Year-3 cash flow, or the NPV of the project.
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a purpose of technical documentation is to tell readers everything they would ever want to know about a topic. True or False
The given statement "a purpose of technical documentation is to tell readers everything they would ever want to know about a topic." is False because its goal is to communicate complex information in a clear, concise, and easily understandable manner to a specific audience.
While technical documentation aims to provide comprehensive information about a particular topic, the purpose is not to tell readers everything they would ever want to know. The goal of technical documentation is to communicate complex information in a clear, concise, and easily understandable manner to a specific audience. This audience may include end-users, developers, or other technical professionals who require specific details about a product, process, or system.
In addition, technical documentation also serves as a reference guide and a means of troubleshooting problems. It should provide users with step-by-step instructions, illustrations, and examples that help them use the product or solve a problem effectively. Technical documentation may also include information on safety procedures, warnings, and cautions to prevent users from making mistakes that could result in injury or damage.
Overall, the purpose of technical documentation is not to overwhelm readers with excessive information but to provide them with the necessary knowledge and guidance to use a product or service correctly and safely. The documentation should be focused, relevant, and useful to the target audience, providing them with the information they need without unnecessary details.
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According to the fasb conceptual framework, the relevance of providing information in financial statements is subject to the constraint of?
According to the FASB conceptual framework, the relevance of providing information in financial statements is subject to the constraint of materiality.
Materiality in financial reporting refers to the concept that information should be significant or important enough to impact the decision-making process of users of the financial statements.
Materiality is about assessing whether an omission or misstatement of information would affect the decisions of users. It involves evaluating the nature and magnitude of an item or event in relation to the financial statements as a whole.
If information is considered material, it should be disclosed in the financial statements to provide a complete and accurate picture of the entity's financial position, performance, and cash flows, enabling users to make informed decisions.
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7.1
3. Of the five government officials (La Folette, Cleveland, Roosevelt, Taft and Wilson) who played a major role in passing reforms during the Progressive Era, which do you believe had the greatest impact on American society both at the time and today? Defend your answer with two examples of how their reforms impacted American at the time and one example of how their reforms still impact America today. Be sure to include appropriate facts and details in your answer.
Of the five government officials who played a major role in passing reforms during the Progressive Era, I believe that Theodore Roosevelt had the greatest impact on American society both at the time and today.
Firstly, Roosevelt's trust-busting policies had a significant impact on American society at the time. His administration used the Sherman Antitrust Act to break up several large corporations, including Standard Oil and American Tobacco Company, which had a monopoly over their respective industries. This led to increased competition and lower prices for consumers. Additionally, Roosevelt's efforts to regulate railroad rates helped to prevent unfair practices and ensure that all businesses had equal access to transportation.
Secondly, Roosevelt's conservation efforts had a lasting impact on America's natural resources. He established the U.S. Forest Service and created several national parks, including Yosemite and Yellowstone. These efforts helped to preserve America's natural beauty and ensure that future generations would be able to enjoy it.
Today, Roosevelt's reforms still impact America. His trust-busting policies set a precedent for future antitrust legislation and helped to prevent large corporations from having too much power. Additionally, his conservation efforts paved the way for future environmental regulations and continue to protect America's natural resources. For example, the Clean Air Act and Clean Water Act, both of which were passed decades after Roosevelt's presidency, were inspired by his conservation efforts.
In conclusion, while all of the five government officials had a significant impact on American society during the Progressive Era, I believe that Theodore Roosevelt had the greatest impact both at the time and today. His trust-busting policies and conservation efforts had far-reaching effects and set the stage for future reforms in these areas.
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what are the ways of receiving employment related information?
Answer:
just do well on software and follow me for updates
Why is it very important to verify you are sending a p2p payment to the right person before actually sending it?.
It is very important to verify you are sending a p2p payment to the right person before actually sending it because sent payments are final; you will need to ask for it back from the person you sent it to accidentally.
Manner of fee manner banknotes and coins (cash), and deposits and credit on an account with an economic organization or a comparable institution that may be operated via price instruments.
Credit playing cards, debit cards, cheques, money transfers, and ordinary coins or ACH (automatic Clearing house) disbursements are all electronic payment strategies. digital charge technologies include magnetic stripe cards, clever playing cards, contactless playing cards, and mobile payments.
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Metro, Inc. Sells backpacks. The Company's accountant is preparing the purchases budget for the first quarter operations. Metro maintains ending inventory at 20% of the following month's expected cost of goods sold. Expected cost of goods sold for April is $70,000. All purchases are made on account with 25% of accounts paid in the month of purchase and the remaining 75% paid in the month following the month of purchase. Sales January February March Budgeted cost of goods sold $ 40,000 $ 50,000 $ 60,000 Plus: Desired ending inventory 10,000 Inventory needed 50,000 Less: Beginning inventory (8,000 ) Required purchases $ 42,000 Based on this information the total cash paid in March to settle accounts payable is
The total cash paid in March to settle accounts payable is $10,500 + $11,250 = $21,750.
To calculate the total cash paid in March to settle accounts payable, we need to consider the purchases made in February and March.
In February, the purchases were $42,000 * 25% = $10,500. This amount is paid in the month of purchase, so there is no outstanding payment for February purchases in March.
In March, the purchases were $60,000 * 25% = $15,000. Since 75% of accounts are paid in the month following the month of purchase, we need to calculate 75% of March purchases that are paid in March. 75% of $15,000 = $11,250.,the total cash paid in March to settle accounts payable is $10,500 + $11,250 = $21,750.
The purchases budget is prepared to estimate the amount of inventory that needs to be purchased during a specific period. It takes into account the expected cost of goods sold and the desired ending inventory. In this case, the expected cost of goods sold for April is given as $70,000. By subtracting the beginning inventory and adding the desired ending inventory, the required purchases for the first quarter are calculated.
The payment terms for the purchases are also considered in the budget. It is stated that 25% of accounts are paid in the month of purchase and the remaining 75% is paid in the following month. This means that a portion of the purchases made in February is paid in February itself, while the remaining portion is paid in March. Similarly, a portion of the purchases made in March is paid in March.
To determine the total cash paid in March to settle accounts payable, we need to calculate the amount of purchases that are paid in March. This includes the 25% of March purchases that are paid in March itself and the outstanding payment for the remaining 75% of February purchases. By adding these two amounts, we can find the total cash paid in March. In this case, the total cash paid in March to settle accounts payable is $21,750.
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According to the video, some workers who work for themselves, such as Actors, Musicians, or Writers, may have what
sort of worker represent them to potential customers?
O an Agent
O a Headhunter
an Employer
a Mentor
Answer:
an Agent
Explanation:
just answered it and got correct
Answer: Agent
Explanation: just got it right on edge
Banks use your deposits to make loans to other individuals. true or false
Answer:
true
Explanation:
.................... mark my answer brainliest if it is right
E & CL You have a pordolo that is equally invested in Stock F with a beta of 92, Stock G with a beta of 134, and the risk-free asset. What is the beta of your portfolio?
The beta of your portfolio is 0.7534.
The beta of a portfolio, we need to consider the weights of each asset in the portfolio.
Let's assume the weights of Stock F, Stock G, and the risk-free asset in the portfolio are wF, wG, and wRF, respectively. Since the problem statement does not provide the weights, let's assume equal weights for simplicity. Therefore, we can assign wF = wG = wRF = 1/3.
Calculate the beta of the portfolio using the following formula:
Portfolio Beta = (wF * Beta of Stock F) + (wG * Beta of Stock G) + (wRF * Beta of the risk-free asset)
Substituting the values:
Portfolio Beta = (1/3 * 0.92) + (1/3 * 1.34) + (1/3 * 0)
Simplifying the expression:
Portfolio Beta = 0.3067 + 0.4467 + 0
Portfolio Beta = 0.7534
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I NEED THIS ASAP!!!!!!!!! Lin is making a presentation about road safety and wants to add images of road signs. However, he does not have any pictures of road signs on his hard drive.
Which option within PowerPoint would most likely help Lin find the pictures he needs?
Clip Art under the Insert tab
Picture under the Insert tab
SmartArt under the Animations tab
Insert under the Animations tab
Answer:
picture under the insert tab ?
Explanation:
none others make sense
Answer:
Picture under the Insert Tab.
Explanation:
Martin is a credit counselor working with a client, Kim, who is in serious financial trouble. Kim is hesitant because she has a long way to go and a lot of work to do before she can be financially healthy again. What is the best way for Martin to explain the next steps to her?
A.) Martin should present the information in small manageable steps rather than give her a lengthy to-do list.
B.) Martin should make a list of tasks that must be completed and do them for her, since he is an experienced professional.
C.) Martin should compile a list of all the tasks that Kim must complete and suggest that she report back to him after she is finished.
D.) Martin should not encourage her to do anything she is reluctant to do, even if it means salvaging her financial life in the long term
Answer:
C
Explanation:
C la respuesta es la C ya que
The acme global corporation needed to hire 30 new advertising sales agents. the applicant pool consisted of 100 african-american males and 100 white males. of the 200 applicants, acme global hired 10 of the african-american males and 20 of the white males. is there evidence of disparate impact?
Answer:
Yes, because it doesn't comply with the four-fifths rule.
Explanation:
First we must establish the selection rate for both groups:
whites = 20 / 100 = 20% selectedAfrican American = 10 / 100 = 10% selectedthe four-fifths rule establishes that at least 20% x 4/5 = 16% of all African American candidates should have been selected, but only 10% were selected.
Green et al. (2005) estimate the supply and demand curves for California processed tomatoes. The supply function is: In(Qs) - 0.200 +0.550 In(p), where Q is the quantity of processing tomatoes in millions of tons per year and p is the price in dollars per ton. The demand function is: In(Od) 2.600-0.200 In(p)0.150 In(pt), where pt is the price of tomato paste (which is what processing tomatoes are used to produce) in dollars per ton. Suppose pt $130. Determine how the equilibrium price and quantity of processing tomatoes change if the price of tomato paste rises by 22%. If the price of tomato paste rises by 22%, then the equilibrium price will V by $. (Enter a numeric response using a real number rounded to two decimal places.)
If the price of tomato paste rises by 22%, the equilibrium price of processing tomatoes will decrease by $1.96 and the equilibrium quantity of processing tomatoes will decrease by 0.63 million tons per year.
The price of tomato paste is a substitute for processing tomatoes. If the price of tomato paste rises by 22%, the demand for processing tomatoes will decrease.
This will cause the equilibrium price of processing tomatoes to decrease. The equilibrium quantity of processing tomatoes will also decrease.
The equilibrium price of processing tomatoes will decrease by $1.96. This is because the demand function for processing tomatoes is negatively sloped.
When the price of tomato paste rises, the demand for processing tomatoes decreases, which causes the equilibrium price of processing tomatoes to decrease.
The equilibrium quantity of processing tomatoes will decrease by 0.63 million tons per year. This is because the supply function for processing tomatoes is positively sloped.
When the price of tomato paste rises, the supply of processing tomatoes increases, which causes the equilibrium quantity of processing tomatoes to decrease.
In conclusion, if the price of tomato paste rises by 22%, the equilibrium price of processing tomatoes will decrease by $1.96 and the equilibrium quantity of processing tomatoes will decrease by 0.63 million tons per year.
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john lives in idaho. laura lives in australia. both john and laura are employees of a large technology firm. laura is assigned as the project manager. john is assigned as a project team member. the best term to describe this type of project is:
The best term to describe this type of project is a global or international project.
A global or international project is a project that involves team members and stakeholders from multiple countries or regions. In this case, John is located in Idaho, while Laura is located in Australia. As employees of the same technology firm, they are likely working on a project that involves collaboration across different geographic locations.
The fact that Laura is assigned as the project manager and John as a project team member does not necessarily affect the classification of the project as global or international. Rather, it simply indicates their respective roles and responsibilities on the project team.
Global or international projects can present unique challenges related to cultural differences, language barriers, time zone differences, and other factors. Effective communication, collaboration, and project management are essential for the success of such projects.
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Suppose that the government gives a $10 per unit subsidy to sellers of Humbugs. The pre-tax price of Humbugs was $50. There are no additional social benefits to encouraging the consumption of Humbugs. lf, at the original equilibrium price, the elasticity of demand was-05 and the elasticity of supply was 2, which of the following is true? Firms will receive relatively more benefits than consumers. Consumers will recelve relatively more benefits than firms. All benefits from the subsidy will go to consumers. All benefits from the subsidy will go to producers. Consumers and producers will split the benefits of the subsldy equally. Which of the following statements is correct about the overall effect of the subsidy? Instructions: You may select more than one answer. Click the box with a check mark for correct answers and click to empty the box for the wrong answers. 2 The subsidy will cost the goverment more than the net benefit to consumers and producers Only the government will be better off Both consumers and producers will be better off The subsidy will clearly improve welfare for society as a whole Only producers will be better off
Consumers and producers will split the benefits of the subsidy equally.in this scenario, the elasticity of demand (-0.5) is less than the elasticity of supply (2).
This implies that producers have a more elastic supply curve, making them better positioned to benefit from the subsidy. However, consumers will also benefit as the subsidy lowers the price they pay for Humbugs. As a result, the benefits of the subsidy will be shared between consumers and producers, with each group receiving a relatively equal portion of the benefits.
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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
When delegating a task, it is important to
b
C.
d.
Give away the most difficult things on your task list
Go over everything quickly and return to your own work
Keep the responsibility for getting the tasks done
Report everything that is expected of the person
Answer:
Is D
Explanation:
not B
DDDDDDD
Answer:
D.
Explanation: correct on edge 2021
How do economists attempt to predict the next business cycle? (leading economic indicator, Dow Jones
Industrial Average, leading economic index, econometric models)
I need very quickly please!
Answer:
Leading economic indicator.
Explanation:
Leading economic indicators are objective data regarding the economy of a given country or region, which allow projections of future development of the economy of that place. Thus, based on data such as the current economic performance of the place, inflation, the exchange rate, the unemployment rate, etc., projections can be made about how the future economic cycles of the place will develop.
which aspect of decision making using the administrative model better reflects subjective considerations?
The administrative model of decision making is based on the premise that decision making is inherently bounded by constraints such as limited information, time, and cognitive capacity, and that decision makers use heuristics and satisficing strategies to simplify the decision making process.
In the administrative model, the political aspect of decision making reflects subjective considerations. The political aspect recognizes that decisions are made in a complex organizational and social environment, and that decision makers must consider the interests and perspectives of various stakeholders who may have competing preferences and power. This requires subjective judgment and negotiation to reconcile conflicting values, interests, and goals, and to build coalitions and alliances to support the decision.
Overall, the administrative model recognizes that decision making is not purely rational or objective, but rather a dynamic and socially embedded process that is influenced by a variety of subjective factors, such as biases, emotions, norms, power relations, and political interests.
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After one month of the project you realize that one of your scrum teams has the tendency to overestimate their velocity, which results in their needing help to complete their requirement points. What do you do
Answer:
Work with them on their next velocity estimate.
Explanation:
abigail bought 28 shares of stock at $30.00 per share. she received dividend of $49.50 during the year. at the end of the year, her stock was valued at $43.50 per share. what was her ROI?
If her stock was valued at $43.50 per share. Her ROI is:50.89%
Return on investmentFirst step
Purchase price=(28×$30)-(28×$43.50)
Purchase price= $840-$1218
Purchase price=$378
Gain in value=$378+ $49.50
Gain in value=$427.5
Second step
ROI=$427.5/$840×100
ROI=50.89%
Therefore the ROI is $15.89%.
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Insurance: An insurance company sells a 1 -year term life insurance policy to an 83 -year-old woman. The woman pays a premium of $4000. If she dies within 1 year, the company will pay $90,000 to her beneficiary. According to the U.S. Centers for Disease Control and Prevention, the probability that an 83 -year-old Noman will be ative 1 year later is 0,9561 . Let X be the profit made by the insurance company. Part: 0/2 Part 1 of 2 (a) Find the probability distribution, The probability distribution is
Given,An insurance company sells a 1-year term life insurance policy to an 83-year-old woman. The woman pays a premium of $4000. If she dies within 1 year, the company will pay $90,000 to her beneficiary. Let X be the profit made by the insurance company.
The profit made by the insurance company X is equal to the difference between the premium collected and the payout made.Profit (X) = Payout - Premium collectedNow, we need to find the probability distribution of profit made by the insurance company in one year, which is a random variable, given that the probability that an 83-year-old woman will be alive after one year is 0.9561.Let us calculate the probability of the woman's death in one year.
The probability of the woman's death in one year is given by:P(death in one year) = 1 - P(survival in one year)= 1 - 0.9561= 0.0439Using the probability of the woman's death, we can construct the following probability distribution table for profit: Where, if the woman dies, the profit of the insurance company will be $86,000. And if the woman survives, the profit of the insurance company will be -$4000.Profit X Probability$86,000 0.0439-$4,000 0.9561Thus, the probability distribution of profit made by the insurance company is as follows:Probability distribution of profit:Profit X Probability$86,000 0.0439-$4,000 0.9561Therefore, the probability distribution is:Profit X Probability$86,000 0.0439-$4,000 0.9561
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Which form tells you how much you were paid by a company of which you are NOT an employee and often contains income that did NOT have taxes withheld?
What are the risks and benefits of implementing a penetration pricing policy as compared to a competitive pricing policy?
Answer:
Penetration pricing is a pricing strategy where a company charges less than its competitors in order to entice its competitors' customers to patronise them instead.
Competitive pricing on the other hand will see a company charging the same price as its competitors.
Benefits of using Penetration pricing over Competitive
Reduce competition - If the company engaging in penetration pricing is large enough with more influence in the market, charging less than competitors might lead to competitors leaving the market as the prices will be too meagre for them to cover costs. Market Dominance - using penetration pricing can lead to customers moving from the competitors to the company using penetration pricing thereby giving that company market dominance. Economies of scale - Penetration pricing allows the company to sell more quantity of its product which means that it will have to produce more and this will reduce average costs for the company.Risks involved
Price War - There is a risk of a price war if a company uses penetration pricing. A price war happens when a company reduces its prices and their competitors react by reducing their own prices as well. It might led to a situation where this continues until all the companies are making significant losses. Brand Image damage - Cheaper products are usually perceived as having lower quality. Reducing prices might see customers believing instead that the brand is poor and so they may avoid it. Attracts low loyalty - The customers gained through this strategies most often have little brand loyalty and when a better deal comes than the one they are being offered in that moment, they will leave.an account that earns ___ interest will result in a higher annual percentage yield
Answer:
The annual percentage yield (APY) is paid to a depositor by a financial institution. The percentage is based on the existing amount after a certain period. If the owner of saving account choose not to take out the past interest revenue, the amount would be compounded for future years.
Answer:
The answer is C. Compound
Explanation:
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why are offsets considered protectionist measures? question 18 options: exporters must often find markets for goods outside their lines of expertise. exports must be sold at a certain percentage price below the price of domestic producers. companies must submit samples to government authorities before receiving export permission. trading companies must incur additional inventory carrying charges and pay significantly higher tariffs.
Option (a), Because exporters frequently need to find markets for products outside of their areas of specialization, offsets are thought of as protectionist policies.
What are the effects of economic protectionist policies?Protectionism is the practice of limiting foreign competitors' ability to import goods into a country by imposing tariffs, import quotas, subsidies, or other restrictions.
What results do protectionist policies bring about?Proponents of protectionism argue that such strategies may increase domestic employment, GDP, and a nation's ability to compete economically on the global stage.
What purposes does protectionism serve?The objective of trade protectionism is to safeguard a nation's vital economic interests, such as its significant industries, goods, and employment opportunities. On the other hand, free trade encourages increased domestic product consumption and more efficient use of all resources, whether they be natural, human, or financial.
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If someone gets a 1000 dollar loan how much will their monthly payment be
Answer:
the monthly payment column represents the principal and interest payment for each $1,000 you borrow. For example, if you borrow $100,000 for 30 years at 4.25%, your monthly payment per $1,000 borrowed would be $4.92. Multiply that factor (4.92) by 100 (100,000/1,000) to estimate your monthly payment of $492.00.
F is considered as an _____________ factorand q is considered an ___________ factorGroup of answer choicesinternal, externalinternal; internalexternal; internalnone of the choicesexternal; exte
Internal factors are those which are within the control of a company and can be changed by the organization. These factors include strategies, organizational structure, leadership and culture, employee productivity, and marketing and sales initiatives.
External factors are anything outside of the company's control and can include the economy, competition, technology, political environment, and social and demographic changes. These factors can have an impact on the success of the organization, but the organization cannot directly control them.
For example, an organization may be able to control its internal factors, such as its marketing and sales initiatives, but it cannot control external factors such as the economy or competition.
The organization may be able to make changes to its pricing, product offerings, and marketing strategies in response to changes in the external environment, but it cannot control the overall economic conditions or the actions of its competitors. Therefore, internal factors are the primary determinant of a company's success or failure, while external factors are often secondary.
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Which describes the jobs of these three individuals?
O Prudence is a Special Education Teacher, Sangita is a Distance Learning Coordinator, and Edmond is
Psychologist
O Prudence is a Kindergarten Teacher, Sangita is a School Principal, and Edmond is an Educational Cou
O Prudence is a Pre-School Teacher, Sangita is a Regulator Affairs Specialist, and Edmond is a Guidance
Counselor,
O Prudence is a Tutor, Sangita is an Instructional Coordinator, and Edmond is an Instructional Designer.
Answer:
Answer is C
Explanation:
Answer: C - Prudence is a Pre-School Teacher, Sangita is a Regulator Affairs Specialist, and Edmond is a Guidance Counselor.
Explanation: good luck!
ssume on December 1, 2017, a company borrows funds to purchase equipment. The company will make the following principal payments: 2018, $5,100 2019, $3,600 2020, $2,160 2021, $1,620 On December 31, 2019, the total long term liabilities will be $______
Based on the information given, the total value of the long-term liabilities will be $7380.
Long-term liabilities simply refer to the liabilities that are payable after twelve months. They are the liabilities that are due after one year of normal operation.
The long-term liabilities will be:
= $3600 + $2160 + $1620
= $7380
In conclusion, , the total value of the long-term liabilities will be $7380.
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