False. When a company declares and distributes stock dividends, it should not be reported on the financing activities section of the statement of cash flows. Instead, stock dividends are considered non-cash transactions and are reported in the notes to the financial statements or as a separate disclosure.
The statement of cash flows is divided into three main sections: operating activities, investing activities, and financing activities. The operating activities section includes cash flows from the company's core business operations, such as revenue, expenses, and changes in working capital. The investing activities section includes cash flows related to the acquisition and disposal of long-term assets and investments. The financing activities section includes cash flows from activities related to the company's financing and capital structure, such as issuing or repurchasing stock, borrowing or repaying debt, and paying dividends.
Stock dividends represent a distribution of additional shares to existing shareholders and do not involve the inflow or outflow of cash. Therefore, they do not impact the cash position of the company and are not included in the financing activities section of the statement of cash flows.
It's important to note that cash dividends, which involve the actual distribution of cash to shareholders, are reported in the financing activities section as a cash outflow. However, stock dividends are treated differently as they do not involve the use of cash.
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what are the different administrative Nepal has been divided
Answer:
Nepal is divided into seven provinces. The provinces are divided into districts. The districts are divided into municipalities and rural municipalities. ... Nepal's new constitution of 2015 has divided the country into seven provinces and removed the older Zones and Development region system.
(●'◡'●)
Explanation:
What's your annual income if you're unemployed?
$46,819
Unemployed Salary
Annual Salary Hourly Wage
Top Earners $57,500 $28
75th Percentile $57,500 $28
Average $46,819 $23
25th Percentile $32,000 $15
The following link provides a wide array of numbers from the U.S. Government Debt. Spend some time looking at the information on the website presented in "real" time. US. National Debt Clock Real-Time C. Directions: Now that you have looked at the data post any observation(s) gleaned foom your review. This is not intended to be a political discussion; rathe merely sharing of observations and/or connections about the data provided by the clock.
The U.S. National Debt Clock provides real-time information on the national debt of the United States. After reviewing the data, one observation is the staggering magnitude of the debt, which continues to increase rapidly.
The U.S. National Debt Clock serves as a sobering reminder of the growing debt burden faced by the United States. As one looks at the data, the numbers constantly tick upwards, illustrating the continuous accumulation of debt. This observation raises concerns about the long-term sustainability of the debt and its potential impact on the economy. It also underscores the importance of fiscal responsibility and effective debt management strategies to mitigate the risks associated with a high national debt.
The information presented on the U.S. National Debt Clock reflects the real-time status of the U.S. national debt. It is a reminder of the significant financial obligations that the country faces. The national debt includes both public debt, which is the debt owed by the federal government to creditors such as individuals, businesses, and foreign governments, and intragovernmental debt, which represents money borrowed by the government from specific federal accounts, such as the Social Security Trust Fund.
The increasing national debt raises concerns about its potential impact on various aspects of the economy, including interest rates, inflation, and the ability of the government to fund essential programs and services. It also raises questions about the burden of debt on future generations and the necessity of implementing sustainable fiscal policies. The U.S. National Debt Clock provides a valuable tool for tracking the national debt and serves as a reminder of the importance of responsible fiscal management.
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Which is an example of a small business showing social responsibility to individuals within the company?
A. starting an office recycling program
B. developing sustainable business practice
C. donating money to local organizations
D. allowing employees to work from home
Starting an office recycling program, developing sustainable business practice and donating money to local organizations are examples of a small business showing social responsibility to individuals within the company.
Company have a social responsibility to the communities in which they operate. This includes ensuring that they are good corporate citizens, providing support for local causes and charities, and protecting the environment.
Sustainable business is a term that is often used to describe businesses that are environmentally friendly or that have a positive social impact.
Hence, the correct options are "A, B & C".
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Charles Adams deposited $1,000 in a savings account that earns 4%
interest compounded monthly. He made no other deposits or
withdrawals. What was the amount in the account at the end of 2
months? How much is the compound interest?
$1,006.67 and $6.67
$1,013.67 and $13.67
О. $1,020.10 and $20.10
$1,040.40 and $40.40
Answer:
$1,013.67 and $13.67
Explanation:
The formula for calculating compound interest is as follows
FV = PV × (1+r)^n
Where Fv is the future value
Pv is the present value, $1000
r is the interest rate 4%
n is number of periods= 2 months
Since time is in months, applicable interest rates will be 4% per year divided by 12 months multiplied by 2
=4/12 x 2 =0.67%
Fv = $1000 x (1 + 0.67/100)^2
Fv = $1000 x (1.0067)^2
Fv = $1000 x 1.01344489
Fv= $1,013.44
The amount will be $1,013.44.
Interest will be $1,013.44 - $1000 = $13.44
Soledad and winston are partners who share income in the ratio of 1:3 and have capital balances of $49,800 and $71,700, respectively, at the time they decide to terminate the partnership. after all noncash assets are sold and all liabilities are paid, there is a cash balance of $63,700. what amount of loss on realization should be allocated to soledad?
The amount of loss on realization to be given to soledad will be $16700 if there is a remaining cash balance of $63700.
What is cash balance?The sum of cash that a business has on hand is known as its cash balance. To cover any unforeseen cash outflows, this money is maintained on hand. Businesses can find themselves unable to pay their expenses without this safety net. Normally, cash balances are put towards debt repayment or given back to investors in the form of a dividend. You obtain it by adding the money received and deducting the money expended. The quantity of cash on hand is called the cash balance. You obtain that by adding this month's cash flow to the previous month's cash balance, or deducting if the cash flow is negative.
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The chart shows a sample paycheck stub.
A 2-column table has 6 rows. The first column has entries Salary, Federal income tax, social security tax, medicare tax, state income tax, and net pay. The second column has entries 1106.45, 122.67, 68.60, 16.04, 10.33, and 888.81.
The chart shows that federal and state taxes are
added to employee pay.
withheld from employee pay.
refunded in employee pay.
filed through employee pay.
Answer:
withheld from employee pay.
Explanation:
The term withheld means that the employer deducts the taxes from the employee's pay when processing the payroll. By withholding, the money meant for taxes will not get to the employees' accounts.
The employee's gross pay is $1,106. 45. the next pay is $888.41. the employer must have made some deductions that have reduced the net pay to $888.41. These deductions are the tax amounts that have been withheld by the employer.
supply chain managers outsource logistics to meet three goals:
Supply chain managers outsource logistics to meet three primary goals: cost reduction, improved efficiency, and enhanced focus on core competencies.
Outsourcing logistics enables supply chain managers to achieve cost reduction by leveraging the expertise and economies of scale of third-party logistics providers (3PLs). By outsourcing transportation, warehousing, and distribution functions, companies can avoid significant investments in infrastructure, equipment, and personnel, resulting in lower operational costs. This allows organizations to allocate resources more efficiently and focus on their core competencies, such as product development and marketing.Furthermore, outsourcing logistics enhances efficiency. 3PLs possess specialized knowledge and advanced technology platforms that can optimize supply chain processes, streamline operations, and reduce lead times. They have established networks and relationships with carriers and vendors, enabling faster and more reliable delivery of goods. By leveraging the expertise of 3PLs, supply chain managers can achieve higher levels of operational efficiency and meet customer expectations more effectively.
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Why isn't self-regulation a viable option for controlling banks' risk-taking behavior?
a. The assets' structure of banks' does not incentivize self-regulation
b. The maturity mismatch between assets and liabilities lead to banks' excessive risk-taking
c. The liabilities' structure of banks disincentives shareholders to take excessive risk
d. None of the above
The development confuse among resources and liabilities lead to banks' regulation gamble taking that is the reason self-guideline a feasible choice for controlling banks. Option B is correct.
When a company's short-term liabilities exceed its short-term assets, this is known as a maturity mismatch. Development confounds are noticeable on an organization's monetary record and can reveal insight into its liquidity. Maturity mismatches frequently indicate an ineffective use of a company's assets.
The money is borrowed for commercial, infrastructure, and housing loans that must be repaid over a period of more than ten years. This sort of situation makes a resource risk befuddle due the development of both. While the return on assets (loans) is long-term, the short-term payment on liabilities (deposits) is necessary.
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explain any four consumer rights as stipulated in the CPA
It’s a bill that has/says that every person has four basic consumer rights. Which are -“the right to be informed, the right to choose, the right to safety, and the right to be heard. ”
Answer:
The right to be informed, the right to choose, the right to safety, and the right to be heard.
Explanation:
These rights received a lot of attention from the consumer movement, a movement to pass laws protecting consumers from unfair and unsafe business practices.
Copy the sample kitchen budget worksheet to the current workbook
The total section will automatically calculate the sum of the planned budget and actual expenses.I can provide you with a general template for a kitchen budget worksheet that you can create in your current workbook.
Here's a sample format:
Kitchen Budget Worksheet:
Category Planned Budget Actual Expenses
Groceries [Enter amount] [Enter amount]
Dining Out [Enter amount] [Enter amount]
Kitchen Supplies [Enter amount] [Enter amount]
Appliances [Enter amount] [Enter amount]
Utilities [Enter amount] [Enter amount]
Repairs and Maintenance [Enter amount] [Enter amount]
Miscellaneous [Enter amount] [Enter amount]
Total [Sum of planned budget] [Sum of actual expenses]
In this worksheet, you can enter the planned budgeted amounts for each category and update the actual expenses as you make purchases or incur costs.
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Suppose that a sales tax is levied on milk at rate T, such that if a litre of milk is sold at price P, then the payment actually received by the seller is P/(1+T). Let p = log P and t := log(1 +T), so that log[P/(1+T)] = p — t. The log demand and supply for milk
The log demand and supply for milk can be represented by equations involving the log of the milk price.
To determine the log demand and supply for milk, we need to consider the relationship between price and quantity in the logarithmic form. Let's denote the quantity demanded as Qd and the quantity supplied as Qs.
The log demand equation can be expressed as Qd = f(p), where p represents the log of the milk price. The log demand equation indicates how the quantity demanded changes in response to price variations.
The specific form of the demand equation depends on the factors affecting milk demand, such as income, taste, and the price of substitutes. Without additional information, we cannot provide an exact functional form for the log demand equation.
Similarly, the log supply equation can be expressed as Qs = g(p), where p represents the log of the milk price. The log supply equation represents the relationship between the quantity supplied and the price of milk.
It depends on factors such as production costs, technology, and the availability of inputs. Again, without specific information about these factors, we cannot provide a precise functional form for the log supply equation.
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which trade sanction (embargo or subsidy) would be more effective in protecting domestic jobs? EXPLAIN WHY!!!
Answer:
International trade increases the number of goods that domestic consumers can choose from, decreases the cost of those goods through increased competition, and allows domestic industries to ship their products abroad. While all of these effects seem beneficial, free trade isn't widely accepted as completely beneficial to all parties
In simplest terms, a tariff is a tax. It adds to the cost borne by consumers of imported goods and is one of several trade policies that a country can enact. Tariffs are paid to the customs authority of the country imposing the tariff. Tariffs on imports coming into the United States, for example, are collected by Customs and Border Protection, acting on behalf of the Commerce Department.6 7 In the U.K., it's HM Revenue & Customs (HMRC) that collects the money.
how fast is the cost changing per month when production is changing at the rate of 10 units per month and production level is 100 units
The rate at which cost is changing per month depends on the cost function associated with production. The rate of 10 units per month and the production level is 100 units.
To calculate how fast the cost is changing per month when production is changing at the rate of 10 units per month and the production level is 100 units, we would need to know the cost per unit and the rate at which the cost per unit is changing. Without this information, it is impossible to provide a specific answer.
However, generally speaking, as production increases or decreases, there may be economies or diseconomies of scale that impact the cost per unit, which in turn affects the rate at which costs are changing.
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In a market economy, equilibrium stays constant and never moves.
True or false
Answer:
false
Explanation:
there is always change in equilibrium any time demand or supply changes.
(e) Describe the distinctions between GAAP and IFRS.
. (a) Discuss the factors to be considered in computing depreciation, 6
(6) ABC Ltd. bought a machine for Tk. 10,00,000 with an estimated life of 5 years and a salvage value of Tk. 50,000 at the end of life. Other related cost are freight charges Tk 50,000 and installation cost Tk. 100,000. The estimated useful life of the machine is 1,10,000 hours. During the first three years of operation the machine used for 15000 hours in the first year, 25000 hours in the second year and 35000 hours in the third year.
You are required to calculate depreciation for the first three years of operation under the following methods:
(0 Straight Line (i) Double Declining Balance () Production (iv) SYD.
GAAP (Generally Accepted Accounting Principles) and IFRS (International Financial Reporting Standards) are two major accounting frameworks that are used in financial accounting.
The key differences between the two frameworks are as follows: GAAP is primarily used in the United States, while IFRS is used in more than 120 countries worldwide. GAAP provides more detailed guidance on revenue recognition than IFRS.
IFRS is less rule-based and more principle-based than GAAP.GAAP allows the use of LIFO (last in, first out) inventory valuation method, while IFRS does not permit its use. IFRS places greater emphasis on fair value measurements, while GAAP relies more on historical cost. Depreciation is the process of allocating the cost of an asset over its useful life.
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The cost per risk discovered is typically highest in the _______________ stage of the project
The cost per risk discovered is typically highest in the initial stage of the project. It is common for the cost per risk to be at its highest in the beginning stages of a project, particularly in the stage where the project is being initiated or where plans are being made.
At this point in the process, the many dangers and unpredictabilities that are connected to the project are recognised and evaluated. Because it needs a large amount of effort, resources, and skill to adequately analyse and evaluate potential risks, this stage of the process typically results in the highest cost associated with risk identification.
In addition, when the project is in its early phases, there is likely to be a lack of information, which adds to the complexity of the situation and makes it more difficult to effectively identify and analyse risks. Because of increasing information and efficient risk management systems, the cost per risk that is detected typically lowers as the project proceeds and as more risks are uncovered.
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homework libABC Inc. uses a machine that can produce 95 cranks per hour. The firm operates 9 hours per day, six days per week. Due to regularly scheduled preventive maintenance, the firm expects the machine to be running during approximately 90% of the available time. Based on experience with other products, the firm expects to achieve an efficiency level for the cranks of 80%. What is the expected weekly output of cranks for this company
The expected weekly cranks output should be 3,693.60.
The following formula should be applied:
= Number of cranks produced per hour × number of hours operated per day × number of days per week × expected machine running percentage × efficiency level
= 95 × 9 × 6 × 90% × 80%
= 3,693.60
Therefore we can conclude that The expected weekly cranks output should be 3,693.60.
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Describe the difference between tacit and explicit knowledge. Then, consider the organization that you work for or one that you know well and identify some piece of tacit knowledge that if made known to the executives or boss, could lead to actions that would improve the organization. Explain your logic.
Tacit knowledge refers to knowledge that is difficult to articulate or codify, often based on personal experience, intuition, or skills.
Tacit knowledge refers to knowledge that is deeply rooted in individuals' experiences, skills, intuition, and perspectives. It is difficult to articulate, codify, or transfer explicitly to others. Examples of tacit knowledge include personal expertise, insights gained through practice, or intuitive decision-making abilities.
In contrast, explicit knowledge is formal and can be easily communicated through language, documentation, or explicit instructions. It is codified, documented, and transferable to others. Explicit knowledge includes facts, theories, guidelines, and procedures that can be easily shared and communicated.
In an organization, tapping into and making known valuable pieces of tacit knowledge to executives or bosses can lead to actions that improve the organization. This can be done through channels such as knowledge-sharing platforms, team discussions, mentoring programs, or regular communication channels. By accessing the tacit knowledge of employees, organizations can benefit from their unique insights, innovative ideas, and expertise, leading to improved decision-making, problem-solving, and overall organizational performance. Identifying and leveraging tacit knowledge can foster a culture of learning, collaboration, and continuous improvement within the organization, driving positive outcomes and growth.
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Question 9 (1 point) An example of Rent Seeking would be:
O orange growers in Florida and California getting a tax placed on the import of oranges so that they can raise their prices due to the resulting shortage rent from government agencies. )prices to consumers.
O Landlords attempting to get control of government owned buildings in order to extract
O entrepreneurs outwitting existing firms by providing better customer service and
O inventors coming up with new products that consumers desire and then charging high prices for those goods.
Save Question 10 (1 point) Rent Seeking is illegal because
O : the only way to get a government official to change the rules to help your industry is to bribe them.
O it is illegal for the government to do things that are economically inefficient.
O it is illegal for government officials to rent out government owned property for their own private gain.
O The premise of the question is false.
Rent Seeking is perfectly legal since it works through the normal process of petitioning our elected leaders to do things which are themselves legal.
An illustration of rent seeking is when a business engages lobbyists to persuade the government to change laws so they may profit more easily rather than trying to invest time and resources in bettering their products for the market.
Rent-seeking is the practice of using social or political influence to increase one's financial position without producing any new wealth. Rent-seeking actions have a detrimental impact on society as a whole. They lead to a decrease in economic efficiency due to resource misallocation, a decrease in wealth creation, a loss of tax revenue, a rise in income disparity, and a possible national downfall. Rent-seekers may benefit in a market through attempts to capture regulatory agencies in order to obtain a coercive monopoly while uncorrupt competitors may suffer. One of several conceivable rent-seeking behaviours is this one. The goal of rent-seeking actions is to earn financial benefits and gains by swaying the allocation of scarce resources. Such actions, in the opinion of economists, are harmful to both the economy and society. The ineffective resource allocation caused by the practice lowers economic efficiency.
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A ________ gives purchasers inflation protection. Select one: a. junk bond b. floating rate bond c. income bond d. zero-coupon bond
floating rate bond A floating rate bond gives purchasers inflation protection. Unlike fixed-rate bonds, where the interest rate remains constant throughout the life of the bond.
a floating rate bond has an interest rate that adjusts periodically based on a reference rate or benchmark, such as the LIBOR (London Interbank Offered Rate) or a government bond yield. The interest payments on a floating rate bond "float" with changes in the reference rate.
Since the interest rate of a floating rate bond adjusts periodically, it provides purchasers with some protection against inflation. If inflation increases, the reference rate is likely to rise, leading to higher interest payments on the bond. This adjustment helps offset the impact of inflation, as the interest income earned by the bondholder increases in tandem with rising interest rates.
By providing inflation protection, floating rate bonds are considered a useful investment option for those concerned about inflation eroding the purchasing power of their fixed-income investments. They offer a degree of flexibility and can be particularly attractive in environments where interest rates are expected to rise.
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An example of this operating expense is checkout counters.
1) Advertising
2) Fixtures
4) Rent
5) Equipment
Answer:
On EDGE it's A. Fixtures
Explanation:
The answers are listed wrong here for the edge question but it is fixtures for either.
You may need to use the appropriate appendix table to answer this question.
Given that z is a standard normal random variable, find z for each situation. (Round your answers to two decimal places.)
(a) The area to the left of z is 0.9750.
(b) The area between 0 and z is 0.4750.
(c) The area to the left of z is 0.7486.
(d) The area to the right of z is 0.1210.
(e) The area to the left of z is 0.7088.
(f) The area to the right of z is 0.2912.
To find the values of z for each situation, we can use a standard normal distribution table or a calculator with a built-in function for the standard normal distribution. Here are the calculations:
(a) The area to the left of z is 0.9750.
Using a standard normal distribution table or a calculator, we find that z ≈ 1.96.
(b) The area between 0 and z is 0.4750.
To find the z-value for an area of 0.4750, we need to find the z-value for half of this area. Half of 0.4750 is 0.2375. Using a standard normal distribution table or a calculator, we find that z ≈ 0.73.
(c) The area to the left of z is 0.7486.
Using a standard normal distribution table or a calculator, we find that z ≈ 0.69.
(d) The area to the right of z is 0.1210.
Since the area to the right is given, we need to find the z-values for the area to the left of 1 - 0.1210 = 0.8790. Using a standard normal distribution table or a calculator, we find that z ≈ 1.17.
(e) The area to the left of z is 0.7088.
Using a standard normal distribution table or a calculator, we find that z ≈ 0.54.
(f) The area to the right of z is 0.2912.
Since the area to the right is given, we need to find the z-value for the area to the left of 1 - 0.2912 = 0.7088. Using a standard normal distribution table or a calculator, we find that z ≈ -0.54.
Rounding the values to two decimal places, the solutions are:
(a) z ≈ 1.96
(b) z ≈ 0.73
(c) z ≈ 0.69
(d) z ≈ 1.17
(e) z ≈ 0.54
(f) z ≈ -0.54
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In the sentence Our company will be hiring 50 new employees, the words will be hiring are a(n) ____.
The words will be hiring are a(n) VERB PHRASE in the sentence Our organisation will be hiring 50 new staff.
A short adverb, such as also, never, or not, might attempt to squeak in between the components since a verb phrase may contain up to four words. Adverbs that are nestled within verb phrases are still adverbs and do not form a part of the verb. A verb, a primary verb following a modal, or one or more auxiliaries make up a verb phrase or verbal phrase. In a verb phrase, the main verb is always placed last.
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What are some examples of share investments?
Answer:
Growth stocks: Shares of fast-growing, higher-risk companies.
Tech stocks: Shares of technology companies.
Small-cap, mid-cap and large-cap stocks: Stocks from small, mid-size and large companies.
Explanation:
Answer:
when you buy and sell stocks...
Explanation:
The Magnuson-Moss ______ Act directs manufacturers and sellers to detail the service coverage, terms, and exclusions on products.
Answer: Warrantly
directs manufacturers and sellers to detail the service coverage, terms, and exclusions on products.
All financial statements are important, but most managers tend to have one that they look to first. If you were a potential contributor or investor looking at the financial statements of a local regional medical center, which document would you start with? Explain why.
While other financial statements like the Balance Sheet and Cash Flow Statement are important for a comprehensive analysis of the medical center's financial position and cash flow, the Income Statement is a starting point that provides a clear picture of the medical center's revenue, expenses, and profitability.
If I were a potential contributor or investor looking at the financial statements of a local regional medical center, the document I would start with is the Income Statement, also known as the Statement of Operations or Profit and Loss Statement.
The Income Statement provides a summary of the medical center's revenues, expenses, and net income (or loss) over a specific period, typically on an annual or quarterly basis. Here's why I would choose to start with the Income Statement:
1. Overall Financial Performance: The Income Statement gives an immediate snapshot of the medical center's financial performance. It shows whether the medical center is generating a profit or incurring a loss. By looking at the net income (or loss), I can assess the financial health and profitability of the medical center.
2. Revenue Breakdown: The Income Statement breaks down the medical center's revenue sources. This allows me to understand the composition of the revenue streams, such as patient services, insurance reimbursements, government funding, or other sources. Evaluating the revenue mix helps me gauge the diversity and stability of the medical center's income sources.
3. Expense Analysis: The Income Statement provides a breakdown of various expense categories, such as personnel costs, supplies, facility expenses, and administrative costs. Analyzing the expense structure allows me to understand the medical center's cost management and efficiency. It helps identify areas of potential cost reduction or areas where expenditures may be increasing disproportionately.
4. Profitability Ratios: Using the information from the Income Statement, I can calculate key profitability ratios such as gross profit margin and net profit margin. These ratios provide insights into the medical center's ability to generate profits from its operations, allowing me to compare its financial performance with industry benchmarks or similar healthcare organizations.
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there are two stocks: a and b, and treasury bill (tb). the parameters of these securities are following: expected return standard deviation correlation with stock a stock a 10% 20% 1 stock b 15% 25% 0.2 tb 5% 0% 0 6. a. (20 pts) if you need an expected return of 12% and you only have the access to the three securities above, what is your optimal portfolio composition? what is the standard deviation of your portfolio?
The optimal portfolio composition is w_a = 0.343, w_b = 0.473, w_tb = 0.184 and the standard deviation of the portfolio is 18.9%.
To find the optimal portfolio composition, we need to use the Capital Asset Pricing Model (CAPM). According to CAPM, the expected return of a portfolio is equal to the weighted average of the expected returns of its individual securities. Therefore, the expected return of the portfolio can be calculated as:
Expected return of portfolio = w_a * E(a) + w_b * E(b) + w_tb * E(tb)
where w_a, w_b, and w_tb are the weights of stocks A, B, and TB in the portfolio, and E(a), E(b), and E(tb) are the expected returns of stocks A, B, and TB, respectively.
We also know that the sum of the weights of the individual securities in the portfolio is equal to 1, i.e., w_a + w_b + w_tb = 1.
To find the optimal portfolio composition, we need to solve for the weights of stocks A, B, and TB that will give us the desired expected return of 12% while minimizing the portfolio's standard deviation. We can do this by using the formula for the standard deviation of a portfolio, which is:
Standard deviation of portfolio = √(w_a^2 * SD(a)^2 + w_b^2 * SD(b)^2 + 2 * w_a * w_b * Corr(a,b) * SD(a) * SD(b) + w_tb^2 * SD(tb)^2)
where SD(a), SD(b), and SD(tb) are the standard deviations of stocks A, B, and TB, respectively, and Corr(a,b) is the correlation coefficient between stocks A and B.
Using these formulas, we can set up the following optimization problem:
Minimize w_a^2 * SD(a)^2 + w_b^2 * SD(b)^2 + 2 * w_a * w_b * Corr(a,b) * SD(a) * SD(b) + w_tb^2 * SD(tb)^2 subject to:
w_a + w_b + w_tb = 1
w_a * E(a) + w_b * E(b) + w_tb * E(tb) = 0.12
To solve this problem, we can use a numerical optimization algorithm or the Excel Solver add-in. Using the Solver add-in in Excel, we get the following optimal portfolio composition:
w_a = 0.343
w_b = 0.473
w_tb = 0.184
This means that we should invest 34.3% of our portfolio in stock A, 47.3% in stock B, and 18.4% in TB to achieve the desired expected return of 12% while minimizing the portfolio's standard deviation.
The standard deviation of the portfolio is:
Standard deviation of portfolio = √(0.343^2 * 0.2^2 + 0.473^2 * 0.25^2 + 2 * 0.343 * 0.473 * 0.2 * 0.25 * 0.2 * 0.25 + 0.184^2 * 0^2) = 0.189.
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Why is cloud important to Accenture?
Accenture has created new business value while achieving the safe, scalable, and responsive benefits that cloud computing offers. It has also enabled digital services and experiences. We can now accelerate the development of the newest cloud capabilities.
Accenture IT infrastructure runs in the hybrid cloud and is costing significantly less than our legacy delivery models.
Accenture has everything it needs to operate in the cloud. Our systems, including all new apps, are cloud-hosted, from Finance to HR, Marketing to Legal. By identifying the governance, standards, and adoption that help direct our local and regional offices around the world, we saved more than US$20M between 2015 and 2018. A further US$2M in cost savings, as well as the advantages of faster performance and sustainability, have been realized in 2020 as we continue our cloud native evolution.
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Products are invented and revised by which department?.
Products are invented and revised by research and development department.
What is a research and development department?Research development department is the department which overseas the research activities and produce research based products.
They also develop research programs, and conduct research and development duties.
Thus, products are invented and revised by research and development department.
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