Answer:
Mechanics, arts
Explanation:
degree to which the presentation of one stimulus reliably predicts the presentation of another
The degree to which the presentation of one stimulus reliably predicts the presentation of another is known as stimulus correlation.
How reliably can one stimulus predict another?The degree to which the presentation of one stimulus reliably predicts the presentation of another is known as predictive validity. It refers to the extent to which a given cue or indicator can accurately forecast the occurrence or presence of a specific outcome. When there is a high degree of predictive validity, the presence or occurrence of one stimulus can be used as a reliable indicator or predictor of the presence or occurrence of another stimulus. In other words, the relationship between the two stimuli is consistent and dependable.
Predictive validity is an important concept in various fields, including psychology, education, and market research. It allows researchers and practitioners to assess the effectiveness of certain cues or indicators in predicting specific outcomes. By establishing a strong predictive validity, one can have greater confidence in using a particular stimulus as a reliable predictor of another. This can lead to more accurate decision-making, targeted interventions, and improved understanding of cause-and-effect relationships.
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Gnomes R Us just paid a dividend of $1.94 per share. The company has a dividend payout ratio of 45 percent. If the PE ratio is 17.3 times, what is the stock price?
The stock price for Gnomes R Us is $74.63.
To find the stock price, we first need to calculate the company's earnings per share (EPS) based on the given PE ratio.
PE ratio = Stock price / EPS
Rearranging the formula, we get:
EPS = Stock price / PE ratio
Now, let's find the EPS:
EPS = Stock Price / 17.3
Next, we can use the dividend payout ratio to find the EPS that was used to pay the dividend:
Dividend payout ratio = Dividend per share / EPS
Rearranging the formula, we get:
EPS = Dividend per share / Dividend payout ratio
Plugging in the values we know:
EPS = 1.94 / 0.45
EPS = 4.31
Now we can use the EPS we just calculated to find the stock price:
Stock price = EPS x PE ratio
Stock price = 4.31 x 17.3
Stock price = $74.63
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Zimmerman, a California CPA, is a manager with the firm Washington & Darrow, CPA's. Zimmerman is involved primarily with tax engagements but also helps out in the event that someone additional is needed on a financial statement audit that the firm is conducting. Zimmerman is neither a member of the AICPA or CalCPA. Is Zimmerman bound by AICPA pronouncements? No. Only members of the AICPA must follow AICPA pronouncements.Yes. In many instances California licensees must adhere to AICPA pronouncements, whether or not they are members of the AICPA.Only if she is a member of both the AICPA and CalCPA. None of the above.
No, only members of the AICPA must follow AICPA.
George Zimmerman, CPA is the Firm's Manager. He is a Certified Public Accountant in both New Jersey and New York, and he has worked in public accounting for over twenty years.
George primarily serves clients in the real estate, general business, and professional services industries. He is committed to his clients and specialises in accounting and tax matters for closely-held businesses and high-net-worth individuals.
George is a member of the New York State Society of Certified Public Accountants (NYSSCPA).
George received his master's degree in Rabbinic Talmudical Studies from Beth Medrash Gohove. He works in our Red Bank, New Jersey office and lives in Lakewood, New Jersey.
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your insured advises you they wish to have liability coverage for the use of any auto. which symbol do you use for this blanket coverage?
"Any auto" is the first symbol. The automobile need not be reported, and the date of purchase does not matter. The liability claim is covered by symbol 1.
"Any auto" (owned, borrowed, rented, or hired) is covered by Symbol 1 for liability.
What is the 7 symbol?
"Symbol 7" coverage is the most frequently purchased type of business auto insurance. Symbol 7 coverage covers any listed or "scheduled" vehicles on your policy. It is similar to personal auto insurance.
Is physical damage included in symbol 1?
1 symbol: This is the broadest kind of coverage for physical damage, and it covers any car you use for business. 2nd symbol: refers to coverage for your personal passenger vehicles that you own and use for your business.
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Poppy's gumball co. is planning to invest in a new marketing campaign that would require an initial investment of $85,000. the project is expected to provide incremental annual income of $27,200. the simple rate of return on the project is blank______. multiple choice question. 47% 312.5% 212.5% 32%
Your annual income is the amount of money you receive during the year into your bank account, before any deductions, thus the correct answer is 32%.
What is annual income?The simple rate of return on the project is 32% if the cost investment is $85,000 and the annual income earned on it is $27,200.
Annual income is the amount of profit a company makes from investing in long-term projects. You can tell from the company's income statement.
Given values:
Annual income : $27,200
Initial investment : $85,000
Computation of simple rate of return on investment:
Simple ratio of return= Annual incremental income/Initial investment
Simple ratio of return= 27200/85000
Simple ratio of return= 32%
Your annual salary is paid by your employer, the company you work for. The term annual is used because this is typically an annual salary paid over 12 months. Annual income, on the other hand, is the total amount of money earned in a year.
Initial investment is the initial cash required to open an account or establish a buy-in relationship. The term “initial investment” is mainly used in two different but related sectors.
Banking and future investment brokerage business.
Net Income (NI), also known as web income, is the value of the products sold, minus selling expenses, general expenses, physical expenses, operating expenses, depreciation, interest, taxes, and replacement expenses from sales. calculated as This is a method that helps investors determine how much a company's earnings exceed its costs.
The rate of return is therefore obtained at 32% after making an initial investment of $85,000 into the project with an annual revenue of $27,200.
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Balance sheet accounts for Joyner Company contained the following amounts at the end of Years 1 and 2 . The company's income statement for Year 2 follows:Equipment that had cost 40,000 and on which there was accumulated depreciation of 530,0 X 0 was sold during Year 2 for:Equipment that had cost 40,000 and on which there was accumulated depreciation of 30,000 was sold during Year 2 for $18,000. Cush dividends totaling 15,000 were declared and paid during Year 2 .Required:
(a) Using the indirect method, compute the net cash provided by operating activities for Year 2 .
1.Joyner Company
Statement of Cash flows
For Year 2
Particulars Amount ($) Calculation
Cash flows derived from operating activities:
Net income = 56,000
Add: Depreciation expense charged 42,000 $132,000 - $120,000 + $30,000
Less: profit on sale of equipment = 8,000
Less: Increase in accounts receivable amounts to = 80,000
Less: Increase in inventories= 50,000
Add: Decrease in prepaid expense amount= 7,000
Add: Increase in accounts payable= 60,000
Less: Decrease in accrued liabilities 10,000
Add: Increase in income tax payable 3,000
Net cash provided by operating activities (A) amounts to= 20,000
Cash flows derived from investing activities:
Cash paid for purchase of property, plant and equipment amounts= (150,000) $400,000 - $510,000 - $40,000
Add: Cash received from sale of equipment 18,000
Less: Loan given to Hymans Company 40,000
Net cash used by the investing activities (B)= (172,000)
Cash flows derived from financing activities:
Cash paid for dividends (15,000) $124,000 - $83,000 - $56,000
Add: Cash received from issuance of stock amounts to = 30,000
Add: Cash received from issuance of bonds = 120,000
Net cash received by financing activities (C) = 135,000
Net decrease in cash and cash equivalents (D = A + B + C) (17,000)
Add: Cash and cash equivalents at beginning of period 21,000
Cash and cash equivalents at end of period 4,000
2.Free cash flow = Net cash received by operating activities - Capital expenditures - Dividends
Free cash flow = $20,000 - $150,000 - $15,000
Free cash flow = ($145,000)
What Is Cash Flow?
The term cash flow refers to the net amount of cash and cash equivalents being transferred in and out of a company. Cash received represents inflows, while money spent represents outflows.
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When a company is able to maintain its competitive edge despite competitors' efforts to overcome it, the company is said to have achieved ______.
When a company is able to maintain its competitive edge despite competitors' efforts to overcome it, the company is said to have achieved sustainable competitive advantage.
A sustainable competitive advantage is a long-term competitive advantage that a firm possesses that is difficult or impossible to copy, despite the fact that rivals can copy its tactics in the short term. A sustainable competitive advantage is defined as a benefit over rivals that is not only sustained but also reinforces itself over time. In business, a company with a sustainable competitive advantage has a better chance of surviving and thriving than one that does not.
A brand has a long-term advantage over its rivals when it has a sustained competitive advantage, typically because of a certain distinctive attribute of the firm, product, or service. Contrary to conventional competitive advantage, a sustainable one can outlast a brief increase in sales or popularity, cultivating a reliable reputation for the brand that attracts repeat business. Sustainable competitive advantages may be particularly advantageous for a business since they highlight the need of continually providing customers with high-quality goods and services while also helping to develop a loyal customer base and brand esteem.
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technological advances allow smaller companies to compete with larger companies. group of answer choices true false
True, Technological advances allow smaller companies to compete with larger companies.
What is company?
A company is a legal entity created by a group of people to conduct and manage a business enterprise, whether it be commercial or industrial. Depending on the corporate law of its jurisdiction, a company may be set up in a variety of ways for tax and financial liability reasons. The type of business structure a company chooses, such as a partnership, sole proprietorship, or corporation, will typically depend on the industry it operates in. The ownership structure of the business is also indicated by these structures. Additionally, they can tell private from public companies. Both have different ownership arrangements, laws, and rules regarding financial reporting.
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outstanding debt of home depot trades with a yield to maturity of 8 %. the tax rate of home depot is 35 %. what is the effective cost of debt of home depot?
The effective cost of debt of home depot Effective cost of debt = 0.052 × 100 = 5.2%. So, the effective cost of debt for Home Depot is 5.2%.
To calculate the effective cost of debt for Home Depot, we need to consider the yield to maturity and the tax rate.
1. First, note the yield to maturity (YTM) for Home Depot's outstanding debt, which is 8%.
2. Next, note the tax rate for Home Depot, which is 35%.
3. To find the after-tax cost of debt, we'll use the following formula:
After-tax cost of debt = YTM × (1 - Tax Rate)
4. Plug in the values from steps 1 and 2:
After-tax cost of debt = 0.08 × (1 - 0.35)
5. Calculate the result: After-tax cost of debt = 0.08 × 0.65 = 0.052
6. Convert the result to a percentage:
Effective cost of debt = 0.052 × 100 = 5.2%
So, the effective cost of debt for Home Depot is 5.2%.
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What is it called when managers look at the size of the variances between actual results and budgeted amounts in order to determine which variances should be investigated
What is insurance and premium
an investor bought $45,000 in stocks, bonds, and money market funds. the total invested in bonds and money market funds was twice the amount invested in stocks. the return on the stocks, bonds, and money market funds was 10%, 7%, and 7.5%, respectively. the total return was $3660. how much was purchased of each?
The investor purchased $15,000 in stocks, $18,000 in bonds, and $12,000 in money market funds.
Calculate Purchase costsTo solve this problem, we can use a system of equations. Let x be the amount invested in stocks, y be the amount invested in bonds, and z be the amount invested in money market funds.
Then we have:
x + y + z = 45000 (total amount invested)
y + z = 2x (total invested in bonds and money market funds was twice the amount invested in stocks)
0.10x + 0.07y + 0.075z = 3660 (total return)
We can use the second equation to solve for z in terms of x and y:
z = 2x - y
Substituting this into the first equation, we get:
x + y + 2x - y = 45000 3x = 45000 x = 15000
Substituting this value of x back into the second equation, we get:
y + z = 2(15000) y + z = 30000
And substituting this value of x and the equation for z back into the third equation, we get:
0.10(15000) + 0.07y + 0.075(2(15000) - y) = 3660 1500 + 0.07y + 2250 - 0.075y = 3660 0.005y = -90 y = 18000
Finally, substituting this value of y back into the equation for z, we get:
z = 2(15000) - 18000
z = 12000
So the investor purchased $15,000 in stocks, $18,000 in bonds, and $12,000 in money market funds.
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Can someone write a song for me please I want to make the name called by my side please write something
Answer:
I don't know much abt songs. but I hope u get it.
Suppose you have been hired as a financial consultant to Defense Electronics, Inc. (DEI), a large, publicly traded firm that is the market share leader in radar detection systems (RDSs). The company is looking at setting up a manufacturing plant overseas to produce a new line of RDSs. This will be a five-year project. The company bought some land three years ago for $4.4 million in anticipation of using it as a toxic dump site for waste chemicals, but it built a piping system to safely discard the chemicals instead. The land was appraised last week for $5.2 million. In five years, the aftertax value of the land will be $5.6 million, but the company expects to keep the land for a future project. The company wants to build its new manufacturing plant on this land; the plant and equipment will cost $31.92 million to build. The following market data on DEI’s securities is current:
Debt:
229,000 7 percent coupon bonds outstanding, 25 years to maturity, selling for 107 percent of par; the bonds have a $1,000 par value each and make semiannual payments.
Common stock:
8,700,000 shares outstanding, selling for $70.90 per share; the beta is 1.3.
Preferred stock:
449,000 shares of 4 percent preferred stock outstanding, selling for $80.90 per share and and having a par value of $100.
Market:
6 percent expected market risk premium; 4 percent risk-free rate.
DEI uses G.M. Wharton as its lead underwriter. Wharton charges DEI spreads of 7 percent on new common stock issues, 5 percent on new preferred stock issues, and 3 percent on new debt issues. Wharton has included all direct and indirect issuance costs (along with its profit) in setting these spreads. Wharton has recommended to DEI that it raise the funds needed to build the plant by issuing new shares of common stock. DEI’s tax rate is 40 percent. The project requires $1,275,000 in initial net working capital investment to get operational. Assume Wharton raises all equity for new projects externally.
a.
Calculate the project’s initial Time 0 cash flow, taking into account all side effects. Assume that the net working capital will not require flotation costs. (Negative amount should be indicated by a minus sign. Do not round intermediate calculations. Enter your answer in dollars, not millions of dollars (e.g., 1,234,567).)
Cash flow $
b.
The new RDS project is somewhat riskier than a typical project for DEI, primarily because the plant is being located overseas. Management has told you to use an adjustment factor of 1 percent to account for this increased riskiness. Calculate the appropriate discount rate to use when evaluating DEI’s project. (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places (e.g., 32.16).)
Discount rate
%
c.
The manufacturing plant has an eight-year tax life, and DEI uses straight-line depreciation. At the end of the project (that is, the end of Year 5), the plant and equipment can be scrapped for $4.4 million. What is the aftertax salvage value of this plant and equipment? (Do not round intermediate calculations. Enter your answer in dollars, not millions of dollars (e.g., 1,234,567).)
Aftertax salvage value $
d.
The company will incur $6,700,000 in annual fixed costs. The plan is to manufacture 16,500 RDSs per year and sell them at $10,750 per machine; the variable production costs are $9,350 per RDS. What is the annual operating cash flow (OCF) from this project? (Do not round intermediate calculations. Enter your answer in dollars, not millions of dollars (e.g., 1,234,567).)
Operating cash flow $
e.
DEI’s comptroller is primarily interested in the impact of DEI’s investments on the bottom line of reported accounting statements. What will you tell her is the accounting break-even quantity of RDSs sold for this project? (Do not round intermediate calculations and round your final answer to the nearest whole number.)
Break-even quantity
units
f.
Finally, DEI’s president wants you to throw all your calculations, assumptions, and everything else into the report for the chief financial officer; all he wants to know is what the RDS project’s internal rate of return (IRR) and net present value (NPV) are. Assume that the net working capital will not require flotation costs. (Enter your NPV answer in dollars, not millions of dollars (e.g., 1,234,567). Enter your IRR answer as a percent. Do not round intermediate calculations and round your final answers to 2 decimal places (e.g., 32.16).)
IRR
%
NPV $
A.the initial time 0 cash flow is $28,805,000. B.the appropriate discount rate is 6.62%. C.the aftertax salvage value of the plant and equipment is $376,000. D.the annual operating cash flow from this project is $13,830,000.
a.
The initial time 0 cash flow is calculated as follows:
Initial investment:
Land cost = $5,200,000
Plant and equipment cost = $31,920,000
Initial net working capital investment = $1,275,000
Total initial investment = $38,395,000
Side effects:
Tax benefit from depreciation = $3,990,000 (calculated as ($31,920,000 - $4,400,000) / 8 * 0.4)
Sale of land at the end of Year 5 = $5,600,000
Total side effects = $9,590,000
Initial time 0 cash flow:
= Total initial investment - Total side effects
= $38,395,000 - $9,590,000
= $28,805,000
Therefore, the initial time 0 cash flow is $28,805,000.
b.
The appropriate discount rate can be calculated using the following formula:
Discount rate = Risk-free rate + Beta × Market risk premium + Risk premium for increased riskiness
Risk premium for increased riskiness = 1% of the market risk premium
Market risk premium = 6% - 4% = 2%
Discount rate = 4% + 1.3 × 2% + 1% × 2%
= 4% + 2.6% + 0.02%
= 6.62%
Therefore, the appropriate discount rate is 6.62%.
c.
The aftertax salvage value of the plant and equipment can be calculated as follows:
Book value of the plant and equipment at the end of Year 5:
= Initial cost - (Annual depreciation × Number of years)
= $31,920,000 - ($31,920,000 / 8 × 5)
= $15,960,000
Tax on sale:
= (Sale price - Book value) × Tax rate
= ($4,400,000 - $15,960,000) × 40%
= -$4,024,000 (negative because it is a tax benefit)
Aftertax salvage value:
= Sale price + Tax on sale
= $4,400,000 - $4,024,000
= $376,000
Therefore, the aftertax salvage value of the plant and equipment is $376,000.
d.
The annual operating cash flow can be calculated as follows:
Revenue:
= Quantity sold × Selling price
= 16,500 × $10,750
= $177,375,000
Variable costs:
= Quantity sold × Variable cost per unit
= 16,500 × $9,350
= $154,275,000
Fixed costs = $6,700,000
Earnings before interest and taxes (EBIT):
= Revenue - Variable costs - Fixed costs
= $177,375,000 - $154,275,000 - $6,700,000
= $16,400,000
Tax:
= EBIT × Tax rate
= $16,400,000 × 40%
= $6,560,000
Net income:
= EBIT - Tax
= $16,400,000 - $6,560,000
= $9,840,000
Depreciation:
= Plant and equipment cost / Number of years
= $31,920,000 / 8
= $3,990,000
Operating cash flow:
= Net income + Depreciation
= $9,840,000 + $3,990,000
= $13,830,000
Therefore, the annual operating cash flow from this project is $13,830,000.
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_____ is an insignificant value per share of capital stock specified in the corporate charter. Multiple choice question. Seasoned value Treasury Stock Par value Additional Paid-in Capital
The insignificant value per share of capital stock that is been set and introduced in the charter can be regarded as par value.
Par value can be explained as the value of a single common share which is been specified by corporation's charter.This cannot be been related to the actual value of the shares.Therefore, par value is the correct term.
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Please Help 100 Points + Brainlest Answer
Take in note *If I have $1046 spending cash for 1 month * Answer the Following questions based on that.
Your daughter gets sick and has to be in the hospital. You have to pay $2000 out of pocket before the health insurance company starts to pay the bill. What is this an example of?
Did you have enough left over from your pay check to cover that expense?
The following month, your wife gets into a car accident. She is out of work, but luckily you have been paying for _________________________ which helps pay the bills.
The month after, your son gets into a minor car accident. You must pay $500 out of pocket before your _______________________ company pays for the rest of the damages.
Your insurance goes up to $250 per month from $100. Do you have enough left over from your paycheck to cover that expense?
The government passes a new tax law that increases the tax percentage to 20% (.2) for less than $50,000, 30% (.3) for 50-99,999, and 40% (.4) for anyone making over $100,000. How much less will you be bringing home after taxes?
You get laid off from your job and find a job that only pays $25,000 a year. Your spouse finds a job that only makes $25,000 a year. You make $50,000 total but now you have to pay for daycare which is $300 a month. How much money do you have left over after you include all your other expenses?
Do you have enough money, or do you have to cut back on your expenses?
You want to go on vacation, and you charge $6,000 for a vacation to Disney. If the interest rate is 25%, how much will you have to pay IF you were able to pay it off all at once? 6,000 x .25 = _____ + 6,000 = _______
You have a third child, and now your grocery bill goes up another $100. How much do you have left over?
Explanation
you ill have 234 left
Explanation:
234 Will Be Left Hope It Helps U
Suppose an industry has 50 firms, each with an equal 2 percent share of the market. According to the Herfindahl-Hirschman Index (HHI), if two firms propose to merge, will the Department of Justice and the Federal Trade Commission allow it?
Because the HH index is so low (1500), neither the DOJ nor the FTC will oppose the planned merger.
Define HH Index.The Herfindahl-Hirschman Index (abbreviated "HHI") is a widely used index that measures market concentration. The market share of each company that competes in the market is squared, and the resulting numbers are then added to determine the HHI.
A market is regarded to be competitive if its HHI is less than 1,500, moderately concentrated if it is between 1,500 and 2,500, and highly concentrated if it is 2,500 or higher. Mergers that raise the HHI in highly concentrated areas by more than 200 points typically generate antitrust issues since they are thought to strengthen market dominance.
HHI before = 0.022 + 0.022 .................................. (50 times)
= 50*0.022
= 0.02 or 200
HHI after = 0.042 + 0.022 + 0.022 .................................. (49 times)
= 0.042 + 49*0.022
= 0.0212 or 212
Because the HH index is so low (1500), neither the DOJ nor the FTC will oppose the planned merger.
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These are Money and Banking True / False Questions. Please answer and provide explanation
1. The Federal Reserve typically acts as the "lender of first resort" for the U.S. banking system rather than the "lender of last resort." Such action is carried out by the discount window of the Federal Reserve. (T/F)
2. When the required reserve ratio is decreased, the excess reserves of commercial banks are increased and the multiple by which the banking system can lend is increased. (T/F)
3. In recent years, commercial banks have sometimes been reluctant to borrow from the Federal Reserve’s discount window because they do not want to raise concerns with their clients about their liquidity and stability. (T/F)
4. In the market for bank reserves, when the federal funds rate is 3 percent, lowering the interest rate that the Federal Reserve pays on bank excess reserves from 2 percent to 1 percent lowers the federal funds rate. (T/F)
False: The Federal Reserve acts as the "lender of last resort" for the U.S. banking system, providing emergency loans to banks when they are unable to obtain funds elsewhere. This role is fulfilled through the discount window, where banks can borrow directly from the Federal Reserve.
True: When the required reserve ratio is decreased, banks are required to hold a smaller proportion of their deposits as reserves. This increases the amount of excess reserves available to banks, allowing them to lend out a larger multiple of their excess reserves, thus increasing the money supply.
True: In recent years, some commercial banks have been reluctant to borrow from the Federal Reserve's discount window. This reluctance stems from concerns that borrowing from the discount window may signal liquidity or stability issues to their clients and counterparties. Banks often prefer to maintain the appearance of strong liquidity and financial health.
False: Lowering the interest rate that the Federal Reserve pays on bank excess reserves does not directly impact the federal funds rate. The federal funds rate is determined by the supply and demand for reserves in the market. Lowering the interest rate on excess reserves may incentivize banks to lend out their excess reserves, increasing the supply of reserves in the market and potentially putting downward pressure on the federal funds rate. However, the impact on the federal funds rate is not guaranteed and depends on various factors influencing market dynamics.
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lyft’s use of driver ratings helps to give passengers confidence in their knowledge of the drivers and to convey trust. this relates to which component of service quality?
Assurance to humans in terms of service delivery is very important. It tells if service delivered is acceptable or not. This relates to Assurance component of service quality.
In the various sector or the economy, there are various ways used to improve service quality. In the transportation sector, service quality is done through: The encouragement of agent feedback. The use of agents listen to calls. The sending of post-contact surveys after every interaction. etc.Conclusively, Service Assurance is the use of policies and processes by any firm to make sure that services rendered meet a pre-defined service quality level.
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pension fund manager is considering three mutual funds. The first is a stock fund, the second is a long-term government and corporate bond fund, and the third is a T-bill money market fund that yields a sure rate of 5.5%. The probability distributions of the risky funds are: Expected Return Standard Deviation Stock fund (S) 15 % 32 % Bond fund (B) 9 % 23 % The correlation between the fund returns is 0.15. Suppose now that your portfolio must yield an expected return of 12% and be efficient, that is, on the best feasible CAL. a. What is the standard deviation of your portfolio? (Do not round intermediate calculations. Round your answer to 2 decimal places.)
The standard deviation of the portfolio is 7.09%.
What is the proportion of stock in minimum risky portfolio?= [(0.23)² - (0.32*0.23*0.15)] / [(0.32)² + (0.23)² - (2*0.32*0.23*0.15)]
= 0.31421708452
= 31.42%
What is proportion of bond fund in minimum risky portfolio?= 1 - 0.31421708452
= 0.68578291548
= 68.58%
What is the expected return of minimum risky portfolio?= 0.3142*15% + 0.6858*9%
= 0.04713 + 0.061722
= 0.108852
What is the standard deviation of your portfolio?= ((0.6858)² * (0.23)² * (0.3142)² * (0.33)²) + ((2 * 0.6858 * 0.3142 * 0.32 * 0.23 * 0.15))^0.5
= (0.00026747972 + 0.00475776218)^0.5
= 0.0050252419^0.5
= 0.0708889406
= 7.09%
Therefore, the standard deviation of the portfolio is 7.09%.
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How Can we Analysis for further
Answer:
Questions can take the form of explaining the evidence or expanding on evidence; in other words, questions can give context or add meaning. Asking both kinds of questions is crucial to creating strong analysis.
How important is money
Answer:
very important
Explanation:
money is a global income source for everyone. we all have different types but it is all still money. now say one country got rid of money and had people pay for stuff using other things. if china did that lots of different countries wouldn't be able to get stuff from there unless they had so much of that product they could just give it up.
Yong teaches students with learning disabilities and physical disabilities.
Barb teaches computer programming to high school students.
Maya works in a private school teaching math to seventh-grade students.
Destiny works in a college teaching English to adult students.
Tanner helps an elementary school teacher and works under the guidance of that teacher.
ANSWERS: 1.Special Education 2. Career and technical education 3. Middle school 4. Post secondary teacher 5.teacher assistant
Answer: Special education teacher
Career and technical education teacher
Middle school teacher
Post secondary teacher
Teacher assistant
Explanation:
Answer:
1.Special education teacher
2.Career and technical education teacher
2.Middle school teacher
3.Post secondary teacher
4.Teacher assistant
Explanation:
The most important ethical considerations associated with criminalising hate speech is
The criminalization of hate speech raises important ethical considerations, including concerns about freedom of expression, the potential for selective enforcement, and the impact on marginalized communities.
Firstly, freedom of expression is a fundamental human right, and restrictions on speech must be carefully balanced with the need to protect individual and community rights. Criminalizing hate speech can limit the ability of individuals to express their opinions and ideas, even when those ideas may be unpopular or offensive. This raises important questions about the appropriate balance between protecting individuals and groups from harm and preserving freedom of expression.
Secondly, there is a risk of selective enforcement when criminalizing hate speech, which may disproportionately impact certain groups or individuals. Law enforcement and other authorities may apply hate speech laws in a discriminatory or arbitrary manner, which can undermine public trust in the justice system and exacerbate social divisions.
Finally, the impact of hate speech on marginalized communities must be considered when evaluating the ethics of criminalizing hate speech. Hate speech can contribute to the marginalization, discrimination, and violence against vulnerable groups, and may have lasting psychological and social impacts. Criminalizing hate speech can send a strong message that such behavior is not acceptable, and can help to protect individuals and communities from harm.
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heart been broke so many times..
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The equilibrium price and quantity of a product was $100 and 1,000 units per month in 2015 and is $150 and 800 units per month in 2016. Assume that relative to demand in 2015, the market demand curve shifts to the right. Relative to supply in 2015, the market supply curve The new market equilibrium is where OA. The initial demand curve intersects the initial supply curve. B. There is a surplus. C. The new demand curve intersects the new supply curve. D. Demand is greater than supply. From 2015 to 2016, A. Supply decreased more than demand decreased. B. Supply increased more than demand increased. C. Supply increased more than demand decreased. D. Supply decreased more than demand increased
1. The market supply curve in 2015, relative to supply Where is the new market equilibrium. The new supply and demand curves are in contact.
The supply curve and the new demand curve cross. When the supply curve swings to the left from the ss throw and the demand curve shifts to the right from DD to D'D', it is unmistakably the fresh evidence from the side diagram.
At point E, the new demand curve "D's" crosses the new supply curve "ss".
2. Between 2015 and 2016, supply fell short of rising demand.
The increase in supply from DD to D'D' s's' from ss to s's, as seen in the above picture, is less than the decline in the new equilibrium point '. This graph displays the equilibrium price at $150 and the equilibrium quantity at 800.
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if+the+inflation+rate+is+2%+and+the+interest+rate+on+your+savings+account+is+0.5%,+which+of+the+following+statements+best+characterizes+the+impact+of+this+interest+rate+on+the+value+of+your+savings?
The impact of an interest rate of 0.5% on the value of your savings, considering an inflation rate of 2%, is that the real value of your savings will decrease over time.
Here's the supporting explanation: The interest rate on your savings account is lower than the inflation rate, which means that the nominal interest rate is not keeping up with inflation. Inflation erodes the purchasing power of money over time. When the inflation rate exceeds the interest rate, the real value of your savings, adjusted for inflation, will decline. In other words, the growth in the value of your savings is not sufficient to offset the rising cost of goods and services due to inflation. Therefore, the purchasing power of your savings will be diminished.
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Conveying Professionalism
Posttest
Sharon and Aditya work for the same manufacturing company. Sharon and Aditya have both applied for a
promotion to the same position. It is your job to decide who should be promoted.
- Sharon has five years of experience, and Aditya has two.
• Sharon has a college degree, and Aditya does not.
. Sharon is known for using all her leave time and being late for work and meetings.
Aditya has not missed a day of work, and he always arrives on time.
.
Read the following possible courses of action and decide which is the BEST way to handle the situation and which
is the WORST way to handle the situation.
1. Promote Sharon because she is more dedicated.
2. Promote Aditya because he is a friend of your supervisor.
3. Promote Sharon because her level of education is higher, and she has more experience.
4. Promote Aditya because he is punctual and dependable, and he has some experience.
Which is the BEST way to handle the situation?
Option 1
Option 2
Option 3
Option 4
Which is the WORST way to handle the situation?
Option 1
Option 2
Option 3
Option 4
The BEST way to handle the is Option 4: Promote Aditya because he is punctual and dependable, and he has some experience. This option focuses on Aditya's positive qualities, such as his reliability and punctuality, which are valuable attributes in the workplace.
Aditya also has some relevant experience that can help in the elevated role, while having less experience than Sharon has.Option 2—promote Aditya because he is a friend of your supervisor—is the WORST course of action in this case.
This approach implies favouritism based on interpersonal ties as opposed to taking the candidates' qualifications and merits into account. Such a choice would jeopardise important workplace values like professionalism, equity, and meritocracy.
To create a fair and professional workplace, it is crucial to base promotion decisions on objective standards like qualifications, abilities, experience, and performance rather than subjective ones like personal prejudices or relationships.
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which of the following affect the expected rate of return for a portfolio? i. weight of each security held in the portfolio ii. the probability of various economic states occurring iii. the variance of each individual security iv. the expected rate of return of each security given each economic stat
The portfolio's weighted average of each security, the likelihood of different economic conditions, Each security's predicted rate of return, given the current economic climate, has an impact on the portfolio's anticipated rate of return.
Explain about the portfolio?A portfolio is an assortment of financial investments such as stocks, bonds, commodities, cash, and cash equivalents, including closed-end funds and exchange traded funds (ETFs). Most people think that the three main components of a portfolio are stocks, bonds, and cash.
A portfolio is a group of investments that may consist of stocks, bonds, cash, and other assets. It's normal to invest in various asset classes, like commodities, bonds, and stocks, but your portfolio is made up of all of these assets.
Process, product, and showcase are the three categories of portfolios. Despite the fact that each type is tailored to a specific audience, they all feature a developer, purpose, targeted audience, and reflection part.
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clipper company sells two types of nail clippers. one focuses on the economy oriented customer and the other aims to satisfy the high-end clientele. the economy clipper cost $7 and has a sales price of $10. the high-end model costs $14 and sells for $20. fixed costs associated with this product line amount to $50,400. economy clippers constitute 70 percent of the market with the remaining 30 percent being high-end clippers. based on this information what is the weighted average contribution margin?
The weighted average contribution margin is d. $2.30
What is weighted average contribution margin?The weighted average contribution margin measures how much an assortment of goods or services typically contributes toward reducing a company's fixed costs. Breakeven analysis, which is used to forecast profit levels for varied sales volumes, is based on the idea, which is a vital component. The investor is able to determine the weighted average of the share price paid for the shares. In order to calculate this, multiply the number of shares purchased at each price by that price, add those values, and then divide the entire value by the total number of shares.Contribution margin per unit of the economy clipper = Sales price - Cost per unit = $5 - $3 = $2
Contribution margin per unit of the high-end model = Sales price - Cost per unit = $12 - $9 = $3
Economy clippers constitute 70 percent of the market with the remaining 30 percent being high-end clippers.
The weighted average contribution margin = Contribution margin of the economy clipper x 70% + Contribution margin of the high-end model x 30% = $2 x 70% + $3 x 30% = $2.3
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