The demand for money needed to make quick purchases on short notice without incurring high costs is known as the transaction demand for money.
Transaction demand for money refers to the amount of money individuals and businesses hold to facilitate their day-to-day transactions. This demand arises from the need to make purchases and payments for goods and services in the economy. It allows individuals to have readily available funds to cover their immediate expenses, such as groceries, transportation, or small-scale purchases. The transaction demand for money is influenced by factors such as income levels, interest rates, and the convenience and cost associated with alternative payment methods. By holding money for transactions, individuals can avoid the inconvenience and potential costs of having to access funds from other sources at short notice.
The term "transaction demand for money" refers to the amount of money that is required for individuals and businesses to conduct current transactions. Carrying money in your pocket to buy groceries, utensils, a train ticket, etc. is an example of a transaction that requires money.
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1. Four electricians are discussing special requirements for health care facilities. Electrician A says that a nursing home is required to include an emergency system circuit. Electrician B says that GFCI outlets are required in the bathroom area of some critical-care patient rooms. Electrician C says that a nursing home is not required to include an emergency system circuit. Electrician D says that GFCI outlets are required in the bathroom area of the critical-care patient rooms. Which of the following statements is correct?
A. Electrician C is correct.
B. Electrician A is correct
C. Electrician D is correct
D. Electrician B is correct.
2. Four electricians are discussing wiring under raised floors in information technology equipment rooms. Electrician A says that wiring under the raised floor requires fire-resistant walls, floors, and ceilings between other occupancies. Electrician B says that wiring under the raised floor requires fire resistant halfway up the walls and floors between other occupancies. Electrician C says that the room must employ a disconnecting means that removes half of the power to all equipment in the room. Electrician D says that a disconnecting means isn't necessary for the room. Which of the following statements is correct?
A. Electrician B is correct.
B. Electrician C is correct.
C. Electrician D is correct.
D. Electrician A is correct.
3. Five electricians are discussing grounding. Electrician A says that 6" of an 8' rod or pipe electrode is allowed to extend above the finished grade. Electrician B says that a "made" grounding electrode constructed from copper rod that’s 5/8" in diameter and 100" long is acceptable per the NEC. Electrician C says that 6" of a 16' rod or pipe electrode is allowed to extend above the finished grade. Electrician D says that a "made" grounding electrode constructed from copper rod that's 5/8" in diameter and 50" long is acceptable per the NEC. Which of the following statements is correct?
A. Electrician C is correct.
B. Electrician B is correct.
C. Electrician D is correct.
D. Electrician A is correct.
4. Where resistance to ground of a single-made electrode exceeds 25 ohms,
A. additional electrodes must be added until the resistance to ground is lower than 25 ohms.
B. the electrode can be omitted.
C. no additional electrodes are required.
D. one additional electrode must be added.
5. According to the NEC, what type of threadless connectors and couplings must be used with rigid metal conduit if installed in masonry?
A. Rain tight.
B. Concrete tight.
С. Weatherproof.
D. Wet/damp listed.
6. Four electricians are discussing NEC requirements for common appliances.
Electrician A says that new, cord-and-plug, single-phase room A/C units must have factory-installed LCDI or AFCI protection. Electrician B says that the cord for a household refrigerator must be visible and readily accessible to be used as a disconnect switch. Electrician C says that the cord and plug don't have to be new. Electrician D says that an old cord with a spliced new plug can be used. Which of the following statements is correct?
A. Electrician A is correct.
B. Electrician B is correct.
С.Electrician C is correct.
D.Electrician D is correct.
7. Four electricians are discussing switchboards and panelboards. Electrician A says that switchboards and panelboards must provide front and rear access to meet accessibility requirements. Electrician B says that unused circuit breakers mounted in a panelboard should not be identified on the circuit directory until they're actually connected for a circuit application. Electrician C says that switchboards can be installed in cabinets. Electrician D says that switchboards aren't intended to be installed in cabinets. Which of the following statements is correct?
A. Electrician C is correct.
B. Electrician D is correct.
C. Electrician A is correct.
D. Electrician B is correct.
8. Four electricians are discussing the installation of a luminaire in a clothes closet.
Electrician A says that because the clothes-hanging rod is located five inches from the ceiling, the light fixture that's to be mounted directly over the rod must be recessed.
Electrician B says that a surface-mounted incandescent fixture must be placed at least six inches from the storage area. Electrician C says that a surface-mounted incandescent fixture must be placed at least 12 inches away from the storage space. Electrician D says that a surface-mounted incandescent fixture must be placed at least nine inches away from the storage space. Which of the following statements is correct?
A. Electrician B is correct.
B. Electrician A is correct.
С. Electrician C is correct.
D. Electrician D is correct.
The correct options are
B. Electrician A is correct.
D. Electrician A is correct.
B. Electrician B is correct.
A. Additional electrodes must be added until the resistance to ground is lower than 25 ohms.
B. Concrete tight.
A. Electrician A is correct.
C. Electrician A is correct.
A. Electrician A is correct.
What are electricians?Generally, An electrician is a skilled laborer who specializes in the electrical wiring of structures, transmission lines, stationary machinery, and other apparatus that is connected to the field.
Installing new electrical components, repairing and maintaining existing electrical infrastructure, and maintaining and repairing existing electrical infrastructure are all possible jobs for electricians.
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Which is not a restriction based on Child Labor Laws in Pennsylvania?
A - Minors can not sell or serve alcoholic beverages
B - Must have working papers
C- Minors may not work more than 28 hours in a school week
D- Someone 16 years or older can not work before 8 a.m.
Answer:
A
Explanation:
Hopefully this helps
If the price of oranges, a substitute for apples, increases. What will happen to the demand for apples?.
The demand for apples will increase if the price of its substitute product (orange) increases.
What is the substitution law?In economics, when the price of one product increase, the consumer will likely patronize the other substitute product because its price is not high.
Hence, in this case, the demand for apples will increase if the price of its substitute product (orange) increases.
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What is the hazard? Chris works for a city public works department. One hot afternoon the temperature outside reached 92 degrees. While Chris was shoveling dirt in a vacant lot, he started to feel dizzy and disoriented. He fainted due to the heat.
Answer: dehydration
Explanation:
Answer:
dehydration and heat exhaustion.
Explanation:
I hope this helps! :)
Which dividend option would an insurer invest the policyowner's money and add any interest earnings as the dividends accrue?
Accumulation at Interest Option
Cash Dividend Option
Paid-Up Additions Option
One-Year Term Dividend Option
The Accumulation at Interest Option is the dividend option where an insurer invests the policyowner's money and adds any interest earnings as dividends accrue.
In the Accumulation at Interest Option, the insurer takes the policyowner's dividends and invests them, typically in an interest-bearing account. The interest earned on the investment is then added to the policyowner's account as additional dividends. This option allows the policyowner's dividends to grow over time and accumulate, providing potential growth and increased benefits in the future. It is a way to maximize the policy's cash value and potential returns by utilizing the power of compound interest.
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influences of Business environment,
Factors that Influence the business environment are :
Economic environmentSocial environmentTechnological environmentPolitical environmentLegal environment
The business environment means the total of all the individuals, and institutions that could affect the working of the business firm.
Importance of business environment:
Business environments help the firm to prepare itself for every possible obstruction or hindrance that can affect the functioning of the firm.It also helps the firm to adjust to frequent changes.The economic environment is all the things that create an economic impact on the firm.
The social environment is all the traditions and customs of the society that creates an impact on the firm.
The technological environment is all the impact on the firm caused due to new technology and upgradations.
The political environment is the conditions and behavior that the elected representatives hold toward the business
The legal environment is entirely based on the rules and legislation of the authorities.
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Match the given distinctiveness to the type of equity or debt finance that is available for a business.
TILES
common stock
preferred stock
retained earnings
senior debt
subordinate debt
Boxes
the profit is used in the business
the equity holders are paid dividends at regular intervals
the equity holders have a right to vote on corporate policy
the lenders are always paid within a predetermined time
the debt carries more risk and is not the first in line to be paid
Answer:
See below
Explanation:
Common stock
The equity holders have a right to vote on corporate policy. In the case of liquidation, common stockholders are last in line in the distribution of the company's assets.
Preferred stock
The equity holders are paid dividends at regular intervals. Preferred stockholders have a priority in dividends payments over common shares but have no voting rights.
Retained earnings
The profit is used in the business. Retained earnings are profits that a company's management opts to distribute to shareholders as dividends.
Senior debt
The lenders are always paid within a predetermined time. Senior debts are low risk as they are given priority over other debts in repayment.
Subordinate debt
The debt carries more risk and is not the first in line to be paid. In the event of liquidation, subordinate debts are considered last in order of payment.
how do you think your company's stakeholders would feel about your company simply adjusting to local management practices
Stakeholders' feelings about adjusting to local management practices would vary depending on the context and their individual interests.
How might stakeholders feel about a company's adjustment to local management practices?However, in general, stakeholders' feelings about a company adjusting to local management practices would depend on various factors such as the specific context, the nature of the adjustments, and the stakeholders' interests.
Some stakeholders may appreciate the company's adaptation as it demonstrates a commitment to local values, culture, and practices.
It may help build stronger relationships with local communities and enhance the company's reputation.
On the other hand, some stakeholders may have concerns about the potential impact on the company's global standards, consistency, and overall performance.
Balancing the interests of different stakeholders and considering the long-term implications would be essential in decision-making related to adjusting to local management practices.
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How can you best define the problem for angel? you explain that he will need to determine the platform that will provide the easiest transition for the least amount of money. You explain that he will need to determine the platform that will serve as the best fit for the company's anticipated growth
Angel is faced with the challenge of determining the best platform for his company's anticipated growth with minimal expenditure.
To effectively address this problem, Angel needs to carry out a detailed evaluation of different platforms available to identify the best fit for his company. This evaluation should take into account several factors, including the platform's features, scalability, flexibility, ease of use, and cost.
Angel should consider the company's growth trajectory and determine how the platform can support the company's growth goals. He should also assess the potential impact of the platform on the company's operations, customer experience, and overall profitability.
This will help Angel to make an informed decision that will ensure the platform's seamless transition, minimizing the risks associated with switching platforms. Angel needs to analyze and evaluate different platforms available to determine the best fit for his company's growth trajectory while minimizing costs.
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In Module Two, you will submit one-year and five-year operating budgets in order to evaluate the case study agency’s financial condition for the coming year and its long-term financial stability. Based on your analysis of the agency’s financial statements provided in the case study dossier, you will prepare a spreadsheet showing projected annual income and expenses for the agency based on financial information provided in the case study. You will provide key budgetary recommendations based on your financial analysis using specific examples according to business trend data to support your recommendations. You will indicate any areas of concern or importance for agency long-term financial stability. You should refer to your previous coursework on financial analysis to analyze the statements and prepare budget projections. When trending for future years, assume revenue categories increase at 3% and expenses at 5%. To facilitate this milestone activity, you should refer to the ECCED Financial Statement Notes and ECCED Financial Statements in the case study dossier. Milestone One should be submitted as an Excel spreadsheet and a one- to two-page Word document. This milestone will be graded with the Milestone One Rubric
non profit agency
In module two, the students will prepare and submit a one-year and five-year operating budgets in order to analyze the case study agency's financial condition for the coming year and long-term financial stability.
Based on the financial information provided in the case study dossier, students will prepare a spreadsheet showing projected annual income and expenses for the agency. It is also important to provide budgetary recommendations based on the financial analysis using specific examples according to business trend data to support your recommendations.
This way, you will be able to indicate any areas of concern or importance for the agency long-term financial stability. When trending for future years, students are to assume revenue categories increase at 3% and expenses at 5%.Additionally, students should refer to their previous coursework on financial analysis to analyze the statements and prepare budget projections.
The ECCED Financial Statement Notes and ECCED Financial Statements in the case study dossier should also be referred to while preparing the Milestone One activity. Milestone One should be submitted as an Excel spreadsheet and a one- to two-page Word document.
This milestone will be graded with the Milestone One Rubric. The non-profit agency refers to an organization or a corporation that uses surplus revenues to achieve its goals rather than distributing it as profit or dividends to shareholders. These agencies are often charitable organizations or service-oriented organizations.
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A) the pay rate differential between the arts and entertainment industry and the construction industry is. The relative pay difference between the arts and entertainment industry and the construction industry is
The pay rate differential between the arts and entertainment industry and the construction industry is the difference in the average salary or wage for workers in these two industries.
This difference can be calculated by subtracting the average pay in the construction industry from the average pay in the arts and entertainment industry.
For example, if the average pay in the arts and entertainment industry is $50,000 per year and the average pay in the construction industry is $40,000 per year, the pay rate differential would be $10,000 ($50,000 - $40,000).
It is important to note that the pay rate differential can vary depending on factors such as geographic location, level of education, and experience. Additionally, the pay rate differential may not accurately reflect the overall compensation package, which can include benefits such as health insurance and retirement plans.
Overall, the pay rate differential between the arts and entertainment industry and the construction industry is an important factor to consider when comparing salaries and making career decisions.
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A judge requires Harry to make a payment to Sally. The judge says that Harry can pay her either $10,000 today or $12,000 two years from today. Of the following interest rates, which is the highest one at which Harry would be better off paying the money today?
a. 11 percent
b. 6 percent
c. 4 percent
d. 9 percent
Answer:
d. 9 percent
Explanation:
After 2 years the value of $10,000 at present time =
$10,000 * (1 + x / 100)^2 = $12,000
(1 + x / 100)^2 = 12,00 / 10,000
(1 + x / 100)^2 = 1.2
The square root of 1.2 is 1.0954
(1 + x / 100) = 1.0954
x = 9.54
9%( Approximately.)
The width of a rectangle i 4n-9. 5 feet and the length i 9. 5n10 feet. Find the perimeter of the rectangle
A rectangle's width and length are respectively 4 and 9.5 feet. The rectangle's circumference is therefore 27n + 2 feet. A rectangle is a quadrilateral with four right angles in the Euclidean plane.
The rectangle's length is 9.5n + 10 and its width is 4n - 9. The lengths of all four sides must be added up in order to determine the rectangle's perimeter.
P = width + two (length)
Substituting the width and length expressions:
P = 2(4n - 9) + 2(9.5n + 10)
Adding and subtracting:
P = 8n - 18 + 19n + 20
P = 27n + 2
Therefore, the rectangle's perimeter is 27n + 2 feet.
It may alternatively be described as a parallelogram with a right angle or an equiangular quadrilateral, where equiangular denotes that all of its angles are equal. A square is a rectangle with four equally long sides.
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match 5 source documents to their subsidiary books
one of the ethical norms established for marketers is that they cannot sell products that are more than 25 percent above cost. true false
The statement is false because there is no ethical norm or guideline established for marketers that limits the selling price of a product to 25 percent above its cost.
In a market economy, the price of a product is typically determined by supply and demand, as well as by factors such as production costs, marketing expenses, and competition. While some companies may choose to price their products at a lower margin than others, there is no industry-wide standard or ethical norm that requires a specific pricing strategy.
However, there are ethical guidelines related to pricing, such as avoiding deceptive pricing practices and ensuring that prices are fair and transparent to consumers.
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Vivienne has four files she needs Bill to review. She sends Bill the file path to
where the files are saved on the server. When Bill opens the folder, he sees
the following files:
Section 1_final.docx
Section2_final vv.doc
Section3_v2.docx
section 4_final.doc
Bill sees that Vivienne may benefit from some tips about file organization.
Which of the following would be the most helpful tip?
A. The filenames should always contain Vivienne's full name.
B. The filenames should not distinguish between the different
sections.
C. The files that are not yet final should be stored separately from
files that are final.
D. The files should all be the same file type.
Answer:c: the files that are not yet final should be stored separately from files that are final
Explanation:just took the test
Answer:
C
Explanation:
hey yall school has been soo hard lately so any tips to do good in school?
How to Do Well in School
Attend class regularly.
Pay attention in class.
Do homework routinely.
See the teacher for help.
Review what you're learning on a regular basis.
Learn from mistakes..
Make school a priority.
Work hard, play hard.
There u go
Answer:
make a schedule in order to effectively get it all done. also, don't take advantage of studying, I used to not study enough, but then I just added an extra 30 min of studying time, and it improved my grades from a B+ to an A!! Just keep focus without destractions, you get a text, silence your phone until your finished, trust me, it will be hard to ignore everything and focus, but again, worth it. (sry for the typos, I have somewhere to be, but I hope I helped!)
Explanation:
What do you think would happen if the Internet shut down or went away? How would it change the way people live their lives? Do you think this would be mostly positive or mostly negative?
Answer:
Honestly I think it would be mostly negative without the internet, because if the internet got shut down we would not be where we are now today
Explanation:
:)))
According to a news story about the International Energy Agency, the agency forecast that "the current slide in [oil] prices won't [reduce] global supply."
Would a decline in oil prices ever cause a reduction in the supply of oil?
The amount of oil distributed, not the supply, might decrease if oil prices dropped.
Supply is the existing supply curve, while quantity supplied is the exact number supplied at a certain price. Supply, in theory, describes all the distinctive aspects offered at all imaginable price points. Quantity supplied in economics means the quantity of products or services that producers will make and offer for sale at a set market price. As price fluctuations affect how much supply producers put on the marketplace, the quantity supplied differs from the amount of source that is available (i.e., the total supply). The price elasticity of supply defines how supply adjusts in accordance with fluctuations in prices.
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Question :Which statement best describes displacement? Check all that apply
Answer:2 , 3 5
Answer:
2
Explanation:
thats my guess
Which condition is a result of open competition in a free market system?
A. Poor customer service
B. Government regulation
C. Higher prices
D. Higher quality goods
A result of open competition in a free market system is higher quality goods (option D).
What is the result of open competition?
Competition is when there are many producers operating in a particular industry. Competition is high in purely competitive markets and low in a monopoly. This is because in a pure competition, there are many producers while there is only one producer in a monopoly.
Due to the high level of competition in an industry, prices would be more likely to be low. This is because producers would want to attract more consumers by fairly pricing their goods. Also, producers would want to offer good customer service in order to retain consumers as there are many competing producers in the market. High quality goods are also a way to attract an retain customers.
A free market system is a market system where prices are set by the forces of demand and supply. There is no government regulation in this type of market.
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What health issue did Feiler face that led him to consider his family?
Please help I'm about to fail my class and i will be grounded for life, 100 pts for it! its financial literacy
Part One–Research
Imagine you bought 100 shares of stock three years ago and are selling it today. Select a company and research its stock prices. You can start with websites like Nasdaq and Fidelity. Determine the stock's price three years ago, or the purchase price, and its price today, or the selling price.
Part Two–Determine the Real Return
Calculate the real return of your stock investment using the following information:
Purchase price of 100 shares of stock
Selling price of 100 shares of stock
10% tax rate
3% inflation rate
2% administrative fee on the selling price of the stock
Part Three–Evaluate
Analyze your research and calculations, and answer the following questions:
What company did you select to buy stock in? Why did you select the company?
Consider the real return of the stock investment. Do you consider it a wise investment? Why or why not?
1. I imagine buying 100 shares of Amazon.com Inc. on January 3, 2020, when the stock price was $93.75, investing $9,375.
Today, October 31, 2022, the stock price of Amazon.com Inc. is $102.44.
2. The real return on my investment in Amazon.com Inc was a net loss of 7.12% or $667.60.
3. The company I selected to buy its stock three years ago was Amazon.com Inc.
4. I decided on Amazon.com Inc., hoping to earn spectacular returns since it is a multinational technology company.
5. When I consider the actual return on the stock investment in Amazon.com Inc., I think it was an unwise investment.
6. The investment returned a negative real value because I realized less than I initially invested; I actually lost about $667.60 overall.
What is the stock investment?Stock investment is the purchase of shares for an ownership interest in a publicly-listed company.
The investor makes the investment with the hope that the investee will grow and perform well over some period, enabling the investor to earn some real returns (in the form of dividends and capital appreciation).
Purchase of 100 shares Jan. 3, 2020 = $9,375 (100 x $93.75)
Sales of 100 shares Oct. 31, 2022 = $10,244 (100 x $102.44)
Tax (10%) = $1,024.40 ($10,244 x 10%)
Inflation (3%) = $307.32 ($10,244 x 3%)
Administration fee on sales (2%) = $204.88 ($10,244 x 2%)
Real Returns in dollars = $8,707.40 ($10,244 - $1,024.40 - $307.32 - $204.88)
Loss on returns = $667.60 ($8,707.40 - $9,375)
Loss percentage = 7.12% ($667.60/$9,375 x 100)
Unfortunately, Amazon.com Inc. did not pay any dividends during the period of my investment, and I really lost funds to taxes, inflation, and administration fees when I sold it.
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closing journal entries are recorded . multiple choice question. after the post-closing trial balance is prepared before the unadjusted trial balance is prepared after the financial statements have been prepared before the adjusted trial balance is prepared
The purpose of closing entries is to close all temporary accounts and adjust the balances of real accounts such as owner’s capital. Like all of your trial balances, the post-closing balance of debits and credits must match.
In economics, capital items or capital are "the ones long-lasting produced items which might be in flip used as effective inputs for in addition production" of products and offerings. On the macroeconomic stage, "the kingdom's capital inventory includes homes, system, software program, and inventories during a given yr." a typical example is a machinery used in factories. Capital can be multiplied by using the elements of manufacturing, which excludes positive long-lasting goods like houses and personal cars that aren't used within the production of saleable items and offerings.
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please what are the steps and reason
on how to calculate and get the answer of this figure
(4-4.4)²6.15
The answer of this figure (4-4.4)²6.15 is 0.984
It is important to follow the order of operations (also known as PEMDAS) when solving expressions. Where PEMDAS(parenthesis, exponents, multiplication, division, addition, subtraction).
To calculate the answer for the expression (4-4.4)²6.15, you can follow these steps:
Step 1: Calculate the value inside the parentheses, which is (4-4.4) = -0.4
Step 2: Square the value obtained in step 1, which is (-0.4)² = 0.16
Step 3: Multiply the result from step 2 by 6.15, which is 0.16 x 6.15 = 0.984
Step 4: Round the answer obtained in step 3 to the desired number of decimal places, if necessary.
Therefore, the answer for the expression (4-4.4)²6.15 is approximately 0.984.
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How do worker organizations influence wages?
A. They fight for higher pay for workers.
B. They lower the market value of workers.
C. They enforce regulations raising the minimum wage.
D. They require workers to have more education.
SUBMIT
Answer:
A.
Explanation:
In many industries wages are linked to enterprise cost of living which ensures a fair wages to workers. The wage rates are directly influenced by cost of living of a place. The workers will accept a wage which may ensure them a minimum standard of living. Wages will also be adjusted according to price index number.
They fight for higher pay for workers is the way organizations influence workers for wages. In many businesses, wages are tied to the cost of living of the company, ensuring that workers are paid fairly.
What is wage employment?In both the official and informal economies, wage employment encompasses any salaried or compensated position under contract to another person, organization, or company. Finding decent-paying work for those with impairments is often difficult.
Thus, option A, They fight for higher pay for workers is correct.
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Disadvantages of choosing a job that is extremely popular or in demand
The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.
What is a high demand job?This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.
The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.
The number of qualified persons may become more than the job that is available for the people to do in the long run.
Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.
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what is the required return for a stock with a beta of 1.25 when the market return is expected to be 12% and the return on a u.s. treasury bill is 2.5%?
The required return for stock with a beta of 1.25 is 10.5%.
What is beta?The beta in finance is a measurement of how a certain asset changes (on average) when the entire stock market rises or falls. Therefore, when a modest amount of an asset is introduced, beta is a good indicator of how much risk the asset adds to the market portfolio. Thus, beta is also known as the systematic risk, market risk, non-diversifiable risk, or hedging ratio of an asset. A measure for idiosyncratic risk is not beta. According to definition, the valuation average of all market betas for all investable assets relative to the value-weighted market index is 1. Negative betas are uncommon in actual stocks . A typical stock's beta falls between 0 and 3.
Calculation of required return R = Rf+ B(Rm-Rf)
= 10.5%
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CK Inc. had net sales in 2020 of $800,000. At Dec. 31, 2020, the following information was listed which was about the balances in selected accounts before adjusting entries: Accounts receivable debit balance: $150,000 Allowance for doubtful accounts debit balance: $1,500 Estimated uncollectable receivable: 2% of net sales At Dec. 31, 2020, on the CK Inc.'s statement of financial position, what is the cash realizable value of the receivables?
The cash realizable value of the receivables on CK Inc.'s statement of financial position is $148,500.
The cash realizable value of the receivables on CK Inc.'s statement of financial position is $148,500.
What are accounts receivable? Accounts receivable are amounts that a business is owed by its customers for goods sold or services rendered on credit. It's also known as trade debtors. These transactions are recorded as an asset on the balance sheet, reflecting the company's right to receive payment.
However, not all of the company's accounts receivable will be paid back in full. To take this into account, a company can estimate its uncollectible accounts receivable and create an allowance for doubtful accounts.
What is the estimated uncollectible receivable? The estimated uncollectible receivable refers to the portion of a company's accounts receivable that it expects will be uncollectible. It's based on an estimate of how much money the company believes it won't be able to collect from its customers. This is based on past experience and industry data. The estimated uncollectible receivable is usually expressed as a percentage of net sales.
What is the allowance for doubtful accounts? The allowance for doubtful accounts is a contra asset account that offsets the accounts receivable account. It represents the amount of accounts receivable that a company believes will not be collected. This allowance is based on the estimated uncollectible receivables.
Companies create an allowance for doubtful accounts to reduce the accounts receivable balance to its estimated realizable value, which is the amount the company expects to receive in cash. This adjustment is made by recording an adjusting entry at the end of each accounting period.
Now, let's calculate the cash realizable value of the receivables. Calculation: Accounts receivable at Dec. 31, 2020 = $150,000Allowance for doubtful accounts at Dec. 31, 2020 = $1,500Estimated uncollectable receivable = 2% of net sales Net sales in 2020 = $800,0002% of $800,000 = $16,000
The cash realizable value of the receivables can be calculated as follows: Cash realizable value = Accounts receivable - Allowance for doubtful accounts Cash realizable value = $150,000 - $1,500Cash realizable value = $148,500Therefore, the cash realizable value of the receivables on CK Inc.'s statement of financial position is $148,500.
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TRUE/FALSE. depositors represent a bank's primary responsibility, while borrowing customers are secondary.
The given statement, "Depositors represent a bank's primary responsibility while borrowing customers are secondary" is true because Deposit taking is the primary function of a bank and the depositors' funds are considered the source of a bank's stability and profitability.
Depositors entrust their funds to banks with the expectation of safety, liquidity, and potential returns. Banks have a responsibility to safeguard these deposits and provide the necessary infrastructure for depositors to access and manage their funds. The confidence and trust of depositors are essential for a bank's reputation and long-term success.
Deposits also contribute to a bank's stability and liquidity. Banks use the funds from depositors to make loans, invest in securities, and undertake other activities. The interest earned on these activities, along with fees and charges, generates revenue for the bank. Additionally, the regulatory framework often requires banks to maintain a certain level of reserves relative to their deposits to ensure liquidity and stability in the financial system.
Overall, depositors and their funds represent a significant responsibility for banks. Meeting the needs of depositors, providing a secure environment for their funds, and using those funds efficiently and responsibly are critical factors for a bank's stability, profitability, and reputation.
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