The statement "because t-bills have low risk relative to common stocks, t-bills cannot outperform common stocks" is true.
However, this does not mean that T-bills cannot outperform common stocks in certain situations, especially during economic downturns or periods of market volatility when investors seek safer investments.
While T-bills may have lower risk compared to common stocks, it is important to note that they may not always provide the highest returns. In fact, during periods of low interest rates, the returns on T-bills may not even keep up with inflation, resulting in a negative real return.
On the other hand, common stocks have the potential to provide higher returns over the long-term, but they also come with higher volatility and risk.
Furthermore, the performance of T-bills and common stocks can vary depending on market conditions. During periods of economic downturns or market volatility, investors may seek safer investments such as T-bills, causing their demand and price to increase.
This may result in T-bills outperforming common stocks during those periods.
Therefore, while T-bills may be considered lower risk than common stocks, their performance relative to stocks can depend on a variety of factors, and investors should carefully consider their investment objectives and risk tolerance when making investment decisions.
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please help me!!! I literally have no clue what it is
Answer:
Critical Thinking,Mathematics, and Operation and Control.
Explanation:
A company introduces a new product at low pricing to help capture a large market share early this is called
A company introduces a new product at low pricing to help capture a large market share early this is called price skimming.
When a new type of product enters the market, price skimming is often used then. The goal here is to gather as much revenue as possible while the consumer demand is high and competition has not entered the market.
So once these goals are met, the original product creator will mostly lower prices in order to attract more cost-conscious buyers while remaining competitive toward any lower-cost similar items entering the market.
Hence, firms often use price skimming in order to recover the cost of development.
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upon determining who will want the product, retailers must determine in more detail how to ________ in those markets.
Upon determining who will want the product, retailers must determine in more detail how to "position" themselves in those markets.
Positioning is a marketing strategy that involves creating a distinct image and perception of a product or brand in the minds of consumers. Once retailers have identified the target market or consumer segment that will likely be interested in their product, they need to define and establish their unique position within that market.
Positioning includes determining how the product will be perceived in relation to competitors and how it will fulfill the needs and desires of the target market. Retailers must consider factors such as pricing, quality, features, benefits, and the overall value proposition to differentiate themselves from competitors and attract their target customers.
By effectively positioning themselves, retailers can establish a competitive advantage, create a strong brand identity, and develop a favorable perception in the minds of consumers. It helps retailers communicate the unique value they offer and align their marketing efforts to resonate with their target market's preferences, needs, and aspirations.
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how does the government pay for roads, schools, and emergency services?
Answer:
Taxes
Explanation:
The government pays for the roads, schools, and emergency services by collecting taxes.
What are taxes?
Taxes are obligatory contributions made by individuals or organizations by a government agency — whether local, regional, or national.
Tax revenue supports government services, including public works and services such as roads and schools, or programs such as Community Safety and Medicare.
The Internal Revenue Service (IRS) is responsible for collecting income taxes in the United States.
The cost of building and maintaining highways is received from general taxes such as income and sales taxes as it comes from fuel taxes or other "consumer fees" on drivers.
Thus,the government pays for the roads, schools, and emergency services by collecting taxes.
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All the following statements concerning requirements to reinstate a lapsed life insurance policy are correct EXCEPT: Group of answer choices The lapse must have resulted from other than the surrender of the policy for its cash value. There is no time limit on when the policy may be reinstated. Evidence of insurability is required. All overdue premiums must be paid along with interest from the premium due dates.
Answer:
Correct Answer:
b. There is no time limit on when the policy may be reinstated.
Explanation:
In life insurance, which is an insurance against event in the life of the individual in question, it is expected that, the person will be paying his premium fee regularly.
In a situation, there was a lapses, in-order to reinstate the life insurance policy, it must be reinstated within 1 year in-order to be valid.
Which type of analysis uses ratios to analyze the financial statements of 2 or more years?
The type of analysis that uses ratios to analyze the financial statements of two or more years is called trend analysis.
Trend analysis is a financial analysis technique that involves comparing financial ratios and other financial metrics across multiple periods, typically two or more years. It helps identify patterns, changes, and trends in a company's financial performance over time.
Ratios such as profitability ratios (e.g., return on assets, return on equity), liquidity ratios (e.g., current ratio, quick ratio), and efficiency ratios (e.g., inventory turnover, asset turnover) are calculated and analyzed to assess how the company's financial position and performance have evolved over the years.
By examining the trends in these ratios, analysts can gain insights into a company's financial health, growth prospects, efficiency, and profitability. Trend analysis helps identify strengths, weaknesses, and areas that require attention or improvement.
Trend analysis utilizes ratios to compare and analyze financial statements over multiple years, enabling a comprehensive assessment of a company's financial performance and trends over time.
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Is there any way for a monopoly to operate more efficiently than a competitive market? why or how?.
The equilibrium point in a competitive market exists at the point of optimal market efficiency.
What is competitive market?A competitive market exists a term in economics that guides to a marketplace where there exist a large number of buyers and sellers and no single buyer or seller can influence the market. Competitive markets have no obstacles to entry, lots of buyers and sellers, and homogeneous products.
In economics, especially general equilibrium theory, A perfect market also understood as an atomistic market, is determined by several idealizing requirements, collectively anointed perfect competition or atomistic competition.
No, the monopoly can never be additional efficient than the perfectly competitive market because the competitive market exists at the point of optimal market efficiency and the monopoly will deliver at the point where the MR and the MC stand equal. here the market has the excess capability and a dead weight loss.
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the economy begins at full employment and the cnsumers begin spending a smaller portion of their incomes this would lead to
If consumers begin spending a smaller portion of their incomes while the economy is at full employment, this would likely lead to a decrease in aggregate demand.
When consumers spend less, it directly affects the consumption component of aggregate demand, which is one of the key drivers of economic activity. A decrease in consumer spending can have ripple effects throughout the economy. The decrease in aggregate demand can lead to several potential outcomes: Reduced business revenues: With lower consumer spending, businesses may experience a decline in sales and revenues, which can affect their profitability and potentially lead to cost-cutting measures such as layoffs or reduced investment. Decreased production and employment: If businesses face reduced demand for their goods and services, they may scale back production, leading to lower employment levels. This can result in a rise in unemployment and reduced income for workers. Slowdown in economic growth: Reduced consumer spending can contribute to an overall slowdown in economic growth, as it affects multiple sectors and reduces the overall level of economic activity. Potential deflationary pressures: If the decrease in consumer spending persists and businesses struggle to sell their goods and services, it can lead to a decrease in prices (deflation) as companies may engage in price reductions to stimulate demand. Policymakers may respond to this situation by implementing measures to stimulate consumer spending, such as fiscal policies (tax cuts, increased government spending) or monetary policies (lowering interest rates) to boost aggregate demand and support economic activity.
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¿Cómo harías el marketing de tu producto?
Answer:
postearlo en redes sociales
Explanation:
Answer:
I don't understand
Explanation:
I don't know
According to the leader-member exchange (LMX) theory, _______________________. A. Leaders develop ingroup and outgroup relationships with followers B. Leader behavior is contingent on follower behavior C. Leaders are born with certain leadership characteristics and acquire others over time D. The appropriate leadership style depends on the follower readiness level E. Leader behavior adjusts to the task structure
According to the leader-member exchange (LMX) theory, leaders develop ingroup and outgroup relationships with followers. This means that leaders tend to form closer, more positive relationships with certain followers, known as the ingroup, while maintaining more distant or neutral relationships with others, known as the outgroup.
The LMX theory suggests that leaders establish these different relationships based on factors such as trust, communication, and shared goals. The members of the ingroup typically receive more attention, support, and opportunities for growth from the leader, while those in the outgroup may receive less of these benefits.
This theory recognizes that leader behavior is contingent on follower behavior. In other words, the leader's actions and decisions are influenced by how the followers behave and respond.
If followers are engaged, proactive, and perform well, the leader is more likely to provide them with opportunities and support.
On the other hand, if followers are disengaged or exhibit negative behavior, the leader may be less inclined to invest in them.
In conclusion, the LMX theory emphasizes that leaders do not treat all followers the same way. They develop different levels of relationships with their followers, establishing closer connections with the ingroup and more distant relationships with the outgroup.
The theory also recognizes that leader behavior is influenced by follower behavior, as leaders respond to the actions and attitudes of their followers.
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Block 3 of your performance evaluation is for enlisted designator. How many designators can be entered into this block?
In block 3 of a performance evaluation for enlisted personnel, there is typically space for only one designator to be entered.
What is it used to?This designator is used to indicate the individual's specific job or occupational specialty within the military. For example, a person could have a designator of "IT" for Information Technology or "MA" for Master-At-Arms.
These designators are important because they help to identify the skills and knowledge that an individual brings to their role, and can be used to help determine promotions, job assignments, and other career opportunities.
While only one designator can be entered in block 3, individuals may have additional qualifications or certifications that are noted elsewhere in their evaluation.
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a financial plan is most influenced by
Answer: priorities and goals
Explanation: because
The financial plan is most influenced by priorities and goals Option(b) is correct.
What does Financial Plan means?Overall utilization, a financial plan is a complete assessment of a singular's ongoing compensation and future financial state by utilizing current known factors to foresee future pay, resource values and withdrawal plans.
In business, a financial plan can allude to the three essential financial assertions monetary record, pay explanation, and income proclamation) made inside a field-tested strategy. Financial estimate or financial plan can likewise allude to a yearly projection of pay and costs for an organization, division, or division.
A financial plan can likewise be an assessment of money needs and a choice on the most proficient method to raise the money, like through getting or giving extra offers in an organization A financial plan might contain forthcoming financial explanations, which are comparative, however unique, than a financial plan. Financial plans are the whole financial bookkeeping outline of an organization. Complete financial plans contain all periods and exchange types.
Therefore Option(b) is correct.
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According to rankings by many people over the years what is the number one expectation that people have a job they will enjoy
Answer:doing work that makes the best use of one's abilities and creates a feeling of accomplishment
Explanation:
I'm in 9th and just took that
There is a dollar sale on neckties. You buy 10. Estimate your consumer surplus if you would have been willing to pay $10 for the first tie, $9 for second, $8 for the third, and so forth.
A reasonable estimate of your consumer surplus from the ten ties is
Answer: 45
Explanation: I just answered it and got it correct
10+9+8+7+6+5+4+3+2+1= 55
Subtract 10 = 45 Total
10 is the $1 dollar difference times the ten items
Answer:45
Explanation:
please help i’m failing this class so bad it’s so sad
Answer:
A. all income and expenses
You are the account manager for an Internet service provider. A customer contacts you and complains that her recent billing statement was incorrect. After looking over the statement, you determine that the customer is mistaken: the statement is correct. What should you do before writing your message
Answer:
As usual we should correct our mistake
In an effort to further diversify, you are considering investing in shares of AstraZeneca, a company that has become quite well-known during the covid-19 pandemic. The company recently paid a dividend of $3.00, which is expected to increase annually by 5%. The share is currently selling for $35.00.
Compute the required return of this share.
Given that your required return on common share investments is 9%, would you purchase this stock?
When the company recently paid a dividend of $3.00, which is expected to increase annually by 5% and the share is currently selling for $35.00, the required return of this share is 13.57%.
In order to calculate the required return, we can use the dividend growth model formula:
Required Return = (Dividend / Price) + Growth Rate
Substituting the given values:
Required Return = ($3.00 / $35.00) + 5% = 0.0857 + 0.05 = 0.1357 or 13.57%
Since the investor's required return on common share investments is 9%, which is lower than the calculated required return of 13.57%, it suggests that AstraZeneca stock may not meet the investor's desired return. The decision to purchase the stock depends on the investor's risk tolerance and investment objectives. If the investor is seeking higher returns and is comfortable with the associated risks, they may consider purchasing the stock. However, if the investor prefers a more conservative investment approach or is not confident in the stock's potential, they may choose not to invest in AstraZeneca.
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Q1. This organizational structure violates the unity of
command principles because of dual reporting
relationship.
A. Functional organization
B. Line type organization
C. Matrix organization
D. Network organization
Q2. It is a collection of independent, mostly single
function enterprises that collaborate on a good
or service.
A. Divisional organization
B. Functional organization
C. Matrix organization
D. Network organization
Q1. This organizational structure violates the unity of command principles because of dual reporting relationship.
Q2. It is a collection of independent, mostly single function enterprises that collaborate on a good or service.
Answer:C. Matrix Organization A. Divisional Organization Explanation:That's my opinion and I hope it helps ^_^
#CARRYONLEARNING #STUDYWELLThe ratio of the price of two goods on a graphed budget line is measured by its:.
There are lines in budget. The ratio of the price of two goods on a graphed budget line is measured by the slope of the budget.
What is a budget lineThis is regarded as a two-dimensional graph that shows the various choices one have between two goods given the money one have to spend. It is also known as budget constraint.
The ratio of the price of good X that is found on the horizontal axis to the price of good Y on the vertical axis is known as the slope of the budget.
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A local bank’s advertising reads: "Give us $50,000 today, and we’ll pay you $800 every year forever." If you plan to live forever, what annual interest rate will you earn on your deposit?1.92%1.60%2.56%2.24%
Answer:
The correct response is Option b (1.60%).
Explanation:
According to the question,
Initial investment,
= $50,000
Perpetual annual cash flows,
= $800
Now,
The interest rate will be:
= \(\frac{Perpetual \ annul \ cash \ flows}{Initial \ investment}\)
On substituting the given values, we get
= \(\frac{800}{50,000}\)
= \(0.016\)
i.e.,
= \(1.60 \ percent\)
Option A requires eight years of higher education and $80,000, while option B
requires four years of higher education and $45,000. Option B requires
time and
money
Answer:
A less,less
Explanation:
because option A requires 8 year of higher education and $80,000. but option B only requires four years of higher education and $40,000
Option A requires eight years of higher education and $80,000, while option B requires four years of higher education and $45,000. Option B requires less time and less money because option A requires 8 years of higher education and $80,000 but option B only requires four years of higher education and $40,000. Thus, option 'A' is the correct option.
What do cost and time effective mean?Business managers must deal with two fundamental issues: time and expenses. These two topics have a lot in common. For instance, you can incur a fee and an increase in costs if you miss a deadline. Similarly to this, if money is tight you could feel pressured to finish a project sooner in order to cut down on labour costs. Thus, managing time and expenditures concurrently provide several advantages for your company.
When practising time and cost management, it is frequently impossible to complete all of the original recommendations. You eventually learn to set priorities and choose which initiatives are worthy of your time, money, and attention. You must discover strategies to improve your efficiency if you want to accomplish more with the money and time you have available.
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What does franchisor mean?
Answer:
a
Explanation:
lori wilkins maintains that the only difference between budgeting and long-range planning is time. is this true? explain why or why not.
Lori Wilkins' statement that the only difference between budgeting and long-range planning is time is not entirely true. While both budgeting and long-range planning involve forecasting financial outcomes, they serve different purposes and require different approaches.
Budgeting typically focuses on a shorter time frame, typically one year, and involves setting specific financial targets and allocating resources accordingly. The primary goal of budgeting is to ensure that an organization can meet its immediate financial obligations and achieve its short-term goals.
On the other hand, long-range planning looks further into the future, often five or more years, and considers a broader range of factors that may impact an organization's financial performance, such as changes in the market, industry trends, or technological advancements. Long-range planning aims to establish a strategic roadmap that will guide an organization towards achieving its long-term vision and objectives.
While both budgeting and long-range planning involve financial projections, they require different levels of detail, frequency, and analysis. Budgeting involves more granular details, such as line-item expenses, while long-range planning considers broader trends and factors that may affect an organization's financial position. Budgeting is typically done on an annual basis, while long-range planning may be done less frequently.
In summary, budgeting and long-range planning differ in their time frames, scope, and objectives. While they both involve forecasting financial outcomes, they require different approaches to achieve their respective goals.
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Which of the following best explains the purpose of a supply schedule?
O A. To demonstrate how the supply decreases as price increases.
B. To calculate how much time it takes for distribution.
C. To show the relationship between quantity supplied and prices.
O D. To indicate how supply and demand relate to price.
Answer:
C. To show the relationship between quantity supplied and prices.
Explanation:
A supply schedule is a tabular demonstration of the quantity that suppliers will be willing to sell at different prices. It is a table showing the relationship between supply and price.
According to the law of supply, the supply increases as the price goes up. Therefore, the supply schedule is a tabular illustration of the law of supply.
Answer:
it is c
Explanation:
because it does mean To show relationship between quantity supplied
and prices.
What are 20 things to do at home when I have nothing to do and have done all my online school?
what
has a clock hint hes behind you
Answer:
GOD?
Explanation:
How many publications are related to green nanoparticles?
Answer:
If you mean nanoparticles for environmental applications then let's see…
2018, more than 166,000 articles related to nanotechnology were published, indicating an increase of more than 7% compared to the corresponding period last year.
No specific category for the environment is disclosed. However, I would say at least 3/4 are related to climate change or environmental
Please help ASAP will give 25 points.
What would happen to the document if the change “A” is pointing to was accepted?
a. The selected sentence would be inserted.
b. The comment would be deleted.
c. There would be no changes.
d. The selected sentence would be removed.
Please select the best answer from the choices provided
A B C D
Answer:
c
Explanation:
cuz dahvvhjfjhasjvgdvdsGHGhgdyhhgvlkmn,vzcnfdmndmdfnbdfbhcdhjcbcbdbnf
Which economic system is based on an idea of equality of result; that regardless of how well off somebody starts, all
should be guaranteed an equal success?
O A. Traditional
B. Command
OC. Mixed
D. Market
Answer:
D.Market
Explanation:
A market economy conforms to formal equality of opportunity only if jobs offered by business firms are publicized in advance, so that anyone who might want to apply has a reasonable opportunity to do so.
Which of the preceding activities would likely not be considered part of forte clothing company's value chain?
The preceding activities that would likely not be considered part of forte clothing company's value chain is that all of these would be an element in the company's value chain.
A value chain is used to refer to a business model that describes in detail all of the activities that a firm in a specified industry undertakes to create a product or service that is deliverable.
All of the options are an important part of this company's value chain.
The complete question is : Which of the preceding activities would likely not be considered part of Forte Clothing Company's value chain? a.) designing a new product line b.) locating and then negotiating terms with a clothing manufacturer c.) marketing an existing product line d.) distributing goods from regional warehouses to local stores e.) all of these activities would be an element in the company's value chain
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