14) the only difference between variable and absorption costing is the expensing of . a) direct manufacturing costs b) variable marketing costs c) fixed manufacturing costs d) variable administrative costs

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Answer 1

The only difference between variable and absorption costing is the expensing of fixed manufacturing costs. Variable costing does not take into account the fixed manufacturing costs whereas absorption costing does.


The difference between variable and absorption costing is the expensing of fixed manufacturing costs. Option C, fixed manufacturing costs is the correct answer.Both variable and absorption costing are two different approaches to costing. They are both techniques used in managerial accounting to ascertain how the cost of a product or service is incurred, in order to help in decision making.

The key difference between variable and absorption costing lies in how fixed manufacturing costs are accounted for or expensed.Variable costing, also known as direct costing, traces only the variable costs of production (direct materials, direct labor, and variable overhead) to the cost of a product.

This means that fixed manufacturing costs, such as rent, utilities, depreciation, and property taxes, are not included as part of the cost of a product. This cost is treated as a period cost (a cost that is expensed during the period it is incurred) and is written off as an expense in the period incurred. Absorption costing, on the other hand, involves the allocation of both variable and fixed manufacturing costs to the cost of a product.

As a result, a product's cost includes all of the expenses that were incurred to produce it. The fixed manufacturing costs that are incurred to produce a product are deferred to future periods until the product is sold. This is because they are viewed as a cost of inventory until the inventory is sold. When the inventory is sold, the cost of goods sold will include the product's variable and fixed costs.

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which of the following represents an example of an external incentive for value-neutral diversification? a. a company that is operating inefficiently and has an uncertain forecast b. a firm that has opportunities to transfer its capabilities to another profitable business area and spread its investment risk c. a company that has a predictable and steady revenue stream and is meeting its customers' needs efficiently d. an organization forced to pursue a new business unit because of changes in tax laws and regulations

Answers

The correct option for this question is d. an organization forced to pursue a new business unit because of changes in tax laws and regulations.

What is neutral diversification?

Neutral diversification refers to the strategic move of a company to diversify its business operations into new products or services that are unrelated to its existing business operations, without any specific growth or cost-saving objectives.

The primary objective of neutral diversification is to reduce the overall risk of the company by investing in different industries or markets.

It is usually pursued by companies that have excess cash reserves or are looking to explore new markets and opportunities. Unlike related diversification, neutral diversification does not involve any synergy or shared resources between the different business units of the company.

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promotion involves: multiple select question. distributing products to the right place making a profitable product motivating potential customers to buy informing people about products

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Promotion involves:

- Distributing products to the right place

- Making a profitable product

- Motivating potential customers to buy - Informing people about products

Promotion involves distributing products to the right place, making a profitable product, motivating potential customers to buy, and informing people about products. In more detail, promotion is the process of making a product or service known to potential customers and persuading them to purchase it. It includes activities such as creating advertisements, sponsoring events, sending promotional emails, creating promotional materials, and using social media to reach potential customers. These activities are intended to create an interest in the product, increase customer demand, and ultimately lead to more sales.

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what forms of retaliation might be aimed at a whistle-blower? a. cold shoulder from coworkers b. not given promotion c. all of these choices d. transfer to another office

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The forms of retaliation that might be aimed at a whistle-blower include a cold shoulder from coworkers, not being given a promotion, and a transfer to another office.

A cold shoulder from coworkers could manifest in colleagues ignoring the whistle-blower, not engaging in conversations, or refusing to collaborate on projects.

Not being given a promotion is another form of retaliation in that the whistle-blower is overlooked for a promotion they may be otherwise eligible for.

Lastly, a transfer to another office is another form of retaliation as it is intended to disrupt the whistle-blower's life and job. This can be particularly damaging when the transfer is out of state or to a less desirable location.

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true or false: research has demonstrated that higher proportions of women in top management can result in significantly better financial performance.

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The statement "Research has demonstrated that higher proportions of women in top management can result in significantly better financial performance." is true.

The researchers discovered that businesses with higher levels of women in top management had a 15% higher chance of better profitability in terms of net income margins than firms with fewer females in leadership roles.

Management is the practice of organizing and coordinating an organization's resources to achieve its goals. These resources include human, financial, and natural resources.

The role of management is to make effective use of the resources at their disposal to achieve the goals of their organization.

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what should a registered representative emphasize when making investment reccomendations to a customer with 25000 to invest for a childs future college education

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The registered representative should emphasize "capital growth" as the primary objective when making investment recommendations for a customer with $25,000 to invest for a child's future college education.

This approach focuses on increasing the value of the investment over time to potentially generate higher returns.

When investing for a child's future college education, it is important to focus on capital growth as the primary objective. This means selecting investments that have the potential to increase in value over time and generate higher returns, rather than prioritizing income or stability.

By emphasizing capital growth, the registered representative can help the customer build a larger college fund over time, potentially enabling the child to attend a better school or pursue additional educational opportunities. However, it is also important to consider the customer's risk tolerance and investment goals when making recommendations, and to carefully monitor the performance of the investments over time.

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a 3.750 percent tips has an original reference cpi of 186.2. if the current cpi is 211.5, what is the par value and current interest payment of the tips?

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The par value and current interest payment of the TIPS with an original reference CPI of 186.2 and a current CPI of 211.5 and an interest rate of 3.750% are $880 and $16.50, respectively.

we need to use the following formula:

Par Value = (Original Reference CPI / Current CPI) x Face Value

Interest Payment = (Par Value x Interest Rate) / 2

Where:

Original Reference CPI = 186.2

Current CPI = 211.5

Interest Rate = 3.750%

Face Value = $1000 (assuming the face value of TIPS is $1000)

First, let's calculate the par value using the above formula:

Par Value = (186.2 / 211.5) x $1000

Par Value = 0.88 x $1000

Par Value = $880

So, the par value of the TIPS is $880.

Next, let's calculate the current interest payment using the above formula:

Interest Payment = ($880 x 3.750%) / 2

Interest Payment = ($33 / 2)

Interest Payment = $16.50

So, the current interest payment of the TIPS is $16.50.

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a stock will pay no dividends for the next 4 years. then it will pay a dividend of $9.95 growing at 3.83%. the discount rate is 7.62%. what should be the current stock price?

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The current stock price for a stock with no dividends for the next 4 years and then a dividend of $9.95, growing at 3.83%, with a discount rate of 7.62%, can be calculated using the Gordon Growth Model, and, The stock's current stock price should be $2.62.


The formula for the stock price is:P0 = D1 / (r-g)where:P0 - the current stock priced1 - the next period's dividend r - the required rate of return g - the dividend growth rate The current stock price given that the stock will pay no dividends for the next 4 years and then will pay a dividend of $9.95 growing at 3.83% is $73.07.

What should be the current stock price?P0 = D1 / (r-g)

Where:P0 = current stock price d1 = the next period's dividend r = the required rate of return g = the dividend growth rateD1 = $9.95

The dividend growth rate is 3.83%.The required rate of return is 7.62%.P0 = $9.95 / (7.62% - 3.83%)P0 = $9.95 / 3.79P0 = $2.62

The stock's current stock price should be $2.62.

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you sold your online business to . agreed to pay you $70,000 now, $20,000 per year for the next 9 years and $100,000 in 10 years if the business meets certain performance targets. if you invested the money, you would earn a return of 8%. attempt 1/3 for 1.2 pts. part 1 what is the present value of the combined cash flows, assuming the performance targets are met?

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The present value of the combined cash flows, assuming the performance targets are met, would be $252,149.34.

Ordinary annuity formula to discount the cash flows.

PV of annuity = cash flow x [1 - (1 + r)°-n] / r

Where:

r = discount rate

n = number of periods

Using the given information,

Cash flow = $20,000

Discount rate = 8%

Number of periods = 9

PV of annuity = $20,000 x [1 - (1 + 0.08)°-9] / 0.08

PV of annuity = $135,656.26

Next, let's calculate the present value of $70,000 to be received today.

PV of lump sum = FV / (1 + r)°n

Where:

FV = Future value

r = discount rate

n = number of periods

Using the given information,

Future value = $70,000

Discount rate = 8%

Number of periods = 0 (since this is the present value calculation)

PV of lump sum = $70,000 / (1 + 0.08)°0

PV of lump sum = $70,000

Finally, let's calculate the present value of $100,000 to be received in the 10th year only if the performance targets are met. We will use a simple present value formula to calculate this.

PV of future lump sum = FV / (1 + r)°n

Where:

FV = Future value

r = discount rate

n = number of periods

Using the given information,

Future value = $100,000

Discount rate = 8%

Number of periods = 10

PV of future lump sum = $100,000 / (1 + 0.08)°10

PV of future lump sum = $46,493.08

So, the present value of combined cash flows, assuming the performance targets are met, would be:

Present Value = PV of annuity (9 years) + PV of lump sum (now) + PV of future lump sum (10 years)

Present Value = $135,656.26 + $70,000 + $46,493.08

Present Value = $252,149.34

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provide some examples of customer- and provider-routed services that you have encountered that are different from those described in this chapter. can you identify any improvements to these processes?

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Other examples of provider-routed services that are routed by the client are theme parks, museums, and health clubs, with virtually limitless options for routes.

Customer routed services—what do you mean by that?

The foreign party is in responsibility of all freight transportation decisions when the shipment is routed through a customer (for a U.S. export). You are essentially giving the consumer full control of your goods so they can decide how it will be shipped.

are those that give clients a lot of latitude in choosing their own paths?

those that give clients a lot of freedom to choose among a variety of available routes via the service delivery system the ones that are most suited to their current requirements and desires. Ex: looking up information online, visiting museums, exercising, etc.

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the federal reserve decreases the federal funds rate by What?

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the federal reserve decreases the federal funds rate by changing the interest on reserve balances rate.

Interest on reserve balances is the essential tool the Fed uses to change the government support rate.

The government supports rate is the target interest rate set by the FOMC.

This is the rate at which business banks acquire and loan their overabundance reserves to one another short term.

The FOMC sets a target government supports rate eight times each year, given winning financial circumstances.

The government finances rate can impact momentary rates on consumer advances and Mastercards.

Investors look out on the government subsidizes rate too on the grounds that it affects the stock market.

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horace contributed $2,000 to a coverdell education savings account on behalf of his nephew, $2,000 to a qualified tuition program (qtp) on behalf of his niece, and $2,000 to his own roth individual retirement account. if horace is 35 years old and his agi was $109,500, what is the maximum amount he can deduct for these three contributions?

Answers

Horace made three different types of contributions: a Coverdell Education Savings Account (ESA), a Qualified Tuition Program (QTP), and a Roth Individual Retirement Account (IRA).

Let's examine the tax implications of each contribution.

1. Coverdell ESA: Contributions to a Coverdell ESA are not tax-deductible. Therefore, Horace cannot deduct the $2,000 contribution made on behalf of his nephew from his taxable income.

2. Qualified Tuition Program (QTP): Contributions to a QTP, also known as a 529 plan, are not tax-deductible at the federal level. However, some states offer tax deductions or credits for these contributions. Since we do not have information about Horace's state of residence, we cannot determine whether he is eligible for a state-level deduction. Nevertheless, the $2,000 contribution made on behalf of his niece does not qualify for a federal tax deduction.

3. Roth IRA: Roth IRA contributions are made with after-tax dollars, meaning they are not tax-deductible. Therefore, Horace cannot deduct the $2,000 contribution made to his own Roth IRA from his taxable income.

In conclusion, based on the information provided and considering federal tax regulations, the maximum amount Horace can deduct for these three contributions is $0. It is important to note that this answer only takes into account federal tax rules, and there may be deductions or credits available at the state level depending on Horace's state of residence.

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companies that employ shift workers have improved productivity and job satisfaction by group of answer choices scheduling only phase delays desynchronizing the zeitgebers none of these scheduling only phase advances accelerating the zeitgebers

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Companies that employ shift workers can improve productivity and job satisfaction by "scheduling only phase delays". The correct option is A.

The productivity and lower job satisfaction. One way to mitigate these negative effects is to schedule shifts that align with the natural circadian rhythm.

This means delaying the start of the work shift slightly each day until it aligns with the desired work schedule. This can result in improved sleep quality, better alertness during work hours, and increased job satisfaction.

Desynchronizing the zeitgebers (external cues) or scheduling only phase advances (moving the work schedule forward each day) may lead to further disruption of the circadian rhythm and have negative effects on productivity and job satisfaction. Therefore, among the options provided, "scheduling only phase delays" is the most appropriate choice.

Therefore, the correct answer will be option(A)

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clara has been employed by abc corp for 20 years. as part of her employment contract, clara agreed to a non-compete agreement for a 2 year period in a 50 mile range. however, clara accepts a position with a competitor of abc, that violates the non-compete clause. abc corp isn't interested in damages. they don't want clara sharing the information/knowledge gained from working for aba corp for the last 20 years. abc corp's best remedy would be:

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ABC Corp's best remedy for Clara's breach of the non-compete agreement would be injunctive relief. What is injunctive relief? Injunctive relief is a court order that requires someone to do or stop doing something. It is frequently employed in non-compete cases, where a company seeks to enjoin a former employee from engaging in particular activities after leaving the organization.

ABC Corp's best remedy for Clara's breach of the non-compete agreement would be injunctive relief. What is an employment contract? An employment contract is an agreement between an employer and an employee that outlines the terms and conditions of the employee's employment, including salary, benefits, and other duties and responsibilities.

Employment contracts can take various forms and be written or verbal, but they are always legal documents.

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karen works for a large distribution company. her job entails labeling boxes that have come in and making sure that they are stored in the proper area so that they can be found when ready to ship out. what is one quality that could be helpful to karen in her career?

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Answer:

Karen is an organizational wizard who pays attention to detail.

Explanation:

Karen is a hierarchical wizard who focuses on detail ,this is the one quality that could be useful to karen in her career .

In the marketing, sales, and service career cluster, which are the pathways?

Advertising and marketing, purchasing and merchandising, distribution and logistics, e-Marketing, management and entrepreneurship, marketing communications and promotion, marketing information management and research, and professional sales are all included in the Marketing, Sales, and Service Cluster. Knowledge-based, skill-based, entrepreneur-based, and freelance career paths are the four main categories. There is a specific set of skills that are needed to succeed in each career path. A term used to describe jobs that aren't advertised or posted online is the "hidden job market." There are a number of reasons why employers might not post jobs: they might be trying to save money on advertising or they might prefer to find candidates through employee recommendations.

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rank the left side assets from the most liquid (1) to the least liquid (3) us treasury note house modern gold coins 1) most liquid 2) liquid 3) least liquid

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The rank of Most liquid to least liquid would be: 1) Modern Gold coins 2) US Treasury Note 3) House

The most liquid is Modern gold coins followed by US Treasury Note and last is House which is the least liquid.

Modern gold coins are the most liquid of the three options because they are the simplest to sell on the bullion market and have a universally acknowledged value. Modern gold coins are highly liquid assets because they are readily convertible into cash and have a high degree of divisibility.

US Treasury note: This highly liquid asset is regarded as a safe haven asset and can be easily sold on the financial markets. The US Department of Treasury has issued the US Treasury note, debt security, and there is a thriving secondary market where investors can buy and sell them.

House - It can take a while to sell and its value can be very reliant on market conditions, making it the least liquid asset among the three choices. Finding a buyer, negotiating the sale, and completing the necessary paperwork are all time-consuming steps in the lengthy process of selling a home. These steps can take months.

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rising prices make people feel worse off even if their real income has not fallen. this is an example of

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The given statement "rising prices make people feel worse off even if their real income has not fallen" is an example of inflation.

What is inflation?

Inflation refers to the rate at which the general level of prices for goods and services is increasing and, subsequently, purchasing power is falling down.

It is a persistent increase in the general price level of goods and services in an economy over a period of time. When the prices of goods and services rise, it reduces the purchasing power of money, causing consumers to feel less affluent and less well off even if their real income has not decreased.

Inflationary pressure can occur in an economy if there is an increase in the supply of money or credit relative to the total amount of goods and services available, or if the cost of inputs for goods and services increases.

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6. assume that cane normally produces and sells 106,000 betas per year. what is the financial advantage (disadvantage) of discontinuing the beta product line?

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If the cane normally produces and sells 106,000 betas per year. if Cane discontinues the beta product line, the financial advantage will be $954,000.

What are beta products? Beta products are those that are currently being produced and sold by Cane. According to the question, Cane typically produces and sells 106,000 betas per year.

If Cane stops producing and selling beta products, the financial impact can be determined using the following formula: Profit Margin X RevenueProfit Margin is calculated using the following formula:Profit Margin = (Revenue - Total Cost) / RevenueRevenue is the total amount of money earned from selling beta products, and Total Cost is the total cost of producing beta products.

If Cane discontinues the beta product line, Total Cost would be eliminated, and so Revenue would become the financial advantage. Thus, we can write:

Profit Margin = (Revenue - Total Cost) / RevenueProfit Margin = (Revenue - 0) / RevenueProfit Margin = Revenue / RevenueProfit Margin = 1Revenue can be calculated by multiplying the number of betas sold per year by the price per beta:Revenue = 106,000 x $9Revenue = $954,000

Thus, if Cane discontinues the beta product line, the financial advantage will be $954,000.

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the value of bulls eye stock has decreased each year for the past several years. if in 2010 the stock was worth and that pattern continues, how much will it be worth in 2015?

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The value of bulls' eye stock has decreased each year for the past several years. If in 2010 the stock was worth $8 and that pattern continues, the value of the stock will be worth $4.75 in 2015.

Previous Year Value - Current Year Value)/Previous Year Value × 100.

The percentage of decreases every year. This percentage would remain the same every year.

The value of the stock in 2011:

[tex]$8 - 12% of 8 = $7.04\\[/tex]

The value of the stock in 2012:  

[tex]$7.04 - 12% of 7.04 = $6.1952\\[/tex]

The value of the stock in 2013 :

[tex]$6.1952 - 12% of 6.1952 = $5.446016\\[/tex]

The value of the stock in 2014:

[tex]$5.446016 - 12% of 5.446016 = $4.79589088\\[/tex]

Therefore, the value of the stock in 2015:

[tex]$4.79589088 - 12% of 4.79589088\\[/tex]  = [tex]$4.75.\\[/tex]

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on a given morning, an investor is going to buy shares of whichever stock is less expensive. find the probability density function for the price per share that the investor will pay.

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To calculate the probability density function for the price per share that an investor will pay, we need to first understand the basic terms, such as investor, shares, stock, and probability density function.

Probability density factor

A probability density function (PDF) is a function used to describe the likelihood of different values occurring in a continuous random variable. It is the probability of the variable taking a specific value within a given range.

In order to find the probability density function for the price per share that an investor will pay:

We need to first know the possible prices that the investor could pay. Then we can determine the likelihood of the investor paying any particular price. To find the probability density function for the price per share that an investor will pay, we can compare the probability densities of the two stocks at each price point. Then we can determine which stock is less expensive and what the probability of the investor buying it is.  

The investor will buy whichever stock is less expensive based on their respective probability densities.

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a customer who is retired wants to select an investemetn that is liquid, marketable, and that provides regular income. the best choice would

Answers

Treasury Notes is the appropriate response. A Treasury note, sometimes known as a "T-note," is a marketable form of U.S. government debt with a fixed interest rate and a maturity of two to ten years.

Should I purchase Treasury bonds?

For investors seeking security and an interest rate that is fixed and paid semi-annually until the bond matures, Treasury bonds can be a wise investment. An investment portfolio's asset allocation includes bonds as a key component.

Provide a liquid investment example?

A liquid investment is one that can be quickly turned into cash without significantly depreciating in value. Cash, money market funds, and stock in publicly traded corporations that trade often on a reputable stock exchange are all examples of liquid investments.

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The complete question is below :-

A customer who is retired wants to select an investment that is liquid, marketable, and that provides regular income. The BEST choice would be to recommend:

A. Treasury Bills

B. Treasury Notes

C. Preferred Stock

D. Certificates of Deposit

portfolio a has an expected return of 17 percent and a standard deviation of 5 percent. portfolio b has an expected return of 15 percent and a standard deviation of 5 percent. which portfolio would a rational investor choose?

Answers

Between portfolio A which has an expected return of 17 percent and a standard deviation of 5 percent and portfolio B which has an expected return of 15 percent and a standard deviation of 5 percent, a rational investor should chose portfolio A.

In order to determine which portfolio a rational investor would choose, we must first understand what expected return and standard deviation are. The expected return of a portfolio is the return that an investor anticipates receiving based on the returns of the underlying assets in the portfolio.

Standard deviation, on the other hand, measures the amount of risk associated with the portfolio.The formula for calculating expected return is as follows:

Expected return = (Weight of Asset 1 x Expected Return of Asset 1) + (Weight of Asset 2 x Expected Return of Asset 2) + ... + (Weight of Asset N x Expected Return of Asset N)

In the formula above, "Weight of Asset" represents the percentage of the portfolio that is allocated to that particular asset, while "Expected Return of Asset" represents the anticipated return of that particular asset. In this case, we are given the expected return and standard deviation for each of the two portfolios.

Portfolio A has an expected return of 17 percent and a standard deviation of 5 percent, while Portfolio B has an expected return of 15 percent and a standard deviation of 5 percent.

Since both portfolios have the same standard deviation, the rational investor would choose the portfolio with the higher expected return. In this case, Portfolio A has the higher expected return of 17 percent, which is greater than Portfolio B's expected return of 15 percent. Therefore, a rational investor would choose Portfolio A.

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the combination of turning existing cultulra items into a form that did not exist before is referred to as innovation

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Innovation is defined as the act or process of introducing something new, creative, or original. The combination of turning existing cultural items into a form that did not exist before is referred to as innovation.

What is innovation?

Innovation refers to the process of turning new ideas into new or improved products or services. Innovation is the process of bringing ideas to life. Innovation is critical to a company's growth, survival, and success because it can lead to increased market share, lower costs, and increased profits.

Innovation is a method for achieving competitiveness by transforming existing products and services. Innovation occurs when existing products are transformed to provide new features, applications, or new customer experiences.

Innovation does not imply a need to create something completely new. Instead, it implies making things more efficient, easy to use, and more appealing to consumers. For example, a business might utilize social media marketing or produce new variations of existing products to keep up with the latest trends.

The combination of turning existing cultural items into a form that did not exist before is referred to as innovation. Innovation often entails utilizing new technologies to increase efficiency, profitability, and productivity.

Innovation can refer to the development of new ideas, methods, or technologies or the adaptation of existing technologies to meet new demands or requirements.

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you would like to combine a risky stock with a beta of 1.48 and u.s. treasury bills in such a way that the risk level of the portfolio will be equivalent to the risk level of the overall market. what percentage of the portfolio should you invest in the risky stock?

Answers

We should allocate 67.57% of the portfolio to the risky stock with a beta of 1.48 and the remaining 32.43% to risk-free U.S. Treasury notes in order to match the risk level of the whole market.

To determine the percentage of the portfolio to invest in the risky stock, we need to first calculate the portfolio beta that matches the risk level of the overall market.

Assuming the overall market has a beta of 1.0, we can use the Capital Asset Pricing Model (CAPM) to calculate the required portfolio beta:

Required portfolio beta = Market beta = 1.0

We can then use the following formula to calculate the portfolio beta based on the weights of the risky stock (W) and risk-free asset (1 - W):

Portfolio beta = W x Beta of risky stock + (1 - W) x Beta of risk-free asset

Substituting the required portfolio beta of 1.0 and the beta of the risky stock of 1.48 into the formula, we can solve for W:

1.0 = W x 1.48 + (1 - W) x 0

1.0 = 1.48W

W = 1.0 / 1.48

W = 0.6757 or 67.57%

Therefore, to match the risk level of the overall market, we should invest 67.57% of the portfolio in the risky stock with a beta of 1.48, and the remaining 32.43% in risk-free U.S. Treasury bills.

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After three years at the Massachusetts Institute of Technology, Renaud realizes that he doesn't want to finish school but really wants to be a chef. When Renaud mentions that he is considering leaving university for culinary school, his parents insist that he stay for one more year to get his degree. Which statement is TRUE? Renaud's parents are wrong: the marginal benefit to Renaud of another year of university is greater than the marginal cost of university Renaud's parents are correct: if he leaves university, he has wasted three years of tuition. It is impossible to tell who is correct. Renaud's parents are wrong: the marginal benefit to Renaud of another year of university is less than the marginal cost of university

Answers

The statement that "Renaud's parents are wrong: the marginal benefit to Renaud of another year of university is less than the marginal cost of university" is the correct answer because if Renaud continues to study in university for one more year, he will incur the cost of tuition fees, and the additional benefit that he would receive will not match the cost of tuition fees.

As per the given statement in the question that Renaud is studying in the Massachusetts Institute of Technology and after three years, he realized that he doesn't want to finish school but wants to be a chef. When Renaud mentions that he is considering leaving university for culinary school, his parents insist that he stay for one more year to get his degree.

Thus, this scenario can be used to explain the marginal benefit and marginal cost analysis of the decision made by Renaud's parents. Marginal cost and marginal benefit analysis Marginal analysis can be defined as the evaluation of the additional cost and additional benefits that arise from an activity, decision or choice. Marginal benefit refers to the additional benefit that a person gets from the additional unit of an activity, decision or choice.

Marginal cost refers to the additional cost that arises from an additional unit of an activity, decision or choice. The situation in the question involves the marginal benefit and marginal cost analysis of the decision of staying in the university for one more year.

Renaud's parents insist that he stays for one more year to get his degree. If he stays for one more year, the marginal cost will be the tuition fee of the university for one year and the marginal benefit will be the degree that he will receive after completing his course. If he decides to leave the university for culinary school, the marginal cost will be the amount of tuition fee paid for three years and the marginal benefit will be the training and education he receives from the culinary school that will help him pursue his passion for cooking.

Economic Analysis of the given situation It can be concluded that the marginal benefit of another year of university to Renaud is less than the marginal cost of university. Renaud has realized that he has a passion for cooking, and his parents' insistence on him to get the degree would not have any significant benefit to him.

If Renaud continues to study in university for one more year, he will incur the cost of tuition fees, and the additional benefit that he would receive will not match the cost of tuition fees. Hence, his parents' insistence on him to stay for one more year is not appropriate, and Renaud's decision to leave the university to pursue his passion for cooking is the right choice for him.

Therefore, the statement that "Renaud's parents are wrong: the marginal benefit to Renaud of another year of university is less than the marginal cost of university" is the correct answer.

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saturn company paid $10,000 on accounts payable. how does this transaction affect the accounting equation of saturn?

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Saturn company paid $10,000 on accounts payable. This transaction affects the accounting equation of Saturn in a certain way. Let's see how it affects the accounting equation of Saturn.

The accounting equation of Saturn can be defined as:

Assets = Liabilities + Equity

We can write accounts payable as part of the liabilities of the Saturn company. The payment of $10,000 by the Saturn company would decrease its liabilities since the company has paid off a part of its liability. Therefore, the accounting equation of Saturn would be affected in the following way:

Assets = Liabilities + Equity

$10,000 = -$10,000 + Equity

Here, the value of liabilities has decreased by $10,000 due to the payment made by the company, but the value of the equity is yet unknown. The payment of $10,000 on accounts payable by Saturn company increases the amount of equity that the company has.

This means that the company is now better off than it was before the payment was made.

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The market demand function for four-year private universities is given by the equation: Qdpr = 84 - 3.1Ppr + .8I +.9Ppu
Where Qdpr is the number of applicants to private universities per year in thousands,Ppr is the average price of private universities (in thousands of USD), I is the household monthly income (in thousands of USD), and Ppu is the average price of public (government-supported) universities (in thousands of USD). Assume that Ppr is equal to 38, I is equal to 100, and Ppu is equal to 18
a- Compute the price elasticity of demand for private universities
b- Compute the income elasticity for private universities
c- Compute the cross-elasticity of demand for private universities
d- If the two goods are classified as complementary, the cross elasticity between them is
e- What will be the cross elasticity of demand between two goods, if the two goods are classified as substitutes

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To compute the price elasticity of demand for private universities, we need to find the derivative of the demand function with respect to the price of private universities (Ppr) and then multiply it by the ratio of Ppr to Qdpr.


First, find the derivative of the demand function with respect to Ppr:
dQdpr/dPpr = -3.1

Now, calculate Qdpr using the given values of Ppr, I, and Ppu:

Qdpr = 84 - 3.1(38) + .8(100) + .9(18) = 84 - 117.8 + 80 + 16.2 = 62.4

Next, calculate the price elasticity of demand:

Price elasticity = (dQdpr/dPpr) * (Ppr/Qdpr) = -3.1 * (38/62.4) = -1.9006

b- To compute the income elasticity for private universities, find the derivative of the demand function with respect to income (I) and then multiply it by the ratio of I to Qdpr.

dQdpr/dI = .8

Income elasticity = (dQdpr/dI) * (I/Qdpr) = .8 * (100/62.4) = 1.2821

c- To compute the cross-elasticity of demand for private universities, find the derivative of the demand function with respect to the price of public universities (Ppu) and then multiply it by the ratio of Ppu to Qdpr.

d- Qdpr/dPpu = .9

Cross elasticity = (dQdpr/dPpu) * (Ppu/Qdpr) = .9 * (18/62.4) = 0.2596

d- If the two goods are classified as complementary, the cross elasticity between them is negative. This means that an increase in the price of one good leads to a decrease in the quantity demanded of the other good.

If the two goods are classified as substitutes, the cross elasticity of demand between them is positive.

This means that an increase in the price of one good lead to an increase in the quantity demanded of the other good.

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which major north american sports league provides marketing insights to all of its members through the team marketing and business operations (tmbo) office?

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The National Football League (NFL) provides marketing insights to all of its members through the Team Marketing and Business Operations (TMBO) office.

The Team Marketing and Business Operations (TMBO) office of the National Football League (NFL) provides marketing insights and support to all of its member teams. This includes providing resources and guidance on areas such as branding, fan engagement, sponsorships, and ticket sales, among others.

The TMBO works closely with each team's marketing and business operations staff to develop and execute effective strategies to help drive revenue and grow the fan base.

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in the long run, producers can be more flexible and therefore, price elasticity of supply is more elastic. true false

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Answer:

True

Explanation:

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during a swot analysis, sweet treats identifies a growing number of local businesses now offering bakery items to customers. this finding would be characterized as a(n) group of answer choices strength. weakness. opportunity. threat. advantage.

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In order to draw customers and maintain its position as a market leader, Sweet Treats can take this chance to enhance its product lineup or marketing tactics.

entails a corporate level strategy whereby a firm expands its activities and enters a new industry that uses, distributes, or sells the company's products.

Expanding a business' operations into new or unrelated products, services, markets, or industries is referred to as business diversification. Diversification is frequently done to increase new revenue streams while lowering overall business risk.

Which of these is a step towards establishing an effective supply by becoming an input provider?

Entering the market of input suppliers is a step towards the construction of an effective supply.

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financial institutions are required to provide clear information about the costs and terms of interest-earning accounts in uniform terms due to the .

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Financial institutions are required to provide clear information about the costs and terms of interest-earning accounts in uniform terms due to the Truth in Savings Act (TISA).

The Truth in Savings Act is a federal law that requires financial institutions to disclose to consumers the terms and conditions of deposit accounts such as checking and savings accounts, in a uniform and easy-to-understand way. It also requires financial institutions to clearly disclose any fees, interest rates, and other important details related to deposit accounts, such as how interest is calculated, the minimum balance required to earn interest, and any penalties for early withdrawal or account closure.

By providing this information in uniform terms, financial institutions ensure that consumers have a clear and complete understanding of the costs and benefits associated with different deposit accounts, and can make informed decisions about which accounts best meet their needs.

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