a portfolio consists of $17,800 in stock a and $29,900 invested in stock b. the expected return on these stocks is 10.20 percent and 13.80 percent, respectively. what is the expected return on the portfolio? multiple choice 11.54% 10.58% 13.13% 12.00% 12.46%

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Answer 1

The expected return on the portfolio can be calculated using the weighted average of the expected returns of stock A and stock B based on their respective amounts in the portfolio:

Expected return on portfolio = (amount in stock A / total portfolio amount) x expected return of stock A + (amount in stock B / total portfolio amount) x expected return of stock B
Plugging in the given values, we get:

Expected return on portfolio = (17,800 / (17,800 + 29,900)) x 10.20% + (29,900 / (17,800 + 29,900)) x 13.80%

Expected return on portfolio = 0.372 x 10.20% + 0.628 x 13.80%

Expected return on portfolio = 3.799% + 8.685%

Expected return on portfolio = 12.484%

Therefore, the expected return on the portfolio is 12.484%, which is closest to 12.46%.

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Related Questions

another bank has offered 9% add-on interest to be repaid in 12 equal monthly installments. what is the monthly payment on this add-on interest loan?

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the monthly payment on this add-on interest loan is approximately 0.9091 times the principal amount.

To calculate the monthly payment on an add-on interest loan, you need to divide the total loan amount by the number of months. Given that the interest rate is 9% and the loan is to be repaid in 12 equal monthly installments, we can assume that the total loan amount is 100% + 9% = 109% of the principal.

Let's say the principal amount is P.

The total loan amount, including interest, is 109% of P.

To calculate the monthly payment, we divide the total loan amount by the number of months:

Monthly Payment = Total Loan Amount / Number of Months

Since the loan is to be repaid in 12 equal monthly installments, we have:

Monthly Payment = 109% of P / 12

Dividing 109% by 12 gives us:

Monthly Payment = 0.9091P

Therefore, the monthly payment on this add-on interest loan is approximately 0.9091 times the principal amount.

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question 30 options: the labor supply elasticity is about -0.1 for men and 0.2 for women. that implies that among

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If there is a 3% increase in quantity supplied in response to a price rise and the price elasticity of supply is 1.5, then the price increase is roughly 0.2%. The correct answer is 0.2%.

The following is the formula for price elasticity of supply: Price Elasticity of Supply is equal to (% Change in Quantity Supplied) divided by (% Change in Price).

We are informed that the supply's price elasticity is 1.5 and the percentage growth in supply is 3%. Let x be the proportional price rise that causes this 3% increase in supply. Consequently, we can create the following equation: 1.5 = (3%/ x) We may calculate x using the formula: X= (3% / 1.5) = 2%. A 2% rise in price resulted in a 3% increase in supply. The inquiry requests the price increase percentage. so that we can compute (2% /10)* 100% = 0.2 * 100% = 0.2%.

Complete question:

question 30 options: the labor supply elasticity is about -0.1 for men and 0.2 for women. that implies that among. Multiple choice questions

a. 0.2%

b. 0.5%

c. 0.7%

d.0.9%

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Consider the following: DBAs formulate database policies, communicate these policies to users, and enforce them. These policies include: access privileges, security, disaster planning, and archiving. Why is this important? If you were employed as the DBA for our university, what would you suggest as some good mechanisms and rules? What would be your priorities and how would you carry them out?

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As a DBA, formulating and enforcing policies is crucial for maintaining the integrity and security of the database. Access privileges, security, disaster planning, and archiving are all important policies to ensure that data is protected from unauthorized access, loss, or corruption.

As a DBA, formulating and enforcing policies is crucial for maintaining the integrity and security of the database. Access privileges, security, disaster planning, and archiving are all important policies to ensure that data is protected from unauthorized access, loss, or corruption. Without proper policies in place, the database can be vulnerable to security breaches, data loss, or other problems.
If I were employed as the DBA for a university, my top priority would be to ensure the security of the database. I would implement strict access control measures to prevent unauthorized access, and regularly review access privileges to ensure that they are appropriate and up-to-date. Disaster planning would also be a key focus, including regular backups and off-site storage to ensure that data can be recovered in the event of a disaster.
In terms of mechanisms and rules, I would recommend regular audits and assessments to identify vulnerabilities and areas for improvement. I would also establish clear procedures for data archiving and retention, ensuring that data is kept for the appropriate length of time and disposed of securely when no longer needed.

Overall, my goal as a DBA would be to establish policies and mechanisms that ensure the database is secure, reliable, and accessible to authorized users. By prioritizing security and disaster planning, and implementing regular assessments and reviews, I would strive to maintain the integrity and availability of the database for the university community.

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FILL IN THE BLANK the amount of spending that the credit card company will allow you is known as the ________ limit. credit affinity annual fee

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The amount of spending that the credit card company will allow you is known as the credit limit.

The credit limit is the maximum amount of money you can borrow or charge on your credit card. It is determined by the credit card issuer based on factors such as your credit history, income, and creditworthiness.

The credit limit acts as a safeguard for both the credit card company and the cardholder. It helps to manage the risk of default and ensures that cardholders do not accumulate excessive debt that they may struggle to repay.

The credit limit can be adjusted over time based on your creditworthiness and the credit card company's policies.

It is important to manage your credit utilization and stay within your credit limit to maintain a good credit score and avoid overextending your finances.

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if a business in a rapidly growing industry experiences a suddent increase in inventory days, what may this indicate?

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If a business in a rapidly growing industry experiences a sudden increase in inventory days, it may indicate several things.

First, it could suggest that the company is producing more goods than it can sell, resulting in an excess of inventory.

Second, it could be due to a slowdown in sales, causing a build-up of inventory.

Third, it may indicate that the business is experiencing issues with its supply chain or production process, leading to delays in getting goods to market.

Regardless of the reason, a sudden increase in inventory days can have negative implications for a business. It can tie up cash flow, increase storage costs, and result in a loss of profits if goods become obsolete or spoil.

Therefore, businesses should monitor their inventory levels closely and take action to address any sudden increases to ensure they can continue to operate efficiently and effectively.

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which of these pieces of information would fit in a career plans current section? cheap all that apply

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The pieces of information that would fit in a career plan's current status section are;

Thave completed an internship working on a farmI have taken an advanced math class.I have graduated from high school,

What are  career plans?

Career management  can be describd as the combination of structured planning  as well as  active management choice of one's own professional career.

It should be noted that the Career Management  serves asthe term which ias a broad one tht encompass the Career Planning & Career Development on an individual level  when considering a particuar organizational level.

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complete question;

Which of these pieces of information would fit in a career plan's current status section? Check all that apply,

Thave completed an internship working on a farm

I want to get a summer job.

I have taken an advanced math class.

I plan to get a license to practice.

I have graduated from high school,

I want to attend college.

successfully attracting commitment, energizing workers, and creating meaning in employees' lives are the result of what type of motivation?

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The type of motivation that results in successfully attracting commitment, energizing workers, and creating meaning in employees' lives is intrinsic motivation. Intrinsic motivation is the drive that comes from within an individual to perform a task or achieve a goal because it is personally rewarding or satisfying.

It involves pursuing a goal for its own sake rather than for an external reward or incentive. Employees who are intrinsically motivated feel a sense of autonomy, mastery, and purpose in their work, which leads to greater job satisfaction, engagement, and productivity. It is important for organizations to foster intrinsic motivation in their employees by providing opportunities for skill development, meaningful work, and autonomy in decision-making. This can lead to a positive work environment, improved performance, and ultimately, the achievement of organizational goals.

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the condition in which tariffs and other barriers to trade between nations are kept to a maximum? true or false

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The statement is False. The condition in which tariffs and other barriers to trade between nations are kept to a minimum or eliminated is referred to as free trade.

Free trade refers to the unrestricted exchange of goods and services between countries without the imposition of trade barriers such as tariffs, quotas, or subsidies. It promotes economic efficiency, specialization, and increased market access. Under free trade, countries can focus on producing goods and services in which they have a comparative advantage, leading to higher productivity and economic growth.

It allows for greater competition, innovation, and consumer choice, as well as the potential for lower prices and increased variety of products. Free trade agreements are often negotiated between countries to establish mutually beneficial trade rules and reduce trade barriers.

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calculate the return on investment for an advertisement from the given data. net sales is $1,000, and advertising cost is $50. question 15 options: 1) 5 2) 19 3) 9 4) 23 5) 25

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the return on investment for this advertisement is 19 or option 2.
This means that for every dollar spent on advertising, the company earned $19 in net sales

To calculate the return on investment for an advertisement, we need to divide the net sales by the advertising cost and then multiply by 100 to get the percentage.
The formula for return on investment (ROI) is:
ROI = (Net sales - Advertising cost) / Advertising cost x 100
Using the given data, we can calculate the ROI as follows:
ROI = ($1,000 - $50) / $50 x 100
ROI = $950 / $50 x 100
ROI = 19 x 100
ROI = 1,900%
A higher ROI indicates that the advertising campaign was successful in generating more revenue than it cost to run the campaign.
It's important to note that ROI is just one of the metrics used to evaluate the effectiveness of an advertising campaign. Other factors, such as customer engagement, brand awareness, and customer retention, also play a role in determining the overall success of an advertisement.

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a firm has a tract of timber. the future growth rate of the trees and the price of the lumber are uncertain. the firm: group of answer choices has a timing option has an expansion option has an option to vary the production technology shoudl harvest the timber immediately if the npv is positive

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A firm has a tract of timber. The future growth rate of the trees and the price of the lumber are uncertain.The firm should harvest the timber immediately if the NPV (Net Present Value) is positive.

Given the uncertainty surrounding the future growth rate of the trees and the price of lumber, the firm should consider the financial viability of harvesting the timber based on the present value of expected cash flows. If the NPV, which represents the difference between the present value of expected benefits (cash inflows) and the present value of costs (cash outflows), is positive, it indicates that the expected returns from harvesting the timber outweigh the costs.

By harvesting the timber immediately when the NPV is positive, the firm can maximize its financial gain and capture the value of the timber at the current moment. Waiting for future uncertainties to resolve or for potential growth in tree size or lumber prices may involve additional risks and costs. Therefore, it is advisable for the firm to take advantage of positive NPV and proceed with the timber harvest promptly.

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Notice of any environmental hazard is delivered to a buyer by a seller in writing on a:a) standardized form as mandated by the state legislature.b) standardized form as mandated by the federal government.c) standardized form as mandated by the California Bureau of Real Estate (CalBRE).d) Transfer Disclosure Statement (TDS) and purchase agreement.

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In California, notice of any environmental hazard is delivered to a buyer by a seller in writing on a Transfer Disclosure Statement (TDS) and purchase agreement.

The TDS is a standardized form required by law that must be completed by the seller or the seller's agent when selling a residential property. It includes a section where the seller must disclose any known environmental hazards, such as lead-based paint, asbestos, or hazardous waste, that could affect the property or the health of the occupants.The TDS is required for most residential real estate transactions, with a few exceptions, such as transfers between family members or transfers resulting from a foreclosure. The TDS is designed to protect buyers by providing them with important information about the property they are purchasing, including any known environmental hazards, and allowing them to make an informed decision about whether to proceed with the purchase or not.

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how can you create a position involving a put, a call, and riskless lending that would have the same payoff structure as the stock at expiration? the stock will pay no divi- dends in the next three months.

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Answer:

Explanation:

To create a position involving a put, a call, and riskless lending that would have the same payoff structure as the stock at expiration, we can use a stock collar strategy. This involves buying a put option with a strike price below the current stock price, selling a call option with a strike price above the current stock price, and investing the proceeds from the sale of the call option in a riskless asset such as Treasury bills.

For example, if the current stock price is $50, we could buy a put option with a strike price of $45 and sell a call option with a strike price of $55. If the premiums on the put and call options are $2 and $1, respectively, we would have a net cost of $1 for the options. We would then invest $49 (the current stock price minus the net option cost) in riskless Treasury bills.

If the stock price is above $55 at expiration, the call option will be exercised and we will sell the stock for $55, resulting in a profit of $5 ($55 - $50). However, we will have to pay $45 for the put option, resulting in a net profit of $0. If the stock price is below $45 at expiration, the put option will be exercised and we will sell the stock for $45, resulting in a loss of $5 ($50 - $45). However, we will receive $55 for the call option, resulting in a net profit of $0. If the stock price is between $45 and $55 at expiration, both options will expire worthless and we will receive the riskless interest earned on the Treasury bills.

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Logistics Solutions provides order fulfillment services for dot.com merchants. The company maintains warehouses that stock items carried by its dot.com clients. When a client receives an order from a customer, the order is forwarded to Logistics Solutions, which pulls the item from storage, packs it, and ships it to the customer. The company uses a predetermined variable overhead rate based on direct labor-hours. In the most recent month, 205,000 items were shipped to customers using 9,200 direct labor-hours. The company incurred a total of $33,580 in variable overhead costs. According to the company’s standards, 0.02 direct labor-hours are required to fulfill an order for one item and the variable overhead rate is $3.70 per direct labor-hour. Required: 1. According to the standards, what variable overhead cost should have been incurred to fill the orders for the 205,000 items? How much does this differ from the actual variable overhead cost? (Indicate the effect of each variance by selecting "F" for favorable, "U" for unfavorable, and "None" for no effect (i.e., zero variance). Round labor-hours per item and overhead cost per hour to 2 decimal places.) 2. Break down the difference computed in (1) above into a variable overhead rate variance and a variable overhead efficiency variance. (Indicate the effect of each variance by selecting "F" for favorable, "U" for unfavorable, and "None" for no effect (i.e., zero variance).)

Answers

The variable overhead efficiency variance is unfavorable as more direct labor-hours were used than expected to fulfill the orders.

According to the standards, the variable overhead cost that should have been incurred to fill the orders for the 205,000 items is calculated as follows:

Variable overhead rate per hour = $3.70

Direct labor-hours per item = 0.02

Variable overhead cost per item = $3.70 × 0.02 = $0.074

Variable overhead cost for 205,000 items = $0.074 × 205,000 = $15,170

The actual variable overhead cost incurred was $33,580. The difference between the actual and standard variable overhead cost is unfavorable and equal to:

Actual variable overhead cost - Standard variable overhead cost = $33,580 - $15,170 = $18,410 (U)

The difference between the actual and standard variable overhead cost can be broken down into a variable overhead rate variance and a variable overhead efficiency variance.

Variable overhead rate variance = (Actual variable overhead rate - Standard variable overhead rate) x Actual direct labor-hours

Actual variable overhead rate = Actual variable overhead cost / Actual direct labor-hours

= $33,580 / 9,200 = $3.64 per direct labor-hour

Standard variable overhead rate = $3.70 per direct labor-hour

Variable overhead rate variance = ($3.64 - $3.70) x 9,200 = $-552 (F)

The variable overhead rate variance is favorable as the actual variable overhead rate is lower than the standard variable overhead rate.

Variable overhead efficiency variance = (Actual direct labor-hours - Standard direct labor-hours) x Standard variable overhead rate

Standard direct labor-hours = 0.02 direct labor-hours per item × 205,000 items = 4,100 direct labor-hours

Variable overhead efficiency variance = (9,200 - 4,100) x $3.70 = $19,110 (U)

The variable overhead efficiency variance is unfavorable as more direct labor-hours were used than expected to fulfill the orders.

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Betty and Bob are long 5,000 shares of XYZ stock, short 20 October 50 calls, and long 35 October 45 puts. A. Find the equivalent share position. They are a. long/short ________________ shares. B. Algebraically find how many October 45 calls they should buy or sell to be delta neutral. They should a. buy/sell _____________ calls.

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A. They are long 3,000 shares. B. Algebraically find how many October 45 calls they should buy or sell to be delta neutral. They should sell 4,967 calls.

To find the equivalent share position, we need to consider the impact of each position:

Long 5,000 shares of XYZ stock: +5,000 sharesShort 20 October 50 calls: Since each call represents 100 shares, this is equivalent to -20 x 100 = -2,000 sharesLong 35 October 45 puts: Puts do not have a direct share equivalency, so they will not affect the share count

Adding these together, the equivalent share position is +5,000 - 2,000 = +3,000 shares. So, they are long 3,000 shares.

To be delta neutral, Betty and Bob need to offset the current delta of their portfolio by buying or selling options. Given the deltas provided in the question, we can calculate the number of October 45 calls they should buy or sell as follows:

Net Delta of the Portfolio = (5,000 x 0.6) - (20 x 0.3) + (35 x (-0.4)) Net Delta of the Portfolio = 2,980

We know that Delta of Each October 45 Call = 0.6. Thus:

= -(2,980) / (0.6)= -4,967

Therefore, to be delta neutral, Betty and Bob should sell 4,967 October 45 calls.

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tunde is running a brand awareness campaign to reach buyers who are not yet familiar with her brand. which targeting option should she use for this campaign objective? select all that apply.

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When running a brand awareness campaign to reach buyers who are not yet familiar with the brand, the following targeting options could be used: demographic targeting, interest targeting, behavioral targeting, lookalike targeting.

Demographic targeting: This involves selecting specific demographics such as age, gender, location, income level, or education level that align with the target audience Tunde wants to reach. By narrowing down the demographics, she can focus her campaign on the most relevant audience.
Interest targeting: This involves targeting individuals based on their interests, hobbies, or activities. Tunde can select interests that are related to her brand or are likely to be of interest to her target audience.
Behavioral targeting: This involves targeting individuals based on their online behavior or past interactions with similar brands. Tunde can target users who have shown interest in similar products or have engaged with related content online.
Lookalike targeting: This involves targeting individuals who have similar characteristics or behaviors to an existing customer base or target audience. Tunde can use lookalike targeting to reach new potential buyers who share similarities with her existing customers.
By utilizing a combination of these targeting options, Tunde can effectively reach and engage with buyers who are not yet familiar with her brand, increasing brand awareness among the desired audience.

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since standard operating procedures and standard operating guidelines typically undergo changes over time, it is important to include a ____________ when making changes.

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Since standard operating procedures (SOPs) and standard operating guidelines (SOGs) typically undergo changes over time, it is important to include a "revision history" when making changes.

This helps track and document the updates made to the procedures and guidelines, ensuring consistency and clarity for users.

Standard Operating Procedures (SOPs) are documented guidelines or instructions that outline the step-by-step processes and activities required to carry out specific tasks or activities within an organization. SOPs provide a standardized approach to ensure consistency, efficiency, and quality in operations.

Standard Operating Procedures are valuable tools for organizations to streamline operations, ensure consistency, improve efficiency, and maintain quality and compliance. They provide a framework for employees to follow, reduce variability, and support effective knowledge transfer within the organization.

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jackson investigated loans for a $15,575 car. what might happen if he found a car he liked for $10,000?

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Assuming that Jackson had already taken out a loan for the full $15,575 amount, he could potentially use the extra $5,575 to pay down the loan balance or make extra payments towards the loan principal.


By doing so, he would reduce the overall amount of interest he would have to pay over the life of the loan and potentially pay off the loan sooner than expected.
If Jackson has not yet taken out a loan, he could potentially consider borrowing less than the full $15,575 amount to finance the $10,000 car. This would result in a smaller loan amount, which would reduce his monthly payments and the total amount of interest he would pay over the life of the loan. Additionally, he may be able to negotiate a lower interest rate with the lender for a smaller loan amount, which would also reduce the overall cost of financing the car.

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When must Glenda, a licensee at Roberts Real Estate, provide a written agency relationship disclosure to all parties for whom she is providing service?A. Before Glenda shows a buyer any propertiesB. At any open houses that Roberts holdsC. After a buyer makes an offer on a propertyD. Before a buyer signs an offer in a transaction she is handling

Answers

The correct answer is D. Before a buyer signs an offer in a transaction she is handling. Glenda, as a licensee at Roberts Real Estate, must provide a written agency relationship disclosure to all parties for whom she is providing service before a buyer signs an offer in a transaction she is handling.

Explanation:

As a licensee at Roberts Real Estate, Glenda is required to provide a written agency relationship disclosure to all parties for whom she is providing service. This is a legal requirement and failure to provide such a disclosure can result in legal repercussions for the licensee and the brokerage firm.

The disclosure must be provided before a buyer signs an offer in a transaction that Glenda is handling. This means that Glenda must disclose the agency relationship to the buyer before they make an offer on a property. The disclosure must also be made in writing, which can be done through a form provided by the brokerage firm or through a separate document.

Providing the disclosure after a buyer makes an offer on a property or at an open house is not sufficient. The disclosure must be made before the buyer signs an offer in a transaction that Glenda is handling.

It is important for Glenda to provide the disclosure in a timely and accurate manner to ensure that all parties involved in the transaction are aware of the agency relationship and their respective roles and responsibilities. This helps to avoid misunderstandings and potential legal issues down the line.

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when there is not enough gas produced in a landfill to be economically feasible to capture, what is done with the gas?

Answers

If there is not enough gas produced in a landfill to be economically feasible to capture, then the gas is typically vented or flared.

Venting involves releasing the gas into the atmosphere, while flaring involves burning the gas off at the source. Both of these options have environmental impacts, as methane is a potent greenhouse gas that contributes to climate change when released into the atmosphere. Some landfill operators may also choose to flare or vent as a way to reduce the amount of methane they release, as it is more cost-effective than capturing and utilizing the gas.  

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how does the u.s. patent system create monopolies?multiple choice question.the system creates cost complementaritiesgrants an inventor exclusive right to sell the productintegrates many producers to create one, large firmremoves barriers to entry for a specified period of time

Answers

The system creates monopolies by granting an inventor exclusive right to sell the product.

The U.S. patent system provides inventors with the exclusive right to make, use, and sell their inventions for a specified period of time, typically 20 years from the date of filing. This grants inventors a monopoly over their inventions, preventing others from making, using, or selling the same invention without their permission. This exclusive right to sell the product can lead to the creation of monopolies, as the inventor or the company that owns the patent can control the market for the invention and charge higher prices due to the lack of competition. In summary, the U.S. patent system creates monopolies by granting inventors the exclusive right to sell their products.


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LA furniture company has requested that you determine whether the company's ability to pay its current liabilties and long-term debts improved or deteriorated during 2014. To answer this question, compute the following ratios for 2014 and 2013.a. Working capitalb. Current ratioc. Quick (acid-test) ratiod. Debt ratioe. Times-interest-earned ratio. Round your answers to two decimal places.Summarize the results of your analysis in a short paragraph.Cash 2014-1000 2013-47000Short-term investments 2014-28000 2013-27000Net receivables 2014-114000 2013-126000Inventory 2014-236000 2013-265000Prepaid expenses 2014-22000 2013-8000Total assets 2014-18000 2013-35000Total current liabilities 2014-224000 2013-262000Long-term debt 2014-97000 2013-174000Income from operations 2014-261000 2013-150000Interest expense 2014-41000 2013-42000

Answers

LA Furniture Company's ability to pay its current liabilities and long-term debts has deteriorated in 2014 compared to 2013, as shown by decreasing values of working capital, current ratio, quick ratio, and times-interest-earned ratio, and an increasing value of the debt ratio.

Working capital for 2014 = Current assets - Current liabilities = $415,000 - $224,000 = $191,000

Working capital for 2013 = Current assets - Current liabilities = $448,000 - $262,000 = $186,000

Current ratio for 2014 = Current assets / Current liabilities = $415,000 / $224,000 = 1.85

Current ratio for 2013 = Current assets / Current liabilities = $448,000 / $262,000 = 1.71

Quick ratio for 2014 = (Current assets - Inventory) / Current liabilities = ($415,000 - $236,000) / $224,000 = 0.83

Quick ratio for 2013 = (Current assets - Inventory) / Current liabilities = ($448,000 - $265,000) / $262,000 = 0.64

Debt ratio for 2014 = Total liabilities / Total assets = ($224,000 + $97,000) / $1,800,000 = 0.16

Debt ratio for 2013 = Total liabilities / Total assets = ($262,000 + $174,000) / $3,500,000 = 0.12

Times-interest-earned ratio for 2014 = Income from operations / Interest expense = $261,000 / $41,000 = 6.37

Times-interest-earned ratio for 2013 = Income from operations / Interest expense = $150,000 / $42,000 = 3.57

The working capital and current ratio have improved slightly from 2013 to 2014, indicating that the company's ability to pay its current liabilities has improved.

The quick ratio has improved significantly from 2013 to 2014, indicating that the company's ability to pay its current liabilities using only its most liquid assets has improved.

The debt ratio has increased from 2013 to 2014, indicating that the company is relying more on debt financing. However, the times-interest-earned ratio has also improved significantly from 2013 to 2014, indicating that the company is generating more income to cover its interest expense.

Overall, the company's ability to pay its current liabilities and long-term debts has improved slightly in 2014 compared to 2013.

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the sale price of a bicycle that cost $300 is $270. by what percentage was the price of the bicycle reduced?

Answers

The price of the bicycle was reduced by 10%.

Sale price refers to the price of a product after a discount or markdown has been applied. In other words, it is the price that the customer actually pays for the product after the discount has been applied to the original price. For example, if the original price of a bicycle is $300 and it is on sale for $270, then the sale price of the bicycle is $270.

To find the percentage by which the price of the bicycle was reduced, we can use the formula:

Percentage decrease = (Original value - New value) / Original value x 100%

In this case, the original value is $300 and the new value is $270. So, we can substitute these values in the formula and calculate the percentage decrease:

Percentage decrease = (300 - 270) / 300 x 100%

Percentage decrease = 30 / 300 x 100%

Percentage decrease = 0.1 x 100%

Percentage decrease = 10%

Therefore, the price of the bicycle was reduced by 10%.

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B) calculate the manufacturing cost per towel under absorption costing

c) prepare an absorption - costing income statement for empey manufacturing

Empey Manufacturing produces towels to be sold as souvenirs at sporting events throughout the world. Assume that units produced equalled units sold in 2020. The company's variable-costing income statement and other data are as follows: $580,285 EMPEY MANUFACTURING Income Statement Year Ended December 31, 2020 Variable Costing Sales (269. 900 units) Variable cost of goods sold $269,900 Variable selling expenses 21. 592 Variable administrative expenses 32,388 Contribution margin Fixed manufacturing overhead 94465 Fixed selling expenses 37,500 323,880 256,405 Fixed administrative expenses 42. 800 174765 Net Income $81,640 Unit selling price $2. 15 Variable costs per unit Direct material 0. 20 Direct labour 0. 40 0. 40 Variable overhead Variable selling expenses Variable administrative expenses 0. 08 0. 12 Calculate the manufacturing cost per towel under variable costing (Round answer to 2 decimal places, es 15. 25. ) Manufacturing cost $ per towel

Answers

Net income $168,008, To calculate the manufacturing cost per towel under absorption costing, we need to include all manufacturing costs, both variable and fixed.

Manufacturing cost per towel under absorption costing:

= (Direct materials + Direct labor + Variable overhead + Fixed overhead) / Units produced

Direct materials per unit = $0.20

Direct labor per unit = $0.40

Variable overhead per unit = $0.08

Fixed overhead per unit = Total fixed overhead / Units produced

= $94,465 / 269,900

= $0.35

Manufacturing cost per unit = $0.20 + $0.40 + $0.08 + $0.35

= $1.03

Therefore, the manufacturing cost per towel under absorption costing is $1.03.

To prepare an absorption-costing income statement for Empey Manufacturing, we need to allocate fixed manufacturing overhead to each unit produced and sold. This is done using the predetermined overhead rate:

Predetermined overhead rate = Total fixed manufacturing overhead / Units produced

= $94,465 / 269,900

= $0.35 per unit

Absorption costing income statement:

Sales revenue (269,900 units x $2.15) $580,285

Cost of goods sold:

Direct materials (269,900 units x $0.20) $53,980

Direct labor (269,900 units x $0.40) $107,960

Variable overhead (269,900 units x $0.08) $21,592

Fixed overhead (269,900 units x $0.35) $94,465

Total cost of goods sold $277,997

Gross margin $302,288

Less: Selling expenses:

Variable (269,900 units x $0.08) $21,592

Fixed $37,500

Total selling expenses $59,092

Contribution margin $243,196

Less: Administrative expenses:

Variable (269,900 units x $0.12) $32,388

Fixed $42,800

Total administrative expenses $75,188

Net income $168,008

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What is true of divisive clustering methods that makes them different from agglomerative clustering​ methods?A. They can only have a pair of subjects in each clusterB. They separate objects into a particular cluster in one stepC. They can only have a single subject in each clusterD. They separate n objects successively into finer groupings

Answers

Divisive clustering methods , as compared to agglomerative clustering methods, separate objects into a particular cluster in one step (B).

Clustering is a technique used in machine learning and data mining to group similar objects or data points together based on their characteristics or similarities. Two common approaches to clustering are divisive clustering and agglomerative clustering.

Divisive clustering methods work by starting with all objects in a single cluster and then recursively dividing or separating them into smaller and more distinct clusters. The process continues until each object is assigned to its own individual cluster. This method involves a top-down approach, where the entire dataset is divided step-by-step into finer groupings.

In contrast, agglomerative clustering methods follow a bottom-up approach. They start with each object as a separate cluster and then iteratively merge similar clusters until a desired number of clusters is reached. Agglomerative methods combine objects or clusters in a step-by-step manner, gradually forming larger clusters.

The key distinction between divisive and agglomerative clustering methods lies in the process of separating or merging clusters. Divisive methods, indicated by option B, separate objects into a particular cluster in one step. They start with a single cluster and recursively divide it, whereas agglomerative methods start with individual objects or clusters and merge them gradually.

In summary, divisive clustering methods differ from agglomerative clustering methods in that they separate objects into a particular cluster in one step. Divisive methods follow a top-down approach, dividing a single cluster into smaller clusters until each object forms its own cluster. Understanding the differences between these two clustering approaches is essential for selecting the most appropriate method based on the data characteristics and clustering objectives.

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during the 1970s, business technology employees often dealt directly with customers. group startstrue or false

Answers

This is a false statement because the business technology employees did often dealt directly with customers.

What happened then in business

during the 1970s business technology employees did not often deal directly with customers

This was before the widespread use of personal computers and the internet and customer interactions were typically handled by customer service or sales teams

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joachim company has 300 units costing $10 per unit in beginning inventory. during the year, the company purchases an additional 1,000 units costing $20 per unit and sells 1,200 units. the company has used the lifo inventory method for the past 5 years. if the company had purchased 1,200 units, pretax income would have been multiple choice question. $1,000 lower. $2,000 higher. $2,000 lower. $1,000 higher.

Answers

If company used LIFO inventory method and purchased 1200 units, then the pre-tax income would have been : (c) $2,000 lower.

Under the LIFO method, the cost of goods sold is calculated using the latest purchase cost. Therefore, when the company sells units, it is assumed to sell the latest (most expensive) units first and the cost of goods sold will be higher, resulting in lower pre-tax income.

The Opening Stock for Joachim company is = 300 at $10 per unit,

The Additional purchases made by company is : 1000 units at $20 per unit,

The number of Units sold is : 1200 units;

Case (1) : with 1000 new purchases;

Pre-tax income is = (1000 × 20) + (200 × 10),

= $20000 + 2000;

= $22000,

Case (2) : With 1200 as new purchases;

Pre tax income = 1200 × 20 = $24000,

The difference in pre-tax income is = $24000 - $22000 = $2000,

Therefore, the correct option is (c).

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The given question is incomplete, the complete question is

Joachim company has 300 units costing $10 per unit in beginning inventory. During the year, the company purchases an additional 1,000 units costing $20 per unit and sells 1,200 units.

The company has used the LIFO inventory method for the past 5 years. If the company had purchased 1,200 units, pre-tax income would have been :  

(a) $1000 lower.

(b) $2,000 higher.

(c) $2,000 lower.

(d) $1,000 higher.

or a risky asset assume that e(ri) = 0.25, rf = 0.05 and e(rm) = 0.15. w hat is the beta () for this asset?

Answers

The beta (β) for the asset is 2.

The information provided are:

e(ri) = 0.25, the expected return on the risky asset

rf = 0.05, the risk-free rate

e(rm) = 0.15, the expected return on the market portfolio

To find the beta (β) for the asset, we'll use the Capital Asset Pricing Model (CAPM) formula:

e(ri) = rf + β(e(rm) - rf)

First, let's find the difference between the expected return on the market portfolio and the risk-free rate:

e(rm) - rf = 0.15 - 0.05 = 0.1

Now, plug this difference back into the CAPM formula:

0.25 = 0.05 + β(0.1)

Subtract the risk-free rate from both sides of the equation:

0.25 - 0.05 = β(0.1)

0.2 = β(0.1)

Finally, divide by 0.1 to find the beta:

β = 0.2 / 0.1 = 2

The beta for this risky asset is 2.

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a brother and sister own a parcel of real estate as joint tenants. the brother sells his interest in the property to a cousin. what is the relationship between the sister and the cousin?

Answers

The relationship between the sister and the cousin after the brother sells his interest in the property depends on the legal context and the specific laws of the jurisdiction. However, assuming that the brother's sale of his interest in the property effectively severs the joint tenancy, the sister and the cousin would become tenants in common.

In a joint tenancy, all co-owners have an equal and undivided interest in the property. However, when one joint tenant sells their interest, it typically converts the ownership into a tenancy in common. In a tenancy in common, each co-owner has a distinct, separate share of the property. The shares can be divided unequally or equally, depending on the specific agreement or legal provisions.

Therefore, once the brother sells his interest to the cousin, the sister and the cousin would hold the property as tenants in common. They would have separate and distinct ownership interests in the property, and their relationship would be that of co-owners with individual shares rather than joint tenants.

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Debt creates the risk of becoming ______ if the entrepreneur is unable to make each debt payment on time.
Select one:
a. insolvent
b. profitable
c. successful
d. overextended

Answers

Debt creates the risk of becoming insolvent if the entrepreneur is unable to make each debt payment on time So the correct Option is (a).

Debt refers to an obligation or liability incurred by an individual, organization, or government entity when borrowing money or obtaining goods or services on credit. It involves the borrowing of funds from lenders or creditors with the agreement to repay the borrowed amount along with any interest or fees within a specified timeframe. Debt can be in the form of loans, bonds, mortgages, credit card balances, or other financial obligations. It is a common financial tool used to finance investments, operations, or personal expenses, but it also carries the risk of repayment challenges and interest costs.

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What are Advantages of collaborating

Answers

Collaboration is the process of working together with one or more individuals or organizations to achieve a common goal or purpose. The advantages of collaborating include:

Increased efficiency: Collaborating can help to distribute workload and responsibilities, allowing individuals to focus on their strengths and expertise. This can result in increased efficiency and productivity.Improved communication: Collaborating requires effective communication and can improve the communication skills of individuals involved. Clear communication can prevent misunderstandings and improve the quality of work.Shared resources: Collaborating can help to share resources such as equipment, facilities, and expertise. This can lead to cost savings and greater efficiency.Enhanced learning: Collaboration can provide opportunities for individuals to learn new skills, gain knowledge, and expand their expertise. This can result in personal and professional growth.Greater sense of community: Collaboration can help to build relationships and create a sense of community among individuals or organizations working together towards a common goal. This can lead to increased satisfaction and motivation.

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