beginning with an investment in one company's securities, as we add securities of other companies to our portfolio, which type of risk declines? a. non-diversifiable risk b. market risk c. unsystematic risk d. systematic risk

Answers

Answer 1

As we add securities of other companies to our portfolio, the type of risk that declines is unsystematic risk.

This is because by diversifying our investment across multiple companies, we reduce the risk associated with any one particular company's performance. However, non-diversifiable risk, market risk, and systematic risk are not impacted by diversification. Non-diversifiable risk refers to risks that affect the overall market, such as economic downturns or geopolitical events. Market risk refers to the risk of overall market fluctuations impacting the value of our investments. Systematic risk refers to risks inherent in the specific industry or sector in which the companies we are investing in operate.

Read more about companies here:https://brainly.com/question/30880856

#SPJ11


Related Questions

A corporation may wish to repurchase some of its shares in the market for all the following reasons except:
this action might maximize after-tax benefit to shareholders.
it can stabilize or increase the market price of the stock.
the stock may be needed for an employee compensation plan.
corporations may have strategic goals for the organization that may be adversely

Answers

Repurchasing shares of a corporation’s stock is a common practice used by companies to increase the value of the stock and to increase shareholder value.

It can also be used to stabilize the stock's market price, or to provide shares for employee compensation plans. However, companies do not typically repurchase shares with the intention of maximizing the after-tax benefit to shareholders.

After-tax benefits refer to the amount of money that a company or individual has left after taxes, and repurchasing shares does not directly affect these benefits.

Instead, a company might choose to repurchase shares if it has strategic goals for the organization, such as increasing the company's ownership stake, increasing the stock's market value, or rewarding employees. Repurchasing shares is not an action taken to maximize after-tax benefit to shareholders, but rather an action to increase the market value or to meet organizational goals.

Know more about After-tax benefits here

https://brainly.com/question/30891890#

#SPJ11

12-1 required investment tannen industries is considering an expansion. the necessary equipment would be purchased for $18 million and will be fully depreciated at the time of purchase, and the expansion would require an additional $2 million investment in net operating working capital. the tax rate is 25%. a. what is the initial investment outlay after bonus depreciation is considered? b. the company spent and expensed $20,000 on research related to the project last year. would this change your answer? explain. c. suppose the company plans to use a building that it owns to house the project. the building could be sold for $1 million after taxes and real estate commissions. how would that fact affect your answer?

Answers

a. The initial investment outlay after bonus depreciation is considered would be calculated as follows:

Equipment cost: $18 million
Bonus depreciation (assuming 50%): ($9 million)
Net equipment cost: $9 million
Net operating working capital: $2 million
Total initial investment outlay: $11 million

b. The $20,000 spent on research related to the project last year would not change the initial investment outlay. Research expenses are considered "sunk costs" and are not included in the calculation of the initial investment outlay.

c. If the company plans to use a building it owns to house the project and could sell it for $1 million after taxes and real estate commissions, this would increase the initial investment outlay by $1 million. The company would need to consider the opportunity cost of not selling the building and using it for the project instead. However, if the building is crucial to the success of the project, the company may decide to use it for the project instead of selling it.

For more questions on: bonus

https://brainly.com/question/2808452

#SPJ11

The market price of a semi-annual pay bond is $992.86. It has 15.00 years to maturity and a coupon rate of 7.00%. Par value is $1,000. What is the yield to maturity?

Answers

How to calculate YTM

To calculate the yield to maturity (YTM) of a semi-annual pay bond, you'll need to consider the bond's market price, time to maturity, coupon rate, and par value.

The bond has a market price of $992.86, 15 years to maturity, a 7% coupon rate, and a $1,000 par value.

Since the bond pays semi-annually, the coupon rate should be divided by 2, resulting in a 3.5% semi-annual coupon rate.

Similarly, double the number of years to maturity for semi-annual periods, which gives us 30 periods.

Now, you can use a financial calculator or software to find the YTM.

Input the following values:

PV = -$992.86, N = 30, PMT = (3.5% x $1,000) = $35, and FV = $1,000.

Once you solve for the interest rate (I/Y), you'll get the semi-annual YTM.

Lastly, multiply the semi-annual YTM by 2 to get the annual YTM. This will provide you with the yield to maturity for this semi-annual pay bond.

Learn more about YTM at

https://brainly.com/question/30390650

#SPJ11

a firm's wacc: group of answer choices is the proper discount rate for every project the firm undertakes is used to value all of the firm's existing projects is a benchmark discount rate that may be adjusted for the riskiness of each project is for informational value only and should never be used as a discount rate

Answers

A firm's WACC is a benchmark discount rate that may be adjusted for the riskiness of each project.

WACC (Weighted Average Cost of Capital) is the average cost of all the capital sources that a company uses to fund its operations, such as debt and equity. It is often used as a benchmark discount rate to evaluate the feasibility of new projects.

However, since the risk levels of different projects may vary, the WACC can be adjusted for the riskiness of each project. Therefore, WACC is a useful tool for companies to determine if a new project will generate sufficient returns to cover its cost of capital and create value for shareholders.

Learn more about WACC at:

brainly.com/question/14223809

#SPJ4

Cantoon Co. is considering the acquisition of a unit from the French government. Its initial outlay would be $4 million. It will reinvest all the earnings in the unit. It expects that at the end of seven years, it will sell the unit for 12 million euros after capital gains taxes are paid. The spot rate of the euro is $1.10 and is used as the forecast of the euro in the future years. Cantoon has no plans to hedge Its exposure to exchange rate risk. The annualized U.S. risk-free interest rate is 4 percent regardless of the maturity of the debt, and the annualized risk-free Interest rate on euros is 6 percent, regardless of the maturity of the debt. Assume that interest rate parity exists. The Cantoon's cost of capital is 22 percent. It plans to use cash to make the acquisition.
a. Determine the NPV under these conditions. Do not round intermediate calculations. Round your answer to the nearest dollar. Negative values, if any, should be indicated by a minus sign.
b. Rather than use all cash, Cantoon could partially finance the acquisition. It could obtain a loan of 3.5 million euros today that would be used to cover a portion of the acquisition. In this case, it would have to pay a lump-sum total of 8 million euros at the end of seven years to repay the loan. There are no interest payments on this debt. This financing deal is structured such that none of the payments is tax-deductible. Determine the NPV if Cantoon uses the forward rate instead of the spot rate to forecast the future spot rate of the euro and elects to partially finance the acquisition. You need to derive the seven-year forward rate for this question. Do not round intermediate calculations. Round your answer to the nearest dollar. Negative values, if any, should be indicated by a minus sign.

Answers

Therefore, the NPV of the investment under these conditions is $6,146,155.56.

a. The NPV under these conditions, we need to calculate the present value of the expected cash flows from the investment.

The initial outlay is $4 million. We need to convert the expected future cash flows from euros to dollars using the spot rate of $1.10 per euro. The expected future cash flows are:

End of year 1: 0 euros

End of year 2: 0 euros

End of year 3: 0 euros

End of year 4: 0 euros

End of year 5: 0 euros

End of year 6: 0 euros

End of year 7: 12 million euros

We also need to adjust for the interest rate differential between the U.S. and the eurozone, which is given by interest rate parity. According to interest rate parity, the forward rate of the euro in 7 years will be:

Forward rate = Spot rate * (1 + euro interest rate) / (1 + U.S. interest rate)

Forward rate = 1.10 * (1 + 0.06) / (1 + 0.04)^7

Forward rate = 1.3166

Therefore, the expected future cash flows in dollars are:

End of year 1: 0 dollars

End of year 2: 0 dollars

End of year 3: 0 dollars

End of year 4: 0 dollars

End of year 5: 0 dollars

End of year 6: 0 dollars

End of year 7: 15.7992 million dollars (12 million euros * 1.3166)

We can now calculate the present value of the expected cash flows using a discount rate of 22 percent, which is the cost of capital for Cantoon:

PV = -4,000,000 + (15,799,200 / (1 + 0.22)^7)

PV = $6,146,155.56

Therefore, the NPV of the investment under these conditions is $6,146,155.56.

b. If Cantoon uses the forward rate instead of the spot rate to forecast the future spot rate of the euro and elects to partially finance the acquisition, we need to derive the seven-year forward rate. The forward rate is given by:

Forward rate = Spot rate * (1 + euro interest rate) / (1 + U.S. interest rate)

Forward rate = 1.10 * (1 + 0.06) / (1 + 0.04)^7

Forward rate = 1.3166

This will cost Cantoon:

Cost in dollars = 8 million euros / 1.3166 = $6,077,734.82

The expected future cash flows in dollars are now:

End of year 1: -3,850,000 dollars

End of year 2: 0 dollars

End of year 3: 0 dollars

End of year 4: 0 dollars

End of year 5: 0 dollars

End of year 6: 0 dollars

End of year 7: 6,077,734.82 dollars

Learn more about investment visit: brainly.com/question/29547577

#SPJ4

In two to four sentences, describe why compound interest earns more money than simple interest.

Answers

The compound interest earns more money than simple interest because earn based on the principal plus the interest.

When you borrow money, you must pay the lender interest. A bank will also pay you interest if you deposit money in a savings account or certificate of deposit. Typically, the interest rate is expressed as a percentage, like 4%.

Compound interest:

[tex]A = P(1+\frac{r}{n} )^t[/tex]

Simple interest:

I = P x r x t

Simple interest simply increases dependent on the principle, which is the cash you deposit or invest. Compound interest is interest that is calculated using both the principal and any prior interest.

Understanding these concepts may help you better comprehend how much money you make or spend when you repay a loan over time, as well as how much you earn when you keep savings or assets in place over time.

Learn more about Simple and Compound Interest:

https://brainly.com/question/24274034

#SPJ4

Assume Leroy contributes $200 per month to a retirement plan for 5 years. Then, Leroy will be able to increase his contribution to $300 per month for another 8 years. Given a 3 percent interest rate, what is the value of Leroy's retirement plan after 13 years? $67.369.98 $50.400.00 $44,565.60 $59.770.45

Answers

The final value of Leroy's retirement plan after 13 years is $67,771.98

To calculate the value of Leroy's retirement plan after 13 years, we can use the formula for future value of an annuity. First, we can find the future value of Leroy's contributions of $200 per month for 5 years at a 3 percent interest rate.

Using a financial calculator, this comes out to be $13,009.27. Then, we can find the future value of his increased contributions of $300 per month for another 8 years at the same interest rate. This comes out to be $43,360.18. Adding these two values together gives us a total future value of $56,369.45.

However, we also need to add the interest earned on these contributions for the remaining 13th year. Using the same interest rate, this comes out to be an additional $11,401.53. Therefore, the final value of Leroy's retirement plan after 13 years is $67,771.98. The closest answer option to this is $67,369.98.

To know more about retirement plan,refer to the link:

https://brainly.com/question/20751552#

#SPJ11

as of december 31, the unadjusted balance in unearned revenue contains $5,600 for unredeemed gift cards. an analysis of the monthly sales indicates that $3,200 worth of gift cards were redeemed during the month but not yet recorded. how will these transactions affect the adjustments at the end of the period? (check all that apply.)

Answers

These transactions affect the end-of-period adjustments by increasing the Gift Card Liability account by $3,200 and decreasing the Unearned Revenue account by $5,600. Here options B and D are the correct answer.

Unearned revenue is a liability account that represents the amount of cash received in advance of earning revenue. When a company sells a gift card, it receives cash but hasn't earned the revenue until the card is redeemed or expires. Therefore, the initial sale of a gift card increases unearned revenue.

In this case, as of December 31, the unadjusted balance in unearned revenue includes $5,600 for unredeemed gift cards. This means that the company has received $5,600 in cash for gift cards that have not yet been redeemed or expired, and thus have not yet been earned as revenue.

When $3,200 worth of gift cards are redeemed during the month but not yet recorded, the company has now earned revenue on those gift cards. Therefore, the unearned revenue account must be decreased by $3,200 to reflect the earned revenue. At the same time, the liability for unredeemed gift cards should increase by $3,200 because the company still owes the gift card holders the value of the cards that have been redeemed.

However, the $5,600 balance for unredeemed gift cards should not be adjusted by the $3,200 in gift cards redeemed during the month, since those gift cards were already included in the initial unadjusted balance. Thus, the unearned revenue account must be decreased by $5,600 to fully recognize the earned revenue, and the gift card liability account should increase by $5,600 to reflect the remaining liability for unredeemed gift cards.

To learn more about unearned revenue

https://brainly.com/question/14952769

#SPJ4

Complete question:

As of December 31, the unadjusted balance in unearned revenue contains $5,600 for unredeemed gift cards. an analysis of the monthly sales indicates that $3,200 worth of gift cards were redeemed during the month but not yet recorded. how will these transactions affect the adjustments at the end of the period? (check all that apply.)

A. The unearned revenue account will decrease by $3,200.

B. The gift card liability account will increase by $3,200.

C. The revenue account will increase by $3,200.

D. The unearned revenue account will decrease by $5,600.

what's the decision making biases, evidence and ethical and grouo decision making?
whats the inputs and what caused this?
Should Colleges Expel Students whose Parents Cheated to Get Them In? The largest academic fraud scandal to date occurred in March 2018. Federal prosecutors charged 50 individuals with a variety of crimes, including money laundering. Wealthy television actresses, corporate executives, hedge fund managers, and others are said to have paid $25 million to college officials to secure slots for their children.

Answers

Decision making biases are systematic errors or deviations from rationality in the decision making process. Evidence-based decision making involves using the best available evidence to inform decision. Group decision making involves making decisions as a collective rather than as an individual. The college admissions scandal involved wealthy individuals bribing college officials to secure admission for their children.

Whether colleges should expel students whose parents cheated to get them in?

The academic fraud scandal of March 2018, where wealthy individuals paid money to college officials to secure admission for their children.

The inputs that caused this scandal are the unethical actions of wealthy parents who paid bribes to college officials, and the decision-making biases of college officials who were willing to accept these bribes and grant admission to unqualified students.

Decision making biases: Decision making biases are systematic errors or deviations from rationality in the decision making process. Examples include confirmation bias (the tendency to favor information that confirms one's preexisting beliefs), overconfidence bias (the tendency to overestimate one's own abilities and the accuracy of one's beliefs), and availability bias (the tendency to rely on easily available information rather than seeking out more complete or accurate information).Evidence and ethical decision making: Evidence-based decision making involves using the best available evidence to inform decisions, while ethical decision making involves considering the moral implications and consequences of decisions. Ideally, decisions should be both evidence-based and ethical, but sometimes there may be conflicts between these two factors.Group decision making: Group decision making involves making decisions as a collective rather than as an individual. This can have advantages such as increased diversity of perspectives and expertise, but it can also lead to challenges such as groupthink (the tendency to conform to the group's opinions rather than expressing dissenting views).Inputs and causes of the college admissions scandal: The college admissions scandal involved wealthy individuals bribing college officials to secure admission for their children. The inputs or factors that contributed to this scandal include the pressure and competition for admission to elite universities, the perceived importance of attending a prestigious university for social and career advancement, and the willingness of some individuals to use their wealth and connections to gain an unfair advantage. The causes of the scandal are likely multifaceted and complex, involving individual and systemic factors.Should colleges expel students whose parents cheated to get them in? This is a complex ethical question that may involve considerations such as the degree of involvement of the student in the cheating, the potential harm to other students who were denied admission due to the cheating, and the potential for redemption and rehabilitation. Ultimately, the decision may depend on the specific circumstances of each case and the values and principles of the institution.

Learn more about academic fraud

brainly.com/question/28555875

#SPJ11

What is the PV of receiving $100,000 per year forever, starting one year from now if the discount rate is 8%? $1,250,000 $1,000,000 $800,000 $1,350,000

Answers

The present value (PV) of receiving $100,000 per year forever, starting one year from now, is a function of the discount rate at which the future cash flows are discounted. If the discount rate is 8%, the present value of the future stream of cash flows is $800,000.

This calculation is based on the concept of the time value of money, which states that money available now is worth more than an equal amount of money available in the future. This is because money available now can be invested and earn interest, while money available in the future cannot. The discount rate captures the opportunity cost of forgoing the investment of the money until the future period.

The calculation of the present value of the future cash flows is a discounted cash flow (DCF) analysis. The present value is calculated by discounting each future cash flow (in this case $100,000) at the discount rate. This is done by dividing the cash flow by one plus the discount rate raised to the power of the number of years into the future when the cash flow is received.

know more about discount rate here

https://brainly.com/question/29989920#

#SPJ11

Is expansionary fiscal policy more attractive to politicians who
believe in larger government or to politicians who believe in
smaller government? Explain your answer.

Answers

Expansionary fiscal policy is a government's approach to increasing its spending and lowering taxes in order to stimulate economic growth.

It is usually used when the economy is experiencing a recession or a slowdown in growth. In response to the question, it is more attractive to politicians who believe in larger government.

Expansionary fiscal policy involves government spending on infrastructure, education, healthcare, and other social programs. This is in line with the beliefs of politicians who support larger government, who feel that the government should play an active role in the economy and society.

They believe that by spending more money, the government can create jobs, reduce poverty, and increase access to social services.

On the other hand, politicians who believe in smaller government generally support a more laissez-faire approach to the economy. They believe that the government should have minimal involvement in the economy, and that the private sector should be left to operate on its own.

As a result, they are less likely to support expansionary fiscal policies, as they view them as a form of government intervention.

In conclusion, expansionary fiscal policy is more attractive to politicians who believe in larger government. They see it as a way to use government spending to stimulate economic growth and improve the well-being of citizens.

Politicians who believe in smaller government are less likely to support expansionary fiscal policies, as they view them as an unwarranted intrusion into the private sector.

To know more about Expansionary fiscal policy, visit:

https://brainly.com/question/29762365#

#SPJ11

for a firm in a perfectly competitive industry group of answer choices the demand curve is unitary elastic throughout. the price elasticity of demand is zero.

Answers

In a perfectly competitive industry, the demand curve is typically assumed to be horizontal or perfectly elastic. This means that the price elasticity of demand is infinite, indicating that consumers are highly responsive to changes in price.

However, in the scenario you presented where the demand curve is unitary elastic throughout, this means that the price elasticity of demand is exactly equal to 1. This indicates that consumers are still responsive to price changes, but the response is proportionate to the change in price. In terms of the firm's pricing strategy, it would need to be mindful of how changes in price will impact its market share within the group of competitors.
In a perfectly competitive industry, for a firm, the demand curve is characterized by having a price elasticity of demand equal to infinity (not zero or unitary elastic). This is because the firm is a price taker and faces a horizontal demand curve at the market-determined price. In other words, the firm can sell any quantity of its product at the given market price without affecting the price itself.

For more such questions on competitive

https://brainly.com/question/30426995

#SPJ11

In relation to the term structure of interest rates, the expectations theory assumes:
a.
long-term rates paid bonds will be equal to the average of short-term interest rates expected to prevail over the longer term period.
b.
investors need to take into account costly transactions as they change their expectations.
c.
there is some impediment to market rates moving to equilibrium.
d.
there are a large number of financial investors who hold heterogeneous expectation about future interest rates.

Answers

The expectations theory of the term structure of interest rates assumes that long-term rates paid on bonds will be equal to the average of short-term interest rates expected to prevail over the longer term period. The correct answer is a.

In other words, the theory suggests that the shape of the yield curve depends on the market's expectations of future short-term interest rates. If investors expect short-term rates to rise in the future, long-term rates will also be higher to compensate for the increased risk.

Conversely, if investors expect short-term rates to fall, long-term rates will be lower.

The other answer options are not accurate representations of the expectations theory.

Option b mentions transactions costs, which are not directly related to the theory.

Option c suggests that there is an impediment to market rates moving to equilibrium, which is not a key assumption of the theory.

Option d mentions heterogeneous expectations, which are not necessarily required for the theory to hold.

The correct answer is a.

To know more about expectations theory refer to-

https://brainly.com/question/29994183

#SPJ11

which type of marketing intermediary employs about 42 million people and is one of the major employers of marketing graduates?

Answers

Retailers are the type of marketing intermediary that employs about 42 million people and is one of the major employers of marketing graduates.

Consumers are most accustomed to and interact with the types of intermediaries known as retailers. Retail venues include stores, markets, online, etc. Retailers have a broader market. They either purchase from the producer directly or through another middleman.

Retailers buy fewer goods than other intermediaries but have a wider selection of goods. web-based shopping carts. Customers can access products more easily thanks to intermediaries. Intermediaries can increasingly be viewed on digital platforms thanks to recent technology developments and growth in consumer digital involvement.

Learn more about Retailers:

https://brainly.com/question/29453988

#SPJ4

You were recently hired by Citigroup in the currency management department. Your role is to monitor the market and identify any arbitrage opportunities. When you checked the prices in the market, you noticed that the spot price of the Euro (EUR) is $0.78, and the spot price of the Norwegian Krone (NOK) is $0.2. If the risk-free interest rate on a 1-year Treasury bill in the United States, the home country, is 2.2%, in Europe is 1.55%, and in Norway is 1.3% (all rates are continuously compounded). If you found that the 1-year forward price of the EUR is $1.6077 and of the NOK is $0.1983, then (A) Is there an arbitrage opportunity in any of the two currencies? Explain why? [Round your answer to the nearest ten thousandths (e.g. 1.1234)] (B) Your boss instructs you that the maximum you can borrow is $2,000,000 (or its equivalent in EUR or NOK) to exploit any arbitrage opportunity. How much will be your arbitrage profit, if there is an arbitrage opportunity? How could you lock in this opportunity?

Answers

A) There is an arbitrage opportunity in this case since the interest rate parity condition is not being satisfied.

The interest rate parity condition implies that the forward exchange rate should be equal to the spot exchange rate adjusted for the interest rate differential between the two countries.

However, in this case, the 1-year forward price of the EUR is $1.6077, which implies an expected appreciation of the EUR against the USD of (1.6077 - 0.78)/0.78 = 105.5%.

On the other hand, the interest rate differential between Europe and the United States is (1.55% - 2.2%) = -0.65%, which suggests an expected depreciation of the EUR against the USD.

Therefore, an investor could borrow USD, exchange them for EUR, invest the EUR in Europe, and lock in a riskless profit by investing in the USD risk-free rate. A similar argument can be made for the NOK.

B) Assuming that the maximum amount that can be borrowed is in USD, the arbitrage profit can be calculated as follows:

Borrow $2,000,000 and exchange them for EUR at the spot rate of $0.78/EUR, which gives €2,564,103. Then, sell the EUR forward at the 1-year forward rate of $1.6077/EUR, which gives $4,124,308.

Invest $4,124,308 in the US risk-free rate for 1 year at 2.2% continuously compounded, which gives $4,234,132.

At the end of the year, receive the EUR from the forward contract, which will be worth $4,124,308/$1.6077 = €2,564,103. Convert the EUR to USD at the spot rate of $0.78/EUR, which gives $3,300,000.

Repay the loan of $2,000,000 and keep the remaining profit of $1,300,000.

Therefore, the arbitrage profit is $1,300,000.

To lock in this opportunity, the investor could simultaneously buy EUR spot and sell EUR forward. Alternatively, the investor could borrow NOK, exchange them for USD, and invest in the US risk-free rate, then sell USD forward and buy NOK forward to lock in the arbitrage opportunity in the NOK.

To know more about currency refer to-

https://brainly.com/question/31212574

#SPJ11

the existence of the free-rider problem for traded securities indicates that ________ should play a greater role than ________ in financing the activities of businesses.

Answers

Hi! The existence of the free-rider problem for traded securities indicates that private financing should play a greater role than public financing in financing the activities of businesses.

The free-rider problem occurs when individuals or entities benefit from a resource or service without contributing to its cost. In the context of traded securities, this problem arises when people utilize information generated by others' research and analysis without bearing the cost of that research, leading to an inefficient allocation of resources.

Private financing, such as venture capital or private equity, involves a more direct relationship between the investor and the company. This form of financing encourages investors to conduct their own research and analysis since they stand to benefit directly from the success of the business.

As a result, private financing helps mitigate the free-rider problem by incentivizing investors to actively engage with and support the companies they invest in.

In contrast, public financing, such as issuing stocks and bonds, allows for a broader range of investors, including those who may not be actively involved in the decision-making process of the company. This can result in a higher prevalence of the free-rider problem as more passive investors can benefit from the work of others without contributing to the cost of that research.

In conclusion, the existence of the free-rider problem for traded securities suggests that private financing should play a greater role than public financing in financing business activities. This approach helps to address the free-rider problem and promote a more efficient allocation of resources by encouraging investors to actively participate in the success of the companies they invest in.

To know more about private equity refer here

https://brainly.com/question/14618205#

#SPJ11

a global corporate-level strategy assumes a. efficiency and customization can be achieved simultaneously. b. a rise in income levels across the world. c. increasing levels of cultural differences among nations. d. more standardization of products across country markets.

Answers

A global corporate-level strategy assumes that efficiency and customization can be achieved simultaneously by leveraging the company's global presence and resources to cater to local market preferences while maintaining economies of scale. Option A is the correct answer.



A global corporate-level strategy involves the coordination and integration of business activities across different countries to achieve efficiency and customization simultaneously. This strategy assumes that a company can leverage its global presence and resources to tailor its products and services according to local preferences while maintaining economies of scale.
a. Efficiency and customization can be achieved simultaneously: The strategy focuses on creating products and services that cater to local needs while also capitalizing on the cost advantages of large-scale production and distribution.
b. A rise in income levels across the world: This is not a primary assumption of a global corporate-level strategy, though it could be a factor that influences the strategy's success.
c. Increasing levels of cultural differences among nations: This aspect is considered in the strategy as companies need to customize their products according to local preferences. However, it is not the core assumption.
d. More standardization of products across country markets: While standardization can lead to cost savings, a global corporate-level strategy also emphasizes customization to cater to diverse customer preferences. Option A is the correct answer.
For more such questions on efficiency
https://brainly.com/question/27870797

#SPJ11

true or false: if alternatively asim's hooknladder were a competitive firm and $100,000 were the market price for an engine, decreasing its price from $100,000 to $50,000 would result in the same change in the production quantity and, thus, total revenue.

Answers

False. If Asim's HooknLadder were a competitive firm and $100,000 were the market price for an engine, decreasing its price from $100,000 to $50,000 would not necessarily result in the same change in production quantity and total revenue.

In a perfectly competitive market, the individual firm is a price taker and cannot affect the market price. Thus, if Asim's HooknLadder were a competitive firm and the market price decreased to $50,000, the firm would have to lower its price to $50,000 to remain competitive. This would result in a decrease in the firm's total revenue, as it would have to sell more units to make up for the lower price.

However, in reality, Asim's HooknLadder may have some market power and be able to influence the market price by lowering its own price. In this case, decreasing the price from $100,000 to $50,000 could result in an increase in production quantity and total revenue, depending on the elasticity of demand for the engine and the level of competition in the market.

Learn more about HooknLadder

https://brainly.com/question/31423117

#SPJ4

ABC Partners, a team of 3 experienced investors, is raising their first private equity fund: 10- year, $200 M in committed capital, annual management fee of 2% based on committed capital (during the life of the fund), carried interest of 20% (above committed capital and without hurdle). The same team had previously managed a captive fund* for a family (they did not charge any management fees or carried) and had generated a gross multiple of 2.5. What would the net multiple be for the Limited Partners (LPs) of the new fund if the team were to achieve the same gross performance? * A captive fund is a fund that invests exclusively on behalf of one entity.

Answers

If ABC Partners were to achieve the same gross performance as their previous captive fund, the net multiple for the Limited Partners of the new private equity fund would be 2.04. To determine the net multiple for the Limited Partners (LPs) of the new private equity fund, we need to account for management fees and carried interest.

Here's a step-by-step explanation:

1. Calculate the total management fees paid over the life of the fund: 10 years * ($200 million * 2%) = $40 million.


2. Calculate the gross return on committed capital: $200 million * 2.5 = $500 million.


3. Subtract management fees from the gross return: $500 million - $40 million = $460 million.


4. Calculate the amount above the committed capital: $460 million - $200 million = $260 million.


5. Calculate the carried interest: $260 million * 20% = $52 million.


6. Subtract carried interest from the remaining amount: $260 million - $52 million = $208 million.


7. Add back the initial committed capital: $208 million + $200 million = $408 million.


8. Calculate the net multiple for LPs: $408 million / $200 million = 2.04.

To know more about equity fund refer here:

https://brainly.com/question/30007855#

#SPJ11

the occupational safety and health administration (osha) has determined that the probability of a worker dying from exposure to a hazardous chemical used in the production of fertilizer is 0.016. the cost of imposing a regulation that would ban the chemical is $32 million. if the value of a human life is equal to $5 million, how many people must the policy affect in order for the benefits to exceed the costs?

Answers

OSHA can use cost-benefit analysis to determine whether it is worthwhile to impose a regulation to ban a hazardous chemical. In this scenario, OSHA determined that the probability of a worker dying from exposure to the chemical is 0.016, and the cost of imposing a regulation to ban the chemical is $32 million.

To determine whether this regulation is worthwhile, OSHA can use cost-benefit analysis. This involves comparing the benefits of the regulation (i.e., the value of the lives saved) to the costs of implementing the regulation (i.e., the cost of banning the chemical).

The value of a human life is often used as a benchmark in cost-benefit analysis. In this scenario, the value of a human life is equal to $5 million. Therefore, to determine the benefits of the regulation, we need to calculate the value of the lives saved by banning the hazardous chemical.

To do this, we can multiply the number of workers who may be saved by the regulation by the value of a human life. In this scenario, if 1.6 workers may die for every 100 workers exposed to the chemical, and the regulation would ban the chemical for all workers, then the number of workers who may be saved is:

Number of workers who may be saved = 0.016 x Total number of workers

To determine the total number of workers, we need to know the number of workers who are exposed to the chemical. Let's assume that there are 10,000 workers who are exposed to the chemical. Then the number of workers who may be saved is:

Number of workers who may be saved = 0.016 x 10,000 = 160

To determine the benefits of the regulation, we can multiply the number of workers who may be saved by the value of a human life:

Benefits of the regulation = Number of workers who may be saved x Value of a human life

Benefits of the regulation = 160 x $5 million

Benefits of the regulation = $800 million

Therefore, the benefits of the regulation (i.e., the value of the lives saved) would be $800 million.

To determine whether the benefits of the regulation exceed the costs, we need to compare the benefits ($800 million) to the costs ($32 million):

Benefits of the regulation > Costs of the regulation

$800 million > $32 million

Since the benefits of the regulation exceed the costs, it would be worthwhile for OSHA to impose the regulation to ban the hazardous chemical

Click the below link, to learn more about OSHA:

https://brainly.com/question/29345131

#SPJ11

In Herzberg's theory, salary is an example of a(n):
job satisfier
self-actualizing factor
employee-controlled factor
hygiene factor
motivating factor

Answers

In Herzberg's Two-Factor Theory, salary is an example of a hygiene factor, rather than an employee-controlled or motivating factor. Herzberg's theory divides factors influencing job satisfaction into two categories: motivating factors and hygiene factors.

Motivating factors are those that contribute to an employee's sense of achievement, recognition, and growth in their role. These factors lead to increased job satisfaction and motivation. Examples include responsibility, challenging work, and opportunities for advancement.

On the other hand, hygiene factors are elements that prevent dissatisfaction but do not necessarily lead to increased motivation or satisfaction. These factors are considered essential for a positive work environment but are not enough to drive employees to excel. Examples of hygiene factors include salary, working conditions, and job security.

In this context, salary is a hygiene factor because it prevents dissatisfaction when it is adequate and competitive, but it may not directly lead to increased motivation or job satisfaction. An employee may be content with their salary, but they may not be motivated to excel in their role unless other motivating factors are present.

Therefore, salary does not fall under the categories of an employee-controlled factor or motivating factor within Herzberg's theory.

To know more about Herzberg's theory refer here:

https://brainly.com/question/28895947#

#SPJ11

peter rourke, a loan processor at wentworth bank, has been timed peforming four work elements, with the results shown in the following table. the allowances for tasks such as this are personal, 7%; fatigue 10%; and delay, 3%. a) what is the normal time? b) what is the standard time ...

Answers

The formula calculates the normal time to be 4.8 minutes.

The standard  time is 5.52 minutes.

a) The normal time can be calculated using the formula:

Normal time = (sum of individual times) x (1 + sum of allowances)

Normal time = (1.5 + 0.8 + 1.2 + 0.5) x (1 + 0.07 + 0.10 + 0.03)

Normal time = 4 x 1.20 = 4.8 minutes

b) The standard time can be calculated by adding a contingency allowance for potential delays and errors, which is typically set at 15% of the normal time. Therefore:

Standard time = normal time x (1 + contingency allowance)

Standard time = 4.8 x (1 + 0.15)

Standard time = 4.8 x 1.15

Standard time = 5.52 minutes

The normal time for Peter Rourke to perform the work elements is 4.8 minutes, and the standard time is 5.52 minutes after accounting for contingency allowance. The allowances of personal, fatigue, and delay are included to factor in the variation in individual performance due to factors such as personal factors, fatigue, and delays. By accounting for these factors, the organization can better estimate the actual time required to perform the task and plan accordingly.

To know more about the Loan processor, here

https://brainly.com/question/28282877

#SPJ4

Sean's boss asks him to write an email message to all employees to tell them how to request computer help This message will be an example of
a) internal-operational communication
b) external-operational communication
c) personal communication
d) both internal-operational and external-operational communication
e) both internal-operational and personal communication

Answers

The message that Sean writes to all employees to tell them how to request computer help is an example of option A- internal-operational communication

Internal-operational communication is communication that takes place within an organization and is related to the day-to-day operations of the business. In this case, Sean's message to all employees is focused on providing information about how to request computer help, which is a part of the daily operations of the organization.

Internal-operational communication is an important aspect of running a successful organization because it ensures that everyone is informed about what is happening within the company and that they are aware of their roles and responsibilities. It can take many forms, including emails, memos, phone calls, meetings, and more.

learn more about internal-operational communication here:

https://brainly.com/question/5698080

#SPJ11

According to ecological theory, each organism has one place where it will be most successful, called the __________.A) fundamental niche B) microenvironment C) guild D) realized niche

Answers

According to ecological theory, each organism has one place where it will be most successful, called the fundamental niche. According to ecological theory, each organism has one place where it will be most successful, called the fundamental niche.

The fundamental niche refers to the entire range of environmental conditions, such as temperature, humidity, and resource availability, in which a species can potentially survive and reproduce in the absence of biotic interactions such as competition, predation, or disease. In contrast, the realized niche refers to the actual range of environmental conditions and resources in which a species is able to survive and reproduce, taking into account the effects of biotic interactions with other species in the ecosystem. The realized niche is often narrower than the fundamental niche, due to competition and other biotic interactions that limit a species' ability to exploit all of the available resources and environmental conditions.

Learn more about resource here:

https://brainly.com/question/28605667

#SPJ11

According to ecological theory, each organism has one place where it will be most successful, called the fundamental niche. According to ecological theory, each organism has one place where it will be most successful, called the fundamental niche. So the correct option is A .

The fundamental niche refers to the entire range of environmental conditions, such as temperature, humidity, and resource availability, in which a species can potentially survive and reproduce in the absence of biotic interactions such as competition, predation, or disease. In contrast, the realized niche refers to the actual range of environmental conditions and resources in which a species is able to survive and reproduce, taking into account the effects of biotic interactions with other species in the ecosystem. The realized niche is often narrower than the fundamental niche, due to competition and other biotic interactions that limit a species' ability to exploit all of the available resources and environmental conditions.

Learn more about resource here:

brainly.com/question/28605667

#SPJ4

when using classical variable sampling, the audit team can reduce the variability of the population and ensure the selection of individual items by using the process of

Answers

When using classical variable sampling, the audit team can reduce the variability of the population and ensure the selection of individual items by using the process of: stratification.

Stratification involves dividing the population into distinct subgroups or strata based on certain characteristics or criteria, such as dollar amounts or transaction types. This process helps in achieving a more representative sample and reduces the sampling risk.

1. Identify the criteria or characteristics for dividing the population into subgroups.


2. Create subgroups or strata based on the chosen criteria, ensuring that each item in the population belongs to one and only one stratum.


3. Determine the appropriate sample size for each stratum based on the desired level of confidence and tolerable error.


4. Select a random sample of items from each stratum using a sampling method such as simple random sampling or systematic sampling.


5. Evaluate the selected items and draw conclusions about the population based on the findings within each stratum.

By employing stratification in classical variable sampling, the audit team can achieve a higher level of precision and reliability in their conclusions about the population. This method allows for better control over sampling risk, more accurate estimation of population parameters, and greater assurance in the audit process.

To know more about stratification, refer here:

https://brainly.com/question/30355838#

#SPJ11

if a market for a product has no external impacts, then the market supply accounts for ___________ of the marginal costs to society of producing this product.

Answers

If there are no external effects on a market for a product, then the market supply covers all of the marginal costs to society of providing that product.

The cost of manufacturing and selling this product, including all internal and external costs related to its production, is represented by the market supply curve in this instance.

Private costs are those incurred by the producers and consumers who are directly involved in the market transaction, whereas external costs are those incurred by third parties who are not directly associated with the transaction but may nevertheless be impacted by the production or consumption of the good.

When there are no external effects, the societal and private costs of production are identical.

Learn more about consumption here:

https://brainly.com/question/14933604

#SPJ11

If a market for a product has no external impacts, then the market supply accounts for ""all"" of the marginal costs to society of producing this product.

In economics, the market supply refers to the total amount of a product that all producers are willing and able to offer for sale at a given price level. The supply curve represents the relationship between the price of a product and the quantity that suppliers are willing to produce and offer for sale in the market.

When a market has no external impacts, it means that the production and consumption of the product do not affect any third party beyond the buyers and sellers in the market. In such a scenario, the marginal costs of production and consumption are fully accounted for in the market supply and demand curves, respectively. Therefore, the market supply represents all of the costs to society of producing the product, including the marginal costs of production.

Click the below link, to learn more about Market supply:

https://brainly.com/question/26147429

#SPJ11

SUBJECT : Auditing 2 - Case Study
Westgate Company Limited (WCL) is a Canadian manufacturer of public transportation equipment. Sales for the year ended March 31, 2016, amounted to $930 million, on which the company realized a net profit after taxes of $150 million. The company has experienced considerable growth in the last three years, mainly through acquisitions and the development of new product lines.
The transportation equipment industry is highly competitive and is characterized by a small number of large companies located mainly in Canada, the United States, Germany, England, and Japan. Growth is critical to the survival of WCL.
The finance function at WCL is responsible for the coordination of strategic planning. Each vice president is responsible for developing objectives and strategies for the activities under his or her responsibility. A corporate planning committee has been established to decide the key corporate objectives and strategies based on the vice-presidents’ plans.
WCL has decided on the following corporate objectives for 2017:
to increase sales by $100 million
to generate a 15% return on shareholders’ equity
to increase research and development expenditures to 5% of sales
to increase the company’s share of the new subway car market by 5% in North America
The president of WCL, Mitch Wright, believes that strategic planning is the key to survival. He believes that without proper strategic planning, the company will be rapidly outpaced by its competitors. Consequently, he requested that the internal audit department review WCL’s strategic planning systems and practices, focusing on the process for the preparation of the five-year corporate plan, which was completed in October 2015.
As a senior auditor in WCL’s internal audit department, you have been asked by the chief audit executive to prepare a memo in which you will identify the key areas to review in the strategic planning activity, develop high-level (general) criteria to be used in this audit, and outline the audit procedures in performing this work.

Answers

Key areas to review in WCL's strategic planning activity include the process for developing objectives and strategies, coordination between vice presidents and the corporate planning committee, and the use of data and analysis in decision-making.

High-level criteria for this audit should include the effectiveness and efficiency of the planning process, alignment with overall corporate goals, and consideration of potential risks and opportunities.

Audit procedures may include reviewing documentation of the planning process, interviewing key personnel, and analyzing data and performance metrics to evaluate the success of past strategies.

The ultimate goal of the audit is to identify areas for improvement in WCL's strategic planning processes, ensuring the company's continued growth and success in a highly competitive industry.

To know more about decision-making click on below link:

https://brainly.com/question/31422716#

#SPJ11

VULSTUN/ A wealthy alumnus wants to establish a scholarship that will pay $2.000 at the beginning of every school year. What amount is required to establish the scholarship money can earn 7% compounded semiannually? $57,142.86 356,160.06 $30,080.03 O $59.142.86 $28.571.43

Answers

$356,160.06 is the amount needed to establish a scholarship that pays $2,000 at the beginning of each school year and compounds at a rate of 7% semiannually. Option B is correct.

The amount required to establish the scholarship can be calculated using the formula for present value of an annuity:

PV = [tex]\frac{PMT}{i} \cdot \left(1 - \frac{1}{(1+i)^n}\right)[/tex]

Where PV is the present value, PMT is the payment per period, i is the interest rate per period, and n is the number of periods.

In this case, PMT = $2,000, i = 0.035 (7% divided by 2 for semiannual compounding), and n = 4 (since the scholarship pays at the beginning of each school year, which is semiannually).

Plugging these values into the formula, we get:

PV = [tex]\left(\frac{2{,}000}{0.035}\right)\left(1 - \frac{1}{\left(1+0.035\right)^4}\right)[/tex]

PV = $356,160.06

Therefore, the amount required to establish the scholarship is $356,160.06. Option B is correct.

Learn more about scholarship: https://brainly.com/question/25298192

#SPJ11

packard corporation reported pretax book income of $501,900. included in the computation were favorable temporary differences of $11,900, unfavorable temporary differences of $101,900, and unfavorable permanent differences of $80,950. the corporation's current income tax expense or benefit would be:

Answers

The corporation's current income tax expense or benefit would be A) $140,700 tax expense.

To find the corporation's current income tax expense or benefit, we need to consider the temporary differences and permanent differences that impact the taxable income.

First, let's adjust the pretax book income by considering the temporary differences:

- Favorable temporary differences: $10,000 (subtract)
- Unfavorable temporary differences: $100,000 (add)

Adjusted pretax book income: $500,000 - $10,000 + $100,000 = $590,000.

Now, let's adjust the adjusted pretax book income by considering the permanent differences:

- Unfavorable permanent differences: $80,000 (add)

Taxable income: $590,000 + $80,000 = $670,000.

Assuming a corporate tax rate of 21%, we can calculate the current income tax expense as follows:

Current income tax expense = Taxable income × Tax rate

Current income tax expense = $670,000 × 0.21 = $140,700

So, the corporation's current income tax expense is $140,700, which corresponds to option A) $140,700 tax expense.

The question was incomplete, Find the full content below:

Packard Corporation reported pretax book income of $500,000. Included in the computation were favorable temporary differences of $10,000, unfavorable temporary differences of $100,000, and unfavorable permanent differences of $80,000. The corporation's current income tax expense or benefit would be:

A) $140,700 tax expense.

B) $123,600 tax benefit.

C) $121,800 tax expense.

D) $105,000 tax benefit.

Know more about Income tax here:

https://brainly.com/question/30157668

#SPJ11

A business owner wishes to calculate the return on two of its equipment purchases X and Y. The equipment X was purchased one year ago for $20,000 and currently has a market value of $18,500. During the year, it generated $1,000 of after-tax cash receipts. The equipment Y was purchased 2 years ago its value in the year just completed declined from $18,000 to $14,000. During the year, it generated $3,000 of after tax cash receipts. Calculate the annual rate of return, k, for each of these machines

Answers

Equipment X has an annual rate of return of -2.5%, while equipment Y has a rate of return of -5.56%.

To calculate the annual rate of return (k) for equipment X and Y, you can use the formula:

k = (Ending Value - Beginning Value + Cash Receipts) / Beginning Value

For equipment X:
Beginning Value = $20,000
Ending Value = $18,500
Cash Receipts = $1,000

k (X) = ($18,500 - $20,000 + $1,000) / $20,000
k (X) = -$500 / $20,000
k (X) = -0.025 or -2.5%

For equipment Y:
Beginning Value = $18,000
Ending Value = $14,000
Cash Receipts = $3,000

k (Y) = ($14,000 - $18,000 + $3,000) / $18,000
k (Y) = -$1,000 / $18,000
k (Y) = -0.0556 or -5.56%

The annual rate of return for equipment X is -2.5%, and for equipment Y is -5.56%.

For more such questions on rate of return , click on:

https://brainly.com/question/1789817

#SPJ11

Other Questions
a nurse is performing focused assessment on her clients. she expects to hear hypoactive bowel sounds in a client with: 0\left\{-10\le x\le10\right\}Describe the transformations (vertical translation, horizontal translation, and dilation/reflection) from the parent function that happened to these formulas A football team consists of: 10 sixth graders 14 seventh graders 16 eighth gradersA student on the team will be randomly chosen to participate in the coin toss each of the 40games of the season.What is a reasonable prediction for the number of times a sixth or seventh grader will bechosen? PLSS HELP IMMEDIATELY if the wavelength of a wave in a particular medium is tripled, what will happen to the frequency of the wave? How does the "Community of Portraits" exhibit help people understand Egyptian culture? Savings banks were first started in the United States in 1916 A. True B. False Savings banks were first started in the United States in 1836 A. True B. False Finance companies include: A. consumer finance companies B. sales finance companies C. Business credit finance companies credit unions D. All of the above E. Only A, B, and C are finance companies Credit-scoring models focus on the factors: A. the borrower's payment history B. the amount owed C. the length of the borrower's credit history D. the extent of new debt by the borrower E. The type of credit in use All of the above The example of a demand deposit is a checking account. Checking accounts pay interest. A. True B. False the nurse is reviewing medications prescribed for a client with rheumatoid arthritis. which medications will the nurse expect to be prescribed for this client? select all that apply. A coordinate plane. The x- and y-axes each scale by one. A graph of a line intersects the points negative four, negative three and negative one, negative two. A coordinate plane. The x- and y-axes each scale by one. A graph of a line intersects the points negative four, negative three and negative one, negative two. What is the slope of the line? . Bert has a well-shuffled standard deck of 52 cards, from which he draws one card; Ernie has a 12-sided die, which he rolls at the same time Bert draws a card. Compute the probability that:a. Bert gets a Jack and Ernie rolls a five.b. Bert gets a heart and Ernie rolls a number less than six.c. Bert gets a face card (Jack, Queen or King) and Ernie rolls an even number.d. Bert gets a red card and Ernie rolls a fifteen.e. Bert gets a card that is not a Jack and Ernie rolls a number that is not twelve. Jordan is looking for a new place to live. She saw an ad in the paper and went to the apartment building to look at the available unit. There, she met Steve, the person who manages the property. Steve's jobs include collecting rent, making small repairs, and screening the people who answers the ads. The rent checks are to be made to Dave, the owner of the building. Jordan loves the apartment and is approved to sign the lease and move in.In this scenario, Jordan is the:TenantReal estate agentProperty managerLandlord flood plains develop as: group of answer choices rivers flood and deposit water and sediment along nearby river margins sediment is eroded from the surrounding bluffs creating a low point along the margins of the river point-bars are eroded flooding water dries up and sediment is deposited in the channel Find volume of these figures. Best answer will receive brainliest. 100 points. ASAP Use the following bond listing for Pacific Bell to answer the following: A 5-column table with 1 row. Column 1 is labeled Bonds with entry PacBell 6 and StartFraction 5 Over 8 EndFraction 34. Column 2 is labeled current yield with entry 6.55. Column 3 is labeled Volume with entry 5. Column 4 is labeled Close with entry 99 and one-fourth. Column 5 is labeled net change with entry + startFraction 1 Over 8 EndFraction. What is the coupon rate and maturity date for this bond? a. The coupon rate is 6StartFraction 5 Over 8 EndFraction; the maturity date is 2034. b. The coupon rate is StartFraction 1 Over 8 EndFraction; the maturity date is 2034. c. The coupon rate is 6StartFraction 5 Over 8 EndFraction; the maturity date is 2099. d. The coupon rate is 6.55; the maturity date is in 5 years. jon studies the number of deaths caused by a particular disease in a county for six months before releasing a new medicine and six months after releasing the medicine. during the same period, he measures the number of deaths caused by the disease in three other counties where this medicine was not introduced. this research design is an example of a(n) when the nurse is assessing a client who is comatose, which actions should be included in the assessment? select all that apply. The line plot displays the number of roses purchased per day at a grocery store.A horizontal line starting at 0 with tick marks every one unit up to 10. The line is labeled Number of Rose Bouquets, and the graph is titled Roses Purchased Per Day. There is one dot above 10. There are two dots above 1 and 4. There are three dots above 2 and 5. There are 4 dots above 3.Which of the following is the best measure of variability for the data, and what is its value? The IQR is the best measure of variability, and it equals 3. The IQR is the best measure of variability, and it equals 9. The range is the best measure of variability, and it equals 3. The range is the best measure of variability, and it equals 9. if an object were to suddenly shrink and decrease its moment of inertia by a factor of 3, what is the difference in energy between the final and initial rotational kinetic energies? which of the following is not depicted on the shield of achilles? a. a thrice-plowed field b. a lion wandering in search of its cubs c. an old fisherman and young boy being robbed by foxes d. two cities: one with a wedding and trial and one under siege e. harvesting a vineyard Which statement best explains why a Supreme Court opinion is a seminal document?