some of the inputs to this problem will change with each submission, so you will need to recompute your answer each time you submit. your portfolio is invested 35 percent in stock x, 20 percent in stock y, and 45 percent in stock z. the expected returns on these three stocks are 8 percent, 15 percent, and 13 percent, respectively. what is the expected return of your portfolio?

Answers

Answer 1

The expected return of your portfolio is 11.65%.

How to determine the expected return

To calculate the expected return of your portfolio, you need to consider the percentage allocated to each stock and their respective expected returns.

In your case, your portfolio consists of 35% stock X, 20% stock Y, and 45% stock Z.

The expected returns for these stocks are 8%, 15%, and 13%, respectively.

To find the expected return of the portfolio, you can use the following formula:

Expected return of portfolio = (Weight of stock X * Expected return of stock X) + (Weight of stock Y * Expected return of stock Y) + (Weight of stock Z * Expected return of stock Z)

Using the given data, the expected return of your portfolio can be calculated as:

Expected return of portfolio = (0.35 * 0.08) + (0.20 * 0.15) + (0.45 * 0.13)

Expected return of portfolio = 0.028 + 0.03 + 0.0585

Expected return of portfolio = 0.1165 or 11.65%

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Related Questions

Which of the following makes up the smallest percentage of new products but carries the most potential (and risk) for the company introducing them?
A. new-to-the market products
B. new category entries
C. repositioned products
D. product line extensions
E. revamped products

Answers

A. "New-to-the-market products" carry the most potential (and risk) for the company introducing them.

New-to-the-market products refer to completely new products that have never existed before in the market. These products have the potential to offer entirely new benefits and address needs that were previously unfulfilled. However, they also carry the most risk for the company introducing them, as they are untested and may not be successful in the market.

New-to-the-market products require significant investment in research and development, testing, and marketing, but the potential rewards can be significant if the product is successful.

Option A is answer.

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Suppose Congress decides to significantly decrease their spending. If the Federal Reserve intends to stabilize price levels, they should
A buy bonds. B. raise the discount rate. C encourage free trade. D. enact a tax cut.

Answers

If Congress decides to significantly decrease their spending and the Federal Reserve wants to stabilize price levels, the appropriate action would be to buy bonds. The correct option is a. buy bonds.

When Congress decreases spending, it can lead to a contractionary fiscal policy, which may slow down economic growth and reduce aggregate demand. To counteract this effect, the Federal Reserve can implement an expansionary monetary policy by buying bonds in the open market.

By purchasing bonds, the Federal Reserve increases the money supply in the economy, which in turn lowers interest rates. Lower interest rates encourage businesses and consumers to borrow and spend, thereby stimulating economic growth and stabilizing price levels.

Option B, raising the discount rate, would be counterproductive as it would tighten the money supply and further decrease aggregate demand. Option C, encouraging free trade, is more related to international trade policies than price stabilization. Lastly, option D, enacting a tax cut, is a fiscal policy action that would need to be undertaken by Congress, not the Federal Reserve.

In summary, to stabilize price levels when Congress significantly decreases their spending, the Federal Reserve should buy bonds to implement an expansionary monetary policy, thus encouraging borrowing and spending in the economy. The correct option is a. buy bonds.

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what are some reasons that banks are highly regulated? select the correct answer below: individual depositors need protection against corrupt business practices. banks can easily fail if many customers try to take all their cash out. banks are the institutions through which money is created, and variations in the quantity of money have important effects on the economy as a whole. all of the above.

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Banks are highly regulated because A: "individual depositors need protection against corrupt business practices", B: "banks can easily fail if many customers try to take all their cash out", and C: "banks are the institutions through which money is created, and variations in the quantity of money have important effects on the economy as a whole" Option D: " all of the above".

Banks are highly regulated for several reasons, including the need to protect individual depositors against corrupt business practices, the potential for banks to fail if many customers try to withdraw their funds at once, and the fact that banks are the institutions through which money is created, with variations in the quantity of money having significant effects on the overall economy. Regulations help ensure that banks operate in a safe and sound manner, reducing the risk of financial instability and protecting consumers.

Governments and regulatory agencies implement various rules and standards to ensure that banks are adequately capitalized, maintain appropriate levels of liquidity, and comply with anti-money laundering and other legal requirements. By regulating banks, authorities seek to promote financial stability, protect consumers, and maintain the overall health of the financial system.

The correct answer is D. All of the above.

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fancy furniture produced a batch of 2,000 coffee tables at a cost of $355,000. it was discovered that the entire batch was finished improperly. fancy can sell the tables as seconds for $305,000 or spend an additional $315,000 to refinish them and sell them for $605,000. which of the following is not relevant to management's decision regarding refinishing the tables or selling them as is?

Answers

The following is not relevant to management's decision regarding refinishing the tables or selling them as: The additional $300,000 revenue that can be generated if the tables are refinished. The correct answer is A.

The decision to refinish the tables or sell them as seconds is a choice between two alternatives, and the relevant costs and revenues are those that differ between the alternatives.

In this case, the relevant costs are the additional $315,000 cost to refinish the tables, and the relevant revenues are the $305,000 that the tables can be sold for as seconds or the $605,000 that they can be sold for if they are refinished.

The $355,000 manufacturing cost of the tables already incurred is a sunk cost and is not relevant to the decision because it cannot be recovered regardless of the decision made.

The effect of selling "seconds" on Fancy's reputation as a fine-furniture manufacturer is relevant because it may affect the company's future sales and profitability.

However, the additional $300,000 revenue that can be generated if the tables are refinished is a relevant factor and should be considered in the decision-making process.

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Complete question:

Fancy Furniture produced a batch of 2,000 coffee tables at a cost of $355,000. It was discovered that the entire batch was finished improperly. Fancy can sell the tables as seconds for $305,000 or spend an additional $315,000 to refinish them and sell them for $605,000.

Which of the following is not relevant to management's decision regarding refinishing the tables or selling them as is?

a. The additional $300,000 revenue that can be generated if the tables are refinished.

b. The $355,000 manufacturing cost of the tables already incurred.

c. The additional $315,000 cost to refinish the tables.

d. The effect of selling "seconds" on Fancy's reputation as a fine-furniture manufacturer.

Which of the following is some of the information found on a financial website such as Yahoo! Finance?A. Company name, last price (prev close), target price, price change (day's range).B. 52-week price range, number of shares traded (volume).C. Market capitalization (Market Cap).D. Dividend paid and yield.E. All of this information is included.

Answers

Your answer: E. All of this information is included on a financial website such as Yahoo! Finance.

You can find company name, last price (prev close), target price, price change (day's range), 52-week price range, number of shares traded (volume), market capitalization (Market Cap), and dividend paid and yield.

Company name: This is the name of the company whose stock is being traded on the stock market.

Last price (prev close): This is the price at which the stock last traded on the previous day. It is also sometimes referred to as the "previous close" price.

Target price: This is the price at which a financial analyst or investment bank expects the stock to trade at within a certain period of time. The target price is usually based on the analyst's analysis of the company's financial performance and market conditions.

Price change (day's range): This is the difference between the current trading price of the stock and the previous day's closing price. The day's range indicates the highest and lowest prices at which the stock has traded during the current trading day.

52-week price range: This is the highest and lowest prices at which the stock has traded over the past 52 weeks.

Number of shares traded (volume): This is the total number of shares of the company's stock that have been traded during the current trading day.

Market capitalization (Market Cap): This is the total value of all outstanding shares of the company's stock, calculated by multiplying the current trading price by the total number of outstanding shares.

Dividend paid and yield: A dividend is a payment made by a company to its shareholders, usually in cash, as a reward for holding the stock. The dividend yield is the annual dividend payment per share divided by the current trading price of the stock. It is expressed as a percentage.

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Kelly Jones and Tami Crawford borrowed $30,000 on a 7-month 5% note from Gem State Bank to open their business, Oride's Cottee House. The money was borrowed on June 1, 2022, and the note matures January 1, 2023, lal (b) Prepare the entry to accrue the interest on June 30. (Credit account titles are automatically indented when mount is entered. Do not indent manually.) Date Account Titles and Explanation Debit Credit June 30

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To accrue the interest on June 30, we need to calculate the interest for one month on the $30,000 loan with a 5% interest rate. The interest for one month would be $125 ($30,000 x 0.05 / 12).

Date | Account Titles and Explanation | Debit | Credit
---- | ------------------------------ | ----- | ------
June 30 | Interest Expense | $125 |
June 30 | Interest Payable | | $125

This entry records the expense of $125 for the interest accrued in June and the liability of $125 for the interest that is owed but not yet paid to Gem State Bank.

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due to rapid growth, a computer superstore is contemplating expanding by adding another location. which of the following items should the financial officer not include in estimating the cash flow associated with this expansion? multiple choice the company spent $100,000 six months ago in a major advertising campaign that will help the new store become profitable sooner. the new location is expected to take sales away from the existing location. all of these choices are correct. the company owns the land of the future site of the new location.

Answers

The financial officer should not include the $100,000 spent six months ago on a major advertising campaign in estimating the cash flow associated with the expansion. This expense is a sunk cost, meaning it has already been incurred and cannot be recovered.

Understanding cash flow estimation

Cash flow estimations should focus on future costs and revenues directly related to the expansion, such as construction, inventory, and additional staff.

While the advertising campaign may contribute to the new store's profitability, it is not a relevant factor in estimating cash flow for the expansion.

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Which area of a streak plate will contain the greatest amount of growth? The lease amount of growth? Explain your answers

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A streak plate is a method used to isolate individual bacterial colonies from a mixed culture. The plate is divided into four quadrants, and the bacteria are streaked across the surface of the plate.

The initial streak is heavily inoculated, and subsequent streaks are made by dragging the bacteria from the previous streak into the next quadrant. The area of a streak plate that will contain the greatest amount of growth is the initial streak. This is because the bacteria are most heavily inoculated in this area, providing them with the greatest amount of nutrients and space to grow. As a result, the bacteria will multiply rapidly in this area, producing a large and dense colony. Conversely, the area of the streak plate that will contain the least amount of growth is the final streak. This is because the bacteria that are dragged into this area have been significantly diluted by the previous streaks, reducing the number of viable cells present. Additionally, the bacteria in this area may also compete with each other for limited nutrients and space, further limiting their growth. In summary, the initial streak of a streak plate will contain the greatest amount of growth, while the final streak will contain the least amount of growth.

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Cynthia Moore were the only working member of a family of a husband, wife, and their two children and earned $17000 Instructions: Round your answer to 2 decimal places, Enteroit no tax is paid a) Approximately how much federal personal income tax would she pay? Personal income tax $______b) How much Social Security and Medicare tax would she pay? Social Security and Medicare tax $______

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Based on the given information, Cynthia Moore's federal personal income tax is estimated to be around $445.00 and her Social Security and Medicare tax is estimated to be around $1,300.50. To calculate these estimates, we assumed that she has no deductions or credits and used the applicable tax rates for her taxable income level. For federal personal income tax, we subtracted the standard deduction from her taxable income and applied the 10% tax rate. For Social Security and Medicare tax, we used the applicable tax rates and taxable income subject to these taxes.

To calculate the approximate federal personal income tax and Social Security/Medicare tax for Cynthia Moore, we need to know her taxable income and tax rates. Assuming she has no deductions or credits, the following are the estimated calculations:

a) Federal personal income tax:

Taxable income: $17,000

Standard deduction (single): $12,550

Taxable income after deduction: $4,450

Estimated tax rate: 10%

Estimated federal income tax: $445.00

b) Social Security and Medicare tax:

Social Security tax rate: 6.2% on income up to $142,800

Medicare tax rate: 1.45% on all income

Total Social Security and Medicare tax rate: 7.65%

Taxable income subject to Social Security/Medicare tax: $17,000

Social Security and Medicare tax: $1,300.50

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gifts of up to $15,000 per year from any person are not counted as taxable income. also, the personal exemption allows you to reduce your taxable income by $4,050 for each member of your household. given these exemptions, what is your taxable income? $ 51900 numeric response 2.edit unavailable. 51900 correct. c. next, assume you paid $700 in interest on your student loans last year, put $2,000 into a health savings account (hsa), and deposited $4,000 into an individual retirement account (ira). these expenditures are all tax exempt, meaning that any money spent on them reduces taxable income dollar-for-dollar. knowing that fact, now what is your taxable income? $ 43200 numeric response 3.edit unavailable. 43200 incorrect. d. next, you can either take the so-called standard deduction or apply for itemized deductions (which involve a lot of tedious paperwork). you opt for the standard deduction that allows you as head of your household to exempt another $18,350 from your taxable income. taking that deduction into account, what is your taxable income? $ 24850

Answers

The taxable income after all deductions is $22,800.

Based on the given information, the initial taxable income is $51,900. But after subtracting the personal exemption of $4,050 for each member of the household, the taxable income becomes $51,900 - ($4,050 x household members) = $51,900 - ($4,050 x 1) = $47,850.However, the $700 in student loan interest, $2,000 in HSA contributions, and $4,000 in IRA contributions are all tax-exempt and reduce the taxable income dollar-for-dollar. So, the new taxable income becomes $47,850 - $700 - $2,000 - $4,000 = $41,150.

Finally, with the standard deduction of $18,350 for the head of household, the taxable income becomes $41,150 - $18,350 = $22,800.Therefore, the taxable income after all deductions is $22,800.

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Transactional relationships in a supply chain are also called

A Cooperative relationships
B Competitive relationships
C Arm's-length relationships
D Distributive relationships

Answers

Transactional relationships in a supply chain are also called C. Arm's-length relationships

Transactional relationships in a supply chain are also called arm's-length relationships because they are based on a limited exchange of information, short-term agreements, and a focus on individual transactions rather than long-term collaboration.

Transactional relationships in a supply chain are characterized by a focus on short-term, transactional exchanges between buyers and suppliers. These relationships are often described as arm's-length relationships because they are typically characterized by a lack of long-term commitment or collaboration between the parties.

In contrast, cooperative relationships in a supply chain are characterized by a focus on long-term collaboration, trust, and mutual benefit between buyers and suppliers. Competitive relationships in a supply chain are characterized by a focus on individual gain and a lack of collaboration between buyers and suppliers. Distributive relationships in a supply chain are characterized by a focus on distributing goods or services through intermediaries or third-party distributors

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Newer and smaller companies are inclined to use which method when developing marketing communications budgets?
A) percentage of sales
B) meet the competition
C) what we can afford
D) payout planning

Answers

Newer and smaller companies are typically inclined to use the "what we can afford" method when developing marketing communications budgets. This method involves allocating resources based on what the company can afford to spend, rather than using a predetermined percentage of sales or trying to match the spending of competitors.

The "what we can afford" method is popular among newer and smaller businesses because it allows for flexibility and control over spending, especially when resources may be limited. These companies may not have a long sales history or established market presence, making it challenging to determine appropriate marketing expenditures based on sales or competition. By focusing on what they can afford, these businesses can tailor their marketing efforts to fit their current financial situation, which may change as the company grows and evolves.

However, it's important to note that this method has its drawbacks. One major limitation is that it may lead to underinvestment in marketing, potentially hindering growth and market penetration. Additionally, it does not take into consideration market trends or competitor actions, which could leave a company at a disadvantage.

In conclusion, the "what we can afford" method is commonly used by newer and smaller companies when developing marketing communications budgets due to its flexibility and control over spending. While it has its benefits, it's essential for companies to be aware of its limitations and consider alternative approaches as they grow and gain a better understanding of their market and competition.

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Economists say that long-run economic growth is almost entirely due to:
A.
rising productivity.
B.
population growth.
C.
a democratically elected government.
D.
a balanced budget.
E.
perfectly competitive markets.

Answers

A. rising productivity.

Economists say that long-run economic growth is almost entirely due to rising productivity

Long-run economic growth refers to the sustained increase in an economy's output over time. Rising productivity is the primary driver of long-run economic growth as it allows for more goods and services to be produced with the same amount of resources. This can come from technological advances, increased education and training, or better organization of production processes. Population growth can contribute to short-term economic growth but does not necessarily lead to sustained long-run growth. A democratically elected government, a balanced budget, and perfectly competitive markets can all contribute to economic efficiency and growth in the short-run, but they are not sufficient conditions for sustained long-run growth.

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Exercise D, Measuring technical progress You are asked to perform a growth accounting analysis for Ethiopia to inform policy makers. Output growth in Ethiopia was 5% per year during the period 2012-2022. Employment growth was 3% per year and capital was growing by 10% in the same period. Suppose that the capital share in income is 0.3 and that there are constant returns to scale. a) What is the main aim of growth accounting? b) What are the main elements in a growth accounting exercise? c) What was the annual growth rate of output per worker? Of capital per worker? d) What was the growth in total factor productivity (technical progress)? e) Suppose now that the capital income share is 0.5. Would your estimate of technical progress in b) change? How?

Answers

a) The main aim of growth accounting is to identify the sources of economic growth, such as changes in capital, labor, and productivity, to inform policymakers on how to stimulate further growth.

b) The main elements in a growth accounting exercise are the growth rates of labor, capital, and output, as well as the capital share in income and the assumption of constant returns to scale.

c) The annual growth rate of output per worker can be calculated by subtracting the annual growth rate of employment from the annual growth rate of output, which is (5% - 3%) = 2%. The annual growth rate of capital per worker can be calculated by subtracting the annual growth rate of employment from the annual growth rate of capital, which is (10% - 3%) = 7%.

d) To calculate the growth in total factor productivity (TFP), we need to use the formula TFP growth = Output growth - (Capital growth * Capital share) - (Labor growth * Labor share). Assuming a capital share of 0.3 and constant returns to scale, we get TFP growth = 5% - (10% * 0.3) - (3% * 0.7) = 2.1%. Therefore, the growth in TFP (technical progress) in Ethiopia during the period 2012-2022 was 2.1% per year.

e) If the capital income share is increased to 0.5, the estimate of technical progress in b) would change because the contribution of capital to output growth would be higher. Using the same formula as in d), we get TFP growth = 5% - (10% * 0.5) - (3% * 0.5) = 1%. Therefore, the estimate of technical progress would decrease from 2.1% to 1% if the capital income share is increased to 0.5.

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Suppose the economy is at a short-run equilibrium GDP that lies above potential GDP. Which of the following will occur because of the automatic mechanism adjusting the economy back to potential GDP?
A) Output will increase.
B) Prices will decline.
C) Unemployment will decline.
D) Short-run aggregate supply will shift to the left.

Answers

D) Short-run aggregate supply will shift to the left  which will occur because of the automatic mechanism adjusting the economy back to potential GDP?


When the economy is at a short-run equilibrium GDP that lies above potential GDP, it means that there is an excess demand for goods and services, which leads to upward pressure on prices. As prices increase, firms will increase their production in the short-run, leading to an increase in output and employment. However, this increase in output and employment is not sustainable in the long run because it is not supported by an increase in potential GDP.
Therefore, the automatic mechanism that adjusts the economy back to potential GDP is a decrease in short-run aggregate supply. This occurs as input prices increase due to the increase in production, leading to a decrease in profits and a decrease in the willingness of firms to supply goods and services. As a result, the short-run aggregate supply curve shifts to the left, reducing output and employment back to potential GDP levels. Prices may also decline as a result of this adjustment.

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a researcher examines the effect of the physical attractiveness of a driver involved in an automobile accident (unattractive, average, or attractive) and the severity of damage caused ($500, $1,500, or $2,500) on judgments of responsibility assigned to the driver. which of the following represents the factorial design?

Answers

The factorial design in this study is a 3x3 design.

This is because there are three levels of physical attractiveness (unattractive, average, or attractive) and three levels of severity of damage caused ($500, $1,500, or $2,500). The combination of these two factors leads to a total of nine possible conditions in the experiment.

The combination of these two independent variables leads to the creation of nine possible experimental conditions.

Each participant in the study is randomly assigned to one of these nine conditions, and the researchers then measure the dependent variable (which may be, for example, attitudes towards the offender or the amount of compensation awarded) in each condition.

Using a factorial design allows the researchers to examine not only the main effects of each independent variable on the dependent variable but also the interaction effects between them.

For example, the researchers may be interested in whether physical attractiveness has a greater impact on the dependent variable when the severity of damage is higher, or whether the severity of damage has a stronger effect when the offender is unattractive.

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Suppose the prices of goods X, Y, and Z are $4, $1, and S5, respectively, and the last unit purchased of good X has a marginal utility MUx 16 utils. At the point of equilibrium, the marginal utility of the last unit purchased of goods Y and Z will be A. MUy-12 utils and MUZ-20 utils, respectively. B. MUy- 8 utils and MUz 2 utils, respectively. C. MUy 4 utils and MUz-20 utils, respectively. D. MUy-16 utils and MU2 16 utils, respectively. E. MUy-2 utils and MU2-4 utils, respectively.

Answers

The correct  answer is C. MUy - 4 utils and MUz - 20 utils, respectively.Suppose the prices of goods X, Y, and Z are $4, $1, and $5, respectively, and the last unit purchased of good X has a marginal utility (MUx) of 16 utils.

At the point of equilibrium, the marginal utility of the last unit purchased of goods Y and Z can be found using the concept of equal marginal utility per dollar.

For goods X, Y, and Z, the marginal utility per dollar should be equal at equilibrium:[tex]MUx/Price of X = MUy/Price of Y = MUz/Price of Z[/tex], [tex]16/$4 = MUy/$1 = MUz/$5[/tex], [tex]4 = MUy/1 = MUz/5\\[/tex]
Thus, MUy = 4 utils, and MUz = 20 utils.Therefore, the answer is C. MUy - 4 utils and MUz - 20 utils, respectively.

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all of the following statements correctly describe a contemporary approach to create the work breakdown structure (wbs) for a project except:

Answers

The statement that correctly does not describe a contemporary approach to create the Work Breakdown Structure (WBS) for a project is option c - "Project teams may rely upon the project manager to create all levels of the WBS".

In a contemporary approach, the project team collaborates to create the WBS, and it is not solely the responsibility of the project manager.

The other options are correct - project teams may jump start the WBS construction with a brainstorming session, use a template or a WBS from a previous project as a starting point, and adopt a top-down approach to construct the WBS.

A contemporary approach involves the project team working together to break down the project into smaller, manageable components to ensure project success. The WBS serves as a framework for project planning and execution, and it is a vital tool for effective project management.

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Complete Question:

All of the following statements correctly describe a contemporary approach to create the Work Breakdown Structure (WBS) for a project EXCEPT: a. Project teams may jump start the WBSc ruction with a brainstorming session. b. Project teams may use a template or a Wes from a previous project as a starting point.  c. Project teams may rely upon the project manager to create all levels of the WBS. d. Project teams may adopt a top-down approach to construct the WBS.

In 1947 , an organization surveyed 1100 adults and asked, "Are you a total abstainer from, or do you on occasion consume, alcoholic beverages?" Of the 1100 adults surveyed, 429 indicated that they were total abstainers. In a recent survey, the same question was asked of 1100 adults and 385 indicated that they were total abstainers. Complete parts (a) and (b) below. (a) Determine the sample proportion for each sample. The proportions of the adults who took the 1947 survey and the recent survey who were total abstainers are and respectively. (Round to three decimal places as needed.)

Answers

(a) For the 1947 survey, the sample proportion of total abstainers is: 0.350 (b) We can see that the sample proportion of total abstainers has decreased from 1947 to the recent survey.

a) 429/1100 = 0.390

For the recent survey, the sample proportion of total abstainers is:

385/1100 = 0.350

(Rounded to three decimal places)

b)However, we cannot make any conclusions about the population proportion based on this information alone.  We would need to conduct further analyses, such as hypothesis testing or confidence intervals, to determine if this difference is statistically significant and to estimate the range of plausible values for the population proportion.

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Indicate what components of GDP (if any) each of the following transactions would affect. Check all that apply. Transaction Consumption Investment Government Purchases Net ExportsYou pay a hairdresser for a haircut. New York hires workers to plow snow after a snowstorm. Aunt Jane buys a new house from a local builder. Uncle Henry buys a new refrigerator from a domestic manufacturer. Ford sells a Mustang from its inventory to the Martinez family. Ford manufactures a Focus and sells it to Avis, the car rental company. The federal government sends your grandmother a Social Security check. Your parents buy a bottle of French wine.

Answers

The components of GDP are consumption, investment, government purchases, and net exports.

Transaction 1: You pay a hairdresser for a haircut. This transaction affects consumption because it is a personal expenditure for a service.

Transaction 2: New York hires workers to plow snow after a snowstorm. This transaction affects government purchases because the government is paying for a service.

Transaction 3: Aunt Jane buys a new house from a local builder. This transaction affects investment because it is a purchase of a long-term asset.

Transaction 4: Uncle Henry buys a new refrigerator from a domestic manufacturer. This transaction affects consumption because it is a personal expenditure for a durable good.

Transaction 5: Ford sells a Mustang from its inventory to the Martinez family. This transaction affects consumption because it is a personal expenditure for a durable good.

Transaction 6: Ford manufactures a Focus and sells it to Avis, the car rental company. This transaction affects investment because Avis is purchasing a long-term asset for their business.

Transaction 7: The federal government sends your grandmother a Social Security check. This transaction affects government purchases because the government is paying for a service.

Transaction 8: Your parents buy a bottle of French wine. This transaction affects net exports because it is an import of a good.

Overall, these transactions affect various components of GDP depending on the nature of the transaction and the type of expenditure involved.

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Wyatt Materials is equivalent to other firms in its industry in all ways but one: Wyatt has much lower fixed costs than its peers. Accordingly, an analyst should expect Wyatt to have Multiple Choice a lower beta than its industry the same beto as the industry but a lower beta thon the other firms in the industry a higher beta thon its industry O o O a higher beta than the industry and all the firms within that industry the same bets as the industry but a higher beta thon the other firms in the industry

Answers

An analyst should expect Wyatt to have a lower beta than its industry.

What is lower beta?

A stock's beta measures its volatility compared to the overall stock market. A stock with a beta that is less than 1 is considered a lower beta stock than the market.

Wyatt Materials' lower fixed costs suggest that it has a lower level of risk compared to its peers in the industry, leading to a lower beta. Beta measures an asset's sensitivity to market movements, and in this case, Wyatt's lower fixed costs may result in less volatility in its earnings and stock price.

Therefore, an analyst should expect Wyatt to have a lower beta than its industry.

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In 1946, NECA contractors contributed what % of gross payroll to the new National Electrical Benefit Fund. In 1977, this was increased to what %.

Answers

In 1946, NECA contractors contributed 2% of their gross payroll to the new National Electrical Benefit Fund. This fund was established to provide retirement benefits and other welfare benefits to members of the International Brotherhood of Electrical Workers (IBEW) and their families.

In 1977, the contribution rate was increased to 3% of gross payroll. This increase was made to ensure that the fund had enough money to meet the growing demands of the membership. The National Electrical Benefit Fund continues to provide valuable benefits to IBEW members and their families today. These benefits include retirement, disability, and death benefits, as well as health care coverage and other welfare benefits. The fund is managed jointly by representatives of NECA and the IBEW, ensuring that the interests of both labor and management are represented. Overall, the National Electrical Benefit Fund is a critical component of the compensation package for IBEW members, and has helped to provide financial security for generations of electrical workers and their families.

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Adams Corporation estimates that it lost $74,400 in inventory from a recent flood. The following information is available from the records of the company’s periodic inventory system: beginning inventory, $180,000; purchases and net sales from the beginning of the year through the date of the flood, $420,000 and $730,000, respectively.
What is the company’s gross profit ratio?

Answers

The company's gross profit ratio is approximately 0.898, or 89.8%. To calculate the gross profit ratio for Adams Corporation, we first need to find the gross profit and then divide it by net sales.

Here's how to do that using the provided information:

1. Calculate the cost of goods sold (COGS): Beginning inventory + Purchases - Ending inventory
  Ending inventory = Beginning inventory + Purchases - Flood loss
  Ending inventory = $180,000 + $420,000 - $74,400 = $525,600

2. Calculate the cost of goods sold (COGS):
  COGS = Beginning inventory + Purchases - Ending inventory
  COGS = $180,000 + $420,000 - $525,600 = $74,400

3. Calculate the gross profit: Net sales - COGS
  Gross profit = $730,000 - $74,400 = $655,600

4. Calculate the gross profit ratio: Gross profit / Net sales
  Gross profit ratio = $655,600 / $730,000 = 0.898

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According to Michael Porter, which of the following is a problem with many publicly traded companies?
A. Shareholders of publicly traded companies do not have a legitimate claim on profits.
B. Many publicly traded companies have defined value creation too narrowly in terms of financial performance.
C. There is no transferability of stock ownership in publicly traded companies.
D. The legal owners of publicly traded companies also make management decisions for the company.

Answers

According to Michael Porter, the problem with many publicly traded companies is B. Many publicly traded companies have defined value creation too narrowly in terms of financial performance.

One of the main problems with a narrow focus on financial performance is that it can lead to a short-term perspective.

Companies that are primarily concerned with meeting quarterly earnings targets or maximizing shareholder returns may neglect longer-term investments in research and development, employee training, and other areas that are critical for sustained growth.

This short-term focus can also lead to a lack of innovation, as companies may be hesitant to invest in new technologies or products that do not have an immediate payoff.

Another problem with a narrow focus on financial performance is that it can lead to a narrow definition of value. By prioritizing financial metrics, companies may overlook other important factors that contribute to value creation, such as customer satisfaction, employee engagement, and social responsibility.

This can create a disconnect between a company's financial performance and its overall impact on society, which can ultimately harm the company's reputation and long-term viability.

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An item of merchandise was purchased for $600 with credit terms of 2/10, n/30. The vendor was paid within the discount period. Assuming that a perpetual inventory system is in use, which of the following is the correct journal entry to record the payment of the related invoice on the buyer's books?
Debit Purchases $600; credit Cash $600.
Debit Cash $588; debit Sales Discounts $12; credit Accounts Receivable $588.
Debit Accounts Payable $600; credit Inventory $12; credit Cash $588.
Debit Inventory $588; credit Cash $588.
Debit Accounts Payable $600; credit Purchases Discount $12; credit Cash $588.

Answers

The correct journal entry to record the payment of the related invoice on the buyer's books would be:
Debit Accounts Payable $600; credit Purchases Discount $12; credit Cash $588.

Explanation:

The credit terms of 2/10, n/30 mean that the buyer can take a 2% discount if payment is made within 10 days of the invoice date (discount period), otherwise, the full amount is due within 30 days. Since the vendor was paid within the discount period, the buyer can take advantage of the discount.

The Purchases Discount account is a contra expense account that is used to record the discount received. The Accounts Payable account is debited to reduce the amount owed to the vendor, and the Cash account is credited for the amount paid.

Debiting Purchases or Inventory accounts is not necessary since the item has already been recorded as a purchase, and the perpetual inventory system should have already updated the inventory account. Debiting Sales Discounts is also incorrect since it is not an expense account.

In summary, the correct journal entry to record the payment of the related invoice on the buyer's books is to debit Accounts Payable $600, credit Purchases Discount $12, and credit Cash $588. This entry will properly record the purchase, the discount received, and the payment made.

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On August 4, Carrothers Company purchased on account 710 units of materials at $20 per unit. During August, raw materials were requisitioned for production as follows: 284 units for Job 50 at $17 per unit and 291 units for Job 56 at $20 per unit. Journalize the entry on August 4 to record the purchase. If an amount box does not require an entry, leave it blank, Aug. 4 Journalize the entry on August 31 to record the requisition from the materials storeroom. If an amount box does not require an entry, leave It blank Aug. 31

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On Aug 4: Debit Raw Materials Inventory $14,200; Credit Accounts Payable $14,200, And on Aug 31: Debit- Work in Process Inventory, Job 50 $4,828 and 56 $5,820; Credit: Raw Materials Inventory $10,648.

a) On Aug 4:

To record the purchase of raw materials on account:-

Debit: Raw Materials Inventory for the cost of 710 units of materials at $20 per unit, which equals $14,200.

Credit: Accounts Payable for the same amount of $14,200 to record the liability.

b) On Aug 31:

To record the requisition of raw materials from the storeroom and their use in production:

Debit: Work in Process Inventory, Job 50 for the cost of 284 units of raw materials at $17 per unit, which equals $4,828.

Debit: Work in Process Inventory, Job 56 for the cost of 291 units of raw materials at $20 per unit, which equals $5,820.

Credit: Raw Materials Inventory for the total cost of raw materials requisitioned, which equals $10,648.

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Brief Exercise 16-4 (Algo) Temporary difference [LO16-1, 16-3]
A company reports pretax accounting income of $22 million, but because of a single temporary difference, taxable income is $24 million. No temporary differences existed at the beginning of the year, and the tax rate is 25%.
Prepare the appropriate journal entry to record income taxes. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field. Enter your answers in millions rounded to 1 decimal place (i.e., 5,500,000 should be entered as 5.5).)

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A company reports $22 million in pretax profits , its current tax = $6 m n and tax expense = $ 5.5 m n .

Current Tax = Taxable Income × Tax rate

                        =      $24 m n × 25 %

                                  = $6 m n

2. Tax Expense = $22 m n. x 25%

                                   $ 5.5 m n

                        Journal Entry

1. Profit & loss                 $6 m n

Current tax                   $ 6 m n

[ For recording tax expenses ]

2. Differed tax income                       $0.05 m n

  Profit & loss                                        $ 0.05 m n

[For recording differed tax income ]

3. Differed tax assets                           $  0.05 m n

Differed tax income                                $ 0.05 m n

[ for creating deferred tax assets ]

A balance sheet item that reduces a company's taxable income in the future is known as a deferred tax asset. When a company overpays its taxes, this line item asset is found. This cash will ultimately be gotten back to the business as expense alleviation.

A conceded charge resource is something contrary to a conceded charge risk, which demonstrates a normal expansion in how much personal duty owed by an organization. It is critical to take note of that a conceded charge resource is perceived just when the contrast between the misfortune worth or devaluation of the resource is supposed to balance its future benefit.

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Projections are that although service jobs are growing now, the economy is continuing to evolve to one based on the information-based global revolution. The best strategy for college graduates is to:

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The best strategy for college graduates is to focus on developing skills in fields related to the information-based global revolution. This may include technology, data analysis, digital marketing, and other related areas. It is also important to stay up-to-date with the latest developments in these fields and to continue learning and adapting to new technologies and trends.

Additionally, networking and building connections with professionals in these industries can be highly beneficial in securing job opportunities and staying informed about career prospects. Overall, prioritizing skills and knowledge relevant to the evolving economy can help college graduates thrive in the job market and succeed in their careers.

1. Develop a strong foundation in information technology and related fields, as these skills will be crucial in the information-based global economy.

2. Cultivate a global perspective and understanding of different cultures, as businesses and interactions will increasingly take place across borders.

3. Focus on building strong communication and interpersonal skills, as these will remain important in service jobs and in the information-based economy.

4. Continuously learn and adapt to new technologies and industry trends, to stay competitive in the job market.

5. Consider gaining experience in both service jobs and information-based fields, to be more versatile and better prepared for the evolving economy.

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A small coffee shop consumes on average 5000 bags of their most popular coffee beans each month. Demand is normally distributed with the standard deviation of the monthly demand being 180 bags. The shop pays $13 for each bag to the supplier. The cost of ordering and receiving shipments is $16 per order. Accounting estimates annual inventory carrying cost is 30% of its value. The supplier lead time is a constant of 2 operating days. The shop operates 240 days per year, i.e., the shop operates 20 days each month. Each order is received from the supplier in a single delivery. The coffee shop uses a continuous review (i.e., fixed-order quantity) inventory system and pays the supplier when the order is delivered (i.e., cash on delivery). There are no quantity discounts. Please keep two decimal places in your calculations.
1. What quantity should the shop order with each order?
2. How many times per year will the shop order on average?
3. How many operating days will elapse on average between two consecutive orders?
4. What is the store’s minimum total annual cost of placing orders & carrying inventory (cycle stock)?
5. The company currently carries a safety stock of 50 bags. What is the annual cost to carry the safety stock of 50 bags?

Answers

The small coffee shop should order approximately 160 bags per order, with an average of 623 orders per year. The shop should expect an average of 0.38 operating, with a minimum total annual cost of $10,372.56.

The quantity that the shop should order with each order can be calculated using the economic order quantity (EOQ) formula:

EOQ = [tex]\sqrt{(2 \times demand \times ordering cost) / carrying cost}[/tex]

Given:

Demand (D) = 5000 bags per monthOrdering cost (S) = $16 per orderCarrying cost (H) = 30% of the value of the inventoryCost per bag (C) = $13

First, we calculate the annual demand:

Annual Demand = Monthly Demand × Operating Days per MonthAnnual Demand = 5000 bags × 20 days = 100,000 bags

Next, we can calculate the EOQ:

EOQ = [tex]\sqrt{(2 \times 100,000 \times 16) / (0.30 \times 100,000 \times 13)][/tex]EOQ = 160.49

Therefore, the shop should order approximately 160 bags with each order.

The average number of times the shop will order per year can be calculated using the formula:

Order frequency = (Annual Demand / EOQ)Order frequency = 100,000 / 160.49Order frequency ≈ 623.04

Therefore, the shop will order on average approximately 623 times per year.

The average number of operating days that will elapse between two consecutive orders can be calculated using the formula:

Order interval = (Operating Days per Year / Order Frequency)

Order interval = 240 / 623.04Order interval ≈ 0.38

Therefore, on average, approximately 0.38 operating days will elapse between two consecutive orders.

The minimum total annual cost of placing orders and carrying inventory (cycle stock) can be calculated using the formula:

Total Annual Cost = (Annual Demand / EOQ) × Ordering Cost + (EOQ / 2) × Carrying CostTotal Annual Cost = (100,000 / 160.49) × 16 + (160.49 / 2) × (0.30 × 13)Total Annual Cost ≈ $10,372.56

Therefore, the store's minimum total annual cost of placing orders and carrying inventory is approximately $10,372.56.

The annual cost to carry the safety stock of 50 bags can be calculated by multiplying the carrying cost per bag by the quantity of the safety stock:

Annual Cost of Safety Stock = Carrying Cost per Bag × Safety Stock Quantity

Given:

Carrying cost (H) = 30% of the value of the inventoryCost per bag (C) = $13Safety Stock Quantity = 50 bags

Annual Cost of Safety Stock = (0.30 × 13) × 50Annual Cost of Safety Stock ≈ $195

Therefore, the annual cost to carry the safety stock of 50 bags is approximately $195.

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A bond currently has a price of $1,050. The yield on the bond is 7%. If the yield increases 26 basis points, the price of the bond will go down to $1,031. The duration of this bond is ____ years. a. 6.49 b. 7.47 c. 7.60 d. 6.96

Answers

The duration of this bond price is approximately 6.96 years, which corresponds to option (d) in your list of choices.

To calculate the duration of the bond, we need to use the formula for modified duration:

Modified Duration = (Price Change / Initial Price) / Yield Change

First, let's find the price change and the yield change:

Price Change = New Price - Initial Price = $1,031 - $1,050 = -$19
Yield Change = Increase in Yield = 0.26% = 0.0026

Now, we can plug the values into the formula:

Modified Duration = (-$19 / $1,050) / 0.0026

Modified Duration ≈ -0.0181 / 0.0026 ≈ -6.96

The duration of this bond is approximately 6.96 years, which corresponds to option (d) in your list of choices.

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