Based on the CAPM and accepting these deposits are perfectly priced, the estimated return on the market is 8.97%.
Assuming the Risk-free rate of 2%, which is standard for US Treasury bonds.
Beta = 1.25
The Capital Asset Pricing Model is an instrument used to estimate the expected return on an investment, given its beta and the expected return on the demand. The formula for the CAPM is calculated by:
Expected return = Risk-free rate + Beta × (Market return - Risk-free rate)
For Pete Corporation:
Expected return = 2% + 1.25 × (Market return - 2%)
0.1080 = 0.02 + 1.25 × (Market return - 0.02)
0.0860 = 1.25 × (Market return - 0.02)
Market return - 0.02 = 0.0860 / 1.25
Market return = 8.97%
For Repete Company:
Expected return = 2% + 0.87 × (Market return - 2%)
0.0820 = 0.02 + 0.87 × (Market return - 0.02)
0.0620 = 0.87 × (Market return - 0.02)
Market return - 0.02 = 0.0620 / 0.87
Market return = 9.00%
Therefore, we can conclude that based on the CAPM and accepting these deposits are perfectly priced, the desired return on the market is 8.97%.
To learn more about expected returns
https://brainly.com/question/29359265
#SPJ4
Selma deposited a paycheck for $378. 42. She’ll use the check register to record her transaction. What will be her new balance? A checking account has a balance of 2636 dollars and 41 cents. $2,257. 99 $2,337. 06 $3,014. 83 $3,057. 31.
Answer:
$3,014. 83
Explanation:
So basically, just add the checking account balance to the amount she's depositing. So the equation should look like $378.42 + 2,636.41. Add it all up and you get $3,014.83
Hope this helps :)
Prices are high at hotels when it is low season in a tourist destination.
Answer:
False
Explanation:
How to calculate momentum?
Answer:
p=mv
Explanation:
the formula for momentum is
p=mv
Answer:
By multiplying mass and velocity
Explanation:
c) Differentiate between Celebrity Advertising and Public Service Advertising.
Answer:
one has to do with advertising for a career and the other for the public and the well-being of others. also, celebrity advertising is for one person while public service advertising is for many.
Explanation:
Rolland Poust is a business student. Last semester, he took courses in statistics and accounting, three hours each, and earned an C in both. He earned a A in a five-hour history course and a B in a five-hour history of jazz course. In addition, he took a one-hour course dealing with the rules of basketball so he could get his licence to officiate high school basketball games. He got an A in this course. What was his GPA for the semester? (Round the final answer to 2 decimal places.)
GPA for the semester _______
Assume that he receives 4 points for an A, 3 for a B, and so on. What measure of central tendency did you just calculate?
The GPA for the semester is 2.92. The measure of central tendency is mean.
GPA stands for Grade Point Average. It is a calculation of your average grade point per semester. It reflects your academic performance over a given period of time. GPA is a metric used by schools, colleges, and universities to evaluate academic progress. The formula for calculating GPA is:
GPA = Σ(GPA * Credit hours) / ΣCredit hours
Given that, Rolland Poust took the following courses and scored grades:
Statistics (C) – 3 hours
Accounting (C) – 3 hours
History (A) – 5 hours
History of Jazz (B) – 5 hours
Basketball rules (A) – 1 hour
So, total credit hours = 3 + 3 + 5 + 5 + 1 = 17
Credit hours * Grades = Grade points in the respective courses
Grades are assigned points according to the following table:
A: 4 points
B: 3 points
C: 2 points
D: 1 point
F: 0 points
Grades Credit Hours Grade Points
Statistics (C)3*2=6
Accounting (C)3*2=6
History (A)5*4=20
History of Jazz (B)5*3=15
Basketball rules (A)1*4=4
Total 17 51
To calculate the GPA of Rolland Poust for the semester, use the formula:
GPA = (Σ Grade points) / Credit hours= (51) / 17= 2.92
In this question, the measure of central tendency is mean. Mean is a statistical measure that is used to calculate the average of a data set. It is also referred to as the arithmetic mean. Mean is calculated by dividing the sum of all values by the total number of values in a dataset.
Learn more about Central tendency:
https://brainly.com/question/28180169
#SPJ11
Anytwo provisions or mechanisms that ensures that the investment of shareholders are protected
There are several provisions and mechanisms that can help protect the investments of shareholders in a company. Two examples include: Shareholder Rights Plan and Proxy Voting.
Shareholder Rights Plan: Also known as a "poison pill," this provision is intended to protect shareholders from hostile takeovers. If a company is threatened with a takeover, the board of directors can adopt a shareholder rights plan that gives existing shareholders the right to purchase additional shares at a discounted price, making a takeover more expensive and less attractive to potential buyers.
Proxy Voting: Shareholders have the right to vote on important company decisions, such as electing board members and approving mergers and acquisitions. Proxy voting allows shareholders to vote remotely, without having to attend in-person meetings, making it easier for individual shareholders to participate in important decisions and have their voices heard.
Other provisions and mechanisms that can protect shareholders include bylaws that limit the power of the board of directors, requirements for independent auditors, and regulations that ensure companies provide timely and accurate financial information to shareholders.
Learn more about Shareholder here
https://brainly.com/question/29803660
#SPJ4
Members of Generation Z are most likely to influence Multiple Choice a. furniture design b. health care and insurance. c. retirement plans.
d. e-textbooks
Based on the given options, members of Generation Z are most likely to influence technology related to e-textbooks. The correct option is "D".
It is becoming increasingly evident that members of Generation Z have the greatest influence when it comes to technology related to e-textbooks. This is due to the fact that they have grown up in a world surrounded by technology and have an innate understanding of how it works.
Moreover, they are more likely to be early adopters of new technology and products. Their opinions and preferences will shape the future of e-textbooks, from how they are created to how they are consumed.
To know more about Generation , click here.
https://brainly.com/question/10736907
#SPJ4
The risk of cost distortion is minimized with activity-based costing by applying overhead using: Multiple Choice
A - a single cost driver rate.
B - multiple cost driver rates.
C - an absorption costing rate.
D - direct costing rates
The correct answer is option B - multiple cost driver rates
Activity-based costing is a cost accounting method that identifies activities in an organization and assigns the cost of each activity to all products and services according to the actual consumption. The risk of cost distortion is minimized with activity-based costing by applying overhead using: Multiple cost driver rates.
Activity-based costing (ABC) is a more accurate way of allocating indirect costs to products and services, using one or more cost drivers. ABC avoids the arbitrary cost allocations associated with traditional costing methods.
Risk of cost distortion refers to the possibility that the cost of one product or activity may be inaccurately inflated or deflated relative to another. This distortion is more likely to occur when indirect costs are allocated based on a single, volume-based cost driver rate.
ABC seeks to minimize the risk of cost distortion by using multiple cost driver rates. The costs of indirect activities are assigned to cost pools based on the activities used to generate them. Then, each cost pool is assigned to products or services based on the activities they consume, using a cost driver rate for each activity.
In this way, the costs of each product or service reflect the actual activities that generated those costs, reducing the risk of cost distortion.
Therefore, the correct answer is option B - multiple cost driver rates.
To learn more about Activity Based Costing in the given below link
https://brainly.com/question/6654166
#SPJ11
When displaying merchandise on a T-stand, quad rack, or round rack, what is the most important feature to keep in mind:
The most important feature to keep in mind when displaying merchandise on a T-stand, quad rack, or round rack is color.
Importance of Color in MarketingPeople perceive color as a part of their visual language before they are aware of it.
Color can help build strong brand awareness and impact the decisions of viewers when it comes to marketing a product.
Color is a powerful design element that may elicit emotions and affect consumer behavior.
Learn about marketing using racks here: https://brainly.com/question/2176047.
I need help with all those questions
If 1m people are unemployed and the potential labour force is 30m, what is the unemployment rate
Answer:
total labour= 40m
unemployement rate= 1000000/40000000*100%= 2.5%
Explanation:
darlene runs a fruit and vegetable stand in a medium-sized community where there are many such stands. her weekly total revenue equals $2,000. her weekly total cost of running the stand equals $3,500, consisting of $2,500 of total fixed costs and $1,000 of total variable costs. an economist would likely advise darlene to: group of answer choices
To answer your question about Darlene running a fruit and vegetable stand with a weekly total revenue of $2,000 and a weekly total cost of $3,500, consisting of $2,500 of total fixed costs and $1,000 of total variable costs, I will provide a step-by-step explanation.
1. First, let's understand the key terms:
- Total revenue: The total amount of money Darlene earns from her fruit and vegetable stand every week.
- Total cost: The total amount of money Darlene spends to run her fruit and vegetable stand every week.
- Fixed costs: The costs that don't change with the level of production, such as rent or insurance.
- Variable costs: The costs that vary depending on the level of production, such as the cost of fruits and vegetables.
2. Now, let's calculate Darlene's weekly profit or loss:
Weekly profit/loss = Weekly total revenue - Weekly total cost
= $2,000 - $3,500
= -$1,500
3. Analyze the situation: Since Darlene's weekly profit is -$1,500, she is operating at a loss.
4. Consider the advice an economist would give: Since the loss primarily comes from fixed costs, which cannot be reduced in the short run, an economist would likely advise Darlene to continue operating her stand in the short term, provided that her total revenue exceeds her variable costs ($2,000 > $1,000). In the long run, she should analyze the market and determine if her business can become profitable by adjusting prices, lowering costs, or finding ways to increase revenue. If the losses continue, she may need to consider closing her stand or finding alternative ways to utilize the resources.
So, an economist would likely advise Darlene to continue operating in the short term but reassess her business model and profitability in the long run.
To know more about Economists visit:
https://brainly.com/question/13199035
#SPJ11
Which discipline studies the decision-making process of customers, workers, households, and business firms on an individual basis rather than as aggregates?.
Microeconomics is discipline that studies the decision-making process of customers, workers, households, and business firms on an individual basis
What is microeconomics?
Microeconomics is a branch of economics and a study that deals with individual as a unit.
It deals with how an individual, a consumers or a business, organization or an agency make decisions and allocate their various resources.Therefore, microeconomics studies decision making on individual basis.
For more details on microeconomics kindly check https://brainly.com/question/8648375
Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).
It can be seen from the solutions given that Cain's net income is $24,000.
Here is the solution:Net income = Net cash provided by operating activities - Adjustments
= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000
= $24,000
Therefore, Cain's net income is $24,000.
Here is a breakdown of the adjustments:
To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.
A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.
The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.
A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.
A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.
A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.
Read more about net income here:
https://brainly.com/question/28390284
#SPJ1
using ________, consumers choose messages to which they pay attention.
discriminating perception Jane, who considers herself to be a health nut, enjoys running a lot. She attends the gym for two hours every day, consumes only wholesome, low-fat meals, and participates in a number of online fitness communities.
Also, Jane smokes cigarettes. Jane believes that, as long as she stays active, eats properly, and smokes fewer than one pack per day, she will not experience any negative health effects from smoking. The selective perception theory proposes that while we perceive stimuli, we filter them both consciously and unconsciously. We can consciously shut out some inputs, including colours, noises, and images. By choosing to ignore distracting, irrelevant, or contradictory information, we can actively direct our attention to certain stimulition.
Learn more about Consumers here:
https://brainly.com/question/15869639
#SPJ4
Using selective attention the customers choose messages to which they pay attention.
What is selective attention?Selective attention is a normal and automatic process that takes place when clients are exposed to a large number of data and stimuli; however, it is better to concentrate on a select subset of them.
So many elements, such as personal interests, motivation, relevance, novelty, and the situation in which the information is provided, imitate this selection process.
Why is selective attention important?With selective attention, one may pay attention to information that is important to their current work while disregarding irrelevant data. This, therefore, results in better processing of information important to the job. It is also known as controlled attention.
Learn more about selective attention here:
https://brainly.com/question/30705578
#SPJ4
If you put up $48,000 today in exchange for a 6. 25 percent, 15-year annuity, what will the annual cash flow be? (Do not round intermediate calculations and round your answer to 2 decimal places, e. G. , 32. 16. )
The cash flow will be $5023.26 per year. Reason: To determine the Annual Cash Flow, use the PV Annuity calculation.
The formula for calculating an annuity's present value is:
PV = Individual Annuity Payment Amount x P = PMT * [1 - [(1 / 1+r)n] / r] .
where P is the annuity stream's present value.
PMT stands for the sum of each payment.
r = Interest or discount rate.
Due to the current economic uncertainty, payments that are due in a few decades will be worth less. In contrast, because they can be invested in the interim, present payments are more valuable.
As a result, having $10,000 in your possession right now is more valuable than having $10,000 in ten years.
Early access to these funds can assist you in paying off debt, taking care of auto maintenance, or making a down payment on a house.
To learn more about cash flow Visit:
https://brainly.com/question/29768594
#SPJ4
Making good decisions is what market research is all about. False True
Answer:
True
.............................................
The title of this talk is “Profit’s Not Always the Point.” But do you think profit is an added perk for companies that make the effort to promote positive social change? Explain.
yes, no matter what company say, they need money for funding for "social change"
At which stage of problem solving should you discuss the problem with colleagues?
OA.
O B.
OC.
OD.
O E
defining the problem
evaluating the information
gathering information
making a choice
taking action
The answer is not A
can i doit without pay
Answer:
what?
Explanation:
Which of the following statements best describes the difference between the USDA’s and the FDA’s responsibilities concerning food?
1.The USDA monitors what is put on the food’s label while the FDA ensures safe farming and harvesting practices.
2. The USDA monitors what is put on the food’s label while the FDA protects environmental conditions.
3.The USDA ensures safe farming and harvesting practices while the FDA protects environmental conditions.
4.The USDA ensures safe farming and harvesting practices while the FDA monitors what is put on the food’s label.
Answer:A. The USDA ensures save farming and harvesting practices while the FDA monitors what is put on the food labels!
Explanation: I just took it and got it right! Give me brainliest! Have a good day!
Answer:
The USDA makes sure that there is safe farming and safe harvesting practices when the FDA watches what is put on food levels
Explanation:
Long run competitive equilibrium a) isn't economically efficient b) will never change once it's realized c) is realized only in constant cost industries d) results in zero economic profits
Long run competitive equilibrium results in zero economic profits.
What determines a long run equilibrum?
In a perfectly competitive market, every economic profit is eliminated in the long-run equilibrum. Firms and businesses earn zero economic profit in a competitive market. An increase in the demand for goods is witnessed when there's an increase in the price of substitute. A positive economic profit leads to an increase in the number of new firms that enter into the market but conversly, a negative economic profit will result to firms exiting the industry till profits turn zero.
Learn more on Long run competitive equilibrium from:
https://brainly.com/question/14391694?referrer=searchResults
#SPJ4
On the first day of the year, while covered as an individual under the Standard Plan and using in-network doctors, Jackie broke her leg while skiing. She incurred the following bills: ambulance ride to hospital, emergency room services, X-Ray of her broken leg ($530) and outpatient surgery to repair the broken leg ($10,000). How much would Jackie pay out-of-pocket for her surgery?
Jackie will have to pay $8,700 out-of-pocket for her surgery.
What is Insurance?This is a means of protection of an individual or property from risks of financial loss, damage etc.
The Standard plan usually runs for 12 months and the out-of-pocket expenses for medical care aren't usually reimbursed by insurance companies. The out-of-pocket limit can't be more than $8,700 for individuals which was why it was chosen as the most appropriate choice.
Read more about Insurance here https://brainly.com/question/25855858
A target market is a group of customers that a business decides to aim its marketing efforts and ultimately its products on.
True
False
A target market being a group of customers that a business
decides to aim its marketing efforts and ultimately its
products on is True.
What are Products?These are the goods and services a company offers to the
public in order to take care of certain problems and also ensure
that profit is made in the organization.
Target market are the group of people in which the products
are made for. For example, a sanitary pad's target market is
females.
Read more about Target market here https://brainly.com/question/1327500
true
Explanation:
noballs
All of the following statements are true regarding negotiated municipal underwritings EXCEPT the:A initial offering price of each maturity must be disclosedB spread must be disclosedC participation amount of each underwriter must be disclosedD customer must be sent a copy of the Official Statement, if available
Answer:
D
Explanation:
customer must be sent a copy of the official statement, if available
Which of the following is not an example of appropriate business etiquette?
Greet everyone cordially, warmly, professionally, and with eye contact.
Dress appropriately and professionally and practice good hygiene.
Arrive at appointments within fifteen minutes of the scheduled time.
Pay attention to the person to whom you are speaking and learn their name.
Answer: Arriving at appointments within fifteen minutes of the scheduled time. This is not an example of appropriate business etiquette as it suggests arriving late or not on time. A person should arrive on time or a few minutes early for a business appointment.
Assume you are a manager reviewing the financial performance for your company and you notice the following information in the past year.
• Revenues grow approximately 10% per year
• Gross margins remain the same year over year
• Net profit declines by 3% per year
What might these numbers mean and what specific steps would you take in the analysis the situation?
As a boss, investigating the money related display for your association, the going with information in the earlier year could have different ramifications and ideas: Gross profit margin: The gross profit margin is the percentage of sales revenue that is left over after deducting the cost of goods sold.
If the gross profit margin is lower, it could indicate that the company needs to raise prices or lower the cost of goods sold to remain profitable. You could conduct a cost analysis to determine where there are opportunities to lower the cost of goods sold. Net profit margin: The net profit margin is the percentage of sales revenue that is left over after taking into account all costs. A lower net profit margin could indicate that the company is making fewer sales or spending more money.
You can investigate what is happening by completing a business examination to sort out where deals are lower and thought of ways of raising them. You can also look at your expenses to see where they are higher and where you can reduce them. Return on Equity: Return on esteem is an extent that shows the return made on the financial backer's hypothesis. If the return on equity is lower, it could indicate that the business is not making enough money to repay shareholders' investments.
You can look at shareholder equity to see if you can increase it or reallocate it, or you can do a profitability analysis to figure out where profits are lower and come up with ways to raise them. A monetary proportion investigation can likewise be utilized to decide the effectiveness, dissolvability, and liquidity of the business. The monetary proportion examination will uncover the condition of the business' funds and feature regions needing improvement. Overall, if you look at the financial performance of the company, you can see where improvements are needed, plan how to fix them, and take corrective action to ensure the long-term financial health of the company.
To know more about gross profit margin refer to
https://brainly.com/question/32124148
#SPJ11
As a business owner, Marlon analyzed the economy to determine if it is a good time to open a new shop. What facts probably helped him realize that it is a good time do it?
Low unemployment rate and prices are rising slowly
High unemployment rate and prices are rising quickly
Few homes are being sold and restuarants are closing
Prices aren't changing and factories are shrinking
As a business owner, Marlon's decision to open a new shop would have been influenced by several economic factors. The two factors that probably helped him realize that it is a good time to do so are the low unemployment rate and slowly rising prices. These indicators suggest a stable economy with a healthy labor market and a controlled inflation rate. The correct option is a.
A low unemployment rate implies that there is a high demand for labor, which means that consumers have purchasing power to support businesses. In addition, low unemployment rates tend to increase consumer confidence, which can translate into higher spending and revenue for businesses. The slowly rising prices also suggest that inflation is under control, which means that consumers are not feeling the pinch of increasing costs of goods and services. This can lead to increased spending and growth in the economy.
On the other hand, the other options presented in the question, such as high unemployment rates and quickly rising prices, few homes being sold, and restaurants closing, indicate a weak or declining economy. High unemployment rates and quickly rising prices can result in decreased consumer confidence and lower spending, which can be detrimental to businesses. Few homes being sold and restaurants closing are also signs of a weak economy with decreased demand. The correct option is a.
For more such questions on business owner
https://brainly.com/question/27968241
#SPJ8
A milestone occurring in which of these increments of time will be the farthest to the left on a timeline? 4 months 5 days 3 weeks 2 years
Answer:
A milestone occurring in 3 years of increments of time will be the farthest to the right on a timeline.
Explanation:
Here in the given options the increments of time are given.
Here, 3 years > 8 months > 12 weeks > 60 days.
Because, 3 years ≡ (3 × 365) days ≡ 1095 days
8 months ≡ (8 × 30) days ≡ 240 days
12 weeks ≡ (12 × 7) days ≡ 84 days.
Therefore, a milestone occurring in 3 years of increments of time will be the farthest to the right on a timeline.
explain four reason international countries choose jamaica to do business
The four reasons international countries choose Jamaica to do business are below in the below segment.
Although Jamaica seems to be a mid-income country with the highest average class, its low unemployment level has been one of the nation's most slow-growing economies.Considering Jamaica's economy's significance for commercial transactions, trade may be a major driving force for population development.For almost all such renewable sources, such as the production of energy, Jamaica consumes gasoline (petroleum).Another important feature of attention was knowledge and awareness-raising of trade trends among personal and corporate players but also civilized society.
Learn more:
https://brainly.com/question/867182