a portfolio has 30% of its value in ibm shares and the rest in microsoft (msft). the volatility of ibm and msft are 35% and 30%, respectively, and the correlation between ibm and msft is 0.5. what is the standard deviation of the portfolio? group of answer choices 23.61% 27.78% 31.95% 30.56%

Answers

Answer 1

The standard deviation of the portfolio is 27.78% if the correlation between IBM and MSFT is 0.5

The standard deviation of the portfolio can be determined by using the following formula;

standard deviation = √(Volatility MSFT)^2 × (Volatility IBM)^2 + (MSFT shares)^2 × (IBM shares)^2 + 2 × MSFT shares × IBM shares × Volatility MSFT × Volatility IBM × Correlation

Substituting the values in this equation to find the standard deviation of the portfolio as follows;

standard deviation = √(0.3)^2 × (0.35)^2 + (0.7)^2 × (0.3)^2 + 2 × 0.3 × 0.7 × 0.35 × 0.3 × 0.5

standard deviation = √0.09 × 0.1225 + 0.49 × 0.09 + 2 × 0.3 × 0.7 × 0.35 × 0.3 × 0.5

standard deviation = √0.011025 + 0.0441 + 0.02205

standard deviation = √0.077175

standard deviation = 0.2778 = 27.78%

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Related Questions

the records of seahawks company reflected the following balances in the stockholders' equity accounts at the end of the current year: common stock, $10 par value, 46,000 shares outstanding preferred stock, 12 percent, $8 par value, 9,000 shares outstanding retained earnings, $221,000 on september 1 of the current year, the board of directors was considering the distribution of a(n) $76,000 cash dividend. no dividends were paid during the previous two years. you have been asked to determine dividend amounts under two independent assumptions:

Answers

The dividend amounts under two independent assumptions will be 2.15 per share and $1.78 per share respectively.

How to calculate the dividend?

Dividend to Preferred stock holders (Non Cumulative) =  $50000*11%* 1Year C.Y = 5500

Dividend Per SHARE = $5500/ 5000 = $1.1 per share

Dividend to Common stock holders = $70000 -$5500 = $ 64500

Dividend per share = $64500/30000 = 2.15 per share

Dividend to Preferred stock holders (Cumulative) =  $50000*11%* 3Years ( C.Y +2 P.Y) = 16,500

Dividend Per SHARE = $16,500/ 5000 = $3.3 per share

Dividend to Common stock holders = $70000 -$16500 = $ 53500

Dividend per share = $53700/30000 = 1.78 per share

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an auto lease between a consumer and a car dealer is not governed by the ucc because the statute applies only to transactions between merchants.

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False, because the law only covers business dealings between merchants, an auto lease between a consumer and a car dealer is not covered by the UCC.

Describe UCC.

The Uniform Commercial Code (UCC), a comprehensive body of law, regulates all commercial activities in the United States. Instead of being a federal legislation, every state has adopted it. Uniformity of law is essential for interstate business activities.

Due to the widespread adoption of the UCC, businesses can enter into contracts with confidence that the terms will be consistently upheld by courts in all American jurisdictions.

Because of the increased security of commercial links, companies may grow and the American economy does well. For this reason, the UCC has been referred to as "the backbone of American commerce."

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How do bond generate income for investors?.

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Bond generate income for investors by bonds are fixed income securities and the investor lends a sum of money (capital) to a company or government for a certain period and receives a series of interest payments (yield) in return.

What is investor?

An investor is a person or other entity (such as a company or investment fund) that invests capital in the hope of receiving a financial return. Investors rely on a variety of financial instruments to generate income and achieve important financial goals, such as building retirement savings, financing a college education, or simply accumulating additional wealth over time.

There are many different investment vehicles  to achieve these goals, including but not limited to stocks, bonds, commodities, mutual funds, exchange-traded funds (ETFs), options, futures, currencies, gold, silver, pension plans and real. farm Investors can analyze opportunities from different perspectives and generally prefer to minimize risk and maximize returns. Investors typically earn income by investing capital in either equity or debt investments.

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Which is an example of a negative incentive for producers a chance to make more money?.

Answers

A significant rise in the price of production is an example of a negative incentive for producers to make more money.

Negative incentives are a strategy employed by managers to encourage their staff to work effectively so as to prevent a negative outcome. Instead of providing a reward for reaching a target, a manager can advise a punishment if the employee falls short of it, such as forfeiting a bonus or a potential vacation day, being written up, or being demoted.

The purpose of negative incentives is similar to that of any other form of employee motivation: to persuade workers to finish their work effectively and to the best of their abilities, but doing so with a potential for harm rather than benefit.

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an individual checking or savings account can be set up to go automatically to another person when the depositor dies if it is set up as a(n)...

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An individual checking or savings account can be set up to go automatically to another person when the depositor dies if it is set up as an payable at death account.

You may create a new POD account or exchange an present account to a pay-on-death one genuinely via filling out the correct beneficiary paperwork on the financial institution. These paperwork are regularly available on line.

POD designations are regularly available with many unique sorts of debts, which includes: checking bills.

In brief, sure a P.O.D. account is a superb way to bypass the regularly complicated and stressful probate procedure. That is because when the  account owner passes away, it triggers an automated new ownership to the named beneficiary.

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T/F are the top three countries for generating spam. group of answer choices nigeria, the ukraine, and mexico the united states, china, and russia china, south africa, and germany

Answers

Overall, Russian-based IPs were the source of 24.77 percent of all spam volume worldwide. With 14.12% of the global spam email share, Germany was second.

Spams are generated to affect the digital system of the countries. different countries generate spam to hack the system or to steal the data of local people. According to Kaspersky, spam about the 2016 Olympic Games in Brazil was very common: "Fraudulent notifications of lottery winnings linked to this popular athletic event were being detected already in 2015."

Although spam emails are down, Kaspersky warns that hazardous and fraudulent messages will rise, with mobile devices predicted to become "yet another weapon in the arsenal of hackers."

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TRUE/FALSE the definition of market equilibrium states that at the , the quantity of labor demanded by employers will equal the quantity supplied

Answers

Employers will expect the same amount of labor that is supplied pay at equilibrium.

Explain about the equilibrium?

In order for prices to stay stable, market supply and demand must be in balance. Equilibrium exists in this condition.

Market conditions for coffee are predictable. The supply or demand curves must be adjusted before prices will typically change. Any market's equilibrium price is the one at which the quantity demanded and the quantity supplied are equal. This leads to the market equilibrium price of $6 per pound of coffee.

A market needs to be in equilibrium in order to be both efficient and balanced. The amount supplied and the quantity required are balanced when a market is at its equilibrium price and quantity, therefore there is no need for it to move away from that location.

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what are the possible cost-minimization objectives that a multinational company might wish to achieve through transfer pricing?

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Companies may use transfer pricing to achieve cost-cutting goals such as lowering income taxes, withholding taxes, and/or import levies. safeguarding foreign cash flows from currency depreciation avoidance of repatriation constraints

refers to the use of intercompany transfer pricing to offer performance measurements (sales, costs, and revenue) that allow both parties to an intercompany transaction (buyer and seller) to be assessed equitably.

Which of the following is a transfer pricing goal?

Determination of a fair and equitable pricing for a transaction involving the acquisition and sale of products and services between two connected firms; Accounting for a transaction is another purpose.

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. use the orange points (square symbol) to plot the initial short-run industry supply curve when there are 20 firms in the market. (hint: you can disregard the portion of the supply curve that corresponds to prices where there is no output since this is the industry supply curve.) next, use the purple points (diamond symbol) to plot the short-run industry supply curve when there are 30 firms. finally, use the green points (triangle symbol) to plot the short-run industry supply curve when there are 40 firms. supply (20 firms) supply (30 firms) supply (40 firms) 0 125 250 375 500 625 750 875 1000 1125 1250 100 90 80 70 60 50 40 30 20 10 0 price (dollars per pound) quantity (thousands of pounds) demand 900, 40

Answers

The answer of the given question is price would be $40 per ton if the 20 firms in the market.

If there were 20 companies in this market, the short-term equilibrium price of steel would be $40 per ton. At that price, companies in this market would make a profit, which would lead to the entry of more companies in the long run.Since you are aware that economically profitable competitive enterprises do not exist in the long run, you can see from the graph that the long-term equilibrium price must be $30, which implies that there will be 15 businesses functioning in the sector. beacuse of the given hint (we can disregard the portion of the supply curve that corresponds to prices where there is no output since this is the industry supply curve).

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Which of the following correctly describes a non-price competitive strategy based on product differentiation? A. Market penetration uses new marketing segments and existing products. B. Price leadership uses existing marketing segments and existing products. C. Product development uses existing marketing segments and existing products. D. Market development uses new marketing segments and new products. E. Product proliferation uses new marketing segments and new products.

Answers

Out of the choices provided above, the statement, ''Market development uses new marketing segments and new products.'', is the one that accurately describes a non-price competitive strategy on product differentiation. Therefore, the option D holds true.

Product differentiation, as a phenomenon, relates to the fact that represents the supply of such products, which is completely different from other products available in the market. Following this method as a strategy makes the product distinguished from others. It can be related to price competitive products, or non-price competitive products in the market.

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How do you calculate monthly fixed interest rate?.

Answers

Your loan's current outstanding amount is subject to monthly interest calculations at a rate that is 1/12 of the yearly rate.

How do I calculate monthly fixed interest?Your loan's current outstanding amount is subject to monthly interest calculations at a rate that is 1/12 of the yearly rate.The loan amount and interest rate are multiplied to determine the interest on fixed-rate mortgages. This can be divided into the yearly or monthly mortgage interest.Think about a $10,000 bank loan to a borrower. The total cost of the loan, including principle and interest, at a fixed interest rate of 5% is $10,500. This is the sum that the borrower is required to repay.

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assume net sales are $225,000, cost of goods sold is $75,000, selling expenses are $24,000 and general expenses are $30,000. calculate net income:

Answers

Net Income will be $96,000

CALCULATION

Assuming Net Sales is S180,000, Cost of Goods Sold is $79,000, Selling Expenses are $28,500, General Expenses are $22,800, Interest Expense is $2,000,

Net income is defined in business and accounting as an entity's income less cost of goods sold, costs, depreciation and amortisation, interest, and taxes for an accounting period.

How can I figure out my net income?

To determine , start with gross income (the entire amount of money generated) and remove costs like taxes and interest payments. Individual net income is the money you really receive from your paycheck each month, as opposed to the gross amount you receive before payroll deductions.

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When setting up your monthly budget what should you do first?.

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A budget may give you a sense of financial control and make it simpler for you to save money for your objectives. Finding a financial tracking system that works for you is the challenge. You may make a budget with the aid of the next stages.

Step 1: Determine your net income

Step 2: Track your spending

Step 3: Make sensible objectives

Step 4: Create a plan

Step 5: Modify your expenditures to be within your means

Step 6: Consistently review your budget

Along with monetary government benefits, it also includes earnings from jobs, private pensions, and investments. Gives you financial control. Helps you stay focused on your financial objectives. Keeps you vigilant about your expenditures. Makes it simpler to maintain awareness of your bills and savings.

A budget is a strategy that outlines how much cash you can spend each month. You may ensure that you do not run out of money each month by creating a budget. You can save money with the aid of a budget for emergencies or for your goals.

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a corporation's earnings divided by the number of outstanding shares of a firm's common stock is called

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A corporation's earnings divided by the number of outstanding shares of a firm's common stock is called Earnings per share (EPS).

Earnings per share (EPS) is a company's net income divided by using the range of not unusual shares it has super. EPS indicates how plenty money a agency makes for each share of its inventory and is a broadly used metric for estimating corporate fee.

Earnings per share is the economic price of income in step with high-quality percentage of common inventory for a employer. it's miles a key degree of corporate profitability and is typically used to fee stocks.

Earnings per share or EPS is an critical financial measure, which suggests the profitability of a corporation. it's far calculated by means of dividing the corporation's internet earnings with its general variety of excellent stocks.

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The real estate industry applies which of the following labels to individuals who are responsible for the decisions that affect the physical, financial, or ownership structure of the property.
Asset manager

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Property Owners are the individuals who are responsible for the decisions that affect the physical, financial, or ownership structure of the property.

Property decisions

Property owners must consider a range of factors when making decisions about their property, including the current and future value of the land, the potential for development, and the potential for renting or selling the property.

They must also consider the legal and financial implications of their decisions, such as taxes and mortgages. Additionally, they must consider the impact of their decisions on their tenants, neighbors, and local community.

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under the income approach to gdp, the wages, salaries, and benefits paid by businesses and government fall under the category of compensation of .

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Under income method to GDP (gross domestic product), the wages, salaries, and benefits paid by businesses and government fall under the category of compensation of employees.

The total monetary or market worth of all of the finished goods and services manufactured inside a nation's borders during a certain time period is known as the gross domestic product (GDP). It serves as a thorough evaluation of the state of the economy in a specific nation as it is a wide indicator of total domestic production.

Even while GDP is frequently estimated on a yearly basis, it can also be calculated quarterly. For instance, the government of the United States produces an annual Gross domestic product estimate for the calendar year so each fiscal quarter. Each data set in this report is provided in real terms, which means that it has been corrected for price fluctuations and is thus net of inflation.

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which of the following is not a reason that the strategy to increase product usage among existing customers can be more effective at achieving growth than the strategy to increase adoption rates through the attraction of new customers?

Answers

Answer:

4. LAS 3 ESTRATEGIAS DE MARKETING

El crecimiento es necesario además, para sobrevivir a los ataques de la competencia, por efecto de las economías de escala y de la curva de la experiencia que se pueden lograr.

4.1. LAS 3 ESTRATEGIAS DE CRECIMIENTO INTENSIVO

Buscan crecer en el seno del mercado de referencia en el cual opera la empresa. Se utiliza cuando no se ha explotado completamente las oportunidades ofrecidas por los productos que dispone y los mercados que cubre.

Explanation:

revenue with substitutable products. the camera shop sells two popular models of digital single lens reflex (dslr) cameras. the sales of these products are not independent; if the price of one increases, the sales of the other increases. in economics, these two camera models are called substitutable products. the store wishes to establish a pricing policy to maximize revenue from these products. a study of price and sales data shows the following relationships between the quantity sold (n) and price (p) of each model:

Answers

Total Revenue from selling camera A at price and camera B at is First.

How do you find total revenue ?Just keep things simple by remembering "quantity times price." If you offer a variety of goods and/or services, figure out the combined total income for all of them.The formula to determine your company's revenue is to multiply the total number of goods or services sold by their respective prices. You may also determine your average revenue per user to get more detailed financial data.It is determined by multiplying the amount of things sold by their price to get a business's overall revenue. For instance, the total income would be 100 * $50, or $5,000, if Company A produced 100 widgets and sold them for $50 apiece.

Given data :

The table with two independent variables and one dependent variable is referred to as a two-way table. The steps below may be used to draw this table:

Write data starting at 250, such as 250, 260, 270, or 280, up to 500 in a row.

Step 2: Enter data in a column with a 10-point gap, ranging from 250 to 500.

Step 3: Finish the table by using the formula "=(165-0.6*(PA)+0.45*(PB))*PA" to get the total revenue in each cell. PA should be the number in the column corresponding to this cell, and PB should be the value in the row corresponding to that cell.

Step 4: The value of each combination of PA and PB is displayed in the table.

When PA is 330 and PB is 500, the table's analysis reveals that the highest value of total revenue is attained.

As a result, the ideal PA and PB value is:

PA=330

PB=500

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find the present value (in dollars) of an annuity that pays $5,000 at the end of each 6-month period for 7 years if the interest rate is 8% compounded semiannually. (round your answer to two decimal places.)

Answers

The present value of the annuity is calculated to be $41,221.185 if it pays $5,000 at the end of each 6-month period for 7 years.

The formula for determining the present value of an annuity is

PV = PMT × [1 - (1 / 1+r)^n] / r]

Here PMT represents the Dollar amount of each payment, r represents the interest rate, and n represents the number of periods in which payments will be made.

Since the payment is at the end of each 6-month period for 7 years and  the interest rate is 8% compounded semiannually therefore the number of periods in which payments will be made is equal to 7 × 2 = 14

Now substituting the values to determine the present value as follows;

PV = 5000 × [1 - (1 / 1 + 0.08)^14 / 0.08]

PV = 5000 × [1 - (1 / 1.08)^14 / 0.08]

PV = $41,221.185

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Which of the following securities are EXEMPT under the Uniform Securities Act?I Industrial Loan Association IssuesII Insurance Company IssuesIII Federal Credit Union IssuesIV Bank and Savings and Loan IssuesA I and II onlyB III and IV onlyC I, III, and IVD I, II, III, IVAnswer: D

Answers

Under the Uniform Securities Act, concerns involving industrial loan associations, insurance companies, federal credit unions, banks, and savings and loans are all excluded.

A starting point for state-level securities regulation is the model statute known as the Uniform Securities Act. The Securities and Exchange Commission (SEC) needs assistance with enforcement and regulation, thus the Uniform Securities Act was created to address securities fraud at the state level.

The SEC considers some securities and transactions to be exempt from registration requirements. Government securities, non-profit securities, bank securities, high-quality debt instruments, and insurance contracts are some examples of exempt securities.

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intangible assets are written down when events or changes in circumstances indicate that the asset's blank amount is less than its blank amount.

Answers

Intangible assets are written down when events or changes in circumstances indicate that the asset's recoverable amount is less than its recorded amount

Intangible asset:

In economics, intangible assets are an identifiable non-monetary asset without physical substance.

Given,

Here we need to find the blanks in the statement "Intangible assets are written down when events or changes in circumstances indicate that the asset's (blank) amount is less than its (blank) amount."

As per the definition of the intangible assets, the charges applied for the circumstances are recoverable amount and it is recorded in the bank account and those recorded amount are very less than the recovered amount.

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_____ separated national equity markets from each other historically.
A. Substantial regulatory barriers
B. Fixed exchange rates
C. Financial similarities
D. Desire for high levels of profit
A. Substantial regulatory barriers

Answers

Substantial regulatory barriers separated national equity markets from each other historically.

What is  Substantial regulatory barriers ?

Any combination of repairs, rebuilding, rehabilitation, additions, or other improvements to a structure that take place within a year and cost at least half as much as the structure's pre-improvement market worth are referred to as substantial improvements. This phrase refers to buildings that have sustained "significant damage," regardless of the actual repairs made. This word covers buildings that have sustained "significant damage," regardless of the actual scope of the repairs. For the purposes of this definition, the beginning of any wall, ceiling, floor, or other structural portion of the building—regardless of whether or not that alteration has an impact on the building's exterior dimensions—is deemed to mark the beginning of a "significant improvement."

Hence Substantial regulatory barriers are separated national equity markets from each other historically.

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Substantial regulatory barriers separated national equity markets from each other historically.

What is  Substantial regulatory barriers ?

Any combination of repairs, rebuilding, rehabilitation, additions, or other improvements to a structure that take place within a year and cost at least half as much as the structure's pre-improvement market worth are referred to as substantial improvements. This phrase refers to buildings that have sustained "significant damage," regardless of the actual repairs made. This word covers buildings that have sustained "significant damage," regardless of the actual scope of the repairs. For the purposes of this definition, the beginning of any wall, ceiling, floor, or other structural portion of the building—regardless of whether or not that alteration has an impact on the building's exterior dimensions—is deemed to mark the beginning of a "significant improvement."

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old time savings bank pays 4% interest on its savings accounts. if you deposit $1,000 in the bank and leave it there:

Answers

The interest you will earn after -

1 year = $40

2 years = $80

10 years = $400

We have a Old time savings bank that pays 4% interest on its savings accounts. You deposited $1000 in it.

We have to find the interest after -

1 year

2 years

10 years

What is the formula to calculate the Simple Interest ?

The formula to calculate the Simple interest is -

S.I. = P×R×T ÷ 100

According to the question, we have -

Principle amount = $1000

Rate = 4%

Case 1 -  for T = 1 year

S.I. =  1000×4×1÷100 =  $40

Case 2 -  for T = 2 years

S.I. =  $80

Case 3 -  for T = 10 years

S.I. =  $400

Hence, the interest you will earn after -

1 year = $40

2 years = $80

10 years = $400

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According to the solving the interest you will earn after each years:

1 year = $40

2 years = $80

10 years = $400

How Does Simple Interest Work?

Calculating the interest on a loan using simple interest is quick and simple. Simple interest is calculated by dividing the principle by the monthly interest rate and the number of days between installments.

According to the given data:

S.I. = P×R×T ÷ 100

Principle amount = $1000

Rate = 4%

for T = 1 year

S.I. =  1000×4×1÷100 =  $40

for T = 2 years

S.I. =  $80

for T = 10 years

S.I. =  $400

According to the solving the interest you will earn after each years:

1 year = $40

2 years = $80

10 years = $400

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identify each of the statements regarding goldsmiths and the evolution of banks as either true or false. you are currently in a labeling module. turn off browse mode or quick nav, tab to items, space or enter to pick up, tab to move, space or enter to drop. early traders resisted using deposit receipts from goldsmiths as money until the goldsmiths began to pay a fraction of the gold deposits, to entice depositors to keep gold in reserve with the goldsmith. because what became paper money issued by goldsmiths depended on the amount of gold deposited, goldsmiths could not actually create money. goldsmiths became lending institutions when they realized how unlikely it was that all of the depositors would demand their gold back at any given time. early banks' ability to create money was limited only by the goldsmiths' prudence and judgement. the development of paper money and the banking system was due in large part to convenience. answer bank truemulti-use falsemulti-use

Answers

a. False.

Goldsmiths were recognized as reliable keepers of money and values for people without their own safe custody facilities. Thus early traders were fully confident about using deposit receipts from goldsmiths.

A goldsmith banker was a business role that emerged from the London goldsmiths in seventeenth-century London, where they gradually expanded their services to include wealth storage, loans, money transfers, and bills of exchange, which led to the development of cheques.

b. False.

As a guarantee, the goldsmith delivered a receipt. These receipts were eventually used to make payments, circulating from hand to hand and giving rise to paper money.

The transformation began when goldsmiths began making loans. The goldsmiths increased the amount of money in circulation without adding any more real gold to the system by creating additional claims to gold. As a result, there were more claims than ounces of gold.

c. True.

People could simply get their gold back by giving the deposit receipts back.

Goldsmiths also gave out loans, thus it was possible that if a large number of people wanted their gold back, it would have led to bank run.

d. True.

Goldsmiths were the early bankers.

e. True.

It was difficult to carry gold or other forms of money in large quantities.

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an inner join is a function that returns records with matching values in two or more tables. an outer join is a function that combines right and left join to return all matching records in both tables.

Answers

An inner join is a function that returns records with matching values in two or more tables. an outer join is a function that combines right and left join to return all matching records in both tables. True.

When there is a match between two tables, which join returns value?

There are no non-matching rows at all returned by the JOIN or INNER JOIN. Only rows from the two joined tables that match are returned. You shouldn't use it if you wish to obtain any rows that are mismatched. You can obtain matched and mismatched rows using the LEFT JOIN and the RIGHT JOIN.

Will Inner join Return for how many records?

The subset of the cartesian product of the tables that meet the requirement is returned by an inner join. Therefore, the join returns nxm rows, which is the maximum, for two tables A and B with rows n and m and a condition of True.

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Which of the following describes unearned revenues? a. The accounts payable totals $9,500 b. $45,000 in total payroll owed to employees on May 1 c. $1,500 in sales tax collected d. $3,500 paid to a company for services it will provide next week

Answers

$45,000 in total payroll owed to employees on May 1 describes unearned revenues. Therefore option B is correct.

What is Unearned Revenue?

Unearned income is money received by a person or business for a good or service that hasn't yet been rendered or supplied. It can be viewed as a "prepayment" for products or services that an individual or business expects to provide to the buyer at a later time.

This prepayment entails a liability on the part of the seller up until the good or service is delivered equal to the revenue earned. Since it is anticipated to be paid off within a year, this liability is listed under current liabilities.

Businesses that provide subscription-based goods or other services that demand upfront payments are the most likely to generate unearned income. Prepaid insurance, retainers for attorneys, airline tickets, prepayments for newspaper subscriptions, and annual prepayments for the usage of software are some traditional examples.

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the amount by which government spending exceeds government revenues is called the , and the accumulation of past government borrowing is called the .

Answers

The amount by which government spending exceeds government revenues is called the , and the accumulation of past government borrowing is called the Government debt.

What happens when the quantity of government spending surpasses the amount of revenue?

A government has a budget deficit when its spending on goods, services, or transfer payments exceeds its tax receipts. Governments borrow money to cover budget shortfalls, and each time they do so, the national debt.

Fiscal deficit is the word used to describe the gap between the government's total revenue and total outlays. It serves as a gauge for the total amount of borrowings the government will require.

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in an english auction group of answer choices bidders take turns offering higher amounts until a single bidder remains the highest valued bidder will win, and pays an amount just under the second highest value both of the above none of the above

Answers

The  auction means  the highest valued bidder will win, and pays an amount just under the second highest value.

What are Advantages and Disadvantages of Auctions?

Advantages and Disadvantages of Auctions are

Auctions have both advantages and disadvantages. Sometimes people  find rare items at auctions. And there is always a chance that a buyer can purchase an item at auction at a discount. When property is purchased at auction, the  process can turn off some potential buyers because of its competition. When it comes to selling a commercial asset or an entire business, the seller has many advantages  because he controls the entire auction process. They can create a competitive environment  to maximize their bargaining power and ultimately achieve a higher price. On the other hand, the cost of holding an auction  can be significant. The seller must have a strategy for the auction process, which requires the services of both financial and legal advisors.

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if a boat with a value of $19,000 depreciates at a rate of 17% per year, what is the value of the boat after 3 years?

Answers

The value of Boat with 17% depreciation rate per year will be $10,863.95 after 3 years.

What is Depreciation?

Depreciation represents the calculable decrease in value of assets with time. Tangible assets like buildings, instrumentation and vehicles area unit purchased at massive sums.

Formula to calculate Depreciation in the value of asset

A=P(1-r)∧T

Here, A is value of asset after depreciation(calculation)

         P is Principal value(Actual price at which the asset was bought)

         r is rate of depreciation annually in decimal

         T is time period in years

We can use this formula for calculating the given problem.

Solution:

Converting rate in decimal, we get

Principal(P)=19000

Time(T)=3 years

r=17/100=0.17

A=P(1-r)∧T

⇒A=19000x(1-0.17)∧3

⇒A=19000x(0.83)∧3

⇒A=19000x0.571787

A=10,863.953

Hence, the value of the boat after 3 years will be $10,863.953

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an increase in a company's inventory balance from a prior year is . multiple choice question. always bad always good good if the inventory turnover ratio is higher

Answers

High inventory turnover can show that you're selling your goods quickly, which usually signifies that business is brisk at the time.

What is a inventory turnover?

The rate at which inventory stock is sold, used up, and replaced is known as inventory turnover. By dividing the cost of items by the average inventory for the same time period, the inventory turnover ratio is derived. The number of times inventory is sold or used over a given time frame, like a year, is referred to as the inventory turnover in accounting. It is calculated to determine whether a company has an excessive amount of inventory in relation to its level of sales. Inventory turnover quantifies how frequently a business changes its stock in relation to its cost of sales. In general, a higher ratio is preferable. A low inventory turnover ratio could indicate sluggish sales or overstocking (also known as surplus inventory).

Hence, High inventory turnover can show that you're selling your goods quickly, which usually signifies that business is brisk at the time.

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